<SEC-DOCUMENT>0000019617-11-000270.txt : 20111110
<SEC-HEADER>0000019617-11-000270.hdr.sgml : 20111110
<ACCEPTANCE-DATETIME>20111110145049
ACCESSION NUMBER:		0000019617-11-000270
CONFORMED SUBMISSION TYPE:	13F-HR
PUBLIC DOCUMENT COUNT:		1
CONFORMED PERIOD OF REPORT:	20110930
FILED AS OF DATE:		20111110
DATE AS OF CHANGE:		20111110
EFFECTIVENESS DATE:		20111110

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			JPMORGAN CHASE & CO
		CENTRAL INDEX KEY:			0000019617
		STANDARD INDUSTRIAL CLASSIFICATION:	NATIONAL COMMERCIAL BANKS [6021]
		IRS NUMBER:				132624428
		STATE OF INCORPORATION:			DE
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		13F-HR
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	028-00694
		FILM NUMBER:		111194846

	BUSINESS ADDRESS:	
		STREET 1:		270 PARK AVE
		STREET 2:		38TH FL
		CITY:			NEW YORK
		STATE:			NY
		ZIP:			10017
		BUSINESS PHONE:		2122706000

	MAIL ADDRESS:	
		STREET 1:		270 PARK AVENUE
		CITY:			NEW YORK
		STATE:			NY
		ZIP:			10017

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	J P MORGAN CHASE & CO
		DATE OF NAME CHANGE:	20010102

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	CHASE MANHATTAN CORP /DE/
		DATE OF NAME CHANGE:	19960402

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	CHEMICAL BANKING CORP
		DATE OF NAME CHANGE:	19920703
</SEC-HEADER>
<DOCUMENT>
<TYPE>13F-HR
<SEQUENCE>1
<FILENAME>jpmc13f0930v2.txt
<DESCRIPTION>JPMORGAN CHASE & CO
<TEXT>

              UNITED STATES
       SECURITIES AND EXCHANGE COMMISSION
            WASHINGTON, DC  20549

               FORM 13F

          FORM 13F COVER PAGE
REPORT FOR THE CALENDAR YEAR OR QUARTER END: SEPTEMBER 30, 2011

CHECK HERE IF AMENDMENT { };  AMENDMENT NUMBER:
THIS AMENDMENT (CHECK ONLY ONE);  { } IS A RESTATEMENT
                                  { } ADDS NEW ENDINGS ENTRIES

INSTITUTIONAL INVESTMENT  MANAGER FILING THIS REPORT

NAME:          JPMorgan Chase & Co.
ADDRESS:       270 PARK AVE
               NEW YORK, NY 10017
13F FILE NUMBER:     28-694

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

THE PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:

NAME:          ANTHONY HORAN
TITLE:         CORPORATE SECRETARY
PHONE:            (212)270 7122
SIGNATURE, PLACE, AND DATE OF SIGNING:
ANTHONY HORAN        NEW YORK, NY              NOVEMBER 10, 2011

REPORT TYPE (CHECK ONLY ONE):

{X}      13F HOLDINGS REPORT

{ }      13F NOTICE

{ }      13F COMBINATION REPORT

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

             FORM 13F SUMMARY PAGE
REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS       :                  10
FORM 13F INFORMATION TABLE ENTRY TOTAL  :              22,811
FORM 13F INFORMATION TABLE VALUE TOTAL  :     185,377,489,706
LIST OF OTHER INCLUDED MANAGERS
NO.    13F FILE#    NAME
01     028-12125   J.P. Morgan Trust Company of Delaware
02     028-00123   JPMorgan Chase Bank, National Association
03     028-11933   J.P. Morgan Partners, LLC
04     028-11937   J.P. Morgan Investment Management Inc.
05     028-11925   JP Morgan Securities LLC
06     028-12006   J.P. Morgan Securities Ltd.
07     028-11949   JPMorgan Chase Funding Inc.
08     028-12007   J.P. Morgan Whitefriars Inc.
09     028-11947   JPMorgan Asset Management (UK) Ltd.
10     028-13153   The Bear Stearns Companies LLC

<TABLE>
                                 <C>                                              <C>

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE   1
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DEUTSCHE BANK AG               COMMON     D18190898       15        436 SH  -    OTHER   02                  0       436        0
D DEUTSCHE BANK AG               COMMON     D18190898     1185      34253 SH  -    DEFINED 05              34253         0        0
D DEUTSCHE BANK AG               COMMON     D18190898    93420    2699230 SH  -    DEFINED 06            2699230         0        0
D DEUTSCHE BANK AG               COMMON     D18190898     7372     212991 SH  -    DEFINED 08             212991         0        0
D DEUTSCHE BANK AG               COMMON     D18190898       15        443 SH  -    OTHER   01                  0       396        0
D AIRCASTLE LTD                  COMMON     G0129K104       35       3654 SH  -    OTHER   02                  0      3654        0
D AIRCASTLE LTD                  COMMON     G0129K104     1705     179140 SH  -    DEFINED 04             173540         0     5600
D AIRCASTLE LTD                  COMMON     G0129K104      803      84300 SH  -    DEFINED 04              84300         0        0
D AIRCASTLE LTD                  COMMON     G0129K104       47       4897 SH  -    DEFINED 05               4897         0        0
D AIRCASTLE LTD                  COMMON     G0129K104       32       3366 SH  -    DEFINED 08               3366         0        0
D AIRCASTLE LTD                  COMMON     G0129K104      116      12195 SH  -    OTHER   10                  0         0    12195
D ALTERRA CAPITAL HOLDINGS LIMIT COMMON     G0229R108      135       7133 SH  -    DEFINED 02               7133         0        0
D ALTERRA CAPITAL HOLDINGS LIMIT COMMON     G0229R108        7        358 SH  -    OTHER   02                290        68        0
D ALTERRA CAPITAL HOLDINGS LIMIT COMMON     G0229R108    63120    3327354 SH  -    DEFINED 03            3327354         0        0
D ALTERRA CAPITAL HOLDINGS LIMIT COMMON     G0229R108     7890     415926 SH  -    DEFINED 03             415926         0        0
D ALTERRA CAPITAL HOLDINGS LIMIT COMMON     G0229R108     1647      86840 SH  -    DEFINED 04              86840         0        0
D ALTERRA CAPITAL HOLDINGS LIMIT COMMON     G0229R108        1         43 SH  -    OTHER   04                  0        43        0
D ALTERRA CAPITAL HOLDINGS LIMIT COMMON     G0229R108       71       3754 SH  -    DEFINED 05               3754         0        0
D ALTERRA CAPITAL HOLDINGS LIMIT COMMON     G0229R108      124       6518 SH  -    DEFINED 08               6518         0        0
D AMDOCS                         COMMON     G02602103        4        159 SH  -    DEFINED 02                  0         0      159
D AMDOCS                         COMMON     G02602103       45       1642 SH  -    DEFINED 02                734       908        0
D AMDOCS                         COMMON     G02602103     2551      94073 SH  -    OTHER   02               3529     79705    10839
D AMDOCS                         COMMON     G02602103      963      35493 SH  -    OTHER   02                558      3942    30993
D AMDOCS                         COMMON     G02602103     1636      60330 SH  -    DEFINED 04              60330         0        0
D AMDOCS                         COMMON     G02602103     4807     177256 SH  -    DEFINED 05             177256         0        0
D AMDOCS                         COMMON     G02602103     1725      63623 SH  -    DEFINED 08              63623         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE   2
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ARCH CAP GROUP LTD             COMMON     G0450A105       91       2788 SH  -    DEFINED 02               2788         0        0
D ARCH CAP GROUP LTD             COMMON     G0450A105     3110      95165 SH  -    OTHER   02                  0     95165        0
D ARCH CAP GROUP LTD             COMMON     G0450A105    41814    1279705 SH  -    DEFINED 04            1233705         0    46000
D ARCH CAP GROUP LTD             COMMON     G0450A105     3963     121300 SH  -    DEFINED 04             121300         0        0
D ARCH CAP GROUP LTD             COMMON     G0450A105      931      28500 SH  -    DEFINED 04              28500         0        0
D ARCH CAP GROUP LTD             COMMON     G0450A105      619      18931 SH  -    OTHER   04                  0     18931        0
D ARCH CAP GROUP LTD             COMMON     G0450A105     3217      98446 SH  -    OTHER   04                  0     98446        0
D ARCH CAP GROUP LTD             COMMON     G0450A105    11210     343081 SH  -    DEFINED 05             343081         0        0
D ARCH CAP GROUP LTD             COMMON     G0450A105        9        285 SH  -    DEFINED 06                285         0        0
D ARCH CAP GROUP LTD             COMMON     G0450A105     1704      52145 SH  -    DEFINED 08              52145         0        0
D ARCH CAP GROUP LTD             COMMON     G0450A105        0         15 SH  -    OTHER   10                  0         0       15
D APCO OIL & GAS INTERNATIONAL I COMMON     G0471F109      452       6075 SH  -    DEFINED 04               4475         0     1600
D APCO OIL & GAS INTERNATIONAL I COMMON     G0471F109       41        557 SH  -    DEFINED 08                557         0        0
D ASPEN INSURANCE HOLDINGS LTD   COMMON     G05384105       10        413 SH  -    OTHER   02                  0       385        0
D ASPEN INSURANCE HOLDINGS LTD   COMMON     G05384105     4220     183155 SH  -    DEFINED 04             162155         0    21000
D ASPEN INSURANCE HOLDINGS LTD   COMMON     G05384105      331      14351 SH  -    DEFINED 04              14351         0        0
D ASPEN INSURANCE HOLDINGS LTD   COMMON     G05384105       47       2026 SH  -    DEFINED 05               2026         0        0
D ASPEN INSURANCE HOLDINGS LTD   COMMON     G05384105      398      17259 SH  -    DEFINED 08              17259         0        0
D ASSURED GUARANTY LTD           COMMON     G0585R106        2        198 SH  -    DEFINED 02                198         0        0
D ASSURED GUARANTY LTD           COMMON     G0585R106       19       1773 SH  -    OTHER   02                  0      1773        0
D ASSURED GUARANTY LTD           COMMON     G0585R106     2592     235812 SH  -    DEFINED 04             235812         0        0
D ASSURED GUARANTY LTD           COMMON     G0585R106     1493     135811 SH  -    DEFINED 04             135811         0        0
D ASSURED GUARANTY LTD           COMMON     G0585R106     2681     243982 SH  -    DEFINED 05             243982         0        0
D ASSURED GUARANTY LTD           COMMON     G0585R106     1145     104174 SH  -    DEFINED 08             104174         0        0
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109      166       6387 SH  -    DEFINED 02               2303      3084     1000
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109       33       1265 SH  -    DEFINED 02               1265         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE   3
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109       27       1030 SH  -    DEFINED 02                140         0      890
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109      345      13298 SH  -    OTHER   02               3612      9686        0
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109        4        140 SH  -    OTHER   02                140         0        0
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109    55046    2122048 SH  -    DEFINED 04            1865941         0   256107
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109     1478      56960 SH  -    DEFINED 04              56960         0        0
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109     2504      96517 SH  -    DEFINED 04              96517         0        0
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109       13        500 SH  -    DEFINED 04                500         0        0
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109       53       2059 SH  -    DEFINED 04                  0         0     2059
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109      900      34695 SH  -    DEFINED 05              34695         0        0
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109        6        218 SH  -    DEFINED 06                218         0        0
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109     5957     229639 SH  -    DEFINED 08             229639         0        0
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109       62       2400 SH  -    DEFINED 09               2400         0        0
D AXIS CAPITAL HOLDINGS          COMMON     G0692U109       45       1724 SH  -    OTHER   01                  0      1724        0
D ENERGY XXI (BERMUDA) LTD       COMMON     G10082140       14        655 SH  -    DEFINED 02                655         0        0
D ENERGY XXI (BERMUDA) LTD       COMMON     G10082140      168       7800 SH  -    DEFINED 04               7800         0        0
D ENERGY XXI (BERMUDA) LTD       COMMON     G10082140       30       1396 SH  -    DEFINED 05               1396         0        0
D ENERGY XXI (BERMUDA) LTD       COMMON     G10082140      294      13666 SH  -    DEFINED 08              13666         0        0
D ENERGY XXI (BERMUDA) LTD       COMMON     G10082140    32059    1492500 SH  -    DEFINED 09            1492500         0        0
D ENERGY XXI (BERMUDA) LTD       COMMON     G10082140      967      45000 SH  -    DEFINED 09              45000         0        0
D ENERGY XXI (BERMUDA) LTD       COMMON     G10082140      500      23275 SH  -    OTHER   09                  0     23275        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101     3040      57698 SH  -    DEFINED 02              51893       965     4840
D ACCENTURE PLC IRELAND          COMMON     G1151C101      758      14396 SH  -    DEFINED 02              12003      1350     1043
D ACCENTURE PLC IRELAND          COMMON     G1151C101      302       5733 SH  -    DEFINED 02               5733         0        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101      415       7877 SH  -    DEFINED 02               7426         0      451
D ACCENTURE PLC IRELAND          COMMON     G1151C101    21206     402551 SH  -    OTHER   02              36934    351833    12195
D ACCENTURE PLC IRELAND          COMMON     G1151C101     1734      32907 SH  -    OTHER   02               7963     19535     5409

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE   4
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ACCENTURE PLC IRELAND          COMMON     G1151C101      281       5337 SH  -    OTHER   02                  0      5337        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101       59       1128 SH  -    OTHER   02                  0      1128        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101      568      10784 SH  -    OTHER   02                  0     10784        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101       33        619 SH  -    OTHER   02                  0       619        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101    80943    1536508 SH  -    DEFINED 04             640158         0   896350
D ACCENTURE PLC IRELAND          COMMON     G1151C101      501       9509 SH  -    DEFINED 04               9509         0        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101      179       3406 SH  -    DEFINED 04               3406         0        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101       93       1762 SH  -    DEFINED 04               1762         0        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101    12351     234447 SH  -    DEFINED 04             205990         0    28457
D ACCENTURE PLC IRELAND          COMMON     G1151C101      119       2264 SH  -    DEFINED 04                  0         0     2264
D ACCENTURE PLC IRELAND          COMMON     G1151C101       10        190 SH  -    OTHER   04                  0       190        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101        5         90 SH  -    OTHER   04                  0        90        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101    25864     490970 SH  -    DEFINED 05             490970         0        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101    26613     505188 SH  -    DEFINED 09             457270     20063    27855
D ACCENTURE PLC IRELAND          COMMON     G1151C101     1014      19252 SH  -    DEFINED 09              19252         0        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101     7015     133154 SH  -    DEFINED 09             133154         0        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101     3101      58863 SH  -    OTHER   09                  0     58863        0
D ACCENTURE PLC IRELAND          COMMON     G1151C101      885      16800 SH  -    DEFINED 01              10300         0     6500
D ACCENTURE PLC IRELAND          COMMON     G1151C101      810      15378 SH  -    OTHER   01                  0     15078      300
D ACCENTURE PLC IRELAND          COMMON     G1151C101      169       3205 SH  -    OTHER   10                  0         0     3205
D BROOKFIELD INFRAST PARTNERS LP COMMON     G16252101     3464     142300 SH  -    OTHER   02              20000    122300        0
D BUNGE LIMITED                  COMMON     G16962105     5911     101400 SH  -    DEFINED 02             101400         0        0
D BUNGE LIMITED                  COMMON     G16962105      932      15993 SH  -    DEFINED 02              15993         0        0
D BUNGE LIMITED                  COMMON     G16962105      909      15601 SH  -    OTHER   02               4275      4851     6475
D BUNGE LIMITED                  COMMON     G16962105       75       1285 SH  -    OTHER   02                  0         0     1285
D BUNGE LIMITED                  COMMON     G16962105      265       4547 SH  -    OTHER   02                  0      4547        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE   5
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BUNGE LIMITED                  COMMON     G16962105      319       5469 SH  -    OTHER   02                  0      5469        0
D BUNGE LIMITED                  COMMON     G16962105     2589      44414 SH  -    OTHER   02                  0     44414        0
D BUNGE LIMITED                  COMMON     G16962105        1         16 SH  -    OTHER   04                  0        16        0
D BUNGE LIMITED                  COMMON     G16962105     3016      51747 SH  -    DEFINED 05              51747         0        0
D BUNGE LIMITED                  COMMON     G16962105      187       3211 SH  -    DEFINED 06               3211         0        0
D BUNGE LIMITED                  COMMON     G16962105    20690     354945 SH  -    DEFINED 08             354945         0        0
D BUNGE LIMITED                  COMMON     G16962105       94       1607 SH  -    DEFINED 09               1607         0        0
D BUNGE LIMITED                  COMMON     G16962105      140       2400 SH  -    DEFINED 09                  0         0     2400
D BUNGE LIMITED                  COMMON     G16962105       73       1251 SH  -    DEFINED 01               1251         0        0
D BUNGE LIMITED                  COMMON     G16962105       14        242 SH  -    OTHER   01                210        32        0
D BUNGE LIMITED                  COMMON     G16962105      634      10883 SH  -    OTHER   10                  0         0    10883
D CHINA CORD BLOOD CORP          COMMON     G21107100      167      55402 SH  -    DEFINED 09              55402         0        0
D CONSD WATER CO                 COMMON     G23773107       19       2384 SH  -    OTHER   02                  0      2384        0
D CONSD WATER CO                 COMMON     G23773107       54       6800 SH  -    DEFINED 04               6800         0        0
D CONSD WATER CO                 COMMON     G23773107      263      33400 SH  -    DEFINED 04              33400         0        0
D CONSD WATER CO                 COMMON     G23773107        2        221 SH  -    DEFINED 05                221         0        0
D CONSD WATER CO                 COMMON     G23773107        7        891 SH  -    DEFINED 08                891         0        0
D COOPER INDUSTRIES PLC          COMMON     G24140108      370       8014 SH  -    DEFINED 02               3264         0     4750
D COOPER INDUSTRIES PLC          COMMON     G24140108      552      11976 SH  -    DEFINED 02              11976         0        0
D COOPER INDUSTRIES PLC          COMMON     G24140108       35        760 SH  -    DEFINED 02                120         0      640
D COOPER INDUSTRIES PLC          COMMON     G24140108     1988      43112 SH  -    OTHER   02              21937     10587    10588
D COOPER INDUSTRIES PLC          COMMON     G24140108      906      19655 SH  -    OTHER   02                625       129    18901
D COOPER INDUSTRIES PLC          COMMON     G24140108   135990    2948623 SH  -    DEFINED 04            2699738         0   248885
D COOPER INDUSTRIES PLC          COMMON     G24140108     3114      67511 SH  -    DEFINED 04              67511         0        0
D COOPER INDUSTRIES PLC          COMMON     G24140108     1833      39750 SH  -    DEFINED 04              39750         0        0
D COOPER INDUSTRIES PLC          COMMON     G24140108     1017      22053 SH  -    OTHER   04                  0     22053        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE   6
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COOPER INDUSTRIES PLC          COMMON     G24140108     5157     111818 SH  -    OTHER   04                  0    111818        0
D COOPER INDUSTRIES PLC          COMMON     G24140108      141       3066 SH  -    DEFINED 05               3066         0        0
D COOPER INDUSTRIES PLC          COMMON     G24140108     3069      66535 SH  -    DEFINED 08              66535         0        0
D COOPER INDUSTRIES PLC          COMMON     G24140108        2         50 SH  -    DEFINED 01                 50         0        0
D COOPER INDUSTRIES PLC          COMMON     G24140108     1205      26130 SH  -    OTHER   10                  0         0    26130
D CREDICORP                      COMMON     G2519Y108        1         10 SH  -    DEFINED 02                 10         0        0
D CREDICORP                      COMMON     G2519Y108    42430     460200 SH  -    DEFINED 04             460200         0        0
D CREDICORP                      COMMON     G2519Y108      756       8200 SH  -    DEFINED 04                  0         0     8200
D CREDICORP                      COMMON     G2519Y108    22257     241400 SH  -    DEFINED 04             241400         0        0
D CREDICORP                      COMMON     G2519Y108     1551      16823 SH  -    DEFINED 05              16823         0        0
D CREDICORP                      COMMON     G2519Y108    10646     115464 SH  -    DEFINED 08             115464         0        0
D CREDICORP                      COMMON     G2519Y108    10476     113627 SH  -    DEFINED 09             113627         0        0
D COSAN LTD                      COMMON     G25343107        1         86 SH  -    DEFINED 02                 86         0        0
D COSAN LTD                      COMMON     G25343107     2078     219480 SH  -    DEFINED 02             219480         0        0
D COSAN LTD                      COMMON     G25343107      154      16275 SH  -    OTHER   02                  0     16275        0
D COSAN LTD                      COMMON     G25343107     2299     242812 SH  -    DEFINED 04             242812         0        0
D COSAN LTD                      COMMON     G25343107      135      14300 SH  -    DEFINED 05              14300         0        0
D COSAN LTD                      COMMON     G25343107      104      11000 SH  -    DEFINED 08              11000         0        0
D COSAN LTD                      COMMON     G25343107    14950    1578665 SH  -    DEFINED 09            1578665         0        0
D COSAN LTD                      COMMON     G25343107      888      93772 SH  -    DEFINED 09              93772         0        0
D COSAN LTD                      COMMON     G25343107      272      28674 SH  -    OTHER   09                  0     28674        0
D COVIDIEN PLC                   COMMON     G2554F113    21573     489192 SH  -    DEFINED 02             416978      3026    69188
D COVIDIEN PLC                   COMMON     G2554F113     7769     176169 SH  -    DEFINED 02             165661      1636     8872
D COVIDIEN PLC                   COMMON     G2554F113     8980     203636 SH  -    DEFINED 02             203636         0        0
D COVIDIEN PLC                   COMMON     G2554F113     1332      30209 SH  -    DEFINED 02              12452         0    17757
D COVIDIEN PLC                   COMMON     G2554F113    22887     518981 SH  -    OTHER   02             113992    346919    56580

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE   7
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COVIDIEN PLC                   COMMON     G2554F113     2431      55119 SH  -    OTHER   02              17364     19091    18664
D COVIDIEN PLC                   COMMON     G2554F113      549      12444 SH  -    OTHER   02                  0     12444        0
D COVIDIEN PLC                   COMMON     G2554F113      195       4419 SH  -    OTHER   02                  0      4419        0
D COVIDIEN PLC                   COMMON     G2554F113     1155      26185 SH  -    OTHER   02                  0     26185        0
D COVIDIEN PLC                   COMMON     G2554F113       48       1098 SH  -    OTHER   02                  0      1098        0
D COVIDIEN PLC                   COMMON     G2554F113   492492   11167627 SH  -    DEFINED 04            9112819         0  2054808
D COVIDIEN PLC                   COMMON     G2554F113    14557     330087 SH  -    DEFINED 04             330087         0        0
D COVIDIEN PLC                   COMMON     G2554F113    44146    1001051 SH  -    DEFINED 04            1001051         0        0
D COVIDIEN PLC                   COMMON     G2554F113      162       3683 SH  -    DEFINED 04               3683         0        0
D COVIDIEN PLC                   COMMON     G2554F113     5813     131810 SH  -    DEFINED 04             131810         0        0
D COVIDIEN PLC                   COMMON     G2554F113    44997    1020347 SH  -    DEFINED 04             981713         0    38634
D COVIDIEN PLC                   COMMON     G2554F113      362       8211 SH  -    DEFINED 04                  0         0     8211
D COVIDIEN PLC                   COMMON     G2554F113    15903     360608 SH  -    OTHER   04                  0    360608        0
D COVIDIEN PLC                   COMMON     G2554F113     3114      70620 SH  -    DEFINED 05              70620         0        0
D COVIDIEN PLC                   COMMON     G2554F113       18        417 SH  -    DEFINED 06                417         0        0
D COVIDIEN PLC                   COMMON     G2554F113   110353    2502344 SH  -    DEFINED 09            2408148     20369    52738
D COVIDIEN PLC                   COMMON     G2554F113     2220      50348 SH  -    DEFINED 09              50348         0        0
D COVIDIEN PLC                   COMMON     G2554F113    10851     246055 SH  -    DEFINED 09             246055         0        0
D COVIDIEN PLC                   COMMON     G2554F113     7852     178052 SH  -    DEFINED 09              51517         0        0
D COVIDIEN PLC                   COMMON     G2554F113     2007      45509 SH  -    OTHER   09                  0     45509        0
D COVIDIEN PLC                   COMMON     G2554F113     1251      28361 SH  -    DEFINED 01              24617      1868     1876
D COVIDIEN PLC                   COMMON     G2554F113     1001      22702 SH  -    OTHER   01               3445     15980     3277
D COVIDIEN PLC                   COMMON     G2554F113      200       4528 SH  -    OTHER   10                  0         0     4528
D ENDURANCE SPECIALTY HLDGS LTD  COMMON     G30397106       36       1045 SH  -    DEFINED 02                  0      1045        0
D ENDURANCE SPECIALTY HLDGS LTD  COMMON     G30397106        2         50 SH  -    DEFINED 02                 50         0        0
D ENDURANCE SPECIALTY HLDGS LTD  COMMON     G30397106      191       5600 SH  -    OTHER   02               1205      4215      180

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE   8
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ENDURANCE SPECIALTY HLDGS LTD  COMMON     G30397106      338       9910 SH  -    OTHER   02                530       390     8990
D ENDURANCE SPECIALTY HLDGS LTD  COMMON     G30397106     9971     291970 SH  -    DEFINED 04             268205         0    23765
D ENDURANCE SPECIALTY HLDGS LTD  COMMON     G30397106      374      10952 SH  -    OTHER   04                  0     10952        0
D ENDURANCE SPECIALTY HLDGS LTD  COMMON     G30397106       19        551 SH  -    DEFINED 05                551         0        0
D ENDURANCE SPECIALTY HLDGS LTD  COMMON     G30397106      281       8223 SH  -    DEFINED 08               8223         0        0
D ENDURANCE SPECIALTY HLDGS LTD  COMMON     G30397106      497      14553 SH  -    OTHER   10                  0         0    14553
D ENSTAR GROUP LIMITED           COMMON     G3075P101      166       1743 SH  -    OTHER   02                  0      1743        0
D ENSTAR GROUP LIMITED           COMMON     G3075P101       13        136 SH  -    DEFINED 05                136         0        0
D ENSTAR GROUP LIMITED           COMMON     G3075P101       40        425 SH  -    DEFINED 08                425         0        0
D ENSTAR GROUP LIMITED           COMMON     G3075P101      112       1180 SH  -    OTHER   01                  0      1180        0
D EVEREST RE GROUP LTD           COMMON     G3223R108      379       4777 SH  -    DEFINED 02               1117         0     3660
D EVEREST RE GROUP LTD           COMMON     G3223R108      140       1760 SH  -    DEFINED 02               1149         0      611
D EVEREST RE GROUP LTD           COMMON     G3223R108     1033      13018 SH  -    DEFINED 02              13018         0        0
D EVEREST RE GROUP LTD           COMMON     G3223R108      217       2730 SH  -    DEFINED 02                830         0     1900
D EVEREST RE GROUP LTD           COMMON     G3223R108      222       2796 SH  -    OTHER   02                 80      2716        0
D EVEREST RE GROUP LTD           COMMON     G3223R108   105659    1331047 SH  -    DEFINED 04             958051         0   372996
D EVEREST RE GROUP LTD           COMMON     G3223R108     6407      80710 SH  -    DEFINED 04              80710         0        0
D EVEREST RE GROUP LTD           COMMON     G3223R108     6772      85311 SH  -    DEFINED 04              85311         0        0
D EVEREST RE GROUP LTD           COMMON     G3223R108     6058      76311 SH  -    DEFINED 04              76311         0        0
D EVEREST RE GROUP LTD           COMMON     G3223R108     9975     125662 SH  -    DEFINED 04             124901         0      761
D EVEREST RE GROUP LTD           COMMON     G3223R108       84       1063 SH  -    DEFINED 04                  0         0     1063
D EVEREST RE GROUP LTD           COMMON     G3223R108     1836      23123 SH  -    DEFINED 05              23123         0        0
D EVEREST RE GROUP LTD           COMMON     G3223R108        9        108 SH  -    DEFINED 06                108         0        0
D EVEREST RE GROUP LTD           COMMON     G3223R108     1631      20545 SH  -    DEFINED 08              20545         0        0
D EVEREST RE GROUP LTD           COMMON     G3223R108    19157     241333 SH  -    DEFINED 09             233978         0     3176
D EVEREST RE GROUP LTD           COMMON     G3223R108     3780      47623 SH  -    DEFINED 09              17281         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE   9
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EVEREST RE GROUP LTD           COMMON     G3223R108      876      11041 SH  -    DEFINED 09              11041         0        0
D EVEREST RE GROUP LTD           COMMON     G3223R108        1         15 SH  -    OTHER   01                  0        15        0
D EVEREST RE GROUP LTD           COMMON     G3223R108       16        201 SH  -    OTHER   10                  0         0      201
D FRESH DEL MONTE PRODUCE INC    COMMON     G36738105      106       4589 SH  -    DEFINED 02                  0      4589        0
D FRESH DEL MONTE PRODUCE INC    COMMON     G36738105      159       6865 SH  -    OTHER   02               5134      1731        0
D FRESH DEL MONTE PRODUCE INC    COMMON     G36738105     1401      60405 SH  -    DEFINED 04              50405         0    10000
D FRESH DEL MONTE PRODUCE INC    COMMON     G36738105      881      37957 SH  -    DEFINED 04              37957         0        0
D FRESH DEL MONTE PRODUCE INC    COMMON     G36738105      215       9275 SH  -    OTHER   04                  0      9275        0
D FRESH DEL MONTE PRODUCE INC    COMMON     G36738105       15        626 SH  -    DEFINED 05                626         0        0
D FRESH DEL MONTE PRODUCE INC    COMMON     G36738105      104       4482 SH  -    DEFINED 08               4482         0        0
D FRONTLINE LTD                  COMMON     G3682E127        6       1250 SH  -    OTHER   02                  0         0     1250
D FRONTLINE LTD                  COMMON     G3682E127      102      21075 SH  -    DEFINED 04              19075         0     2000
D FRONTLINE LTD                  COMMON     G3682E127       62      12800 SH  -    DEFINED 04              12800         0        0
D FRONTLINE LTD                  COMMON     G3682E127       19       3816 SH  -    DEFINED 06               3816         0        0
D FRONTLINE LTD                  COMMON     G3682E127      104      21403 SH  -    DEFINED 08              21403         0        0
D FRONTLINE LTD                  COMMON     G3682E127        2        458 SH  -    OTHER   10                  0         0      458
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101      165      14920 SH  -    DEFINED 02               8070         0     6850
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101      214      19392 SH  -    DEFINED 02              15302         0     4090
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101      216      19555 SH  -    DEFINED 02               5600         0    13955
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101        6        501 SH  -    OTHER   02                  0       416        0
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101   110152    9986607 SH  -    DEFINED 04            7558806         0  2427801
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101    10906     988760 SH  -    DEFINED 04             988760         0        0
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101     6645     602424 SH  -    DEFINED 04             602424         0        0
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101       45       4100 SH  -    DEFINED 04               4100         0        0
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101       84       7660 SH  -    DEFINED 04                  0         0     7660
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101      134      12161 SH  -    OTHER   04                  0     12161        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  10
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FREESCALE SEMICONDUCTOR HLDGS  COMMON     G3727Q101      216      19600 SH  -    DEFINED 09              19600         0        0
D GLOBAL CROSSING LTD            COMMON     G3921A175        1         51 SH  -    DEFINED 02                  0         0       51
D GLOBAL CROSSING LTD            COMMON     G3921A175       11        454 SH  -    DEFINED 02                169       285        0
D GLOBAL CROSSING LTD            COMMON     G3921A175      679      28419 SH  -    OTHER   02               1580     24395     2444
D GLOBAL CROSSING LTD            COMMON     G3921A175      270      11292 SH  -    OTHER   02                178      1250     9864
D GLOBAL CROSSING LTD            COMMON     G3921A175       76       3173 SH  -    DEFINED 05               3173         0        0
D GLOBAL CROSSING LTD            COMMON     G3921A175       43       1801 SH  -    DEFINED 08               1801         0        0
D GLOBAL CROSSING LTD            COMMON     G3921A175     3383     141489 SH  -    DEFINED 09             141489         0        0
D GENPACT LIMITED                COMMON     G3922B107      142       9875 SH  -    DEFINED 02               3685         0     6190
D GENPACT LIMITED                COMMON     G3922B107      134       9333 SH  -    DEFINED 02               5773         0     3560
D GENPACT LIMITED                COMMON     G3922B107      215      14950 SH  -    DEFINED 02               4605         0    10345
D GENPACT LIMITED                COMMON     G3922B107      209      14503 SH  -    OTHER   02                  0     14503        0
D GENPACT LIMITED                COMMON     G3922B107       16       1100 SH  -    OTHER   02                  0         0     1100
D GENPACT LIMITED                COMMON     G3922B107    42258    2936595 SH  -    DEFINED 04            2084578         0   852017
D GENPACT LIMITED                COMMON     G3922B107       78       5410 SH  -    DEFINED 04               5410         0        0
D GENPACT LIMITED                COMMON     G3922B107     7347     510567 SH  -    DEFINED 04             510567         0        0
D GENPACT LIMITED                COMMON     G3922B107       39       2700 SH  -    DEFINED 04               2700         0        0
D GENPACT LIMITED                COMMON     G3922B107       34       2355 SH  -    DEFINED 04                  0         0     2355
D GENPACT LIMITED                COMMON     G3922B107       23       1580 SH  -    DEFINED 05               1580         0        0
D GENPACT LIMITED                COMMON     G3922B107      912      63400 SH  -    DEFINED 09              63400         0        0
D GENPACT LIMITED                COMMON     G3922B107       12        850 SH  -    OTHER   01                  0       850        0
D GLOBAL SOURCES LTD             COMMON     G39300101        3        460 SH  -    OTHER   02                  0         0      460
D GLOBAL SOURCES LTD             COMMON     G39300101      582      85900 SH  -    DEFINED 04              77300         0     8600
D GLOBAL SOURCES LTD             COMMON     G39300101       11       1575 SH  -    DEFINED 08               1575         0        0
D GREENLIGHT CAPITAL RE LTD      COMMON     G4095J109        0          5 SH  -    DEFINED 02                  5         0        0
D GREENLIGHT CAPITAL RE LTD      COMMON     G4095J109      151       7257 SH  -    OTHER   02               6595       662        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  11
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GREENLIGHT CAPITAL RE LTD      COMMON     G4095J109       10        459 SH  -    DEFINED 05                459         0        0
D GREENLIGHT CAPITAL RE LTD      COMMON     G4095J109       34       1645 SH  -    DEFINED 08               1645         0        0
D GREENLIGHT CAPITAL RE LTD      COMMON     G4095J109     2617     126190 SH  -    OTHER   10                  0         0   126190
D HELEN OF TROY CORP             COMMON     G4388N106        6        228 SH  -    DEFINED 02                228         0        0
D HELEN OF TROY CORP             COMMON     G4388N106       96       3804 SH  -    OTHER   02                 44      1140     2620
D HELEN OF TROY CORP             COMMON     G4388N106    12556     499850 SH  -    DEFINED 04             449350         0    50500
D HELEN OF TROY CORP             COMMON     G4388N106     2441      97177 SH  -    DEFINED 04              97177         0        0
D HELEN OF TROY CORP             COMMON     G4388N106      362      14401 SH  -    DEFINED 05              14401         0        0
D HERBALIFE LTD                  COMMON     G4412G101      146       2724 SH  -    DEFINED 02               2724         0        0
D HERBALIFE LTD                  COMMON     G4412G101       16        300 SH  -    DEFINED 02                300         0        0
D HERBALIFE LTD                  COMMON     G4412G101      124       2310 SH  -    OTHER   02                  0       993     1290
D HERBALIFE LTD                  COMMON     G4412G101     9356     174549 SH  -    DEFINED 04             148449         0    26100
D HERBALIFE LTD                  COMMON     G4412G101     9048     168798 SH  -    DEFINED 04             168798         0        0
D HERBALIFE LTD                  COMMON     G4412G101     3287      61328 SH  -    DEFINED 04              35995         0    25333
D HERBALIFE LTD                  COMMON     G4412G101    15625     291520 SH  -    DEFINED 05             291520         0        0
D HERBALIFE LTD                  COMMON     G4412G101     5792     108061 SH  -    DEFINED 08             108061         0        0
D HERBALIFE LTD                  COMMON     G4412G101    12734     237569 SH  -    DEFINED 09             222665     14904        0
D HERBALIFE LTD                  COMMON     G4412G101      869      16218 SH  -    DEFINED 09              16218         0        0
D HERBALIFE LTD                  COMMON     G4412G101     6312     117769 SH  -    DEFINED 09             117769         0        0
D HERBALIFE LTD                  COMMON     G4412G101      159       2970 SH  -    OTHER   09                  0      2970        0
D HERBALIFE LTD                  COMMON     G4412G101       22        403 SH  -    OTHER   10                  0         0      403
D HOLLYSYS AUTOMATION TECHNOLOGI COMMON     G45667105      605     103574 SH  -    DEFINED 04             103574         0        0
D HOLLYSYS AUTOMATION TECHNOLOGI COMMON     G45667105      380      65000 SH  -    DEFINED 05              65000         0        0
D INGERSOLL-RAND PLC             COMMON     G47791101       36       1268 SH  -    DEFINED 02                793       475        0
D INGERSOLL-RAND PLC             COMMON     G47791101      235       8362 SH  -    DEFINED 02               6187      1250      925
D INGERSOLL-RAND PLC             COMMON     G47791101      113       4022 SH  -    DEFINED 02               3815         0      207

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  12
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INGERSOLL-RAND PLC             COMMON     G47791101     7919     281918 SH  -    OTHER   02              15620    254838    10035
D INGERSOLL-RAND PLC             COMMON     G47791101     1286      45795 SH  -    OTHER   02               5200     18042    22553
D INGERSOLL-RAND PLC             COMMON     G47791101    13753     489619 SH  -    DEFINED 04             192343         0   297276
D INGERSOLL-RAND PLC             COMMON     G47791101     1494      53195 SH  -    DEFINED 04              53195         0        0
D INGERSOLL-RAND PLC             COMMON     G47791101       30       1070 SH  -    DEFINED 04               1070         0        0
D INGERSOLL-RAND PLC             COMMON     G47791101       39       1400 SH  -    DEFINED 04               1400         0        0
D INGERSOLL-RAND PLC             COMMON     G47791101       20        709 SH  -    DEFINED 04                  0         0      709
D INGERSOLL-RAND PLC             COMMON     G47791101     7763     276350 SH  -    DEFINED 05             276350         0        0
D INGERSOLL-RAND PLC             COMMON     G47791101      211       7520 SH  -    DEFINED 09               7520         0        0
D INGERSOLL-RAND PLC             COMMON     G47791101      385      13700 SH  -    OTHER   01                  0     13700        0
D INGERSOLL-RAND PLC             COMMON     G47791101        3        108 SH  -    OTHER   10                  0         0      108
D INVESCO LTD                    COMMON     G491BT108     8775     565771 SH  -    DEFINED 02             510197      2336    53238
D INVESCO LTD                    COMMON     G491BT108     2739     176626 SH  -    DEFINED 02             170518       187     5921
D INVESCO LTD                    COMMON     G491BT108      380      24528 SH  -    DEFINED 02              10461         0    14067
D INVESCO LTD                    COMMON     G491BT108     2435     156995 SH  -    OTHER   02              98872     47088    11020
D INVESCO LTD                    COMMON     G491BT108      387      24933 SH  -    OTHER   02              12139      1329    11465
D INVESCO LTD                    COMMON     G491BT108       60       3879 SH  -    OTHER   02                  0      3879        0
D INVESCO LTD                    COMMON     G491BT108       56       3612 SH  -    OTHER   02                  0      3612        0
D INVESCO LTD                    COMMON     G491BT108      142       9180 SH  -    OTHER   02                  0      9180        0
D INVESCO LTD                    COMMON     G491BT108   229909   14823289 SH  -    DEFINED 04           12675457         0  2147832
D INVESCO LTD                    COMMON     G491BT108     1372      88477 SH  -    DEFINED 04              88477         0        0
D INVESCO LTD                    COMMON     G491BT108    13221     852401 SH  -    DEFINED 04             852401         0        0
D INVESCO LTD                    COMMON     G491BT108       27       1771 SH  -    DEFINED 04               1771         0        0
D INVESCO LTD                    COMMON     G491BT108     1573     101450 SH  -    DEFINED 04             101450         0        0
D INVESCO LTD                    COMMON     G491BT108      121       7781 SH  -    DEFINED 04                  0         0     7781
D INVESCO LTD                    COMMON     G491BT108      723      46593 SH  -    OTHER   04                  0     46593        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  13
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INVESCO LTD                    COMMON     G491BT108    10715     690824 SH  -    OTHER   04                  0    690824        0
D INVESCO LTD                    COMMON     G491BT108     2300     148271 SH  -    DEFINED 05             148271         0        0
D INVESCO LTD                    COMMON     G491BT108     1036      66784 SH  -    DEFINED 08              66784         0        0
D INVESCO LTD                    COMMON     G491BT108     2229     143712 SH  -    DEFINED 09             143712         0        0
D INVESCO LTD                    COMMON     G491BT108     1314      84725 SH  -    DEFINED 09                  0         0        0
D INVESCO LTD                    COMMON     G491BT108      472      30438 SH  -    DEFINED 01              25923      2375     2140
D INVESCO LTD                    COMMON     G491BT108      233      15051 SH  -    OTHER   01               8987      2399     3665
D INVESCO LTD                    COMMON     G491BT108     2418     155895 SH  -    OTHER   10                  0         0   155895
D LAZARD LTD                     COMMON     G54050102       80       3800 SH  -    DEFINED 02               3800         0        0
D LAZARD LTD                     COMMON     G54050102       19        900 SH  -    OTHER   02                900         0        0
D LAZARD LTD                     COMMON     G54050102        9        425 SH  -    OTHER   02                  0         0      425
D LAZARD LTD                     COMMON     G54050102    10904     516800 SH  -    DEFINED 04             516800         0        0
D LAZARD LTD                     COMMON     G54050102       47       2251 SH  -    OTHER   04                  0      2251        0
D LAZARD LTD                     COMMON     G54050102      602      28550 SH  -    DEFINED 05              28550         0        0
D LAZARD LTD                     COMMON     G54050102        0          2 SH  -    OTHER   01                  0         0        2
D MARVELL TECH GROUP             COMMON     G5876H105      212      14621 SH  -    DEFINED 02              10896      2500     1225
D MARVELL TECH GROUP             COMMON     G5876H105      204      14038 SH  -    DEFINED 02              11131         0     2907
D MARVELL TECH GROUP             COMMON     G5876H105      165      11390 SH  -    DEFINED 02               3735         0     7655
D MARVELL TECH GROUP             COMMON     G5876H105      144       9917 SH  -    OTHER   02               2146      7136      615
D MARVELL TECH GROUP             COMMON     G5876H105       18       1233 SH  -    OTHER   02               1198         0       35
D MARVELL TECH GROUP             COMMON     G5876H105        8        550 SH  -    OTHER   02                  0       550        0
D MARVELL TECH GROUP             COMMON     G5876H105    26160    1802241 SH  -    DEFINED 04            1330280         0   471961
D MARVELL TECH GROUP             COMMON     G5876H105     3343     230340 SH  -    DEFINED 04             230340         0        0
D MARVELL TECH GROUP             COMMON     G5876H105     4863     335050 SH  -    DEFINED 04             335050         0        0
D MARVELL TECH GROUP             COMMON     G5876H105       69       4729 SH  -    DEFINED 04               4729         0        0
D MARVELL TECH GROUP             COMMON     G5876H105        0         25 SH  -    DEFINED 04                 25         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  14
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MARVELL TECH GROUP             COMMON     G5876H105       24       1620 SH  -    DEFINED 04                  0         0     1620
D MARVELL TECH GROUP             COMMON     G5876H105      217      14983 SH  -    OTHER   04                  0     14983        0
D MARVELL TECH GROUP             COMMON     G5876H105     1246      85839 SH  -    DEFINED 05              85839         0        0
D MARVELL TECH GROUP             COMMON     G5876H105     9562     658797 SH  -    DEFINED 08             658797         0        0
D MARVELL TECH GROUP             COMMON     G5876H105       34       2308 SH  -    OTHER   01               1875       283      150
D MARVELL TECH GROUP             COMMON     G5876H105        0         29 SH  -    OTHER   10                  0         0       29
D MONTPELIER RE HOLDINGS LTD     COMMON     G62185106        3        188 SH  -    DEFINED 02                188         0        0
D MONTPELIER RE HOLDINGS LTD     COMMON     G62185106      602      34057 SH  -    DEFINED 04              34057         0        0
D MONTPELIER RE HOLDINGS LTD     COMMON     G62185106       17        943 SH  -    DEFINED 05                943         0        0
D MONTPELIER RE HOLDINGS LTD     COMMON     G62185106      209      11797 SH  -    DEFINED 08              11797         0        0
D ALPHA & OMEGA SEMICONDUCTOR LT COMMON     G6331P104        3        358 SH  -    OTHER   02                  0       358        0
D ALPHA & OMEGA SEMICONDUCTOR LT COMMON     G6331P104      293      35700 SH  -    DEFINED 04              27200         0     8500
D ALPHA & OMEGA SEMICONDUCTOR LT COMMON     G6331P104      105      12800 SH  -    DEFINED 04              12800         0        0
D ALPHA & OMEGA SEMICONDUCTOR LT COMMON     G6331P104        0          1 SH  -    DEFINED 05                  1         0        0
D ALPHA & OMEGA SEMICONDUCTOR LT COMMON     G6331P104        7        863 SH  -    DEFINED 08                863         0        0
D NABORS INDUSTRIES LTD          COMMON     G6359F103      183      14950 SH  -    DEFINED 02              14250         0      700
D NABORS INDUSTRIES LTD          COMMON     G6359F103        6        483 SH  -    DEFINED 02                483         0        0
D NABORS INDUSTRIES LTD          COMMON     G6359F103       43       3514 SH  -    DEFINED 02               3313         0      201
D NABORS INDUSTRIES LTD          COMMON     G6359F103     2160     176184 SH  -    OTHER   02             130467      4152    41565
D NABORS INDUSTRIES LTD          COMMON     G6359F103      612      49894 SH  -    OTHER   02               1298       391    48205
D NABORS INDUSTRIES LTD          COMMON     G6359F103     3882     316603 SH  -    DEFINED 04             252572         0    64031
D NABORS INDUSTRIES LTD          COMMON     G6359F103      795      64872 SH  -    DEFINED 04              64872         0        0
D NABORS INDUSTRIES LTD          COMMON     G6359F103       11        900 SH  -    DEFINED 04                900         0        0
D NABORS INDUSTRIES LTD          COMMON     G6359F103        7        611 SH  -    DEFINED 04                  0         0      611
D NABORS INDUSTRIES LTD          COMMON     G6359F103        0         15 SH  -    OTHER   04                  0        15        0
D NABORS INDUSTRIES LTD          COMMON     G6359F103       89       7226 SH  -    DEFINED 05               7226         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  15
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NABORS INDUSTRIES LTD          COMMON     G6359F103       34       2790 SH  -    DEFINED 06               2790         0        0
D NABORS INDUSTRIES LTD          COMMON     G6359F103     6604     538698 SH  -    DEFINED 08             538698         0        0
D NABORS INDUSTRIES LTD          COMMON     G6359F103       12       1015 SH  -    OTHER   10                  0         0     1015
D NORDIC AMERICAN TANKERS LIMITE COMMON     G65773106      141      10000 SH  -    OTHER   02              10000         0        0
D NORDIC AMERICAN TANKERS LIMITE COMMON     G65773106     1422     100848 SH  -    DEFINED 05             100848         0        0
D NORDIC AMERICAN TANKERS LIMITE COMMON     G65773106      412      29250 SH  -    OTHER   10                  0         0    29250
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109      158      11554 SH  -    DEFINED 02              11554         0        0
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109      542      39721 SH  -    DEFINED 02              39561         0      160
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109      238      17427 SH  -    OTHER   02               4280     12997      150
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109       66       4840 SH  -    OTHER   02               4400        75      365
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109    52880    3876801 SH  -    DEFINED 04            3674006         0   202795
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109     1352      99130 SH  -    DEFINED 04              99130         0        0
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109       15       1105 SH  -    DEFINED 04               1105         0        0
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109      941      69006 SH  -    DEFINED 04              69006         0        0
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109      593      43468 SH  -    OTHER   04                  0     43468        0
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109     3084     226126 SH  -    OTHER   04                  0    226126        0
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109        4        309 SH  -    DEFINED 05                309         0        0
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109       20       1436 SH  -    DEFINED 08               1436         0        0
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109        1         70 SH  -    DEFINED 01                  0         0       70
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109      120       8810 SH  -    OTHER   01                  0      8635      175
D ONEBEACON INSURANCE GROUP LTD  COMMON     G67742109        1         45 SH  -    OTHER   10                  0         0       45
D ORIENT EXPRESS HOT             COMMON     G67743107       35       5058 SH  -    OTHER   02               4650       408        0
D ORIENT EXPRESS HOT             COMMON     G67743107      347      50250 SH  -    DEFINED 05              50250         0        0
D ORIENT EXPRESS HOT             COMMON     G67743107      130      18818 SH  -    OTHER   10                  0         0    18818
D PARTNERRE LTD                  COMMON     G6852T105       11        220 SH  -    DEFINED 02                220         0        0
D PARTNERRE LTD                  COMMON     G6852T105        4         70 SH  -    DEFINED 02                 70         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  16
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PARTNERRE LTD                  COMMON     G6852T105     1359      25994 SH  -    OTHER   02               1751     22188     2055
D PARTNERRE LTD                  COMMON     G6852T105      349       6685 SH  -    OTHER   02                  0        20     6665
D PARTNERRE LTD                  COMMON     G6852T105    14917     285391 SH  -    DEFINED 04              90891         0   194500
D PARTNERRE LTD                  COMMON     G6852T105       15        280 SH  -    DEFINED 04                280         0        0
D PARTNERRE LTD                  COMMON     G6852T105       95       1825 SH  -    DEFINED 04               1825         0        0
D PARTNERRE LTD                  COMMON     G6852T105       10        186 SH  -    DEFINED 04                  0         0      186
D PARTNERRE LTD                  COMMON     G6852T105     1452      27787 SH  -    DEFINED 05              27787         0        0
D PARTNERRE LTD                  COMMON     G6852T105        7        138 SH  -    DEFINED 06                138         0        0
D PARTNERRE LTD                  COMMON     G6852T105     2664      50972 SH  -    DEFINED 08              50972         0        0
D PARTNERRE LTD                  COMMON     G6852T105      508       9726 SH  -    DEFINED 09               9726         0        0
D PARTNERRE LTD                  COMMON     G6852T105        2         36 SH  -    OTHER   10                  0         0       36
D PLATINUM UNDERWRITER HLDGS LTD COMMON     G7127P100       93       3009 SH  -    OTHER   02                  0       929     2080
D PLATINUM UNDERWRITER HLDGS LTD COMMON     G7127P100     2131      69300 SH  -    DEFINED 04              64200         0     5100
D PLATINUM UNDERWRITER HLDGS LTD COMMON     G7127P100     3721     121000 SH  -    DEFINED 04             121000         0        0
D PLATINUM UNDERWRITER HLDGS LTD COMMON     G7127P100       17        564 SH  -    DEFINED 05                564         0        0
D PLATINUM UNDERWRITER HLDGS LTD COMMON     G7127P100      205       6674 SH  -    DEFINED 08               6674         0        0
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103      604       9460 SH  -    DEFINED 02               2230         0     7230
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103       97       1527 SH  -    DEFINED 02               1527         0        0
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103       58        903 SH  -    DEFINED 02                143         0      760
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103      636       9974 SH  -    OTHER   02                100      9874        0
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103        6        100 SH  -    OTHER   02                100         0        0
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103    49590     777268 SH  -    DEFINED 04             741931         0    35337
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103      952      14916 SH  -    DEFINED 04              14916         0        0
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103     5056      79240 SH  -    DEFINED 04              79240         0        0
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103      331       5185 SH  -    DEFINED 05               5185         0        0
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103        7        105 SH  -    DEFINED 06                105         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  17
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103     1179      18476 SH  -    DEFINED 08              18476         0        0
D RENAISSANCERE HOLDINGS LTD     COMMON     G7496G103       65       1022 SH  -    OTHER   01                  0      1022        0
D SEADRILL LIMITED               COMMON     G7945E105      446      16189 SH  -    DEFINED 02              16189         0        0
D SEADRILL LIMITED               COMMON     G7945E105      422      15337 SH  -    OTHER   02               9717      2760     2860
D SEADRILL LIMITED               COMMON     G7945E105      402      14610 SH  -    OTHER   02                720       410    13480
D SEADRILL LIMITED               COMMON     G7945E105      953      34624 SH  -    DEFINED 04              34624         0        0
D SEADRILL LIMITED               COMMON     G7945E105        3        125 SH  -    DEFINED 05                125         0        0
D SEADRILL LIMITED               COMMON     G7945E105     2038      74030 SH  -    DEFINED 06              74030         0        0
D SEADRILL LIMITED               COMMON     G7945E105     2936     106639 SH  -    DEFINED 09             106639         0        0
D SEADRILL LIMITED               COMMON     G7945E105      399      14500 SH  -    OTHER   01              14500         0        0
D SEADRILL LIMITED               COMMON     G7945E105     2574      93512 SH  -    OTHER   10                  0         0    93512
D SEAGATE TECHNOLOGY PLC         COMMON     G7945M107      128      12463 SH  -    DEFINED 02              12463         0        0
D SEAGATE TECHNOLOGY PLC         COMMON     G7945M107       46       4468 SH  -    OTHER   02                  0      3100     1368
D SEAGATE TECHNOLOGY PLC         COMMON     G7945M107        2        189 SH  -    OTHER   02                 22        92       75
D SEAGATE TECHNOLOGY PLC         COMMON     G7945M107     1946     189431 SH  -    DEFINED 04             173631         0    15800
D SEAGATE TECHNOLOGY PLC         COMMON     G7945M107     1684     163913 SH  -    DEFINED 05             163913         0        0
D SEAGATE TECHNOLOGY PLC         COMMON     G7945M107     1692     164625 SH  -    DEFINED 08             164625         0        0
D SEAGATE TECHNOLOGY PLC         COMMON     G7945M107      321      31200 SH  -    OTHER   10                  0         0    31200
D SEACUBE CONTAINER LEASING LTD  COMMON     G79978105        1         44 SH  -    OTHER   02                  0        44        0
D SEACUBE CONTAINER LEASING LTD  COMMON     G79978105     4127     340200 SH  -    DEFINED 04             312100         0    28100
D SEACUBE CONTAINER LEASING LTD  COMMON     G79978105       42       3482 SH  -    DEFINED 05               3482         0        0
D SEACUBE CONTAINER LEASING LTD  COMMON     G79978105        8        625 SH  -    DEFINED 08                625         0        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100      571      16882 SH  -    DEFINED 02              16882         0        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100     2354      69641 SH  -    OTHER   02                  0     69641        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100      285       8446 SH  -    OTHER   02               3700         0     4746
D SIGNET JEWELERS LIMITED        COMMON     G81276100    13388     396088 SH  -    DEFINED 04             364088         0    32000

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  18
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SIGNET JEWELERS LIMITED        COMMON     G81276100     5462     161600 SH  -    DEFINED 04             161600         0        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100       62       1822 SH  -    DEFINED 04               1822         0        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100      525      15546 SH  -    DEFINED 04              15546         0        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100      389      11499 SH  -    OTHER   04                  0     11499        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100     6019     178081 SH  -    DEFINED 05             178081         0        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100      149       4394 SH  -    DEFINED 08               4394         0        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100     1050      31075 SH  -    DEFINED 09              31075         0        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100       91       2697 SH  -    DEFINED 09               2697         0        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100        7        215 SH  -    OTHER   01                  0       215        0
D SIGNET JEWELERS LIMITED        COMMON     G81276100      190       5625 SH  -    OTHER   10                  0         0     5625
D SINA CORP                      COMMON     G81477104        7         95 SH  -    DEFINED 02                 95         0        0
D SINA CORP                      COMMON     G81477104      333       4645 SH  -    DEFINED 05               4645         0        0
D SINA CORP                      COMMON     G81477104        0          3 SH  -    OTHER   10                  0         0        3
D UTI WORLDWIDE INC              COMMON     G87210103      149      11403 SH  -    OTHER   02              10203      1200        0
D UTI WORLDWIDE INC              COMMON     G87210103      971      74446 SH  -    DEFINED 04              74446         0        0
D UTI WORLDWIDE INC              COMMON     G87210103       22       1651 SH  -    DEFINED 05               1651         0        0
D UTI WORLDWIDE INC              COMMON     G87210103        7        550 SH  -    OTHER   10                  0         0      550
D VALIDUS HOLDINGS LTD           COMMON     G9319H102      221       8856 SH  -    DEFINED 02               8856         0        0
D VALIDUS HOLDINGS LTD           COMMON     G9319H102      705      28275 SH  -    DEFINED 02              27507         0      768
D VALIDUS HOLDINGS LTD           COMMON     G9319H102      240       9629 SH  -    OTHER   02               3215      6264      150
D VALIDUS HOLDINGS LTD           COMMON     G9319H102       66       2630 SH  -    OTHER   02               2171        81      378
D VALIDUS HOLDINGS LTD           COMMON     G9319H102    11027     442483 SH  -    DEFINED 04             371875         0    70608
D VALIDUS HOLDINGS LTD           COMMON     G9319H102     2681     107600 SH  -    DEFINED 04             107600         0        0
D VALIDUS HOLDINGS LTD           COMMON     G9319H102       24        966 SH  -    DEFINED 05                966         0        0
D VALIDUS HOLDINGS LTD           COMMON     G9319H102        3        116 SH  -    DEFINED 06                116         0        0
D VALIDUS HOLDINGS LTD           COMMON     G9319H102      158       6337 SH  -    DEFINED 08               6337         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  19
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VALIDUS HOLDINGS LTD           COMMON     G9319H102      194       7775 SH  -    DEFINED 01               7700         0       75
D VALIDUS HOLDINGS LTD           COMMON     G9319H102       11        431 SH  -    OTHER   01                  0       241      190
D VALIDUS HOLDINGS LTD           COMMON     G9319H102       13        504 SH  -    OTHER   10                  0         0      504
D VANTAGE DRILLING COMPANY       COMMON     G93205113       26      20504 SH  -    DEFINED 05              20504         0        0
D VANTAGE DRILLING COMPANY       COMMON     G93205113       14      11289 SH  -    DEFINED 08              11289         0        0
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100       12        833 SH  -    OTHER   02                141       692        0
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100   364530   25491618 SH  -    DEFINED 03           25491618         0        0
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100    20417    1427738 SH  -    DEFINED 04            1300538         0   127200
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100     3012     210599 SH  -    DEFINED 04             210599         0        0
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100      162      11313 SH  -    DEFINED 04              11313         0        0
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100       30       2100 SH  -    DEFINED 04               2100         0        0
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100      934      65316 SH  -    OTHER   04                  0     65316        0
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100      280      19588 SH  -    DEFINED 05              19588         0        0
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100     4648     325000 SH  -    DEFINED 08             325000         0        0
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100      158      11020 SH  -    DEFINED 09              11020         0        0
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100     2036     142399 SH  -    OTHER   01                  0         0   142399
D WARNER CHILCOTT PLC IRELAND    COMMON     G94368100       38       2658 SH  -    OTHER   10                  0         0     2658
D GOLAR LNG                      COMMON     G9456A100      211       6650 SH  -    DEFINED 02               6650         0        0
D GOLAR LNG                      COMMON     G9456A100       38       1191 SH  -    OTHER   02                  0      1191        0
D GOLAR LNG                      COMMON     G9456A100       79       2481 SH  -    DEFINED 05               2481         0        0
D GOLAR LNG                      COMMON     G9456A100       80       2520 SH  -    DEFINED 08               2520         0        0
D GOLAR LNG                      COMMON     G9456A100     3893     122496 SH  -    DEFINED 09             122496         0        0
D GOLAR LNG                      COMMON     G9456A100       39       1226 SH  -    DEFINED 09               1226         0        0
D WHITE MTNS INS GROUP LTD       COMMON     G9618E107        3          7 SH  -    DEFINED 02                  7         0        0
D WHITE MTNS INS GROUP LTD       COMMON     G9618E107     1135       2797 SH  -    OTHER   02                100      2697        0
D WHITE MTNS INS GROUP LTD       COMMON     G9618E107       42        104 SH  -    DEFINED 05                104         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  20
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WHITE MTNS INS GROUP LTD       COMMON     G9618E107        6         15 SH  -    DEFINED 06                 15         0        0
D WHITE MTNS INS GROUP LTD       COMMON     G9618E107      447       1102 SH  -    DEFINED 08               1102         0        0
D WHITE MTNS INS GROUP LTD       COMMON     G9618E107        0          1 SH  -    OTHER   10                  0         0        1
D WILLIS GROUP HOLDINGS PUBLIC L COMMON     G96666105      358      10421 SH  -    DEFINED 02               9896       525        0
D WILLIS GROUP HOLDINGS PUBLIC L COMMON     G96666105      169       4908 SH  -    DEFINED 02               2733      1250      925
D WILLIS GROUP HOLDINGS PUBLIC L COMMON     G96666105     8842     257250 SH  -    OTHER   02               6040    249185      575
D WILLIS GROUP HOLDINGS PUBLIC L COMMON     G96666105      782      22750 SH  -    OTHER   02                650     18175     3925
D WILLIS GROUP HOLDINGS PUBLIC L COMMON     G96666105      127       3694 SH  -    DEFINED 05               3694         0        0
D WILLIS GROUP HOLDINGS PUBLIC L COMMON     G96666105       11        326 SH  -    DEFINED 06                326         0        0
D WILLIS GROUP HOLDINGS PUBLIC L COMMON     G96666105     1136      33061 SH  -    DEFINED 08              33061         0        0
D WILLIS GROUP HOLDINGS PUBLIC L COMMON     G96666105      473      13775 SH  -    OTHER   01                  0     13775        0
D WILLIS GROUP HOLDINGS PUBLIC L COMMON     G96666105      311       9047 SH  -    OTHER   10                  0         0     9047
D XYRATEX LTD                    COMMON     G98268108       18       1983 SH  -    OTHER   02                  0      1983        0
D XYRATEX LTD                    COMMON     G98268108      613      66100 SH  -    DEFINED 04              50300         0    15800
D XYRATEX LTD                    COMMON     G98268108      170      18315 SH  -    DEFINED 05              18315         0        0
D XYRATEX LTD                    COMMON     G98268108       17       1856 SH  -    DEFINED 08               1856         0        0
D XL GROUP PLC                   COMMON     G98290102      565      30036 SH  -    DEFINED 02              18936         0    11100
D XL GROUP PLC                   COMMON     G98290102      818      43514 SH  -    DEFINED 02              41095         0     2419
D XL GROUP PLC                   COMMON     G98290102      263      13999 SH  -    DEFINED 02               6393         0     7606
D XL GROUP PLC                   COMMON     G98290102      696      37033 SH  -    OTHER   02              12785     21484     2731
D XL GROUP PLC                   COMMON     G98290102      133       7099 SH  -    OTHER   02               4411       153     2535
D XL GROUP PLC                   COMMON     G98290102   210440   11193608 SH  -    DEFINED 04           10645162         0   548446
D XL GROUP PLC                   COMMON     G98290102     3373     179408 SH  -    DEFINED 04             179408         0        0
D XL GROUP PLC                   COMMON     G98290102     6236     331706 SH  -    DEFINED 04             331706         0        0
D XL GROUP PLC                   COMMON     G98290102     2025     107700 SH  -    DEFINED 04             107700         0        0
D XL GROUP PLC                   COMMON     G98290102       23       1200 SH  -    DEFINED 04                  0         0     1200

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  21
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D XL GROUP PLC                   COMMON     G98290102     1148      61045 SH  -    OTHER   04                  0     61045        0
D XL GROUP PLC                   COMMON     G98290102     6089     323872 SH  -    OTHER   04                  0    323872        0
D XL GROUP PLC                   COMMON     G98290102     1670      88816 SH  -    DEFINED 05              88816         0        0
D XL GROUP PLC                   COMMON     G98290102       12        655 SH  -    DEFINED 06                655         0        0
D XL GROUP PLC                   COMMON     G98290102     1166      62005 SH  -    DEFINED 08              62005         0        0
D XL GROUP PLC                   COMMON     G98290102      478      25438 SH  -    DEFINED 09              25438         0        0
D XL GROUP PLC                   COMMON     G98290102        2         90 SH  -    DEFINED 01                  0         0       90
D XL GROUP PLC                   COMMON     G98290102       11        604 SH  -    OTHER   01                  0       374      230
D XL GROUP PLC                   COMMON     G98290102        3        176 SH  -    OTHER   10                  0         0      176
D ACE LTD                        COMMON     H0023R105    19578     323064 SH  -    DEFINED 02             275808      2306    44950
D ACE LTD                        COMMON     H0023R105     5571      91936 SH  -    DEFINED 02              88509        95     3332
D ACE LTD                        COMMON     H0023R105     8279     136618 SH  -    DEFINED 02             136618         0        0
D ACE LTD                        COMMON     H0023R105      839      13844 SH  -    DEFINED 02               6685         0     7159
D ACE LTD                        COMMON     H0023R105     6038      99629 SH  -    OTHER   02              59868     26570    13095
D ACE LTD                        COMMON     H0023R105      422       6963 SH  -    OTHER   02               6402       451      110
D ACE LTD                        COMMON     H0023R105      430       7099 SH  -    OTHER   02                  0      7099        0
D ACE LTD                        COMMON     H0023R105      143       2359 SH  -    OTHER   02                  0      2359        0
D ACE LTD                        COMMON     H0023R105      880      14516 SH  -    OTHER   02                  0     14516        0
D ACE LTD                        COMMON     H0023R105       34        569 SH  -    OTHER   02                  0       569        0
D ACE LTD                        COMMON     H0023R105   380331    6276086 SH  -    DEFINED 04            4884960         0  1391126
D ACE LTD                        COMMON     H0023R105    14023     231400 SH  -    DEFINED 04             231400         0        0
D ACE LTD                        COMMON     H0023R105    27306     450602 SH  -    DEFINED 04             450602         0        0
D ACE LTD                        COMMON     H0023R105       62       1025 SH  -    DEFINED 04               1025         0        0
D ACE LTD                        COMMON     H0023R105     7209     118955 SH  -    DEFINED 04             118955         0        0
D ACE LTD                        COMMON     H0023R105    44571     735492 SH  -    DEFINED 04             709865         0    25627
D ACE LTD                        COMMON     H0023R105      224       3696 SH  -    DEFINED 04                  0         0     3696

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  22
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ACE LTD                        COMMON     H0023R105        7        110 SH  -    OTHER   04                  0       110        0
D ACE LTD                        COMMON     H0023R105    14884     245618 SH  -    OTHER   04                  0    245618        0
D ACE LTD                        COMMON     H0023R105     7216     119068 SH  -    DEFINED 05             119068         0        0
D ACE LTD                        COMMON     H0023R105       39        649 SH  -    DEFINED 06                649         0        0
D ACE LTD                        COMMON     H0023R105     3969      65493 SH  -    DEFINED 08              65493         0        0
D ACE LTD                        COMMON     H0023R105    98887    1631806 SH  -    DEFINED 09            1566000     15412    34431
D ACE LTD                        COMMON     H0023R105     2173      35856 SH  -    DEFINED 09              35856         0        0
D ACE LTD                        COMMON     H0023R105    14929     246355 SH  -    DEFINED 09             162466         0        0
D ACE LTD                        COMMON     H0023R105     6231     102822 SH  -    DEFINED 09              35344         0        0
D ACE LTD                        COMMON     H0023R105     5740      94719 SH  -    OTHER   09                  0     94719        0
D ACE LTD                        COMMON     H0023R105      960      15848 SH  -    DEFINED 01              13549      1214     1085
D ACE LTD                        COMMON     H0023R105      463       7643 SH  -    OTHER   01               3988      1680     1975
D ACE LTD                        COMMON     H0023R105      486       8023 SH  -    OTHER   10                  0         0     8023
D ALLIED WRLD ASSUR COM HLDG AG  COMMON     H01531104       22        407 SH  -    OTHER   02                  0       407        0
D ALLIED WRLD ASSUR COM HLDG AG  COMMON     H01531104    16605     309168 SH  -    DEFINED 04             290740         0    18428
D ALLIED WRLD ASSUR COM HLDG AG  COMMON     H01531104     3676      68446 SH  -    DEFINED 04              68446         0        0
D ALLIED WRLD ASSUR COM HLDG AG  COMMON     H01531104      137       2555 SH  -    DEFINED 04               2555         0        0
D ALLIED WRLD ASSUR COM HLDG AG  COMMON     H01531104      661      12301 SH  -    OTHER   04                  0     12301        0
D ALLIED WRLD ASSUR COM HLDG AG  COMMON     H01531104       29        545 SH  -    DEFINED 05                545         0        0
D ALLIED WRLD ASSUR COM HLDG AG  COMMON     H01531104      436       8116 SH  -    DEFINED 08               8116         0        0
D ALLIED WRLD ASSUR COM HLDG AG  COMMON     H01531104       13        240 SH  -    OTHER   10                  0         0      240
D WEATHERFORD INTERNATIONAL LTD  COMMON     H27013103      243      19930 SH  -    DEFINED 02              19430       500        0
D WEATHERFORD INTERNATIONAL LTD  COMMON     H27013103       40       3300 SH  -    DEFINED 02               2990         0      310
D WEATHERFORD INTERNATIONAL LTD  COMMON     H27013103     3044     249284 SH  -    OTHER   02              63745    123159    62380
D WEATHERFORD INTERNATIONAL LTD  COMMON     H27013103     1340     109774 SH  -    OTHER   02               2830      2379   104565
D WEATHERFORD INTERNATIONAL LTD  COMMON     H27013103     1740     142492 SH  -    DEFINED 05             142492         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  23
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WEATHERFORD INTERNATIONAL LTD  COMMON     H27013103      125      10201 SH  -    DEFINED 06              10201         0        0
D WEATHERFORD INTERNATIONAL LTD  COMMON     H27013103     2566     210143 SH  -    DEFINED 08             210143         0        0
D WEATHERFORD INTERNATIONAL LTD  COMMON     H27013103       69       5680 SH  -    OTHER   09                  0      5680        0
D WEATHERFORD INTERNATIONAL LTD  COMMON     H27013103       47       3814 SH  -    OTHER   01                  0      3814        0
D WEATHERFORD INTERNATIONAL LTD  COMMON     H27013103      100       8166 SH  -    OTHER   10                  0         0     8166
D FOSTER WHEELER AG              COMMON     H27178104        1         69 SH  -    DEFINED 02                 69         0        0
D FOSTER WHEELER AG              COMMON     H27178104      374      21025 SH  -    OTHER   02              10645       780     9600
D FOSTER WHEELER AG              COMMON     H27178104       35       1950 SH  -    OTHER   02                  0         0     1950
D FOSTER WHEELER AG              COMMON     H27178104      533      29943 SH  -    DEFINED 04              29943         0        0
D FOSTER WHEELER AG              COMMON     H27178104       59       3318 SH  -    DEFINED 05               3318         0        0
D FOSTER WHEELER AG              COMMON     H27178104      555      31213 SH  -    DEFINED 08              31213         0        0
D FOSTER WHEELER AG              COMMON     H27178104      956      53762 SH  -    OTHER   10                  0         0    53762
D GARMIN LTD                     COMMON     H2906T109       11        345 SH  -    DEFINED 02                345         0        0
D GARMIN LTD                     COMMON     H2906T109      187       5884 SH  -    OTHER   02                  0      5793        0
D GARMIN LTD                     COMMON     H2906T109      154       4842 SH  -    OTHER   02                  0         0     4842
D GARMIN LTD                     COMMON     H2906T109     2946      92740 SH  -    DEFINED 04              92740         0        0
D GARMIN LTD                     COMMON     H2906T109     1423      44776 SH  -    DEFINED 05              44776         0        0
D GARMIN LTD                     COMMON     H2906T109      206       6481 SH  -    DEFINED 08               6481         0        0
D NOBLE CORPORATION BAAR         COMMON     H5833N103      234       7960 SH  -    DEFINED 02               7960         0        0
D NOBLE CORPORATION BAAR         COMMON     H5833N103      172       5870 SH  -    DEFINED 02               5870         0        0
D NOBLE CORPORATION BAAR         COMMON     H5833N103       91       3097 SH  -    DEFINED 02               2908         0      189
D NOBLE CORPORATION BAAR         COMMON     H5833N103     2790      95060 SH  -    OTHER   02              28800     39905    26355
D NOBLE CORPORATION BAAR         COMMON     H5833N103     1201      40929 SH  -    OTHER   02                  9       275    40645
D NOBLE CORPORATION BAAR         COMMON     H5833N103     1326      45175 SH  -    DEFINED 04              37949         0     7226
D NOBLE CORPORATION BAAR         COMMON     H5833N103     1195      40719 SH  -    DEFINED 04              40719         0        0
D NOBLE CORPORATION BAAR         COMMON     H5833N103      216       7371 SH  -    DEFINED 05               7371         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  24
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NOBLE CORPORATION BAAR         COMMON     H5833N103       72       2466 SH  -    DEFINED 06               2466         0        0
D NOBLE CORPORATION BAAR         COMMON     H5833N103       64       2197 SH  -    OTHER   10                  0         0     2197
D TE CONNECTIVITY LTD            COMMON     H84989104     5528     196448 SH  -    DEFINED 02             168240      1808    26400
D TE CONNECTIVITY LTD            COMMON     H84989104     1960      69643 SH  -    DEFINED 02              65060      2115     2468
D TE CONNECTIVITY LTD            COMMON     H84989104     1832      65110 SH  -    DEFINED 02              65110         0        0
D TE CONNECTIVITY LTD            COMMON     H84989104    19255     684265 SH  -    OTHER   02              44001    565736    72178
D TE CONNECTIVITY LTD            COMMON     H84989104     1357      48238 SH  -    OTHER   02              10043     29983     8212
D TE CONNECTIVITY LTD            COMMON     H84989104       34       1208 SH  -    OTHER   02                  0      1208        0
D TE CONNECTIVITY LTD            COMMON     H84989104       35       1254 SH  -    OTHER   02                  0      1254        0
D TE CONNECTIVITY LTD            COMMON     H84989104       91       3232 SH  -    OTHER   02                  0      3232        0
D TE CONNECTIVITY LTD            COMMON     H84989104    25742     914770 SH  -    DEFINED 04             914770         0        0
D TE CONNECTIVITY LTD            COMMON     H84989104     5635     200247 SH  -    DEFINED 04             200247         0        0
D TE CONNECTIVITY LTD            COMMON     H84989104       39       1386 SH  -    DEFINED 04               1386         0        0
D TE CONNECTIVITY LTD            COMMON     H84989104     5127     182208 SH  -    DEFINED 04             182208         0        0
D TE CONNECTIVITY LTD            COMMON     H84989104    24629     875226 SH  -    DEFINED 04             832153         0    43073
D TE CONNECTIVITY LTD            COMMON     H84989104       67       2383 SH  -    DEFINED 04                  0         0     2383
D TE CONNECTIVITY LTD            COMMON     H84989104     1427      50725 SH  -    OTHER   04                  0     50725        0
D TE CONNECTIVITY LTD            COMMON     H84989104    12026     427376 SH  -    OTHER   04                  0    427376        0
D TE CONNECTIVITY LTD            COMMON     H84989104      292      10363 SH  -    DEFINED 05              10363         0        0
D TE CONNECTIVITY LTD            COMMON     H84989104     5452     193742 SH  -    DEFINED 08             193742         0        0
D TE CONNECTIVITY LTD            COMMON     H84989104    36296    1289822 SH  -    DEFINED 09            1225995     23210    18134
D TE CONNECTIVITY LTD            COMMON     H84989104      689      24481 SH  -    DEFINED 09              24481         0        0
D TE CONNECTIVITY LTD            COMMON     H84989104     6982     248106 SH  -    DEFINED 09             248106         0        0
D TE CONNECTIVITY LTD            COMMON     H84989104     1539      54684 SH  -    DEFINED 09              54684         0        0
D TE CONNECTIVITY LTD            COMMON     H84989104      180       6386 SH  -    OTHER   09                  0      6386        0
D TE CONNECTIVITY LTD            COMMON     H84989104      293      10412 SH  -    DEFINED 01               8772       850      790

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  25
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TE CONNECTIVITY LTD            COMMON     H84989104      779      27692 SH  -    OTHER   01               1929     24388     1375
D TE CONNECTIVITY LTD            COMMON     H84989104       97       3449 SH  -    OTHER   10                  0         0     3449
D TRANSOCEAN LTD                 COMMON     H8817H100       85       1783 SH  -    DEFINED 02               1596         0      187
D TRANSOCEAN LTD                 COMMON     H8817H100      100       2102 SH  -    DEFINED 02               1249       853        0
D TRANSOCEAN LTD                 COMMON     H8817H100      106       2220 SH  -    DEFINED 02               2220         0        0
D TRANSOCEAN LTD                 COMMON     H8817H100     5147     107822 SH  -    OTHER   02              14826     72014    20982
D TRANSOCEAN LTD                 COMMON     H8817H100     2607      54602 SH  -    OTHER   02               1117      3869    49616
D TRANSOCEAN LTD                 COMMON     H8817H100      921      19283 SH  -    DEFINED 04              19283         0        0
D TRANSOCEAN LTD                 COMMON     H8817H100      267       5584 SH  -    DEFINED 04               5584         0        0
D TRANSOCEAN LTD                 COMMON     H8817H100     2545      53303 SH  -    DEFINED 05              53303         0        0
D TRANSOCEAN LTD                 COMMON     H8817H100    10042     210356 SH  -    DEFINED 06             210356         0        0
D TRANSOCEAN LTD                 COMMON     H8817H100     1857      38896 SH  -    DEFINED 08              38896         0        0
D TRANSOCEAN LTD                 COMMON     H8817H100        1         15 SH  -    DEFINED 01                 15         0        0
D TRANSOCEAN LTD                 COMMON     H8817H100        7        139 SH  -    OTHER   01                  0       117        0
D TRANSOCEAN LTD                 COMMON     H8817H100      977      20460 SH  -    OTHER   10                  0         0    20460
D TYCO INTERNATIONAL LTD         COMMON     H89128104    21615     530435 SH  -    DEFINED 02             468319      2525    59591
D TYCO INTERNATIONAL LTD         COMMON     H89128104     5794     142174 SH  -    DEFINED 02             139975       155     2044
D TYCO INTERNATIONAL LTD         COMMON     H89128104     5663     138981 SH  -    DEFINED 02             138981         0        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104      989      24260 SH  -    DEFINED 02              10712         0    13548
D TYCO INTERNATIONAL LTD         COMMON     H89128104     7727     189620 SH  -    OTHER   02             100374     71304    17932
D TYCO INTERNATIONAL LTD         COMMON     H89128104      661      16219 SH  -    OTHER   02              11902       711     3606
D TYCO INTERNATIONAL LTD         COMMON     H89128104      137       3350 SH  -    OTHER   02                  0      3350        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104      119       2927 SH  -    OTHER   02                  0      2927        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104     1787      43860 SH  -    OTHER   02                  0     43860        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104   421010   10331545 SH  -    DEFINED 04            8215518         0  2116027
D TYCO INTERNATIONAL LTD         COMMON     H89128104    10288     252474 SH  -    DEFINED 04             252474         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  26
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TYCO INTERNATIONAL LTD         COMMON     H89128104    35285     865890 SH  -    DEFINED 04             865890         0        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104     2930      71901 SH  -    DEFINED 04              71901         0        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104    21619     530534 SH  -    DEFINED 04             528213         0     2321
D TYCO INTERNATIONAL LTD         COMMON     H89128104      275       6740 SH  -    DEFINED 04                  0         0     6740
D TYCO INTERNATIONAL LTD         COMMON     H89128104    15533     381185 SH  -    OTHER   04                  0    381185        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104     5631     138186 SH  -    DEFINED 05             138186         0        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104    14378     352844 SH  -    DEFINED 08             352844         0        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104    47796    1172909 SH  -    DEFINED 09            1149783         0     9754
D TYCO INTERNATIONAL LTD         COMMON     H89128104      886      21753 SH  -    DEFINED 09              21753         0        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104     2175      53375 SH  -    DEFINED 09              53375         0        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104     5088     124864 SH  -    DEFINED 09              34450         0        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104      387       9493 SH  -    OTHER   09                  0      9493        0
D TYCO INTERNATIONAL LTD         COMMON     H89128104     1058      25957 SH  -    DEFINED 01              22192      1900     1865
D TYCO INTERNATIONAL LTD         COMMON     H89128104      402       9870 SH  -    OTHER   01               4697      2118     3055
D TYCO INTERNATIONAL LTD         COMMON     H89128104     1040      25521 SH  -    OTHER   10                  0         0    25521
D UBS AG                         COMMON     H89231338        2        150 SH  -    DEFINED 02                150         0        0
D UBS AG                         COMMON     H89231338     1758     153849 SH  -    DEFINED 02             153849         0        0
D UBS AG                         COMMON     H89231338      313      27427 SH  -    OTHER   02               4075     16795     6557
D UBS AG                         COMMON     H89231338      230      20136 SH  -    OTHER   02                  0       157    19979
D UBS AG                         COMMON     H89231338      261      22856 SH  -    OTHER   02                  0     22856        0
D UBS AG                         COMMON     H89231338      137      11984 SH  -    OTHER   02                  0     11984        0
D UBS AG                         COMMON     H89231338      344      30134 SH  -    OTHER   02                  0     30134        0
D UBS AG                         COMMON     H89231338      366      32026 SH  -    DEFINED 04                  0         0    32026
D UBS AG                         COMMON     H89231338     8841     773483 SH  -    DEFINED 04             661706         0   111777
D UBS AG                         COMMON     H89231338      755      66062 SH  -    DEFINED 05              66062         0        0
D UBS AG                         COMMON     H89231338   132668   11607037 SH  -    DEFINED 06           11607037         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  27
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UBS AG                         COMMON     H89231338       21       1839 SH  -    DEFINED 08               1839         0        0
D UBS AG                         COMMON     H89231338    55131    4823326 SH  -    DEFINED 09            4162064    198284   462978
D UBS AG                         COMMON     H89231338      758      66319 SH  -    DEFINED 09              66319         0        0
D UBS AG                         COMMON     H89231338     8758     766272 SH  -    DEFINED 09             498776         0        0
D UBS AG                         COMMON     H89231338     4642     406135 SH  -    DEFINED 09             406135         0        0
D UBS AG                         COMMON     H89231338     2214     193734 SH  -    OTHER   09                  0    193734        0
D UBS AG                         COMMON     H89231338       76       6608 SH  -    OTHER   01                  0      6505        0
D UBS AG                         COMMON     H89231338      400      35000 SH  -    DEFINED 10              35000         0        0
D UBS AG                         COMMON     H89231338      539      47133 SH  -    OTHER   10                  0         0    47133
D FLAGSTONE REINSURANCE HOLDINGS COMMON     L3466T104        1         93 SH  -    OTHER   02                  0        93        0
D FLAGSTONE REINSURANCE HOLDINGS COMMON     L3466T104      563      72700 SH  -    DEFINED 04              55500         0    17200
D FLAGSTONE REINSURANCE HOLDINGS COMMON     L3466T104       22       2806 SH  -    DEFINED 05               2806         0        0
D FLAGSTONE REINSURANCE HOLDINGS COMMON     L3466T104       69       8848 SH  -    DEFINED 08               8848         0        0
D CELLCOM ISRAEL LTD             COMMON     M2196U109       10        500 SH  -    DEFINED 02                500         0        0
D CELLCOM ISRAEL LTD             COMMON     M2196U109       35       1665 SH  -    DEFINED 02               1665         0        0
D CELLCOM ISRAEL LTD             COMMON     M2196U109       12        565 SH  -    OTHER   02                  0       565        0
D CELLCOM ISRAEL LTD             COMMON     M2196U109       80       3834 SH  -    DEFINED 04               3834         0        0
D CELLCOM ISRAEL LTD             COMMON     M2196U109      835      39978 SH  -    DEFINED 06              39978         0        0
D CELLCOM ISRAEL LTD             COMMON     M2196U109        7        329 SH  -    OTHER   01                  0       249        0
D CELLCOM ISRAEL LTD             COMMON     M2196U109       14        650 SH  -    OTHER   10                  0         0      650
D CERAGON NETWORKS LTD           COMMON     M22013102        4        393 SH  -    DEFINED 02                  0       393        0
D CERAGON NETWORKS LTD           COMMON     M22013102      219      22961 SH  -    OTHER   02                  0     22961        0
D CERAGON NETWORKS LTD           COMMON     M22013102        8        838 SH  -    OTHER   02                  0         0      838
D CERAGON NETWORKS LTD           COMMON     M22013102        8        841 SH  -    DEFINED 06                841         0        0
D CERAGON NETWORKS LTD           COMMON     M22013102       11       1180 SH  -    OTHER   10                  0         0     1180
D CHECK POINT SFTWRE             COMMON     M22465104       63       1188 SH  -    DEFINED 02               1188         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  28
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CHECK POINT SFTWRE             COMMON     M22465104        2         40 SH  -    OTHER   02                  0        40        0
D CHECK POINT SFTWRE             COMMON     M22465104     3714      70392 SH  -    DEFINED 05              70392         0        0
D CHECK POINT SFTWRE             COMMON     M22465104      312       5905 SH  -    OTHER   10                  0         0     5905
D ELBIT SYSTEMS LTD              COMMON     M3760D101       28        716 SH  -    DEFINED 02                716         0        0
D ELBIT SYSTEMS LTD              COMMON     M3760D101      266       6677 SH  -    OTHER   02                  0      5377     1300
D ELBIT SYSTEMS LTD              COMMON     M3760D101       66       1649 SH  -    DEFINED 04               1649         0        0
D ELBIT SYSTEMS LTD              COMMON     M3760D101      177       4459 SH  -    DEFINED 06               4459         0        0
D ELBIT SYSTEMS LTD              COMMON     M3760D101       36        900 SH  -    DEFINED 01                900         0        0
D MELLANOX TECHNOLOGIES LTD      COMMON     M51363113    11189     358388 SH  -    DEFINED 04             265818         0    92570
D MELLANOX TECHNOLOGIES LTD      COMMON     M51363113     6232     199600 SH  -    DEFINED 04             199600         0        0
D MELLANOX TECHNOLOGIES LTD      COMMON     M51363113     1620      51890 SH  -    DEFINED 04              51890         0        0
D MELLANOX TECHNOLOGIES LTD      COMMON     M51363113       26        842 SH  -    DEFINED 06                842         0        0
D SYNERON MEDICAL LTD            COMMON     M87245102       10        986 SH  -    OTHER   02                  0       986        0
D SYNERON MEDICAL LTD            COMMON     M87245102     9304     938814 SH  -    DEFINED 04             680141         0   258673
D SYNERON MEDICAL LTD            COMMON     M87245102     4144     418200 SH  -    DEFINED 04             418200         0        0
D SYNERON MEDICAL LTD            COMMON     M87245102     1437     144970 SH  -    DEFINED 04             144970         0        0
D SYNERON MEDICAL LTD            COMMON     M87245102        0         27 SH  -    DEFINED 08                 27         0        0
D SODASTREAM INTERNATIONAL LTD   COMMON     M9068E105        2         56 SH  -    DEFINED 05                 56         0        0
D SODASTREAM INTERNATIONAL LTD   COMMON     M9068E105     1059      32047 SH  -    OTHER   10                  0         0    32047
D AERCAP HOLDINGS NV             COMMON     N00985106     1535     154744 SH  -    DEFINED 02             154744         0        0
D AERCAP HOLDINGS NV             COMMON     N00985106      969      97702 SH  -    DEFINED 04              97702         0        0
D AERCAP HOLDINGS NV             COMMON     N00985106     5958     600616 SH  -    DEFINED 09             600616         0        0
D AERCAP HOLDINGS NV             COMMON     N00985106      335      33794 SH  -    DEFINED 09              33794         0        0
D AERCAP HOLDINGS NV             COMMON     N00985106     1017     102523 SH  -    DEFINED 09                  0         0        0
D AERCAP HOLDINGS NV             COMMON     N00985106       98       9845 SH  -    OTHER   09                  0      9845        0
D AERCAP HOLDINGS NV             COMMON     N00985106      236      23800 SH  -    OTHER   10                  0         0    23800

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  29
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ASML HOLDING N V               ADR        N07059186       11        314 SH  -    OTHER   02                  0       314        0
D ASML HOLDING N V               ADR        N07059186      995      28798 SH  -    DEFINED 04              28798         0        0
D ASML HOLDING N V               ADR        N07059186     3456     100070 SH  -    DEFINED 05             100070         0        0
D ASML HOLDING N V               ADR        N07059186      298       8630 SH  -    DEFINED 08               8630         0        0
D ASML HOLDING N V               ADR        N07059186       12        341 SH  -    OTHER   01                  0       284        0
D ASML HOLDING N V               ADR        N07059186        4        118 SH  -    OTHER   10                  0         0      118
D CNH GLOBAL N V                 COMMON     N20935206       69       2624 SH  -    OTHER   02                  0      1785      839
D CNH GLOBAL N V                 COMMON     N20935206      891      33961 SH  -    DEFINED 04              33961         0        0
D CNH GLOBAL N V                 COMMON     N20935206        0          5 SH  -    DEFINED 05                  5         0        0
D CNH GLOBAL N V                 COMMON     N20935206        2         94 SH  -    DEFINED 08                 94         0        0
D CNH GLOBAL N V                 COMMON     N20935206       98       3750 SH  -    DEFINED 09               3750         0        0
D CNH GLOBAL N V                 COMMON     N20935206        4        155 SH  -    OTHER   01                  0       155        0
D CNH GLOBAL N V                 COMMON     N20935206        3        115 SH  -    OTHER   10                  0         0      115
D CORE LABORATORIES              COMMON     N22717107      104       1163 SH  -    DEFINED 02               1163         0        0
D CORE LABORATORIES              COMMON     N22717107      123       1366 SH  -    DEFINED 02               1366         0        0
D CORE LABORATORIES              COMMON     N22717107     1667      18560 SH  -    OTHER   02               3717      8818     6025
D CORE LABORATORIES              COMMON     N22717107      357       3970 SH  -    OTHER   02                  0        60     3910
D CORE LABORATORIES              COMMON     N22717107    15860     176561 SH  -    DEFINED 04              82150         0    94411
D CORE LABORATORIES              COMMON     N22717107      862       9600 SH  -    DEFINED 04               9600         0        0
D CORE LABORATORIES              COMMON     N22717107       86        961 SH  -    DEFINED 05                961         0        0
D CORE LABORATORIES              COMMON     N22717107       87        974 SH  -    OTHER   01                  0       974        0
D CORE LABORATORIES              COMMON     N22717107      747       8316 SH  -    OTHER   10                  0         0     8316
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100        7        284 SH  -    DEFINED 02                284         0        0
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100       13        518 SH  -    DEFINED 02                518         0        0
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100       76       3122 SH  -    OTHER   02                650      2349        0
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100        8        333 SH  -    OTHER   02                333         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  30
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100    19568     800980 SH  -    DEFINED 04             767180         0    33800
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100      243       9937 SH  -    DEFINED 04               9937         0        0
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100    11771     481821 SH  -    DEFINED 04             481821         0        0
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100      174       7114 SH  -    OTHER   04                  0      7114        0
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100     2013      82410 SH  -    DEFINED 05              82410         0        0
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100      230       9398 SH  -    DEFINED 06               9398         0        0
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100     7488     306521 SH  -    DEFINED 08             306521         0        0
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100       12        486 SH  -    OTHER   01                486         0        0
D LYONDELLBASELL INDUSTRIES N V  COMMON     N53745100     1554      63594 SH  -    OTHER   10                  0         0    63594
D NIELSEN HOLDINGS N V           COMMON     N63218106     2466      94564 SH  -    OTHER   02                  0     94564        0
D NIELSEN HOLDINGS N V           COMMON     N63218106      199       7617 SH  -    OTHER   02                  0      3400     4217
D NIELSEN HOLDINGS N V           COMMON     N63218106       23        898 SH  -    DEFINED 04                898         0        0
D NIELSEN HOLDINGS N V           COMMON     N63218106       44       1670 SH  -    DEFINED 05               1670         0        0
D NIELSEN HOLDINGS N V           COMMON     N63218106      503      19280 SH  -    DEFINED 08              19280         0        0
D NIELSEN HOLDINGS N V           COMMON     N63218106      151       5800 SH  -    OTHER   01                  0      5300        0
D ORTHOFIX INTL NV               COMMON     N6748L102        4        128 SH  -    DEFINED 02                128         0        0
D ORTHOFIX INTL NV               COMMON     N6748L102     2837      82200 SH  -    DEFINED 04              62600         0    19600
D ORTHOFIX INTL NV               COMMON     N6748L102      111       3210 SH  -    DEFINED 05               3210         0        0
D ORTHOFIX INTL NV               COMMON     N6748L102       38       1111 SH  -    DEFINED 08               1111         0        0
D QIAGEN NV                      COMMON     N72482107        2        176 SH  -    DEFINED 02                176         0        0
D QIAGEN NV                      COMMON     N72482107      137       9930 SH  -    DEFINED 02               9930         0        0
D QIAGEN NV                      COMMON     N72482107      269      19420 SH  -    OTHER   02                  0      2542    16878
D QIAGEN NV                      COMMON     N72482107       34       2430 SH  -    OTHER   02                  0         0     2430
D QIAGEN NV                      COMMON     N72482107      306      22133 SH  -    DEFINED 04              22133         0        0
D QIAGEN NV                      COMMON     N72482107        1         71 SH  -    OTHER   04                  0        71        0
D QIAGEN NV                      COMMON     N72482107      324      23400 SH  -    DEFINED 05              23400         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  31
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D QIAGEN NV                      COMMON     N72482107        0          1 SH  -    DEFINED 06                  1         0        0
D QIAGEN NV                      COMMON     N72482107       30       2140 SH  -    DEFINED 09               2140         0        0
D QIAGEN NV                      COMMON     N72482107        8        550 SH  -    OTHER   01                  0       550        0
D TORNIER N V                    COMMON     N87237108        1         31 SH  -    OTHER   02                  0         0        0
D TORNIER N V                    COMMON     N87237108     9727     474736 SH  -    DEFINED 04             344686         0   130050
D TORNIER N V                    COMMON     N87237108     5520     269400 SH  -    DEFINED 04             269400         0        0
D TORNIER N V                    COMMON     N87237108     1496      73000 SH  -    DEFINED 04              73000         0        0
D TORNIER N V                    COMMON     N87237108        8        387 SH  -    DEFINED 05                387         0        0
D TORNIER N V                    COMMON     N87237108       13        633 SH  -    DEFINED 08                633         0        0
D COPA HOLDINGS SA               COMMON     P31076105      110       1800 SH  -    DEFINED 02                  0         0     1800
D COPA HOLDINGS SA               COMMON     P31076105       27        442 SH  -    OTHER   02                  0        65      377
D COPA HOLDINGS SA               COMMON     P31076105     2529      41272 SH  -    DEFINED 04              34972         0     6300
D COPA HOLDINGS SA               COMMON     P31076105     1532      25000 SH  -    DEFINED 04              25000         0        0
D COPA HOLDINGS SA               COMMON     P31076105    17689     288702 SH  -    DEFINED 04             288702         0        0
D COPA HOLDINGS SA               COMMON     P31076105     1510      24648 SH  -    DEFINED 04              24648         0        0
D COPA HOLDINGS SA               COMMON     P31076105      991      16171 SH  -    DEFINED 05              16171         0        0
D COPA HOLDINGS SA               COMMON     P31076105       84       1373 SH  -    DEFINED 08               1373         0        0
D COPA HOLDINGS SA               COMMON     P31076105     1213      19800 SH  -    DEFINED 09              19800         0        0
D COPA HOLDINGS SA               COMMON     P31076105      974      15889 SH  -    OTHER   10                  0         0    15889
D ULTRAPETROL BAHAMAS LTD        COMMON     P94398107        1        414 SH  -    OTHER   02                  0       414        0
D ULTRAPETROL BAHAMAS LTD        COMMON     P94398107      404     177953 SH  -    DEFINED 05             177953         0        0
D ULTRAPETROL BAHAMAS LTD        COMMON     P94398107        3       1221 SH  -    DEFINED 08               1221         0        0
D EXCEL MARITIME CARRIERS LTD    COMMON     V3267N107        9       4457 SH  -    OTHER   02                  0      4457        0
D EXCEL MARITIME CARRIERS LTD    COMMON     V3267N107       47      22600 SH  -    DEFINED 04              22600         0        0
D EXCEL MARITIME CARRIERS LTD    COMMON     V3267N107      230     110500 SH  -    DEFINED 04             110500         0        0
D EXCEL MARITIME CARRIERS LTD    COMMON     V3267N107        0         15 SH  -    DEFINED 05                 15         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  32
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EXCEL MARITIME CARRIERS LTD    COMMON     V3267N107        7       3152 SH  -    DEFINED 08               3152         0        0
D ROYAL CARIBBEAN                COMMON     V7780T103      473      21845 SH  -    DEFINED 02                475         0    21370
D ROYAL CARIBBEAN                COMMON     V7780T103       90       4152 SH  -    DEFINED 02               4152         0        0
D ROYAL CARIBBEAN                COMMON     V7780T103      118       5462 SH  -    OTHER   02               1350      3109     1003
D ROYAL CARIBBEAN                COMMON     V7780T103        1         25 SH  -    OTHER   02                 25         0        0
D ROYAL CARIBBEAN                COMMON     V7780T103    42969    1985624 SH  -    DEFINED 04            1384189         0   601435
D ROYAL CARIBBEAN                COMMON     V7780T103      584      27000 SH  -    DEFINED 04              27000         0        0
D ROYAL CARIBBEAN                COMMON     V7780T103      322      14884 SH  -    OTHER   04                  0     14884        0
D ROYAL CARIBBEAN                COMMON     V7780T103     1645      76018 SH  -    OTHER   04                  0     76018        0
D ROYAL CARIBBEAN                COMMON     V7780T103      135       6235 SH  -    DEFINED 05               6235         0        0
D ROYAL CARIBBEAN                COMMON     V7780T103      172       7962 SH  -    DEFINED 06               7962         0        0
D ROYAL CARIBBEAN                COMMON     V7780T103     1458      67397 SH  -    DEFINED 08              67397         0        0
D ROYAL CARIBBEAN                COMMON     V7780T103        0          3 SH  -    DEFINED 09                  3         0        0
D ROYAL CARIBBEAN                COMMON     V7780T103       34       1565 SH  -    OTHER   10                  0         0     1565
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104      138       4200 SH  -    DEFINED 02               4200         0        0
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104       16        502 SH  -    OTHER   02                  0       502        0
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104    58345    1780450 SH  -    DEFINED 04            1128273         0   652177
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104    15192     463600 SH  -    DEFINED 04             463600         0        0
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104       86       2624 SH  -    DEFINED 04               2624         0        0
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104    16538     504659 SH  -    DEFINED 04             457243         0    47416
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104        9        285 SH  -    OTHER   04                  0       285        0
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104       91       2766 SH  -    OTHER   04                  0      2766        0
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104     3253      99271 SH  -    DEFINED 05              99271         0        0
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104      811      24757 SH  -    DEFINED 08              24757         0        0
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104    31853     972009 SH  -    DEFINED 09             894547     27933    49529
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104     1030      31429 SH  -    DEFINED 09              31429         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  33
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104     6525     199115 SH  -    DEFINED 09             199115         0        0
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104     7082     216101 SH  -    OTHER   09                  0    216101        0
D AVAGO TECHNOLOGIES LTD         COMMON     Y0486S104      308       9387 SH  -    OTHER   10                  0         0     9387
D CAPITAL PRODUCT PARTNERS L P   COMMON     Y11082107      410      64130 SH  -    OTHER   10                  0         0    64130
D DHT HOLDINGS INC               COMMON     Y2065G105      598     293000 SH  -    DEFINED 04             293000         0        0
D DHT HOLDINGS INC               COMMON     Y2065G105       10       4978 SH  -    DEFINED 05               4978         0        0
D DHT HOLDINGS INC               COMMON     Y2065G105       13       6549 SH  -    DEFINED 08               6549         0        0
D DHT HOLDINGS INC               COMMON     Y2065G105        1        480 SH  -    OTHER   10                  0         0      480
D DIANA SHIPPING INC             COMMON     Y2066G104      239      32170 SH  -    DEFINED 08              32170         0        0
D DIANA SHIPPING INC             COMMON     Y2066G104      453      61000 SH  -    OTHER   10                  0         0    61000
D DRYSHIPS INC                   COMMON     Y2109Q101     5744    2454550 SH  -    DEFINED 05            2454550         0        0
D DRYSHIPS INC                   COMMON     Y2109Q101      161      68743 SH  -    DEFINED 08              68743         0        0
D EAGLE BULK SHIPPING INC        COMMON     Y2187A101        6       3861 SH  -    OTHER   02                  0      3861        0
D EAGLE BULK SHIPPING INC        COMMON     Y2187A101        5       2999 SH  -    DEFINED 05               2999         0        0
D EAGLE BULK SHIPPING INC        COMMON     Y2187A101        6       3790 SH  -    DEFINED 08               3790         0        0
D EAGLE BULK SHIPPING INC        COMMON     Y2187A101        9       6000 SH  -    OTHER   10                  0         0     6000
D FLEXTRONICS INTL               COMMON     Y2573F102       87      15400 SH  -    OTHER   02                  0       400    15000
D FLEXTRONICS INTL               COMMON     Y2573F102       11       2000 SH  -    OTHER   02               2000         0        0
D FLEXTRONICS INTL               COMMON     Y2573F102      930     165180 SH  -    DEFINED 04             165180         0        0
D FLEXTRONICS INTL               COMMON     Y2573F102      169      29945 SH  -    DEFINED 05              29945         0        0
D FLEXTRONICS INTL               COMMON     Y2573F102     3033     538707 SH  -    DEFINED 08             538707         0        0
D FLEXTRONICS INTL               COMMON     Y2573F102       14       2508 SH  -    OTHER   01               2508         0        0
D FLEXTRONICS INTL               COMMON     Y2573F102      348      61800 SH  -    OTHER   10                  0         0    61800
D GENCO SHIPPING & TRADING LTD   COMMON     Y2685T107       43       5453 SH  -    OTHER   02                  0      5453        0
D GENCO SHIPPING & TRADING LTD   COMMON     Y2685T107       28       3565 SH  -    DEFINED 05               3565         0        0
D GENCO SHIPPING & TRADING LTD   COMMON     Y2685T107       15       1891 SH  -    DEFINED 08               1891         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  34
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GENERAL MARITIME CORP NEW      COMMON     Y2693R101      243     935553 SH  -    DEFINED 05             935553         0        0
D GENERAL MARITIME CORP NEW      COMMON     Y2693R101        2       7546 SH  -    DEFINED 08               7546         0        0
D GENERAL MARITIME CORP NEW      COMMON     Y2693R101        1       2000 SH  -    OTHER   10                  0         0     2000
D NAVIOS MARITIME PARTNERS L P   COMMON     Y62267102     8985     675589 SH  -    DEFINED 10             675589         0        0
D NAVIOS MARITIME PARTNERS L P   COMMON     Y62267102      312      23451 SH  -    OTHER   10                  0         0    23451
D SEASPAN CORP                   COMMON     Y75638109      158      13745 SH  -    DEFINED 02              13745         0        0
D SEASPAN CORP                   COMMON     Y75638109     1046      91273 SH  -    DEFINED 02              90112         0     1161
D SEASPAN CORP                   COMMON     Y75638109      153      13351 SH  -    OTHER   02              11776      1150      425
D SEASPAN CORP                   COMMON     Y75638109       99       8649 SH  -    OTHER   02               7951       126      572
D SEASPAN CORP                   COMMON     Y75638109     7140     623010 SH  -    DEFINED 04             515900         0   107110
D SEASPAN CORP                   COMMON     Y75638109     2214     193200 SH  -    DEFINED 04             193200         0        0
D SEASPAN CORP                   COMMON     Y75638109       80       7000 SH  -    DEFINED 08               7000         0        0
D SEASPAN CORP                   COMMON     Y75638109      139      12115 SH  -    DEFINED 01              12000         0      115
D SEASPAN CORP                   COMMON     Y75638109        8        717 SH  -    OTHER   01                  0       422      295
D SEASPAN CORP                   COMMON     Y75638109      727      63450 SH  -    OTHER   10                  0         0    63450
D TEEKAY LNG PARTNERS L P        COMMON     Y8564M105       50       1600 SH  -    OTHER   02                  0      1600        0
D TEEKAY LNG PARTNERS L P        COMMON     Y8564M105    17429     560050 SH  -    DEFINED 10             560050         0        0
D TEEKAY CORPORATION             COMMON     Y8564W103      175       7749 SH  -    DEFINED 02               7749         0        0
D TEEKAY CORPORATION             COMMON     Y8564W103      559      24743 SH  -    DEFINED 02              24583         0      160
D TEEKAY CORPORATION             COMMON     Y8564W103      145       6407 SH  -    OTHER   02               5418       737      225
D TEEKAY CORPORATION             COMMON     Y8564W103      759      33560 SH  -    OTHER   02              31931        55     1574
D TEEKAY CORPORATION             COMMON     Y8564W103    84926    3756120 SH  -    DEFINED 04            3529333         0   226787
D TEEKAY CORPORATION             COMMON     Y8564W103     2510     111000 SH  -    DEFINED 04             111000         0        0
D TEEKAY CORPORATION             COMMON     Y8564W103       71       3124 SH  -    DEFINED 04               3124         0        0
D TEEKAY CORPORATION             COMMON     Y8564W103      803      35500 SH  -    DEFINED 04              35500         0        0
D TEEKAY CORPORATION             COMMON     Y8564W103      476      21057 SH  -    OTHER   04                  0     21057        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  35
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TEEKAY CORPORATION             COMMON     Y8564W103     2512     111096 SH  -    OTHER   04                  0    111096        0
D TEEKAY CORPORATION             COMMON     Y8564W103      126       5568 SH  -    DEFINED 05               5568         0        0
D TEEKAY CORPORATION             COMMON     Y8564W103       21        908 SH  -    DEFINED 08                908         0        0
D TEEKAY CORPORATION             COMMON     Y8564W103      221       9755 SH  -    DEFINED 01               9700         0       55
D TEEKAY CORPORATION             COMMON     Y8564W103        7        315 SH  -    OTHER   01                  0       175      140
D TEEKAY CORPORATION             COMMON     Y8564W103        0         22 SH  -    OTHER   10                  0         0       22
D TEEKAY OFFSHORE PARTNERS L P   COMMON     Y8565J101       49       2000 SH  -    DEFINED 02               2000         0        0
D TEEKAY OFFSHORE PARTNERS L P   COMMON     Y8565J101      383      15575 SH  -    OTHER   02               1000     14575        0
D TEEKAY OFFSHORE PARTNERS L P   COMMON     Y8565J101      174       7075 SH  -    OTHER   02                  0      7075        0
D TEEKAY OFFSHORE PARTNERS L P   COMMON     Y8565J101    17017     692296 SH  -    DEFINED 10             692296         0        0
D AAON INC                       COMMON     000360206       61       3895 SH  -    OTHER   02                  0      1310     2585
D AAON INC                       COMMON     000360206      135       8594 SH  -    DEFINED 04               8594         0        0
D AAON INC                       COMMON     000360206      138       8746 SH  -    DEFINED 05               8746         0        0
D AAON INC                       COMMON     000360206        2        129 SH  -    OTHER   01                  0       129        0
D AAR CORP                       COMMON     000361105        4        225 SH  -    DEFINED 02                225         0        0
D AAR CORP                       COMMON     000361105       75       4500 SH  -    OTHER   02                  0         0     4500
D AAR CORP                       COMMON     000361105      477      28610 SH  -    DEFINED 04              28610         0        0
D AAR CORP                       COMMON     000361105      309      18526 SH  -    DEFINED 05              18526         0        0
D ABB LTD                        ADR        000375204       69       4052 SH  -    DEFINED 02               2622      1430        0
D ABB LTD                        ADR        000375204       11        645 SH  -    DEFINED 02                645         0        0
D ABB LTD                        ADR        000375204     3910     228919 SH  -    OTHER   02              54400    165369     9150
D ABB LTD                        ADR        000375204      221      12925 SH  -    OTHER   02               4280      4500     4145
D ABB LTD                        ADR        000375204     1579      92431 SH  -    DEFINED 04              92431         0        0
D ABB LTD                        ADR        000375204     4218     246947 SH  -    OTHER   04                  0    246947        0
D ABB LTD                        ADR        000375204     1167      68340 SH  -    OTHER   04                  0     68340        0
D ABB LTD                        ADR        000375204    46920    2747063 SH  -    DEFINED 06            2747063         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  36
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ABB LTD                        ADR        000375204      243      14237 SH  -    OTHER   01                  0     13411        0
D ABB LTD                        ADR        000375204      598      35000 SH  -    DEFINED 10              35000         0        0
D ABB LTD                        ADR        000375204      197      11513 SH  -    OTHER   10                  0         0    11513
D ACCO BRANDS CORP               COMMON     00081T108       30       6341 SH  -    OTHER   02               5589         0      752
D ACCO BRANDS CORP               COMMON     00081T108    16633    3487065 SH  -    DEFINED 04            3237795         0   249270
D ACCO BRANDS CORP               COMMON     00081T108      484     101400 SH  -    DEFINED 04             101400         0        0
D ACCO BRANDS CORP               COMMON     00081T108        4        835 SH  -    DEFINED 05                835         0        0
D ACCO BRANDS CORP               COMMON     00081T108       18       3828 SH  -    DEFINED 08               3828         0        0
D ACCO BRANDS CORP               COMMON     00081T108        0         94 SH  -    OTHER   10                  0         0       94
D ABM INDS INC                   COMMON     000957100       13        672 SH  -    OTHER   02                  0       672        0
D ABM INDS INC                   COMMON     000957100      477      25050 SH  -    DEFINED 04              25050         0        0
D ABM INDS INC                   COMMON     000957100      644      33781 SH  -    DEFINED 04              33781         0        0
D ABM INDS INC                   COMMON     000957100      426      22361 SH  -    DEFINED 05              22361         0        0
D AFLAC INC                      COMMON     001055102      578      16541 SH  -    DEFINED 02               2351      1485    12705
D AFLAC INC                      COMMON     001055102      327       9360 SH  -    DEFINED 02               7570         0     1790
D AFLAC INC                      COMMON     001055102     3742     107070 SH  -    DEFINED 02             107070         0        0
D AFLAC INC                      COMMON     001055102      459      13128 SH  -    DEFINED 02               7964         0     5164
D AFLAC INC                      COMMON     001055102     1778      50884 SH  -    OTHER   02               4516     38641     7602
D AFLAC INC                      COMMON     001055102      706      20199 SH  -    OTHER   02               4046        79    16074
D AFLAC INC                      COMMON     001055102    97184    2780662 SH  -    DEFINED 04            1857992         0   922670
D AFLAC INC                      COMMON     001055102     9171     262399 SH  -    DEFINED 04             262399         0        0
D AFLAC INC                      COMMON     001055102    10890     311576 SH  -    DEFINED 04             311576         0        0
D AFLAC INC                      COMMON     001055102       20        572 SH  -    DEFINED 04                572         0        0
D AFLAC INC                      COMMON     001055102     2607      74594 SH  -    DEFINED 04              74594         0        0
D AFLAC INC                      COMMON     001055102       83       2372 SH  -    DEFINED 04                  0         0     2372
D AFLAC INC                      COMMON     001055102      103       2935 SH  -    OTHER   04                  0      2935        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  37
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AFLAC INC                      COMMON     001055102    15307     437980 SH  -    DEFINED 05             437980         0        0
D AFLAC INC                      COMMON     001055102       32        902 SH  -    DEFINED 06                902         0        0
D AFLAC INC                      COMMON     001055102     6776     193890 SH  -    DEFINED 08             193890         0        0
D AFLAC INC                      COMMON     001055102    26056     745525 SH  -    DEFINED 09             745525         0        0
D AFLAC INC                      COMMON     001055102      891      25493 SH  -    DEFINED 09              25493         0        0
D AFLAC INC                      COMMON     001055102     3912     111922 SH  -    DEFINED 09                  0         0        0
D AFLAC INC                      COMMON     001055102     3718     106387 SH  -    DEFINED 09                  0         0        0
D AFLAC INC                      COMMON     001055102      826      23633 SH  -    OTHER   09                  0     23633        0
D AFLAC INC                      COMMON     001055102        2         45 SH  -    DEFINED 01                 45         0        0
D AFLAC INC                      COMMON     001055102       70       2000 SH  -    OTHER   01                  0      2000        0
D AFLAC INC                      COMMON     001055102      569      16277 SH  -    OTHER   10                  0         0    16277
D AFLAC INC                      OPTION     001055953        3        100 SH  P    DEFINED 05                100         0        0
D AGCO CORP                      COMMON     001084102      106       3074 SH  -    DEFINED 02                  0      3074        0
D AGCO CORP                      COMMON     001084102       69       2000 SH  -    DEFINED 02               2000         0        0
D AGCO CORP                      COMMON     001084102      832      24067 SH  -    OTHER   02               2519     20959      497
D AGCO CORP                      COMMON     001084102       36       1035 SH  -    OTHER   02                  0         0     1035
D AGCO CORP                      COMMON     001084102    13727     397072 SH  -    DEFINED 04             167755         0   229317
D AGCO CORP                      COMMON     001084102    18515     535575 SH  -    DEFINED 04             535575         0        0
D AGCO CORP                      COMMON     001084102       30        875 SH  -    DEFINED 04                875         0        0
D AGCO CORP                      COMMON     001084102      803      23229 SH  -    DEFINED 05              23229         0        0
D AGCO CORP                      COMMON     001084102     1923      55632 SH  -    DEFINED 08              55632         0        0
D AGCO CORP                      COMMON     001084102      221       6400 SH  -    DEFINED 09               6400         0        0
D AGCO CORP                      COMMON     001084102        4        123 SH  -    OTHER   01                  0       123        0
D AGCO CORP                      COMMON     001084102       93       2704 SH  -    OTHER   10                  0         0     2704
D AGL RESOURCES INC              COMMON     001204106      525      12890 SH  -    DEFINED 02               1800         0    11090
D AGL RESOURCES INC              COMMON     001204106      355       8714 SH  -    DEFINED 02               5237         0     3477

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  38
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AGL RESOURCES INC              COMMON     001204106      239       5860 SH  -    DEFINED 02               1755         0     4105
D AGL RESOURCES INC              COMMON     001204106       82       2009 SH  -    OTHER   02                  0      1566      443
D AGL RESOURCES INC              COMMON     001204106       54       1319 SH  -    OTHER   02                  5        11     1303
D AGL RESOURCES INC              COMMON     001204106    90589    2223590 SH  -    DEFINED 04            1615502         0   608088
D AGL RESOURCES INC              COMMON     001204106     2559      62824 SH  -    DEFINED 04              62824         0        0
D AGL RESOURCES INC              COMMON     001204106     8833     216816 SH  -    DEFINED 04             216816         0        0
D AGL RESOURCES INC              COMMON     001204106      105       2575 SH  -    DEFINED 04               2575         0        0
D AGL RESOURCES INC              COMMON     001204106      100       2450 SH  -    DEFINED 04                  0         0     2450
D AGL RESOURCES INC              COMMON     001204106      359       8815 SH  -    DEFINED 05               8815         0        0
D AGL RESOURCES INC              COMMON     001204106      561      13772 SH  -    DEFINED 09              13772         0        0
D A H BELO CORP                  COMMON     001282102       49      11668 SH  -    OTHER   02              11668         0        0
D A H BELO CORP                  COMMON     001282102     2273     541155 SH  -    DEFINED 04             511645         0    29510
D A H BELO CORP                  COMMON     001282102        6       1428 SH  -    DEFINED 04               1428         0        0
D A H BELO CORP                  COMMON     001282102        2        444 SH  -    OTHER   04                  0       444        0
D A H BELO CORP                  COMMON     001282102        0          1 SH  -    DEFINED 05                  1         0        0
D A H BELO CORP                  COMMON     001282102        5       1115 SH  -    DEFINED 08               1115         0        0
D AES CORP                       COMMON     00130H105        0         21 SH  -    DEFINED 02                 21         0        0
D AES CORP                       COMMON     00130H105       76       7833 SH  -    DEFINED 02               7574         0      259
D AES CORP                       COMMON     00130H105       89       9090 SH  -    OTHER   02                  0      9090        0
D AES CORP                       COMMON     00130H105       25       2551 SH  -    OTHER   02                  0        65     2486
D AES CORP                       COMMON     00130H105     5725     586581 SH  -    DEFINED 04             539065         0    47516
D AES CORP                       COMMON     00130H105     3399     348272 SH  -    DEFINED 04             348272         0        0
D AES CORP                       COMMON     00130H105      190      19439 SH  -    OTHER   04                  0     19439        0
D AES CORP                       COMMON     00130H105      233      23875 SH  -    DEFINED 05              23875         0        0
D AES CORP                       COMMON     00130H105       14       1446 SH  -    OTHER   01               1446         0        0
D AES CORP                       COMMON     00130H105        2        234 SH  -    OTHER   10                  0         0      234

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  39
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AES CORP                       OPTION     00130H956      341      34900 SH  P    DEFINED 05              34900         0        0
D AK STEEL HOLDING C             COMMON     001547108        9       1319 SH  -    DEFINED 02               1271         0       48
D AK STEEL HOLDING C             COMMON     001547108       25       3834 SH  -    OTHER   02                  0      3608      153
D AK STEEL HOLDING C             COMMON     001547108        1        114 SH  -    OTHER   02                  0        35       79
D AK STEEL HOLDING C             COMMON     001547108      182      27780 SH  -    DEFINED 04              24623         0     3157
D AK STEEL HOLDING C             COMMON     001547108      116      17795 SH  -    DEFINED 04              17795         0        0
D AK STEEL HOLDING C             COMMON     001547108      128      19534 SH  -    DEFINED 05              19534         0        0
D AK STEEL HOLDING C             COMMON     001547108     4123     630354 SH  -    DEFINED 08             630354         0        0
D AK STEEL HOLDING C             COMMON     001547108      568      86882 SH  -    OTHER   10                  0         0    86882
D AK STEEL HOLDING C             OPTION     001547900      143      21900 SH  C    DEFINED 05              21900         0        0
D AK STEEL HOLDING C             OPTION     001547959       90      13700 SH  P    DEFINED 05              13700         0        0
D ALPS ETF TR                    COMMON     00162Q866      762      50000 SH  -    DEFINED 05              50000         0        0
D ALPS ETF TR                    COMMON     00162Q866      225      14781 SH  -    OTHER   10                  0         0    14781
D AMAG PHARMACEUTICALS INC       COMMON     00163U106        8        570 SH  -    OTHER   02                  0       570        0
D AMAG PHARMACEUTICALS INC       COMMON     00163U106      346      23419 SH  -    DEFINED 05              23419         0        0
D AMAG PHARMACEUTICALS INC       COMMON     00163U106       18       1251 SH  -    DEFINED 08               1251         0        0
D AMC NETWORKS INC               COMMON     00164V103       68       2142 SH  -    DEFINED 02               1992       150        0
D AMC NETWORKS INC               COMMON     00164V103        4        116 SH  -    DEFINED 02                 26         0       90
D AMC NETWORKS INC               COMMON     00164V103     1064      33313 SH  -    OTHER   02                625     28374     4314
D AMC NETWORKS INC               COMMON     00164V103      271       8486 SH  -    OTHER   02                950      1047     6489
D AMC NETWORKS INC               COMMON     00164V103    23892     747800 SH  -    DEFINED 04             719925         0    27875
D AMC NETWORKS INC               COMMON     00164V103      552      17292 SH  -    DEFINED 04              17292         0        0
D AMC NETWORKS INC               COMMON     00164V103      250       7821 SH  -    OTHER   04                  0      7821        0
D AMC NETWORKS INC               COMMON     00164V103     1284      40184 SH  -    OTHER   04                  0     40184        0
D AMC NETWORKS INC               COMMON     00164V103       28        889 SH  -    DEFINED 05                889         0        0
D AMC NETWORKS INC               COMMON     00164V103        2         50 SH  -    DEFINED 09                 50         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  40
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMC NETWORKS INC               COMMON     00164V103       24        750 SH  -    OTHER   01                  0       750        0
D AMC NETWORKS INC               COMMON     00164V103        7        218 SH  -    OTHER   10                  0         0      218
D AMN HEALTHCARE SERVICES INC    COMMON     001744101       49      12147 SH  -    DEFINED 04              12147         0        0
D AMN HEALTHCARE SERVICES INC    COMMON     001744101       75      18719 SH  -    DEFINED 05              18719         0        0
D AMR CORP                       BOND       001765BC9       59     100000 PRN -    DEFINED 02                  0         0        0
D AMR CORP                       BOND       001765BC9     1793    3032000 PRN -    DEFINED 05                  0         0        0
D AMR CORP                       COMMON     001765106       28       9373 SH  -    OTHER   02                 10      6583     2780
D AMR CORP                       COMMON     001765106        1        172 SH  -    OTHER   02                 73        99        0
D AMR CORP                       COMMON     001765106        2        800 SH  -    OTHER   04                  0       800        0
D AMR CORP                       COMMON     001765106      170      57464 SH  -    DEFINED 05              57464         0        0
D AMR CORP                       COMMON     001765106      216      73025 SH  -    OTHER   10                  0         0    73025
D AOL INC                        COMMON     00184X105       11        940 SH  -    DEFINED 02                940         0        0
D AOL INC                        COMMON     00184X105        1         94 SH  -    DEFINED 02                 94         0        0
D AOL INC                        COMMON     00184X105        4        333 SH  -    DEFINED 02                333         0        0
D AOL INC                        COMMON     00184X105       29       2411 SH  -    OTHER   02                349       617     1312
D AOL INC                        COMMON     00184X105        8        699 SH  -    OTHER   02                559         0      140
D AOL INC                        COMMON     00184X105        2        199 SH  -    DEFINED 04                199         0        0
D AOL INC                        COMMON     00184X105     1170      97469 SH  -    DEFINED 04              97469         0        0
D AOL INC                        COMMON     00184X105        1         62 SH  -    OTHER   04                  0        62        0
D AOL INC                        COMMON     00184X105       59       4875 SH  -    DEFINED 05               4875         0        0
D AOL INC                        COMMON     00184X105      242      20125 SH  -    DEFINED 08              20125         0        0
D AOL INC                        COMMON     00184X105        0          6 SH  -    OTHER   01                  6         0        0
D AOL INC                        COMMON     00184X105        1         75 SH  -    OTHER   10                  0         0       75
D APAC CUSTOMER SVCS             COMMON     00185E106        1        158 SH  -    OTHER   02                  0       158        0
D APAC CUSTOMER SVCS             COMMON     00185E106        4        427 SH  -    DEFINED 05                427         0        0
D APAC CUSTOMER SVCS             COMMON     00185E106       15       1789 SH  -    DEFINED 08               1789         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  41
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D APAC CUSTOMER SVCS             COMMON     00185E106     3489     409544 SH  -    DEFINED 09             409544         0        0
D AT&T INC                       COMMON     00206R102    33439    1172458 SH  -    DEFINED 02             996962     18878   156618
D AT&T INC                       COMMON     00206R102    21754     762760 SH  -    DEFINED 02             745947       473    16340
D AT&T INC                       COMMON     00206R102     2893     101454 SH  -    DEFINED 02              76019         0    25435
D AT&T INC                       COMMON     00206R102    41722    1462886 SH  -    OTHER   02             560209    707075   194401
D AT&T INC                       COMMON     00206R102    19940     699141 SH  -    OTHER   02             593626     31316    74199
D AT&T INC                       COMMON     00206R102      808      28323 SH  -    OTHER   02                  0     28323        0
D AT&T INC                       COMMON     00206R102      144       5050 SH  -    OTHER   02                  0      5050        0
D AT&T INC                       COMMON     00206R102      369      12930 SH  -    OTHER   02                  0     12930        0
D AT&T INC                       COMMON     00206R102   577962   20265164 SH  -    DEFINED 04           16693892         0  3571272
D AT&T INC                       COMMON     00206R102    32283    1131949 SH  -    DEFINED 04            1131949         0        0
D AT&T INC                       COMMON     00206R102    26405     925830 SH  -    DEFINED 04             925830         0        0
D AT&T INC                       COMMON     00206R102      355      12463 SH  -    DEFINED 04              12463         0        0
D AT&T INC                       COMMON     00206R102     5157     180829 SH  -    DEFINED 04             115513         0    65316
D AT&T INC                       COMMON     00206R102      439      15383 SH  -    DEFINED 04                  0         0    15383
D AT&T INC                       COMMON     00206R102    21470     752789 SH  -    OTHER   04                  0    752789        0
D AT&T INC                       COMMON     00206R102   116731    4092963 SH  -    DEFINED 05            4092963         0        0
D AT&T INC                       COMMON     00206R102    30505    1069605 SH  -    DEFINED 08            1069605         0        0
D AT&T INC                       COMMON     00206R102    22006     771608 SH  -    DEFINED 09             728712     42896        0
D AT&T INC                       COMMON     00206R102     1436      50367 SH  -    DEFINED 09              50367         0        0
D AT&T INC                       COMMON     00206R102     9835     344858 SH  -    DEFINED 09             344858         0        0
D AT&T INC                       COMMON     00206R102     4135     145000 SH  -    OTHER   09                  0    145000        0
D AT&T INC                       COMMON     00206R102     4399     154237 SH  -    DEFINED 01             121235      3372    29630
D AT&T INC                       COMMON     00206R102     1834      64290 SH  -    OTHER   01              23083     34875     6332
D AT&T INC                       COMMON     00206R102     6376     223578 SH  -    OTHER   10                  0         0   223578
D AT&T INC                       OPTION     00206R904    93797    3288800 SH  C    DEFINED 05            3288800         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  42
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AT&T INC                       OPTION     00206R904    13091     459000 SH  C    DEFINED 08             459000         0        0
D AT&T INC                       OPTION     00206R953    43482    1524600 SH  P    DEFINED 05            1524600         0        0
D AT&T INC                       OPTION     00206R953     5191     182000 SH  P    DEFINED 08             182000         0        0
D ATMI INC                       COMMON     00207R101        0         17 SH  -    OTHER   02                  0        17        0
D ATMI INC                       COMMON     00207R101      327      20650 SH  -    DEFINED 04              18450         0     2200
D ATMI INC                       COMMON     00207R101      346      21869 SH  -    DEFINED 04              21869         0        0
D ATMI INC                       COMMON     00207R101      234      14807 SH  -    DEFINED 05              14807         0        0
D ATP OIL & GAS CORP             COMMON     00208J108       22       2835 SH  -    OTHER   02                  0         0     2835
D ATP OIL & GAS CORP             COMMON     00208J108     4637     601475 SH  -    DEFINED 05             601475         0        0
D ATP OIL & GAS CORP             COMMON     00208J108       20       2635 SH  -    DEFINED 08               2635         0        0
D AU OPTRONICS CORP              ADR        002255107      792     200000 SH  -    DEFINED 06             200000         0        0
D AU OPTRONICS CORP              ADR        002255107        1        153 SH  -    OTHER   10                  0         0      153
D AVI BIOPHARMA INC              COMMON     002346104      253     225468 SH  -    DEFINED 05             225468         0        0
D AVI BIOPHARMA INC              COMMON     002346104       10       8807 SH  -    DEFINED 08               8807         0        0
D AVX CORP                       COMMON     002444107      117       9845 SH  -    DEFINED 02                  0      9845        0
D AVX CORP                       COMMON     002444107       47       3923 SH  -    OTHER   02                  0      3533      390
D AVX CORP                       COMMON     002444107       42       3500 SH  -    OTHER   02                  0      3500        0
D AVX CORP                       COMMON     002444107     1049      88349 SH  -    DEFINED 04               8249         0    80100
D AVX CORP                       COMMON     002444107        9        773 SH  -    DEFINED 05                773         0        0
D AVX CORP                       COMMON     002444107       93       7799 SH  -    DEFINED 09               7799         0        0
D AZZ INC                        COMMON     002474104        2         46 SH  -    OTHER   02                  0        46        0
D AZZ INC                        COMMON     002474104      340       8777 SH  -    DEFINED 04               8777         0        0
D AZZ INC                        COMMON     002474104      229       5897 SH  -    DEFINED 05               5897         0        0
D AARONS INC                     COMMON     002535300        6        234 SH  -    DEFINED 02                  0       234        0
D AARONS INC                     COMMON     002535300        9        341 SH  -    DEFINED 02                341         0        0
D AARONS INC                     COMMON     002535300      353      13974 SH  -    OTHER   02                  0     13974        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  43
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AARONS INC                     COMMON     002535300       13        499 SH  -    OTHER   02                  0         0      499
D AARONS INC                     COMMON     002535300      111       4394 SH  -    DEFINED 04               4394         0        0
D AARONS INC                     COMMON     002535300      757      29994 SH  -    DEFINED 04              29994         0        0
D AARONS INC                     COMMON     002535300       52       2053 SH  -    DEFINED 05               2053         0        0
D AARONS INC                     COMMON     002535300        1         38 SH  -    OTHER   10                  0         0       38
D ABAXIS                         COMMON     002567105      371      16193 SH  -    DEFINED 04              16193         0        0
D ABAXIS                         COMMON     002567105      476      20756 SH  -    DEFINED 05              20756         0        0
D ABBOTT LABS                    COMMON     002824100    98532    1926710 SH  -    DEFINED 02            1815234      1788   109688
D ABBOTT LABS                    COMMON     002824100    34215     669054 SH  -    DEFINED 02             659062       124     9868
D ABBOTT LABS                    COMMON     002824100      153       3000 SH  -    DEFINED 02               3000         0        0
D ABBOTT LABS                    COMMON     002824100     2292      44827 SH  -    DEFINED 02              25407         0    19420
D ABBOTT LABS                    COMMON     002824100    48117     940885 SH  -    OTHER   02             491654    231511   216330
D ABBOTT LABS                    COMMON     002824100    20501     400882 SH  -    OTHER   02             348783     21147    30952
D ABBOTT LABS                    COMMON     002824100     9736     190385 SH  -    OTHER   02                  0    190385        0
D ABBOTT LABS                    COMMON     002824100     4259      83279 SH  -    OTHER   02                  0     83279        0
D ABBOTT LABS                    COMMON     002824100     4173      81608 SH  -    OTHER   02                  0     81608        0
D ABBOTT LABS                    COMMON     002824100   523055   10227911 SH  -    DEFINED 04            7649890         0  2578021
D ABBOTT LABS                    COMMON     002824100    24557     480182 SH  -    DEFINED 04             480182         0        0
D ABBOTT LABS                    COMMON     002824100    46446     908205 SH  -    DEFINED 04             908205         0        0
D ABBOTT LABS                    COMMON     002824100      131       2558 SH  -    DEFINED 04               2558         0        0
D ABBOTT LABS                    COMMON     002824100     5886     115100 SH  -    DEFINED 04             115100         0        0
D ABBOTT LABS                    COMMON     002824100    31698     619837 SH  -    DEFINED 04             591330         0        0
D ABBOTT LABS                    COMMON     002824100      632      12355 SH  -    DEFINED 04                  0         0    12355
D ABBOTT LABS                    COMMON     002824100       14        270 SH  -    OTHER   04                  0       270        0
D ABBOTT LABS                    COMMON     002824100    15074     294757 SH  -    OTHER   04                  0    294757        0
D ABBOTT LABS                    COMMON     002824100    79723    1558916 SH  -    DEFINED 05            1558916         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  44
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ABBOTT LABS                    COMMON     002824100    12158     237733 SH  -    DEFINED 08             237733         0        0
D ABBOTT LABS                    COMMON     002824100    52542    1027412 SH  -    DEFINED 09             980665         0    46747
D ABBOTT LABS                    COMMON     002824100    12986     253926 SH  -    OTHER   09                  0    253926        0
D ABBOTT LABS                    COMMON     002824100     3411      66709 SH  -    DEFINED 01              62290      1583     2836
D ABBOTT LABS                    COMMON     002824100     1426      27888 SH  -    OTHER   01              22951      2075     2862
D ABBOTT LABS                    COMMON     002824100     4400      86029 SH  -    OTHER   10                  0         0    86029
D ABBOTT LABS                    OPTION     002824902     8740     170900 SH  C    DEFINED 05             170900         0        0
D ABBOTT LABS                    OPTION     002824902      629      12300 SH  C    DEFINED 06              12300         0        0
D ABBOTT LABS                    OPTION     002824902    13823     270300 SH  C    DEFINED 08             270300         0        0
D ABBOTT LABS                    OPTION     002824951    12678     247900 SH  P    DEFINED 05             247900         0        0
D ABBOTT LABS                    OPTION     002824951     1023      20000 SH  P    DEFINED 08              20000         0        0
D ABERCROMBIE & FITCH CO.        COMMON     002896207      246       4000 SH  -    DEFINED 02                  0         0     4000
D ABERCROMBIE & FITCH CO.        COMMON     002896207      115       1864 SH  -    DEFINED 02               1864         0        0
D ABERCROMBIE & FITCH CO.        COMMON     002896207       64       1047 SH  -    DEFINED 02               1002         0       45
D ABERCROMBIE & FITCH CO.        COMMON     002896207      156       2532 SH  -    OTHER   02                  0      1176     1356
D ABERCROMBIE & FITCH CO.        COMMON     002896207       18        289 SH  -    OTHER   02                  0        24      265
D ABERCROMBIE & FITCH CO.        COMMON     002896207    16621     269991 SH  -    DEFINED 04             137787         0   132204
D ABERCROMBIE & FITCH CO.        COMMON     002896207     2224      36129 SH  -    DEFINED 04              36129         0        0
D ABERCROMBIE & FITCH CO.        COMMON     002896207     1950      31679 SH  -    DEFINED 04              17889         0    13790
D ABERCROMBIE & FITCH CO.        COMMON     002896207    19358     314450 SH  -    DEFINED 05             314450         0        0
D ABERCROMBIE & FITCH CO.        COMMON     002896207     8944     145291 SH  -    DEFINED 09             135822      9469        0
D ABERCROMBIE & FITCH CO.        COMMON     002896207      505       8199 SH  -    DEFINED 09               8199         0        0
D ABERCROMBIE & FITCH CO.        COMMON     002896207     3644      59190 SH  -    DEFINED 09              59190         0        0
D ABERCROMBIE & FITCH CO.        COMMON     002896207     2537      41216 SH  -    OTHER   09                  0     41216        0
D ABERCROMBIE & FITCH CO.        COMMON     002896207        2         36 SH  -    OTHER   01                  0        36        0
D ABERCROMBIE & FITCH CO.        COMMON     002896207        2         30 SH  -    OTHER   10                  0         0       30

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  45
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ABERCROMBIE & FITCH CO.        OPTION     002896900       25        400 SH  C    DEFINED 05                400         0        0
D ABERDEEN ASIA PACIFIC INCOM FD COMMON     003009107       35       5050 SH  -    DEFINED 02               5050         0        0
D ABERDEEN ASIA PACIFIC INCOM FD COMMON     003009107     1426     206980 SH  -    OTHER   02             186980         0    20000
D ABITIBIBOWATER INC             COMMON     003687209        1         60 SH  -    DEFINED 02                 60         0        0
D ABITIBIBOWATER INC             COMMON     003687209        5        365 SH  -    DEFINED 02                  0         0      365
D ABITIBIBOWATER INC             COMMON     003687209    16375    1091683 SH  -    DEFINED 04            1070214         0    21469
D ABITIBIBOWATER INC             COMMON     003687209      647      43152 SH  -    DEFINED 04              43152         0        0
D ABITIBIBOWATER INC             COMMON     003687209    11760     783969 SH  -    DEFINED 04             783969         0        0
D ABITIBIBOWATER INC             COMMON     003687209       25       1649 SH  -    DEFINED 05               1649         0        0
D ABITIBIBOWATER INC             COMMON     003687209      334      22244 SH  -    DEFINED 08              22244         0        0
D ABOVENET INC                   COMMON     00374N107        1         16 SH  -    OTHER   02                  0        16        0
D ABOVENET INC                   COMMON     00374N107      299       5572 SH  -    DEFINED 04               4458         0     1114
D ABOVENET INC                   COMMON     00374N107      359       6692 SH  -    DEFINED 04               6692         0        0
D ABOVENET INC                   COMMON     00374N107       94       1748 SH  -    DEFINED 04               1748         0        0
D ABOVENET INC                   COMMON     00374N107       18        333 SH  -    DEFINED 05                333         0        0
D ABOVENET INC                   COMMON     00374N107       74       1380 SH  -    DEFINED 08               1380         0        0
D ACACIA RESH CORP               COMMON     003881307       19        541 SH  -    OTHER   02                 29       512        0
D ACACIA RESH CORP               COMMON     003881307      346       9626 SH  -    DEFINED 04               9626         0        0
D ACACIA RESH CORP               COMMON     003881307       25        682 SH  -    DEFINED 05                682         0        0
D ACACIA RESH CORP               COMMON     003881307       51       1418 SH  -    DEFINED 08               1418         0        0
D ACACIA RESH CORP               COMMON     003881307       19        534 SH  -    OTHER   10                  0         0      534
D ACADIA RLTY TR                 COMMON     004239109     3922     209730 SH  -    DEFINED 04             166010         0    43720
D ACADIA RLTY TR                 COMMON     004239109     1887     100925 SH  -    DEFINED 04             100925         0        0
D ACADIA RLTY TR                 COMMON     004239109      352      18829 SH  -    DEFINED 05              18829         0        0
D ACADIA RLTY TR                 COMMON     004239109        4        194 SH  -    DEFINED 06                194         0        0
D ACHILLION PHARMACEUTICALS INC  COMMON     00448Q201     1617     342575 SH  -    DEFINED 04             288875         0    53700

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  46
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ACHILLION PHARMACEUTICALS INC  COMMON     00448Q201      312      66000 SH  -    DEFINED 05              66000         0        0
D ACHILLION PHARMACEUTICALS INC  COMMON     00448Q201       13       2772 SH  -    DEFINED 08               2772         0        0
D ACI WORLDWIDE INC              COMMON     004498101       11        405 SH  -    OTHER   02                 40       365        0
D ACI WORLDWIDE INC              COMMON     004498101      651      23656 SH  -    DEFINED 04              23656         0        0
D ACI WORLDWIDE INC              COMMON     004498101       14        506 SH  -    DEFINED 05                506         0        0
D ACI WORLDWIDE INC              COMMON     004498101       77       2784 SH  -    DEFINED 08               2784         0        0
D ACI WORLDWIDE INC              COMMON     004498101        3        115 SH  -    OTHER   10                  0         0      115
D ACME PACKET INC                COMMON     004764106        2         57 SH  -    DEFINED 02                  0        57        0
D ACME PACKET INC                COMMON     004764106      315       7399 SH  -    OTHER   02                  0      3875     3490
D ACME PACKET INC                COMMON     004764106        5        125 SH  -    OTHER   02                  0         0      125
D ACME PACKET INC                COMMON     004764106     1731      40635 SH  -    DEFINED 04              40635         0        0
D ACME PACKET INC                COMMON     004764106       68       1600 SH  -    DEFINED 04               1600         0        0
D ACME PACKET INC                COMMON     004764106       64       1494 SH  -    DEFINED 05               1494         0        0
D ACME PACKET INC                COMMON     004764106       88       2067 SH  -    DEFINED 09               2067         0        0
D ACME PACKET INC                COMMON     004764106        1         28 SH  -    OTHER   10                  0         0       28
D ACORDA THERAPEUTICS INC        COMMON     00484M106     7862     393890 SH  -    DEFINED 04             262890         0   131000
D ACORDA THERAPEUTICS INC        COMMON     00484M106     2463     123400 SH  -    DEFINED 04             123400         0        0
D ACORDA THERAPEUTICS INC        COMMON     00484M106      583      29200 SH  -    DEFINED 04              29200         0        0
D ACORDA THERAPEUTICS INC        COMMON     00484M106     1769      88652 SH  -    DEFINED 05              88652         0        0
D ACORDA THERAPEUTICS INC        COMMON     00484M106       48       2381 SH  -    DEFINED 08               2381         0        0
D ACORDA THERAPEUTICS INC        COMMON     00484M106        9        442 SH  -    OTHER   10                  0         0      442
D ACTIVE NETWORK INC             COMMON     00506D100        1         73 SH  -    OTHER   02                 73         0        0
D ACTIVE NETWORK INC             COMMON     00506D100     8871     601400 SH  -    DEFINED 04             555700         0    45700
D ACTIVE NETWORK INC             COMMON     00506D100       11        733 SH  -    DEFINED 08                733         0        0
D ACTIVISION BLIZZARD INC        COMMON     00507V109        3        260 SH  -    DEFINED 02                260         0        0
D ACTIVISION BLIZZARD INC        COMMON     00507V109        7        552 SH  -    DEFINED 02                552         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  47
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ACTIVISION BLIZZARD INC        COMMON     00507V109     2400     201651 SH  -    OTHER   02                350    195966     5060
D ACTIVISION BLIZZARD INC        COMMON     00507V109      584      49100 SH  -    OTHER   02               2790     12680    33630
D ACTIVISION BLIZZARD INC        COMMON     00507V109     6214     522150 SH  -    DEFINED 04             522150         0        0
D ACTIVISION BLIZZARD INC        COMMON     00507V109     2234     187711 SH  -    DEFINED 04             187711         0        0
D ACTIVISION BLIZZARD INC        COMMON     00507V109      143      12044 SH  -    DEFINED 05              12044         0        0
D ACTIVISION BLIZZARD INC        COMMON     00507V109     1530     128600 SH  -    DEFINED 08             128600         0        0
D ACTIVISION BLIZZARD INC        COMMON     00507V109      179      15000 SH  -    OTHER   01                  0     13500        0
D ACTIVISION BLIZZARD INC        COMMON     00507V109        1         70 SH  -    OTHER   10                  0         0       70
D ACTIVISION BLIZZARD INC        OPTION     00507V901        2        200 SH  C    DEFINED 05                200         0        0
D ACTUATE CORP                   COMMON     00508B102        5        975 SH  -    OTHER   02                  0       975        0
D ACTUATE CORP                   COMMON     00508B102      454      82274 SH  -    DEFINED 04              62651         0    19623
D ACTUATE CORP                   COMMON     00508B102        3        627 SH  -    DEFINED 05                627         0        0
D ACTUATE CORP                   COMMON     00508B102        9       1720 SH  -    DEFINED 08               1720         0        0
D ACTUANT CORP                   COMMON     00508X203       16        827 SH  -    OTHER   02                  0       827        0
D ACTUANT CORP                   COMMON     00508X203      296      14970 SH  -    OTHER   02              11970         0     3000
D ACTUANT CORP                   COMMON     00508X203      518      26206 SH  -    DEFINED 04              26206         0        0
D ACTUANT CORP                   COMMON     00508X203     4246     214989 SH  -    DEFINED 04             214989         0        0
D ACTUANT CORP                   COMMON     00508X203      672      34036 SH  -    DEFINED 05              34036         0        0
D ACUITY BRANDS INC              COMMON     00508Y102       30        829 SH  -    OTHER   02                  0       751        0
D ACUITY BRANDS INC              COMMON     00508Y102        6        180 SH  -    OTHER   02                  0         0      180
D ACUITY BRANDS INC              COMMON     00508Y102    12240     339625 SH  -    DEFINED 04             252965         0    86660
D ACUITY BRANDS INC              COMMON     00508Y102     5716     158600 SH  -    DEFINED 04             158600         0        0
D ACUITY BRANDS INC              COMMON     00508Y102     1352      37500 SH  -    DEFINED 04              37500         0        0
D ACUITY BRANDS INC              COMMON     00508Y102       24        655 SH  -    DEFINED 05                655         0        0
D ACUITY BRANDS INC              COMMON     00508Y102      139       3857 SH  -    DEFINED 08               3857         0        0
D ACUITY BRANDS INC              COMMON     00508Y102        3         89 SH  -    OTHER   01                  0        89        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  48
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ACUITY BRANDS INC              COMMON     00508Y102        1         24 SH  -    OTHER   10                  0         0       24
D ACXIOM CORP                    COMMON     005125109        3        301 SH  -    OTHER   02                  0       301        0
D ACXIOM CORP                    COMMON     005125109      562      52801 SH  -    DEFINED 04              52801         0        0
D ACXIOM CORP                    COMMON     005125109       13       1227 SH  -    DEFINED 05               1227         0        0
D ACXIOM CORP                    COMMON     005125109      110      10332 SH  -    DEFINED 08              10332         0        0
D ADOBE SYSTEMS INC              COMMON     00724F101      692      28612 SH  -    DEFINED 02              19407       500     8705
D ADOBE SYSTEMS INC              COMMON     00724F101      342      14139 SH  -    DEFINED 02              10641         0     3498
D ADOBE SYSTEMS INC              COMMON     00724F101      472      19526 SH  -    DEFINED 02              10021         0     9505
D ADOBE SYSTEMS INC              COMMON     00724F101      929      38449 SH  -    OTHER   02              14830     14339     9155
D ADOBE SYSTEMS INC              COMMON     00724F101      220       9086 SH  -    OTHER   02               5048        55     3983
D ADOBE SYSTEMS INC              COMMON     00724F101       10        400 SH  -    OTHER   02                  0       400        0
D ADOBE SYSTEMS INC              COMMON     00724F101    44037    1821963 SH  -    DEFINED 04            1292413         0   529550
D ADOBE SYSTEMS INC              COMMON     00724F101    19095     790038 SH  -    DEFINED 04             790038         0        0
D ADOBE SYSTEMS INC              COMMON     00724F101     6492     268597 SH  -    DEFINED 04             268597         0        0
D ADOBE SYSTEMS INC              COMMON     00724F101     7158     296171 SH  -    DEFINED 04             296171         0        0
D ADOBE SYSTEMS INC              COMMON     00724F101       66       2725 SH  -    DEFINED 04                  0         0     2725
D ADOBE SYSTEMS INC              COMMON     00724F101       16        656 SH  -    OTHER   04                  0       656        0
D ADOBE SYSTEMS INC              COMMON     00724F101     3171     131209 SH  -    DEFINED 05             131209         0        0
D ADOBE SYSTEMS INC              COMMON     00724F101    10802     446935 SH  -    DEFINED 09             415835         0    31100
D ADOBE SYSTEMS INC              COMMON     00724F101       52       2165 SH  -    DEFINED 01               2165         0        0
D ADOBE SYSTEMS INC              COMMON     00724F101      592      24500 SH  -    OTHER   01              24400         0      100
D ADOBE SYSTEMS INC              COMMON     00724F101     1586      65604 SH  -    OTHER   10                  0         0    65604
D ADOBE SYSTEMS INC              OPTION     00724F903     1747      72300 SH  C    DEFINED 05              72300         0        0
D ADOBE SYSTEMS INC              OPTION     00724F952      689      28500 SH  P    DEFINED 05              28500         0        0
D ADTRAN INC                     COMMON     00738A106      479      18107 SH  -    OTHER   02                  0     18107        0
D ADTRAN INC                     COMMON     00738A106       63       2395 SH  -    OTHER   02                  0         0     2395

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  49
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ADTRAN INC                     COMMON     00738A106       40       1529 SH  -    DEFINED 05               1529         0        0
D ADTRAN INC                     COMMON     00738A106      138       5216 SH  -    DEFINED 08               5216         0        0
D ADTRAN INC                     COMMON     00738A106       53       2001 SH  -    OTHER   01                  0      2001        0
D ADVANCE AMER CASH ADVANCE CTRS COMMON     00739W107        2        253 SH  -    OTHER   02                  0       253        0
D ADVANCE AMER CASH ADVANCE CTRS COMMON     00739W107     1348     183125 SH  -    DEFINED 04             167525         0    15600
D ADVANCE AMER CASH ADVANCE CTRS COMMON     00739W107      845     114800 SH  -    DEFINED 04             114800         0        0
D ADVANCE AMER CASH ADVANCE CTRS COMMON     00739W107        6        755 SH  -    DEFINED 05                755         0        0
D ADVANCE AMER CASH ADVANCE CTRS COMMON     00739W107       23       3148 SH  -    DEFINED 08               3148         0        0
D ADVANCE AUTO PARTS INC         COMMON     00751Y106     1637      28173 SH  -    DEFINED 02              17319      1100     9754
D ADVANCE AUTO PARTS INC         COMMON     00751Y106      328       5647 SH  -    DEFINED 02               5647         0        0
D ADVANCE AUTO PARTS INC         COMMON     00751Y106     8747     150549 SH  -    OTHER   02              14338    103062    33139
D ADVANCE AUTO PARTS INC         COMMON     00751Y106      381       6557 SH  -    OTHER   02               1968        30     4559
D ADVANCE AUTO PARTS INC         COMMON     00751Y106       12        200 SH  -    OTHER   02                  0       200        0
D ADVANCE AUTO PARTS INC         COMMON     00751Y106     1203      20711 SH  -    DEFINED 04               3111         0    17600
D ADVANCE AUTO PARTS INC         COMMON     00751Y106     7737     133163 SH  -    DEFINED 04             133163         0        0
D ADVANCE AUTO PARTS INC         COMMON     00751Y106       12        210 SH  -    DEFINED 04                210         0        0
D ADVANCE AUTO PARTS INC         COMMON     00751Y106       17        286 SH  -    OTHER   04                  0       286        0
D ADVANCE AUTO PARTS INC         COMMON     00751Y106     1092      18792 SH  -    DEFINED 05              18792         0        0
D ADVANCE AUTO PARTS INC         COMMON     00751Y106      875      15063 SH  -    DEFINED 08              15063         0        0
D ADVANCE AUTO PARTS INC         COMMON     00751Y106       49        846 SH  -    DEFINED 09                846         0        0
D ADVANCE AUTO PARTS INC         COMMON     00751Y106      362       6230 SH  -    DEFINED 01               3230         0     3000
D ADVANCE AUTO PARTS INC         COMMON     00751Y106       70       1200 SH  -    OTHER   01               1200         0        0
D ADVANCED SEMICONDUCTOR ENGR    ADR        00756M404       54      12750 SH  -    DEFINED 05              12750         0        0
D ADVANCED SEMICONDUCTOR ENGR    ADR        00756M404        2        519 SH  -    DEFINED 08                519         0        0
D ADVANCED SEMICONDUCTOR ENGR    ADR        00756M404    15485    3669480 SH  -    OTHER   09                  0   3669480        0
D ADVISORY BRD CO                COMMON     00762W107       10        156 SH  -    DEFINED 02                  0       156        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  50
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ADVISORY BRD CO                COMMON     00762W107      597       9247 SH  -    OTHER   02                  0      9247        0
D ADVISORY BRD CO                COMMON     00762W107       21        333 SH  -    OTHER   02                  0         0      333
D ADVISORY BRD CO                COMMON     00762W107       47        728 SH  -    DEFINED 05                728         0        0
D ADVISORY BRD CO                COMMON     00762W107       62        966 SH  -    DEFINED 08                966         0        0
D ADVENT CLAY GBL CONV SEC INCOM COMMON     007639107     3779     599849 SH  -    DEFINED 04             599849         0        0
D AECOM TECHNOLOGY CORP DELAWARE COMMON     00766T100       85       4805 SH  -    OTHER   02               2650      1145     1010
D AECOM TECHNOLOGY CORP DELAWARE COMMON     00766T100      362      20485 SH  -    OTHER   02               1850       585    18050
D AECOM TECHNOLOGY CORP DELAWARE COMMON     00766T100      578      32700 SH  -    DEFINED 04                  0         0    32700
D AECOM TECHNOLOGY CORP DELAWARE COMMON     00766T100        2        115 SH  -    DEFINED 04                115         0        0
D AECOM TECHNOLOGY CORP DELAWARE COMMON     00766T100       73       4126 SH  -    DEFINED 05               4126         0        0
D AECOM TECHNOLOGY CORP DELAWARE COMMON     00766T100       77       4353 SH  -    DEFINED 08               4353         0        0
D AECOM TECHNOLOGY CORP DELAWARE COMMON     00766T100    20287    1148120 SH  -    OTHER   10                  0         0  1148120
D AEGERION PHARMACEUTICALS INC   COMMON     00767E102    13931    1099510 SH  -    DEFINED 04             951180         0   148330
D AEGERION PHARMACEUTICALS INC   COMMON     00767E102     2715     214300 SH  -    DEFINED 04             214300         0        0
D AEGERION PHARMACEUTICALS INC   COMMON     00767E102      642      50700 SH  -    DEFINED 04              50700         0        0
D AEGERION PHARMACEUTICALS INC   COMMON     00767E102      179      14163 SH  -    DEFINED 05              14163         0        0
D AEGERION PHARMACEUTICALS INC   COMMON     00767E102        7        589 SH  -    DEFINED 08                589         0        0
D AEGERION PHARMACEUTICALS INC   COMMON     00767E102      258      20356 SH  -    DEFINED 09              20356         0        0
D AEROPOSTALE                    COMMON     007865108      519      48025 SH  -    DEFINED 04              36550         0    11475
D AEROPOSTALE                    COMMON     007865108      651      60197 SH  -    DEFINED 04              60197         0        0
D AEROPOSTALE                    COMMON     007865108       14       1321 SH  -    DEFINED 05               1321         0        0
D AEROPOSTALE                    COMMON     007865108      125      11574 SH  -    DEFINED 08              11574         0        0
D ADVANCED MICRO DEVICES INC     BOND       007903AL1      475     486000 PRN -    DEFINED 02                  0         0        0
D ADVANCED MICRO DEVICES INC     BOND       007903AL1      244     250000 PRN -    OTHER   02                  0         0        0
D ADVANCED MICRO DEVICES INC     BOND       007903AL1    13689   14004000 PRN -    DEFINED 05                  0         0        0
D ADVANCED MICRO DEVICES INC     BOND       007903AL1    30490   31192000 PRN -    DEFINED 09                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  51
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ADVANCED MICRO DEVICES INC     BOND       007903AN7      255     252000 PRN -    DEFINED 05                  0         0        0
D ADVANCED MICRO DEVICES INC     BOND       007903AN7     6569    6504000 PRN -    DEFINED 09                  0         0        0
D ADVANCED MICRO DEV             COMMON     007903107        5        909 SH  -    DEFINED 02                909         0        0
D ADVANCED MICRO DEV             COMMON     007903107        9       1685 SH  -    DEFINED 02               1685         0        0
D ADVANCED MICRO DEV             COMMON     007903107       36       7045 SH  -    DEFINED 02               6692         0      353
D ADVANCED MICRO DEV             COMMON     007903107       68      13391 SH  -    OTHER   02                  0      9733     3376
D ADVANCED MICRO DEV             COMMON     007903107        6       1181 SH  -    OTHER   02                219        20      942
D ADVANCED MICRO DEV             COMMON     007903107      525     103380 SH  -    DEFINED 04              86754         0    16626
D ADVANCED MICRO DEV             COMMON     007903107      472      92902 SH  -    DEFINED 04              92902         0        0
D ADVANCED MICRO DEV             COMMON     007903107      554     109044 SH  -    DEFINED 05             109044         0        0
D ADVANCED MICRO DEV             COMMON     007903107      830     163299 SH  -    DEFINED 08             163299         0        0
D ADVANCED MICRO DEV             COMMON     007903107        4        877 SH  -    OTHER   10                  0         0      877
D AEGON N V                      ADR        007924103        4       1052 SH  -    DEFINED 02               1052         0        0
D AEGON N V                      ADR        007924103       19       4577 SH  -    OTHER   02                  0      4577        0
D AEGON N V                      ADR        007924103       15       3773 SH  -    OTHER   02                  0         0     3773
D AEGON N V                      ADR        007924103       10       2490 SH  -    OTHER   01                  0      1296        0
D AEGON N V                      ADR        007924103        1        190 SH  -    OTHER   10                  0         0      190
D ADVANCED ENERGY IN             COMMON     007973100        5        625 SH  -    OTHER   02                  0         0      625
D ADVANCED ENERGY IN             COMMON     007973100      234      27136 SH  -    DEFINED 04              27136         0        0
D ADVANCED ENERGY IN             COMMON     007973100      175      20289 SH  -    DEFINED 05              20289         0        0
D ADVENT SOFTWARE IN             COMMON     007974108      157       7506 SH  -    DEFINED 02               7506         0        0
D ADVENT SOFTWARE IN             COMMON     007974108       21       1006 SH  -    OTHER   02                  0      1006        0
D ADVENT SOFTWARE IN             COMMON     007974108       17        837 SH  -    OTHER   02                 10        27      800
D ADVENT SOFTWARE IN             COMMON     007974108      478      22902 SH  -    DEFINED 04              22902         0        0
D ADVENT SOFTWARE IN             COMMON     007974108       11        516 SH  -    DEFINED 05                516         0        0
D ADVENT SOFTWARE IN             COMMON     007974108       57       2744 SH  -    DEFINED 08               2744         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  52
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ADVENT SOFTWARE IN             COMMON     007974108       10        480 SH  -    OTHER   10                  0         0      480
D AEROVIRONMENT INC              COMMON     008073108        5        163 SH  -    DEFINED 02                  0       163        0
D AEROVIRONMENT INC              COMMON     008073108        1         42 SH  -    DEFINED 02                 42         0        0
D AEROVIRONMENT INC              COMMON     008073108      268       9530 SH  -    OTHER   02                  0      9530        0
D AEROVIRONMENT INC              COMMON     008073108       10        347 SH  -    OTHER   02                  0         0      347
D AEROVIRONMENT INC              COMMON     008073108      307      10907 SH  -    DEFINED 04              10907         0        0
D AEROVIRONMENT INC              COMMON     008073108      242       8586 SH  -    DEFINED 05               8586         0        0
D AES TR III                     PREF CONV  00808N202      245       5000 SH  -    OTHER   01                  0         0        0
D AETNA INC(NEW)                 COMMON     00817Y108     1469      40422 SH  -    DEFINED 02              11318      5634    23470
D AETNA INC(NEW)                 COMMON     00817Y108      314       8639 SH  -    DEFINED 02               8639         0        0
D AETNA INC(NEW)                 COMMON     00817Y108       73       2000 SH  -    DEFINED 02               2000         0        0
D AETNA INC(NEW)                 COMMON     00817Y108      166       4570 SH  -    DEFINED 02               4298         0      272
D AETNA INC(NEW)                 COMMON     00817Y108     1950      53662 SH  -    OTHER   02              35478     17594      575
D AETNA INC(NEW)                 COMMON     00817Y108      388      10667 SH  -    OTHER   02               8254        87     2326
D AETNA INC(NEW)                 COMMON     00817Y108    14310     393775 SH  -    DEFINED 04             303999         0    89776
D AETNA INC(NEW)                 COMMON     00817Y108     4333     119223 SH  -    DEFINED 04             119223         0        0
D AETNA INC(NEW)                 COMMON     00817Y108       44       1200 SH  -    DEFINED 04               1200         0        0
D AETNA INC(NEW)                 COMMON     00817Y108      122       3366 SH  -    DEFINED 04               3366         0        0
D AETNA INC(NEW)                 COMMON     00817Y108       40       1100 SH  -    DEFINED 04               1100         0        0
D AETNA INC(NEW)                 COMMON     00817Y108       29        799 SH  -    DEFINED 04                  0         0      799
D AETNA INC(NEW)                 COMMON     00817Y108      366      10059 SH  -    OTHER   04                  0     10059        0
D AETNA INC(NEW)                 COMMON     00817Y108     1595      43900 SH  -    DEFINED 05              43900         0        0
D AETNA INC(NEW)                 COMMON     00817Y108       60       1646 SH  -    DEFINED 06               1646         0        0
D AETNA INC(NEW)                 COMMON     00817Y108      118       3239 SH  -    DEFINED 08               3239         0        0
D AETNA INC(NEW)                 COMMON     00817Y108      211       5800 SH  -    DEFINED 09               5800         0        0
D AETNA INC(NEW)                 COMMON     00817Y108       54       1495 SH  -    DEFINED 01               1495         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  53
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AETNA INC(NEW)                 COMMON     00817Y108        3         72 SH  -    OTHER   01                  0        72        0
D AETNA INC(NEW)                 COMMON     00817Y108      314       8635 SH  -    OTHER   10                  0         0     8635
D AFFILIATED MANAGERS GROUP      COMMON     008252108      160       2048 SH  -    DEFINED 02                 48         0     2000
D AFFILIATED MANAGERS GROUP      COMMON     008252108       26        333 SH  -    OTHER   02                  0       333        0
D AFFILIATED MANAGERS GROUP      COMMON     008252108       94       1209 SH  -    OTHER   02               1000         0      209
D AFFILIATED MANAGERS GROUP      COMMON     008252108    19588     250971 SH  -    DEFINED 04             168491         0    82480
D AFFILIATED MANAGERS GROUP      COMMON     008252108    15299     196017 SH  -    DEFINED 04             196017         0        0
D AFFILIATED MANAGERS GROUP      COMMON     008252108     1339      17150 SH  -    DEFINED 04              17150         0        0
D AFFILIATED MANAGERS GROUP      COMMON     008252108       83       1063 SH  -    DEFINED 05               1063         0        0
D AFFILIATED MANAGERS GROUP      COMMON     008252108      217       2780 SH  -    DEFINED 08               2780         0        0
D AFFILIATED MANAGERS GROUP      COMMON     008252108        2         20 SH  -    OTHER   01                  0        20        0
D AFFILIATED MANAGERS GROUP      COMMON     008252108      628       8049 SH  -    OTHER   10                  0         0     8049
D AFFYMAX INC                    COMMON     00826A109        1        245 SH  -    OTHER   02                  0       245        0
D AFFYMAX INC                    COMMON     00826A109      800     178550 SH  -    DEFINED 04             150150         0    28400
D AFFYMAX INC                    COMMON     00826A109      137      30604 SH  -    DEFINED 05              30604         0        0
D AFFYMAX INC                    COMMON     00826A109       16       3631 SH  -    DEFINED 08               3631         0        0
D AFFYMETRIX INC                 COMMON     00826T108        2        457 SH  -    OTHER   02                  0       457        0
D AFFYMETRIX INC                 COMMON     00826T108        0         25 SH  -    OTHER   02                 25         0        0
D AFFYMETRIX INC                 COMMON     00826T108     2144     437499 SH  -    DEFINED 04             396299         0    41200
D AFFYMETRIX INC                 COMMON     00826T108     1239     252876 SH  -    DEFINED 04             252876         0        0
D AFFYMETRIX INC                 COMMON     00826T108      256      52241 SH  -    DEFINED 05              52241         0        0
D AGILENT TECHS INC              COMMON     00846U101       19        620 SH  -    DEFINED 02                620         0        0
D AGILENT TECHS INC              COMMON     00846U101      151       4830 SH  -    DEFINED 02               4830         0        0
D AGILENT TECHS INC              COMMON     00846U101      132       4228 SH  -    DEFINED 02               4002         0      226
D AGILENT TECHS INC              COMMON     00846U101      755      24161 SH  -    OTHER   02               4178      8875    11108
D AGILENT TECHS INC              COMMON     00846U101     1318      42170 SH  -    OTHER   02              37010         0     5160

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  54
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AGILENT TECHS INC              COMMON     00846U101    40049    1281572 SH  -    DEFINED 04             764204         0   517368
D AGILENT TECHS INC              COMMON     00846U101    25344     811004 SH  -    DEFINED 04             811004         0        0
D AGILENT TECHS INC              COMMON     00846U101       80       2572 SH  -    DEFINED 04               2572         0        0
D AGILENT TECHS INC              COMMON     00846U101     2266      72526 SH  -    DEFINED 04              40951         0    31575
D AGILENT TECHS INC              COMMON     00846U101      301       9641 SH  -    OTHER   04                  0      9641        0
D AGILENT TECHS INC              COMMON     00846U101     2723      87136 SH  -    DEFINED 05              87136         0        0
D AGILENT TECHS INC              COMMON     00846U101     9939     318033 SH  -    DEFINED 09             296345     21688        0
D AGILENT TECHS INC              COMMON     00846U101      582      18638 SH  -    DEFINED 09              18638         0        0
D AGILENT TECHS INC              COMMON     00846U101     4233     135471 SH  -    DEFINED 09             135471         0        0
D AGILENT TECHS INC              COMMON     00846U101      781      24977 SH  -    OTHER   09                  0     24977        0
D AGILENT TECHS INC              COMMON     00846U101       14        435 SH  -    OTHER   01                  0       435        0
D AGILENT TECHS INC              COMMON     00846U101     1935      61911 SH  -    OTHER   10                  0         0    61911
D AGILYSYS INC                   COMMON     00847J105        2        315 SH  -    OTHER   02                  0       315        0
D AGILYSYS INC                   COMMON     00847J105      651      91333 SH  -    DEFINED 04              88433         0     2900
D AGILYSYS INC                   COMMON     00847J105      106      14849 SH  -    DEFINED 04              14849         0        0
D AGILYSYS INC                   COMMON     00847J105       52       7321 SH  -    DEFINED 05               7321         0        0
D AGNICO EAGLE MINES             COMMON     008474108       42        700 SH  -    DEFINED 02                700         0        0
D AGNICO EAGLE MINES             COMMON     008474108       89       1500 SH  -    OTHER   02                700         0      800
D AGNICO EAGLE MINES             COMMON     008474108       42        700 SH  -    OTHER   02                700         0        0
D AGNICO EAGLE MINES             COMMON     008474108     2598      43652 SH  -    DEFINED 05              43652         0        0
D AGNICO EAGLE MINES             COMMON     008474108      501       8416 SH  -    DEFINED 06               8416         0        0
D AGNICO EAGLE MINES             COMMON     008474108    11073     186036 SH  -    DEFINED 08             186036         0        0
D AGNICO EAGLE MINES             COMMON     008474108      605      10164 SH  -    OTHER   10                  0         0    10164
D AGREE REALTY CORP              COMMON     008492100    14379     660194 SH  -    DEFINED 04             583159         0    77035
D AGREE REALTY CORP              COMMON     008492100     1411      64800 SH  -    DEFINED 04              64800         0        0
D AGREE REALTY CORP              COMMON     008492100       30       1364 SH  -    DEFINED 04               1364         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  55
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AGREE REALTY CORP              COMMON     008492100        9        422 SH  -    OTHER   04                  0       422        0
D AGREE REALTY CORP              COMMON     008492100        3        143 SH  -    DEFINED 05                143         0        0
D AGRIUM INC                     COMMON     008916108        4         60 SH  -    DEFINED 02                 60         0        0
D AGRIUM INC                     COMMON     008916108     2041      30615 SH  -    OTHER   02              16430      4760     9425
D AGRIUM INC                     COMMON     008916108      201       3020 SH  -    OTHER   02                  0         0     3020
D AGRIUM INC                     COMMON     008916108    10437     156568 SH  -    DEFINED 05             156568         0        0
D AGRIUM INC                     COMMON     008916108      677      10153 SH  -    DEFINED 06              10153         0        0
D AGRIUM INC                     COMMON     008916108      593       8897 SH  -    DEFINED 09               8897         0        0
D AGRIUM INC                     COMMON     008916108       82       1225 SH  -    OTHER   01                  0      1225        0
D AGRIUM INC                     COMMON     008916108     1133      16991 SH  -    OTHER   10                  0         0    16991
D AIR LEASE CORP                 COMMON     00912X302       84       4400 SH  -    DEFINED 02               4400         0        0
D AIR LEASE CORP                 COMMON     00912X302     2048     106659 SH  -    OTHER   02                  0    106659        0
D AIR LEASE CORP                 COMMON     00912X302    40419    2105156 SH  -    DEFINED 04            1197147         0   908009
D AIR LEASE CORP                 COMMON     00912X302    10193     530900 SH  -    DEFINED 04             530900         0        0
D AIR LEASE CORP                 COMMON     00912X302       13        665 SH  -    DEFINED 04                665         0        0
D AIR LEASE CORP                 COMMON     00912X302       80       4184 SH  -    OTHER   04                  0      4184        0
D AIR METHODS CORP               COMMON     009128307      511       8019 SH  -    DEFINED 04               8019         0        0
D AIR METHODS CORP               COMMON     009128307      338       5304 SH  -    DEFINED 05               5304         0        0
D AIR PRODS & CHEMS INC          COMMON     009158106    54867     718443 SH  -    DEFINED 02             696845         0    21598
D AIR PRODS & CHEMS INC          COMMON     009158106    15024     196720 SH  -    DEFINED 02             190766         0     5954
D AIR PRODS & CHEMS INC          COMMON     009158106      174       2283 SH  -    DEFINED 02               2283         0        0
D AIR PRODS & CHEMS INC          COMMON     009158106     1051      13756 SH  -    DEFINED 02               5687         0     8069
D AIR PRODS & CHEMS INC          COMMON     009158106     8214     107554 SH  -    OTHER   02              41065     31114    35375
D AIR PRODS & CHEMS INC          COMMON     009158106     2520      32999 SH  -    OTHER   02              28851      2705     1443
D AIR PRODS & CHEMS INC          COMMON     009158106     8122     106357 SH  -    OTHER   02                  0    106357        0
D AIR PRODS & CHEMS INC          COMMON     009158106     3596      47091 SH  -    OTHER   02                  0     47091        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  56
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AIR PRODS & CHEMS INC          COMMON     009158106     3359      43982 SH  -    OTHER   02                  0     43982        0
D AIR PRODS & CHEMS INC          COMMON     009158106   419605    5494372 SH  -    DEFINED 04            4515248         0   979124
D AIR PRODS & CHEMS INC          COMMON     009158106     6453      84499 SH  -    DEFINED 04              84499         0        0
D AIR PRODS & CHEMS INC          COMMON     009158106    32144     420897 SH  -    DEFINED 04             420897         0        0
D AIR PRODS & CHEMS INC          COMMON     009158106      193       2525 SH  -    DEFINED 04               2525         0        0
D AIR PRODS & CHEMS INC          COMMON     009158106      278       3638 SH  -    DEFINED 04                  0         0     3638
D AIR PRODS & CHEMS INC          COMMON     009158106      112       1466 SH  -    OTHER   04                  0      1466        0
D AIR PRODS & CHEMS INC          COMMON     009158106     8193     107276 SH  -    DEFINED 05             107276         0        0
D AIR PRODS & CHEMS INC          COMMON     009158106       55        716 SH  -    DEFINED 06                716         0        0
D AIR PRODS & CHEMS INC          COMMON     009158106      175       2292 SH  -    DEFINED 08               2292         0        0
D AIR PRODS & CHEMS INC          COMMON     009158106     2645      34631 SH  -    DEFINED 09              34631         0        0
D AIR PRODS & CHEMS INC          COMMON     009158106      186       2437 SH  -    DEFINED 01               2341         0       96
D AIR PRODS & CHEMS INC          COMMON     009158106       76        993 SH  -    OTHER   01                 50       863       80
D AIRGAS INC                     COMMON     009363102       19        305 SH  -    DEFINED 02                305         0        0
D AIRGAS INC                     COMMON     009363102       53        829 SH  -    DEFINED 02                784         0       45
D AIRGAS INC                     COMMON     009363102       73       1144 SH  -    OTHER   02                  0      1108        0
D AIRGAS INC                     COMMON     009363102       75       1174 SH  -    OTHER   02                507         8      659
D AIRGAS INC                     COMMON     009363102    99350    1556718 SH  -    DEFINED 04            1485598         0    71120
D AIRGAS INC                     COMMON     009363102      732      11466 SH  -    DEFINED 04              11466         0        0
D AIRGAS INC                     COMMON     009363102     1678      26300 SH  -    DEFINED 04              26300         0        0
D AIRGAS INC                     COMMON     009363102      821      12871 SH  -    OTHER   04                  0     12871        0
D AIRGAS INC                     COMMON     009363102     4190      65654 SH  -    OTHER   04                  0     65654        0
D AIRGAS INC                     COMMON     009363102      122       1905 SH  -    DEFINED 05               1905         0        0
D AIRGAS INC                     COMMON     009363102       42        656 SH  -    DEFINED 06                656         0        0
D AIRGAS INC                     COMMON     009363102        4         55 SH  -    OTHER   10                  0         0       55
D AIRMEDIA GROUP INC             ADR        009411109     1510     606241 SH  -    DEFINED 09             606241         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  57
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AKAMAI TECHNOLOGIE             COMMON     00971T101       44       2204 SH  -    DEFINED 02               2125         0       79
D AKAMAI TECHNOLOGIE             COMMON     00971T101      299      15064 SH  -    OTHER   02                  0     15064        0
D AKAMAI TECHNOLOGIE             COMMON     00971T101       51       2545 SH  -    OTHER   02               2100         0      445
D AKAMAI TECHNOLOGIE             COMMON     00971T101      653      32824 SH  -    DEFINED 04              27545         0     5279
D AKAMAI TECHNOLOGIE             COMMON     00971T101      600      30206 SH  -    DEFINED 04              30206         0        0
D AKAMAI TECHNOLOGIE             COMMON     00971T101     3399     170993 SH  -    DEFINED 05             170993         0        0
D AKAMAI TECHNOLOGIE             COMMON     00971T101      860      43248 SH  -    DEFINED 08              43248         0        0
D AKAMAI TECHNOLOGIE             COMMON     00971T101        6        303 SH  -    OTHER   01                  0       303        0
D AKAMAI TECHNOLOGIE             COMMON     00971T101        8        390 SH  -    OTHER   10                  0         0      390
D ALASKA AIRGROUP                COMMON     011659109        8        137 SH  -    OTHER   02                106        31        0
D ALASKA AIRGROUP                COMMON     011659109    31124     552915 SH  -    DEFINED 04             502815         0    50100
D ALASKA AIRGROUP                COMMON     011659109     8063     143247 SH  -    DEFINED 04             143247         0        0
D ALASKA AIRGROUP                COMMON     011659109      576      10235 SH  -    OTHER   04                  0     10235        0
D ALASKA AIRGROUP                COMMON     011659109       75       1335 SH  -    DEFINED 05               1335         0        0
D ALASKA AIRGROUP                COMMON     011659109      393       6981 SH  -    DEFINED 08               6981         0        0
D ALASKA AIRGROUP                COMMON     011659109       90       1597 SH  -    DEFINED 09               1597         0        0
D ALASKA COM SYSTEMS             COMMON     01167P101        1        134 SH  -    OTHER   02                  0       134        0
D ALASKA COM SYSTEMS             COMMON     01167P101      151      23000 SH  -    DEFINED 04              23000         0        0
D ALASKA COM SYSTEMS             COMMON     01167P101        4        684 SH  -    DEFINED 05                684         0        0
D ALASKA COM SYSTEMS             COMMON     01167P101      209      31838 SH  -    DEFINED 08              31838         0        0
D ALBANY INTL CORP               COMMON     012348108       24       1303 SH  -    OTHER   02                  0      1303        0
D ALBANY INTL CORP               COMMON     012348108      368      20159 SH  -    DEFINED 04              20159         0        0
D ALBANY INTL CORP               COMMON     012348108      239      13122 SH  -    DEFINED 05              13122         0        0
D ALBEMARLE CORP                 COMMON     012653101       21        512 SH  -    DEFINED 02                512         0        0
D ALBEMARLE CORP                 COMMON     012653101        3         84 SH  -    DEFINED 02                 84         0        0
D ALBEMARLE CORP                 COMMON     012653101       29        719 SH  -    OTHER   02                  0       719        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  58
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALBEMARLE CORP                 COMMON     012653101    78548    1944268 SH  -    DEFINED 04            1875622         0    68646
D ALBEMARLE CORP                 COMMON     012653101      426      10550 SH  -    DEFINED 04              10550         0        0
D ALBEMARLE CORP                 COMMON     012653101       32        793 SH  -    DEFINED 04                793         0        0
D ALBEMARLE CORP                 COMMON     012653101     1306      32318 SH  -    DEFINED 04              32318         0        0
D ALBEMARLE CORP                 COMMON     012653101      724      17912 SH  -    OTHER   04                  0     17912        0
D ALBEMARLE CORP                 COMMON     012653101     3753      92891 SH  -    OTHER   04                  0     92891        0
D ALBEMARLE CORP                 COMMON     012653101       53       1317 SH  -    DEFINED 05               1317         0        0
D ALBEMARLE CORP                 COMMON     012653101       88       2188 SH  -    DEFINED 09               2188         0        0
D ALBEMARLE CORP                 COMMON     012653101        1         20 SH  -    OTHER   10                  0         0       20
D ALCOA INC                      BOND       013817AT8        3       2000 PRN -    DEFINED 02                  0         0        0
D ALCOA INC                      BOND       013817AT8     2520    1541000 PRN -    DEFINED 05                  0         0        0
D ALCOA INC                      COMMON     013817101      996     104037 SH  -    DEFINED 02              69757         0    34280
D ALCOA INC                      COMMON     013817101      467      48841 SH  -    DEFINED 02              35190         0    13651
D ALCOA INC                      COMMON     013817101      586      61249 SH  -    DEFINED 02              26374         0    34875
D ALCOA INC                      COMMON     013817101     1070     111836 SH  -    OTHER   02              31732     44666    35438
D ALCOA INC                      COMMON     013817101      120      12518 SH  -    OTHER   02              12375       143        0
D ALCOA INC                      COMMON     013817101   212551   22210176 SH  -    DEFINED 04           17334488         0  4875688
D ALCOA INC                      COMMON     013817101     5676     593052 SH  -    DEFINED 04             593052         0        0
D ALCOA INC                      COMMON     013817101    16507    1724826 SH  -    DEFINED 04            1724826         0        0
D ALCOA INC                      COMMON     013817101      513      53575 SH  -    DEFINED 04              53575         0        0
D ALCOA INC                      COMMON     013817101      198      20669 SH  -    DEFINED 04                  0         0    20669
D ALCOA INC                      COMMON     013817101       79       8247 SH  -    OTHER   04                  0      8247        0
D ALCOA INC                      COMMON     013817101    13027    1361254 SH  -    DEFINED 05            1361254         0        0
D ALCOA INC                      COMMON     013817101      220      23028 SH  -    DEFINED 06              23028         0        0
D ALCOA INC                      COMMON     013817101     5230     546550 SH  -    DEFINED 08             546550         0        0
D ALCOA INC                      COMMON     013817101     1640     171336 SH  -    DEFINED 09             171336         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  59
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALCOA INC                      COMMON     013817101     5388     563000 SH  -    DEFINED 09             563000         0        0
D ALCOA INC                      COMMON     013817101      989     103395 SH  -    OTHER   09                  0    103395        0
D ALCOA INC                      COMMON     013817101     5144     537500 SH  -    DEFINED 01             537500         0        0
D ALCOA INC                      COMMON     013817101       17       1800 SH  -    OTHER   01               1800         0        0
D ALCOA INC                      COMMON     013817101     2875     300373 SH  -    OTHER   10                  0         0   300373
D ALCATEL-LUCENT                 ADR        013904305      216      76444 SH  -    DEFINED 02              76444         0        0
D ALCATEL-LUCENT                 ADR        013904305        1        331 SH  -    DEFINED 02                331         0        0
D ALCATEL-LUCENT                 ADR        013904305       16       5534 SH  -    OTHER   02                186      5192      156
D ALCATEL-LUCENT                 ADR        013904305        0        102 SH  -    OTHER   02                  1         0      101
D ALCATEL-LUCENT                 ADR        013904305        0         19 SH  -    OTHER   04                  0        19        0
D ALCATEL-LUCENT                 ADR        013904305     1127     398261 SH  -    DEFINED 05             398261         0        0
D ALCATEL-LUCENT                 ADR        013904305     9112    3219944 SH  -    DEFINED 06            3219944         0        0
D ALCATEL-LUCENT                 ADR        013904305        0         70 SH  -    DEFINED 08                 70         0        0
D ALCATEL-LUCENT                 ADR        013904305        3       1054 SH  -    OTHER   01                  0       296        0
D ALCATEL-LUCENT                 ADR        013904305       98      34751 SH  -    OTHER   10                  0         0    34751
D ALCATEL-LUCENT                 OPTION     013904909      112      39500 SH  C    DEFINED 05              39500         0        0
D ALCATEL-LUCENT                 OPTION     013904958       38      13300 SH  P    DEFINED 05              13300         0        0
D ALEXANDER&BALDWIN              COMMON     014482103        5        128 SH  -    DEFINED 02                128         0        0
D ALEXANDER&BALDWIN              COMMON     014482103       10        268 SH  -    OTHER   02                  0       268        0
D ALEXANDER&BALDWIN              COMMON     014482103      184       5045 SH  -    OTHER   02                120      1480     3445
D ALEXANDER&BALDWIN              COMMON     014482103      290       7925 SH  -    DEFINED 04               7925         0        0
D ALEXANDER&BALDWIN              COMMON     014482103     3818     104515 SH  -    DEFINED 04             104515         0        0
D ALEXANDER&BALDWIN              COMMON     014482103       84       2311 SH  -    DEFINED 05               2311         0        0
D ALEXANDER&BALDWIN              COMMON     014482103       80       2182 SH  -    DEFINED 08               2182         0        0
D ALEXANDER&BALDWIN              COMMON     014482103        2         50 SH  -    OTHER   01                  0        50        0
D ALERE INC                      COMMON     01449J105       13        668 SH  -    DEFINED 02                 60       460      148

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  60
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALERE INC                      COMMON     01449J105       29       1462 SH  -    DEFINED 02                312       830      320
D ALERE INC                      COMMON     01449J105     3715     189057 SH  -    OTHER   02                959    169986    18112
D ALERE INC                      COMMON     01449J105      818      41607 SH  -    OTHER   02               2379      7358    31870
D ALERE INC                      COMMON     01449J105      735      37418 SH  -    DEFINED 04              37418         0        0
D ALERE INC                      COMMON     01449J105       42       2128 SH  -    DEFINED 05               2128         0        0
D ALERE INC                      COMMON     01449J105       27       1355 SH  -    DEFINED 08               1355         0        0
D ALERE INC                      COMMON     01449J105       55       2790 SH  -    OTHER   01                  0      2790        0
D ALERE INC                      COMMON     01449J105        1         49 SH  -    OTHER   10                  0         0       49
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109      651      10600 SH  -    DEFINED 02              10600         0        0
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109      142       2305 SH  -    DEFINED 02                715         0     1590
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109    60568     986604 SH  -    DEFINED 04             879221         0   107383
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109     4594      74837 SH  -    DEFINED 04              74837         0        0
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109      233       3800 SH  -    DEFINED 04               3800         0        0
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109       68       1100 SH  -    DEFINED 04               1100         0        0
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109     1479      24100 SH  -    DEFINED 04              18600         0        0
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109       24        390 SH  -    DEFINED 04                  0         0      390
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109     3903      63569 SH  -    DEFINED 05              63569         0        0
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109       19        317 SH  -    DEFINED 06                317         0        0
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109      381       6208 SH  -    DEFINED 08               6208         0        0
D ALEXANDRIA REAL ESTATE EQ INC  COMMON     015271109       18        300 SH  -    DEFINED 09                300         0        0
D ALEXION PHARMACEUT             COMMON     015351109     1443      22520 SH  -    DEFINED 02               4910         0    17610
D ALEXION PHARMACEUT             COMMON     015351109      273       4268 SH  -    DEFINED 02               4268         0        0
D ALEXION PHARMACEUT             COMMON     015351109      561       8765 SH  -    OTHER   02                907      5423     2385
D ALEXION PHARMACEUT             COMMON     015351109   103292    1612419 SH  -    DEFINED 04             784010         0   828409
D ALEXION PHARMACEUT             COMMON     015351109    64380    1005000 SH  -    DEFINED 04            1005000         0        0
D ALEXION PHARMACEUT             COMMON     015351109    10168     158730 SH  -    DEFINED 04             158730         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  61
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALEXION PHARMACEUT             COMMON     015351109      108       1693 SH  -    DEFINED 04               1693         0        0
D ALEXION PHARMACEUT             COMMON     015351109      109       1700 SH  -    DEFINED 04               1700         0        0
D ALEXION PHARMACEUT             COMMON     015351109      453       7076 SH  -    OTHER   04                  0      7076        0
D ALEXION PHARMACEUT             COMMON     015351109     1218      19007 SH  -    DEFINED 05              19007         0        0
D ALEXION PHARMACEUT             COMMON     015351109     1355      21153 SH  -    DEFINED 08              21153         0        0
D ALEXION PHARMACEUT             COMMON     015351109     1288      20111 SH  -    DEFINED 09              20111         0        0
D ALEXION PHARMACEUT             COMMON     015351109      146       2275 SH  -    DEFINED 01               2275         0        0
D ALEXION PHARMACEUT             COMMON     015351109      430       6713 SH  -    OTHER   01               6575        88       50
D ALEXION PHARMACEUT             COMMON     015351109     1002      15641 SH  -    OTHER   10                  0         0    15641
D ALEXZA PHARMACEUTICALS INC     COMMON     015384100       76      70763 SH  -    DEFINED 02              70763         0        0
D ALEXZA PHARMACEUTICALS INC     COMMON     015384100        1        477 SH  -    DEFINED 08                477         0        0
D ALICO INC                      COMMON     016230104      294      14984 SH  -    DEFINED 02              14984         0        0
D ALICO INC                      COMMON     016230104        1         56 SH  -    DEFINED 05                 56         0        0
D ALICO INC                      COMMON     016230104        4        213 SH  -    DEFINED 08                213         0        0
D ALIGN TECHNOLOGY INC           COMMON     016255101        8        544 SH  -    OTHER   02                  0       544        0
D ALIGN TECHNOLOGY INC           COMMON     016255101     1499      98800 SH  -    DEFINED 04              75200         0    23600
D ALIGN TECHNOLOGY INC           COMMON     016255101      340      22413 SH  -    DEFINED 04              22413         0        0
D ALIGN TECHNOLOGY INC           COMMON     016255101      482      31785 SH  -    DEFINED 05              31785         0        0
D ALIGN TECHNOLOGY INC           COMMON     016255101     2481     163518 SH  -    OTHER   10                  0         0   163518
D ALIMERA SCIENCES INC           COMMON     016259103        3        427 SH  -    DEFINED 02                427         0        0
D ALIMERA SCIENCES INC           COMMON     016259103      121      15076 SH  -    DEFINED 05              15076         0        0
D ALIMERA SCIENCES INC           COMMON     016259103        7        832 SH  -    DEFINED 08                832         0        0
D ALKERMES INC                   COMMON     01642T108     1917     125700 SH  -    DEFINED 04             125700         0        0
D ALLEGHANY CORP DEL             COMMON     017175100        2          8 SH  -    DEFINED 02                  8         0        0
D ALLEGHANY CORP DEL             COMMON     017175100     7968      27618 SH  -    OTHER   02              27586        32        0
D ALLEGHANY CORP DEL             COMMON     017175100       32        110 SH  -    DEFINED 04                110         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  62
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALLEGHANY CORP DEL             COMMON     017175100       27         95 SH  -    DEFINED 05                 95         0        0
D ALLEGHANY CORP DEL             COMMON     017175100      249        862 SH  -    DEFINED 08                862         0        0
D ALLEGHENY TECHNOLO             COMMON     01741R102        3         72 SH  -    DEFINED 02                 72         0        0
D ALLEGHENY TECHNOLO             COMMON     01741R102       48       1299 SH  -    DEFINED 02               1225         0       74
D ALLEGHENY TECHNOLO             COMMON     01741R102     2205      59614 SH  -    OTHER   02              12593     40348     6610
D ALLEGHENY TECHNOLO             COMMON     01741R102       97       2610 SH  -    OTHER   02                  0        10     2600
D ALLEGHENY TECHNOLO             COMMON     01741R102      700      18931 SH  -    DEFINED 04              15886         0     3045
D ALLEGHENY TECHNOLO             COMMON     01741R102      589      15932 SH  -    DEFINED 04              15932         0        0
D ALLEGHENY TECHNOLO             COMMON     01741R102     1397      37774 SH  -    DEFINED 05              37774         0        0
D ALLEGHENY TECHNOLO             COMMON     01741R102       50       1347 SH  -    DEFINED 06               1347         0        0
D ALLEGHENY TECHNOLO             COMMON     01741R102       69       1872 SH  -    OTHER   01                  0      1872        0
D ALLEGHENY TECHNOLO             COMMON     01741R102     1155      31219 SH  -    OTHER   10                  0         0    31219
D ALLEGIANT TRAVEL CO            COMMON     01748X102        8        171 SH  -    OTHER   02                  0       171        0
D ALLEGIANT TRAVEL CO            COMMON     01748X102      537      11387 SH  -    DEFINED 04              11387         0        0
D ALLEGIANT TRAVEL CO            COMMON     01748X102      326       6917 SH  -    DEFINED 05               6917         0        0
D ALLERGAN INC                   COMMON     018490102      365       4426 SH  -    DEFINED 02               4061       365        0
D ALLERGAN INC                   COMMON     018490102      974      11818 SH  -    DEFINED 02              11818         0        0
D ALLERGAN INC                   COMMON     018490102      314       3812 SH  -    DEFINED 02               3544         0      268
D ALLERGAN INC                   COMMON     018490102     6961      84503 SH  -    OTHER   02              16548     66981      927
D ALLERGAN INC                   COMMON     018490102     4632      56223 SH  -    OTHER   02              50484       586     5153
D ALLERGAN INC                   COMMON     018490102   103530    1256742 SH  -    DEFINED 04             664157         0   592585
D ALLERGAN INC                   COMMON     018490102    35970     436637 SH  -    DEFINED 04             436637         0        0
D ALLERGAN INC                   COMMON     018490102    10043     121910 SH  -    DEFINED 04             121910         0        0
D ALLERGAN INC                   COMMON     018490102      162       1963 SH  -    OTHER   04                  0      1963        0
D ALLERGAN INC                   COMMON     018490102     9649     117128 SH  -    DEFINED 05             117128         0        0
D ALLERGAN INC                   COMMON     018490102       91       1100 SH  -    DEFINED 01               1100         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  63
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALLERGAN INC                   COMMON     018490102      328       3984 SH  -    OTHER   01                336      3567        0
D ALLERGAN INC                   COMMON     018490102       16        196 SH  -    OTHER   10                  0         0      196
D ALLETE INC                     COMMON     018522300       55       1512 SH  -    OTHER   02                  0      1494        0
D ALLETE INC                     COMMON     018522300        6        170 SH  -    OTHER   02                  0         0      170
D ALLETE INC                     COMMON     018522300      793      21639 SH  -    DEFINED 04              21639         0        0
D ALLETE INC                     COMMON     018522300      549      14977 SH  -    DEFINED 05              14977         0        0
D ALLETE INC                     COMMON     018522300        3         71 SH  -    OTHER   01                  0        71        0
D ALLIANCE DATA SYSTEMS CORP     BOND       018581AC2        6       3000 PRN -    DEFINED 02                  0         0        0
D ALLIANCE DATA SYSTEMS CORP     BOND       018581AC2      270     132000 PRN -    DEFINED 05                  0         0        0
D ALLIANCE DATA SYSTEMS CORP     BOND       018581AD0       10       8000 PRN -    DEFINED 02                  0         0        0
D ALLIANCE DATA SYSTEMS CORP     BOND       018581AD0     1622    1282000 PRN -    DEFINED 05                  0         0        0
D ALLIANCE DATA SYSTEMS CORP     BOND       018581AD0     7080    5597000 PRN -    DEFINED 09                  0         0        0
D ALLIANCE DATA SYSTEMS CORP     BOND       018581AD0      651     515000 PRN -    DEFINED 09                  0         0        0
D ALLIANCE DATA SYSTEMS CORP     COMMON     018581108       68        730 SH  -    DEFINED 02                130         0      600
D ALLIANCE DATA SYSTEMS CORP     COMMON     018581108      182       1960 SH  -    DEFINED 02               1960         0        0
D ALLIANCE DATA SYSTEMS CORP     COMMON     018581108       72        779 SH  -    OTHER   02                  0       758        0
D ALLIANCE DATA SYSTEMS CORP     COMMON     018581108    38765     418178 SH  -    DEFINED 04             256111         0   162067
D ALLIANCE DATA SYSTEMS CORP     COMMON     018581108    39402     425046 SH  -    DEFINED 04             425046         0        0
D ALLIANCE DATA SYSTEMS CORP     COMMON     018581108      165       1778 SH  -    DEFINED 04               1778         0        0
D ALLIANCE DATA SYSTEMS CORP     COMMON     018581108      552       5952 SH  -    OTHER   04                  0      5952        0
D ALLIANCE DATA SYSTEMS CORP     COMMON     018581108      117       1265 SH  -    DEFINED 05               1265         0        0
D ALLIANCE DATA SYSTEMS CORP     COMMON     018581108   111201    1199584 SH  -    DEFINED 08            1199584         0        0
D ALLIANCE DATA SYSTEMS CORP     COMMON     018581108        5         59 SH  -    OTHER   01                  0        59        0
D ALLIANCE HEALTHCARE SRVCS INC  COMMON     018606202      242     212360 SH  -    DEFINED 04             191760         0    20600
D ALLIANCE HEALTHCARE SRVCS INC  COMMON     018606202        0        363 SH  -    DEFINED 05                363         0        0
D ALLIANCE HEALTHCARE SRVCS INC  COMMON     018606202        2       1354 SH  -    DEFINED 08               1354         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  64
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALLIANCE HOLDINGS GP LP        COMMON     01861G100      106       2400 SH  -    DEFINED 02               2400         0        0
D ALLIANCE HOLDINGS GP LP        COMMON     01861G100     1025      23300 SH  -    OTHER   02               1200     22100        0
D ALLIANCE HOLDINGS GP LP        COMMON     01861G100      384       8725 SH  -    OTHER   02                  0      8725        0
D ALLIANCE HOLDINGS GP LP        COMMON     01861G100    19340     439653 SH  -    DEFINED 10             439653         0        0
D ALLIANCE RES PARTN             COMMON     01877R108       20        300 SH  -    DEFINED 02                300         0        0
D ALLIANCE RES PARTN             COMMON     01877R108    22647     345436 SH  -    DEFINED 10             345436         0        0
D ALLIANCE RES PARTN             COMMON     01877R108      184       2800 SH  -    OTHER   10                  0         0     2800
D ALLIANCE ONE INTL INC          BOND       018772AQ6       40      50000 PRN -    DEFINED 05                  0         0        0
D ALLIANCE ONE INTL INC          COMMON     018772103      151      61962 SH  -    DEFINED 04              61962         0        0
D ALLIANCE ONE INTL INC          COMMON     018772103       99      40582 SH  -    DEFINED 05              40582         0        0
D ALLIANCE ONE INTL INC          COMMON     018772103        2        747 SH  -    DEFINED 08                747         0        0
D ALLIANT ENERGY CORP            COMMON     018802108       96       2481 SH  -    OTHER   02                  0      1494      987
D ALLIANT ENERGY CORP            COMMON     018802108       12        322 SH  -    OTHER   02                305         4       13
D ALLIANT ENERGY CORP            COMMON     018802108     4729     122249 SH  -    DEFINED 04             118149         0     4100
D ALLIANT ENERGY CORP            COMMON     018802108     5804     150064 SH  -    DEFINED 04             150064         0        0
D ALLIANT ENERGY CORP            COMMON     018802108        5        135 SH  -    OTHER   04                  0       135        0
D ALLIANT ENERGY CORP            COMMON     018802108      340       8799 SH  -    DEFINED 05               8799         0        0
D ALLIANT ENERGY CORP            COMMON     018802108     1303      33684 SH  -    DEFINED 08              33684         0        0
D ALLIANT ENERGY CORP            COMMON     018802108       28        715 SH  -    OTHER   10                  0         0      715
D ALLIANT TECHSYSTEMS INC        BOND       018804AK0     4285    4258000 PRN -    DEFINED 05                  0         0        0
D ALLIANT TECHSYSTEMS INC        BOND       018804AK0     4729    4700000 PRN -    DEFINED 09                  0         0        0
D ALLIANT TECHSYSTEMS INC        BOND       018804AK0      302     300000 PRN -    DEFINED 09                  0         0        0
D ALLIANT TECHSYSTEMS INC        COMMON     018804104      164       3004 SH  -    DEFINED 02                400      2604        0
D ALLIANT TECHSYSTEMS INC        COMMON     018804104     1110      20366 SH  -    OTHER   02               2546     15820     2000
D ALLIANT TECHSYSTEMS INC        COMMON     018804104    59933    1099481 SH  -    DEFINED 04            1058781         0    40700
D ALLIANT TECHSYSTEMS INC        COMMON     018804104     1492      27368 SH  -    DEFINED 04              27368         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  65
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALLIANT TECHSYSTEMS INC        COMMON     018804104     1374      25200 SH  -    DEFINED 04              25200         0        0
D ALLIANT TECHSYSTEMS INC        COMMON     018804104      744      13657 SH  -    OTHER   04                  0     13657        0
D ALLIANT TECHSYSTEMS INC        COMMON     018804104     3798      69672 SH  -    OTHER   04                  0     69672        0
D ALLIANT TECHSYSTEMS INC        COMMON     018804104     4053      74354 SH  -    DEFINED 05              74354         0        0
D ALLIANT TECHSYSTEMS INC        COMMON     018804104      229       4198 SH  -    DEFINED 08               4198         0        0
D ALLIANT TECHSYSTEMS INC        COMMON     018804104       44        800 SH  -    DEFINED 01                800         0        0
D ALLIANT TECHSYSTEMS INC        COMMON     018804104        4         65 SH  -    OTHER   01                  0        65        0
D ALLIANT TECHSYSTEMS INC        COMMON     018804104        1         15 SH  -    OTHER   10                  0         0       15
D ALLIANCEBERNSTEIN HOLDING LP   COMMON     01881G106      246      18000 SH  -    DEFINED 02                  0         0    18000
D ALLIANCEBERNSTEIN HOLDING LP   COMMON     01881G106       41       3000 SH  -    DEFINED 02               3000         0        0
D ALLIANCEBERNSTEIN HOLDING LP   COMMON     01881G106      265      19450 SH  -    OTHER   02               1450     18000        0
D ALLIANCEBERNSTEIN HOLDING LP   COMMON     01881G106       94       6880 SH  -    OTHER   02                  0      6700      180
D ALLIANCEBERNSTEIN HOLDING LP   COMMON     01881G106        3        200 SH  -    DEFINED 05                200         0        0
D ALLIANCEBERNSTEIN HOLDING LP   COMMON     01881G106        4        311 SH  -    OTHER   10                  0         0      311
D ALLIANCE FINANCIAL CORP NY     COMMON     019205103      548      19520 SH  -    DEFINED 04              18520         0     1000
D ALLIANCE FINANCIAL CORP NY     COMMON     019205103        8        283 SH  -    DEFINED 08                283         0        0
D ALLIED NEVADA GOLD CORP        COMMON     019344100       25        711 SH  -    OTHER   02                  0       586      125
D ALLIED NEVADA GOLD CORP        COMMON     019344100      489      13646 SH  -    DEFINED 04              13646         0        0
D ALLIED NEVADA GOLD CORP        COMMON     019344100       60       1682 SH  -    DEFINED 05               1682         0        0
D ALLIED NEVADA GOLD CORP        COMMON     019344100       14        400 SH  -    OTHER   10                  0         0      400
D ALLOS THERAPEUTICS             COMMON     019777101      215     117707 SH  -    DEFINED 05             117707         0        0
D ALLOS THERAPEUTICS             COMMON     019777101       18      10000 SH  -    DEFINED 06              10000         0        0
D ALLOS THERAPEUTICS             COMMON     019777101      100      54669 SH  -    DEFINED 08              54669         0        0
D ALLOS THERAPEUTICS             COMMON     019777101       14       7500 SH  -    OTHER   10                  0         0     7500
D ALLSCRIPTS HEALTHCARE SOLUTNS  COMMON     01988P108        9        490 SH  -    DEFINED 02                330       160        0
D ALLSCRIPTS HEALTHCARE SOLUTNS  COMMON     01988P108        1         80 SH  -    DEFINED 02                  0         0       80

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  66
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALLSCRIPTS HEALTHCARE SOLUTNS  COMMON     01988P108      630      34944 SH  -    OTHER   02                134     27420     7390
D ALLSCRIPTS HEALTHCARE SOLUTNS  COMMON     01988P108      249      13817 SH  -    OTHER   02                460      1450    11907
D ALLSCRIPTS HEALTHCARE SOLUTNS  COMMON     01988P108     2432     134936 SH  -    DEFINED 04             134936         0        0
D ALLSCRIPTS HEALTHCARE SOLUTNS  COMMON     01988P108      372      20652 SH  -    DEFINED 05              20652         0        0
D ALLSCRIPTS HEALTHCARE SOLUTNS  COMMON     01988P108     1434      79552 SH  -    DEFINED 08              79552         0        0
D ALLSCRIPTS HEALTHCARE SOLUTNS  COMMON     01988P108       19       1054 SH  -    OTHER   01                  0      1054        0
D ALLSCRIPTS HEALTHCARE SOLUTNS  COMMON     01988P108      691      38346 SH  -    OTHER   10                  0         0    38346
D ALLSTATE CORP                  COMMON     020002101      938      39601 SH  -    DEFINED 02              39601         0        0
D ALLSTATE CORP                  COMMON     020002101     1059      44717 SH  -    DEFINED 02              44184         0      533
D ALLSTATE CORP                  COMMON     020002101      208       8787 SH  -    DEFINED 02               6213         0     2574
D ALLSTATE CORP                  COMMON     020002101     2695     113745 SH  -    OTHER   02              38506     36045    39052
D ALLSTATE CORP                  COMMON     020002101     1072      45243 SH  -    OTHER   02              18998       285    25960
D ALLSTATE CORP                  COMMON     020002101    75810    3200104 SH  -    DEFINED 04            2605802         0   594302
D ALLSTATE CORP                  COMMON     020002101     2026      85508 SH  -    DEFINED 04              85508         0        0
D ALLSTATE CORP                  COMMON     020002101     7393     312092 SH  -    DEFINED 04             312092         0        0
D ALLSTATE CORP                  COMMON     020002101       52       2175 SH  -    DEFINED 04               2175         0        0
D ALLSTATE CORP                  COMMON     020002101        2         92 SH  -    OTHER   04                  0        92        0
D ALLSTATE CORP                  COMMON     020002101    18136     765561 SH  -    DEFINED 05             765561         0        0
D ALLSTATE CORP                  COMMON     020002101       23        979 SH  -    DEFINED 06                979         0        0
D ALLSTATE CORP                  COMMON     020002101    13352     563631 SH  -    DEFINED 08             563631         0        0
D ALLSTATE CORP                  COMMON     020002101      276      11634 SH  -    DEFINED 09              11634         0        0
D ALLSTATE CORP                  COMMON     020002101       50       2094 SH  -    DEFINED 01                  0         0     2094
D ALLSTATE CORP                  COMMON     020002101       14        600 SH  -    OTHER   01                  0       600        0
D ALLSTATE CORP                  COMMON     020002101     1236      52162 SH  -    OTHER   10                  0         0    52162
D ALLSTATE CORP                  OPTION     020002903     3651     154100 SH  C    DEFINED 05             154100         0        0
D ALLSTATE CORP                  OPTION     020002903     2369     100000 SH  C    DEFINED 08             100000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  67
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALLSTATE CORP                  OPTION     020002952     3307     139600 SH  P    DEFINED 05             139600         0        0
D ALLSTATE CORP                  OPTION     020002952     2369     100000 SH  P    DEFINED 08             100000         0        0
D ALNYLAM PHARMACEUTICALS INC    COMMON     02043Q107      402      61210 SH  -    DEFINED 05              61210         0        0
D ALNYLAM PHARMACEUTICALS INC    COMMON     02043Q107       14       2203 SH  -    DEFINED 08               2203         0        0
D ALON USA ENERGY INC            COMMON     020520102        2        372 SH  -    OTHER   02                  0       372        0
D ALON USA ENERGY INC            COMMON     020520102      286      46675 SH  -    DEFINED 04              38975         0     7700
D ALON USA ENERGY INC            COMMON     020520102       34       5600 SH  -    DEFINED 04               5600         0        0
D ALON USA ENERGY INC            COMMON     020520102        1        169 SH  -    DEFINED 05                169         0        0
D ALON USA ENERGY INC            COMMON     020520102        5        810 SH  -    DEFINED 08                810         0        0
D ALPHA NATURAL RESOURCES INC    COMMON     02076X102        0         10 SH  -    DEFINED 02                 10         0        0
D ALPHA NATURAL RESOURCES INC    COMMON     02076X102       49       2744 SH  -    DEFINED 02               2609         0      135
D ALPHA NATURAL RESOURCES INC    COMMON     02076X102      159       8977 SH  -    OTHER   02                  0      8977        0
D ALPHA NATURAL RESOURCES INC    COMMON     02076X102        0         24 SH  -    OTHER   02                  0        24        0
D ALPHA NATURAL RESOURCES INC    COMMON     02076X102      962      54384 SH  -    DEFINED 04              47901         0     6483
D ALPHA NATURAL RESOURCES INC    COMMON     02076X102     1237      69909 SH  -    DEFINED 04              69909         0        0
D ALPHA NATURAL RESOURCES INC    COMMON     02076X102      117       6604 SH  -    DEFINED 05               6604         0        0
D ALPHA NATURAL RESOURCES INC    COMMON     02076X102       48       2686 SH  -    DEFINED 06               2686         0        0
D ALPHA NATURAL RESOURCES INC    COMMON     02076X102       23       1307 SH  -    OTHER   10                  0         0     1307
D ALTERA                         COMMON     021441100      596      18915 SH  -    DEFINED 02              11615         0     7300
D ALTERA                         COMMON     021441100      283       8985 SH  -    DEFINED 02               6625         0     2360
D ALTERA                         COMMON     021441100      412      13069 SH  -    DEFINED 02               6274         0     6795
D ALTERA                         COMMON     021441100      636      20181 SH  -    OTHER   02              10105     10076        0
D ALTERA                         COMMON     021441100      123       3911 SH  -    OTHER   02               3885        26        0
D ALTERA                         COMMON     021441100   104052    3300090 SH  -    DEFINED 04            2838155         0   461935
D ALTERA                         COMMON     021441100    11346     359843 SH  -    DEFINED 04             359843         0        0
D ALTERA                         COMMON     021441100    12669     401818 SH  -    DEFINED 04             401818         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  68
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALTERA                         COMMON     021441100       39       1235 SH  -    DEFINED 04                  0         0     1235
D ALTERA                         COMMON     021441100       15        478 SH  -    OTHER   04                  0       478        0
D ALTERA                         COMMON     021441100      277       8770 SH  -    DEFINED 05               8770         0        0
D ALTERA                         COMMON     021441100      483      15308 SH  -    DEFINED 09              15308         0        0
D ALTERA                         COMMON     021441100      164       5203 SH  -    OTHER   01               5154        49        0
D ALTERA                         COMMON     021441100      576      18259 SH  -    OTHER   10                  0         0    18259
D ALTERA                         OPTION     021441902      347      11000 SH  C    DEFINED 05              11000         0        0
D ALTRA HOLDINGS INC             COMMON     02208R106     8871     766753 SH  -    DEFINED 04             725415         0    41338
D ALTRA HOLDINGS INC             COMMON     02208R106        5        407 SH  -    DEFINED 05                407         0        0
D ALTRA HOLDINGS INC             COMMON     02208R106       18       1574 SH  -    DEFINED 08               1574         0        0
D ALTRIA GROUP INC               COMMON     02209S103     3699     137974 SH  -    DEFINED 02              68138      2580    67256
D ALTRIA GROUP INC               COMMON     02209S103     5722     213445 SH  -    DEFINED 02             213370         0       75
D ALTRIA GROUP INC               COMMON     02209S103      112       4183 SH  -    DEFINED 02               4183         0        0
D ALTRIA GROUP INC               COMMON     02209S103      640      23869 SH  -    DEFINED 02              23869         0        0
D ALTRIA GROUP INC               COMMON     02209S103    21749     811242 SH  -    OTHER   02             279622    473992    52577
D ALTRIA GROUP INC               COMMON     02209S103     7676     286319 SH  -    OTHER   02             225299     24159    36861
D ALTRIA GROUP INC               COMMON     02209S103    34388    1282646 SH  -    DEFINED 04            1204447         0    78199
D ALTRIA GROUP INC               COMMON     02209S103     9052     337652 SH  -    DEFINED 04             337652         0        0
D ALTRIA GROUP INC               COMMON     02209S103      168       6280 SH  -    DEFINED 04               6280         0        0
D ALTRIA GROUP INC               COMMON     02209S103      112       4179 SH  -    DEFINED 04                  0         0     4179
D ALTRIA GROUP INC               COMMON     02209S103        2         79 SH  -    OTHER   04                  0        79        0
D ALTRIA GROUP INC               COMMON     02209S103    32079    1196527 SH  -    DEFINED 05            1196527         0        0
D ALTRIA GROUP INC               COMMON     02209S103    36723    1369732 SH  -    DEFINED 08            1369732         0        0
D ALTRIA GROUP INC               COMMON     02209S103       22        825 SH  -    DEFINED 01                825         0        0
D ALTRIA GROUP INC               COMMON     02209S103     1519      56664 SH  -    OTHER   01              22500     33764      400
D ALTRIA GROUP INC               COMMON     02209S103     4569     170414 SH  -    OTHER   10                  0         0   170414

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  69
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ALTRIA GROUP INC               OPTION     02209S905     4027     150200 SH  C    DEFINED 05             150200         0        0
D ALTRIA GROUP INC               OPTION     02209S905      273      10200 SH  C    DEFINED 08              10200         0        0
D ALTRIA GROUP INC               OPTION     02209S954     2284      85200 SH  P    DEFINED 05              85200         0        0
D ALTRIA GROUP INC               OPTION     02209S954    12695     473500 SH  P    DEFINED 08             473500         0        0
D AMARIN CORP PLC                ADR        023111206      261      28422 SH  -    DEFINED 09              28422         0        0
D AMAZON COM INC                 COMMON     023135106    50971     235724 SH  -    DEFINED 02             204644      1733    29347
D AMAZON COM INC                 COMMON     023135106    16673      77106 SH  -    DEFINED 02              74291        74     2741
D AMAZON COM INC                 COMMON     023135106     9046      41834 SH  -    DEFINED 02              41834         0        0
D AMAZON COM INC                 COMMON     023135106     2735      12650 SH  -    DEFINED 02               6520         0     6130
D AMAZON COM INC                 COMMON     023135106    25945     119988 SH  -    OTHER   02              55839     45779    18322
D AMAZON COM INC                 COMMON     023135106     2962      13699 SH  -    OTHER   02               9842       974     2883
D AMAZON COM INC                 COMMON     023135106      507       2346 SH  -    OTHER   02                  0      2346        0
D AMAZON COM INC                 COMMON     023135106      301       1393 SH  -    OTHER   02                  0      1393        0
D AMAZON COM INC                 COMMON     023135106      773       3575 SH  -    OTHER   02                  0      3575        0
D AMAZON COM INC                 COMMON     023135106   936581    4331411 SH  -    DEFINED 04            3162798         0  1168613
D AMAZON COM INC                 COMMON     023135106    94261     435931 SH  -    DEFINED 04             435931         0        0
D AMAZON COM INC                 COMMON     023135106    85721     396434 SH  -    DEFINED 04             396434         0        0
D AMAZON COM INC                 COMMON     023135106    13216      61119 SH  -    DEFINED 04              61119         0        0
D AMAZON COM INC                 COMMON     023135106    39418     182296 SH  -    DEFINED 04             171993         0    10303
D AMAZON COM INC                 COMMON     023135106      560       2591 SH  -    DEFINED 04                  0         0     2591
D AMAZON COM INC                 COMMON     023135106    37652     174131 SH  -    OTHER   04                  0    174131        0
D AMAZON COM INC                 COMMON     023135106    11399      52715 SH  -    DEFINED 05              52715         0        0
D AMAZON COM INC                 COMMON     023135106    51015     235928 SH  -    DEFINED 08             235928         0        0
D AMAZON COM INC                 COMMON     023135106   109365     505781 SH  -    DEFINED 09             491354      5835     3667
D AMAZON COM INC                 COMMON     023135106     2554      11813 SH  -    DEFINED 09              11813         0        0
D AMAZON COM INC                 COMMON     023135106    13045      60331 SH  -    DEFINED 09              60331         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  70
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMAZON COM INC                 COMMON     023135106     8201      37928 SH  -    DEFINED 09              11875         0        0
D AMAZON COM INC                 COMMON     023135106     1244       5752 SH  -    OTHER   09                  0      5752        0
D AMAZON COM INC                 COMMON     023135106     3210      14846 SH  -    DEFINED 01              12336       913     1597
D AMAZON COM INC                 COMMON     023135106     1541       7125 SH  -    OTHER   01               2511      2784     1780
D AMAZON COM INC                 COMMON     023135106     2817      13026 SH  -    OTHER   10                  0         0    13026
D AMAZON COM INC                 OPTION     023135908    10487      48500 SH  C    DEFINED 05              48500         0        0
D AMAZON COM INC                 OPTION     023135908     5946      27500 SH  C    DEFINED 08              27500         0        0
D AMAZON COM INC                 OPTION     023135957     1924       8900 SH  P    DEFINED 05               8900         0        0
D AMAZON COM INC                 OPTION     023135957    29386     135900 SH  P    DEFINED 08             135900         0        0
D AMBOW ED HLDG LTD              ADR        02322P101     5690     834368 SH  -    DEFINED 05             834368         0        0
D AMCOL INTL CORP                COMMON     02341W103      198       8274 SH  -    DEFINED 02               8274         0        0
D AMCOL INTL CORP                COMMON     02341W103        1         55 SH  -    OTHER   02                  0        55        0
D AMCOL INTL CORP                COMMON     02341W103      433      18041 SH  -    DEFINED 04              18041         0        0
D AMCOL INTL CORP                COMMON     02341W103      280      11676 SH  -    DEFINED 05              11676         0        0
D AMEDISYS INC                   COMMON     023436108        3        181 SH  -    DEFINED 02                181         0        0
D AMEDISYS INC                   COMMON     023436108        2        122 SH  -    OTHER   02                122         0        0
D AMEDISYS INC                   COMMON     023436108      317      21359 SH  -    DEFINED 04              21359         0        0
D AMEDISYS INC                   COMMON     023436108      204      13750 SH  -    DEFINED 05              13750         0        0
D AMERCO                         COMMON     023586100      276       4414 SH  -    OTHER   02                160      4134      120
D AMERCO                         COMMON     023586100     1674      26800 SH  -    DEFINED 04              26800         0        0
D AMERCO                         COMMON     023586100      125       2000 SH  -    DEFINED 04               2000         0        0
D AMERCO                         COMMON     023586100        7        119 SH  -    DEFINED 05                119         0        0
D AMERCO                         COMMON     023586100      101       1625 SH  -    DEFINED 08               1625         0        0
D AMEREN CORP                    COMMON     023608102      269       9038 SH  -    DEFINED 02                  0      9038        0
D AMEREN CORP                    COMMON     023608102       17        583 SH  -    DEFINED 02                583         0        0
D AMEREN CORP                    COMMON     023608102       87       2933 SH  -    DEFINED 02               2785         0      148

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  71
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMEREN CORP                    COMMON     023608102     1304      43798 SH  -    OTHER   02               9161     32842     1795
D AMEREN CORP                    COMMON     023608102      917      30804 SH  -    OTHER   02              23040        49     7715
D AMEREN CORP                    COMMON     023608102     8562     287600 SH  -    DEFINED 04             266181         0    21419
D AMEREN CORP                    COMMON     023608102     4629     155489 SH  -    DEFINED 04             155489         0        0
D AMEREN CORP                    COMMON     023608102      117       3932 SH  -    DEFINED 04               3932         0        0
D AMEREN CORP                    COMMON     023608102      884      29711 SH  -    OTHER   04                  0     29711        0
D AMEREN CORP                    COMMON     023608102     1696      56986 SH  -    DEFINED 05              56986         0        0
D AMEREN CORP                    COMMON     023608102       96       3212 SH  -    DEFINED 09               3212         0        0
D AMEREN CORP                    COMMON     023608102        2         73 SH  -    OTHER   10                  0         0       73
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105      204       9221 SH  -    DEFINED 02               9221         0        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105    12579     569687 SH  -    DEFINED 02             569687         0        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105      269      12200 SH  -    OTHER   02               4800      1800     5600
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105        1         60 SH  -    OTHER   02                 60         0        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105     3523     159558 SH  -    DEFINED 04             159558         0        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105     1062      48095 SH  -    DEFINED 04              48095         0        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105    52827    2392546 SH  -    DEFINED 04            2392546         0        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105    44095    1997040 SH  -    DEFINED 04            1595276         0   401764
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105     2800     126829 SH  -    OTHER   04                  0    126829        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105      778      35247 SH  -    OTHER   04                  0     35247        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105     1466      66400 SH  -    DEFINED 05              66400         0        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105    15285     692252 SH  -    DEFINED 08             692252         0        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105     7842     355154 SH  -    DEFINED 09             124914    191604    38636
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105    12484     565414 SH  -    DEFINED 09             488434         0    76980
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105       13        600 SH  -    OTHER   01                600         0        0
D AMERICA MOVIL S A DE C V ADR S ADR        02364W105     7392     334804 SH  -    OTHER   10                  0         0   334804
D AMERICA MOVIL SAB DE CV ADR SE ADR        02364W204      904      40800 SH  -    DEFINED 08              40800         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  72
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMERICAN AXLE & MFG HLDGS INC  COMMON     024061103      191      25000 SH  -    DEFINED 02              25000         0        0
D AMERICAN AXLE & MFG HLDGS INC  COMMON     024061103        5        667 SH  -    OTHER   02                  0       667        0
D AMERICAN AXLE & MFG HLDGS INC  COMMON     024061103      153      20000 SH  -    DEFINED 04              15200         0     4800
D AMERICAN AXLE & MFG HLDGS INC  COMMON     024061103       25       3330 SH  -    DEFINED 05               3330         0        0
D AMERICAN AXLE & MFG HLDGS INC  COMMON     024061103       24       3181 SH  -    DEFINED 08               3181         0        0
D AMERICAN CAMPUS CMNTYS INC     COMMON     024835100     6609     177602 SH  -    DEFINED 04             165525         0    12077
D AMERICAN CAMPUS CMNTYS INC     COMMON     024835100       38       1030 SH  -    DEFINED 05               1030         0        0
D AMERICAN CAMPUS CMNTYS INC     COMMON     024835100       20        529 SH  -    DEFINED 06                529         0        0
D AMERICAN CAPITAL AGENCY CORP   COMMON     02503X105      271      10000 SH  -    DEFINED 02              10000         0        0
D AMERICAN CAPITAL AGENCY CORP   COMMON     02503X105       24        869 SH  -    OTHER   02                230       639        0
D AMERICAN CAPITAL AGENCY CORP   COMMON     02503X105       11        410 SH  -    OTHER   02                  0       410        0
D AMERICAN CAPITAL AGENCY CORP   COMMON     02503X105     6630     244655 SH  -    DEFINED 04             244655         0        0
D AMERICAN CAPITAL AGENCY CORP   COMMON     02503X105      211       7801 SH  -    DEFINED 05               7801         0        0
D AMERICAN CAPITAL AGENCY CORP   COMMON     02503X105     1931      71270 SH  -    DEFINED 08              71270         0        0
D AMERICAN CAPITAL AGENCY CORP   COMMON     02503X105      214       7900 SH  -    OTHER   01               7900         0        0
D AMERICAN CAPITAL AGENCY CORP   COMMON     02503X105      190       7000 SH  -    OTHER   10                  0         0     7000
D AMERICAN CAP LTD               COMMON     02503Y103      140      20499 SH  -    DEFINED 02               5099         0    15400
D AMERICAN CAP LTD               COMMON     02503Y103       20       2932 SH  -    OTHER   02                  0      2177      755
D AMERICAN CAP LTD               COMMON     02503Y103     2507     367662 SH  -    DEFINED 04             298262         0    69400
D AMERICAN CAP LTD               COMMON     02503Y103     1280     187750 SH  -    DEFINED 04             101761         0    85989
D AMERICAN CAP LTD               COMMON     02503Y103       38       5633 SH  -    DEFINED 05               5633         0        0
D AMERICAN CAP LTD               COMMON     02503Y103    26531    3890243 SH  -    DEFINED 08            3890243         0        0
D AMERICAN CAP LTD               COMMON     02503Y103     5180     759475 SH  -    DEFINED 09             708227     51248        0
D AMERICAN CAP LTD               COMMON     02503Y103      293      42921 SH  -    DEFINED 09              42921         0        0
D AMERICAN CAP LTD               COMMON     02503Y103     2503     367041 SH  -    DEFINED 09             367041         0        0
D AMERICAN CAP LTD               COMMON     02503Y103      120      17582 SH  -    OTHER   09                  0     17582        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  73
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMERICAN CAP LTD               COMMON     02503Y103        1        143 SH  -    OTHER   01                  0       143        0
D AMERICAN CAP LTD               COMMON     02503Y103       13       1929 SH  -    OTHER   10                  0         0     1929
D AMERICAN CAP MTG INVT CORP     COMMON     02504A104      263      15743 SH  -    DEFINED 05              15743         0        0
D AMERERICAN DENTAL PARNTERS     COMMON     025353103      643      66525 SH  -    DEFINED 04              60125         0     6400
D AMERERICAN DENTAL PARNTERS     COMMON     025353103        0          1 SH  -    DEFINED 05                  1         0        0
D AMERERICAN DENTAL PARNTERS     COMMON     025353103        9        895 SH  -    DEFINED 08                895         0        0
D AMERICAN EALGEL OUTFITTERS     COMMON     02553E106        1        111 SH  -    DEFINED 02                111         0        0
D AMERICAN EALGEL OUTFITTERS     COMMON     02553E106      147      12517 SH  -    OTHER   02                  0     12517        0
D AMERICAN EALGEL OUTFITTERS     COMMON     02553E106    29092    2482221 SH  -    DEFINED 04            2330931         0   151290
D AMERICAN EALGEL OUTFITTERS     COMMON     02553E106     4863     414930 SH  -    DEFINED 04             414930         0        0
D AMERICAN EALGEL OUTFITTERS     COMMON     02553E106     2386     203594 SH  -    DEFINED 05             203594         0        0
D AMERICAN EALGEL OUTFITTERS     COMMON     02553E106     8503     725519 SH  -    DEFINED 08             725519         0        0
D AMERICAN EALGEL OUTFITTERS     COMMON     02553E106      516      44035 SH  -    OTHER   10                  0         0    44035
D AMERICAN EALGEL OUTFITTERS     OPTION     02553E908      352      30000 SH  C    DEFINED 05              30000         0        0
D AMER ELEC PWR INC              COMMON     025537101     1058      27825 SH  -    DEFINED 02              15025         0    12800
D AMER ELEC PWR INC              COMMON     025537101      472      12406 SH  -    DEFINED 02              12406         0        0
D AMER ELEC PWR INC              COMMON     025537101      461      12121 SH  -    DEFINED 02               7273         0     4848
D AMER ELEC PWR INC              COMMON     025537101     1124      29567 SH  -    OTHER   02              14614     13214     1739
D AMER ELEC PWR INC              COMMON     025537101     1061      27912 SH  -    OTHER   02              24118        17     3777
D AMER ELEC PWR INC              COMMON     025537101   198820    5229365 SH  -    DEFINED 04            3836066         0  1393299
D AMER ELEC PWR INC              COMMON     025537101     4995     131386 SH  -    DEFINED 04             131386         0        0
D AMER ELEC PWR INC              COMMON     025537101    12498     328712 SH  -    DEFINED 04             328712         0        0
D AMER ELEC PWR INC              COMMON     025537101      238       6247 SH  -    DEFINED 04               6247         0        0
D AMER ELEC PWR INC              COMMON     025537101      140       3670 SH  -    DEFINED 04                  0         0     3670
D AMER ELEC PWR INC              COMMON     025537101     1315      34583 SH  -    OTHER   04                  0     34583        0
D AMER ELEC PWR INC              COMMON     025537101      957      25179 SH  -    DEFINED 05              25179         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  74
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMER ELEC PWR INC              COMMON     025537101     1252      32922 SH  -    DEFINED 09              32922         0        0
D AMER ELEC PWR INC              COMMON     025537101      281       7400 SH  -    DEFINED 01                  0         0     7400
D AMER ELEC PWR INC              COMMON     025537101        8        208 SH  -    OTHER   01                  0       208        0
D AMER ELEC PWR INC              COMMON     025537101     1320      34710 SH  -    OTHER   10                  0         0    34710
D AMER ELEC PWR INC              OPTION     025537903     7513     197600 SH  C    DEFINED 08             197600         0        0
D AMERICAN EQTY INVT LIFE HLD CO COMMON     025676206        7        758 SH  -    OTHER   02                  0       758        0
D AMERICAN EQTY INVT LIFE HLD CO COMMON     025676206    10853    1240295 SH  -    DEFINED 04            1109695         0   130600
D AMERICAN EQTY INVT LIFE HLD CO COMMON     025676206     3063     350000 SH  -    DEFINED 04             350000         0        0
D AMERICAN EQTY INVT LIFE HLD CO COMMON     025676206        7        855 SH  -    DEFINED 05                855         0        0
D AMERICAN EQTY INVT LIFE HLD CO COMMON     025676206    11256    1286375 SH  -    DEFINED 08            1286375         0        0
D AMERICAN EQTY INVT LIFE HLD CO COMMON     025676206      121      13804 SH  -    DEFINED 09                  0         0    13804
D AMER EXPRESS CO                COMMON     025816109    14348     319561 SH  -    DEFINED 02             273643      1360    44558
D AMER EXPRESS CO                COMMON     025816109     7756     172745 SH  -    DEFINED 02             166202      1375     5168
D AMER EXPRESS CO                COMMON     025816109     6809     151644 SH  -    DEFINED 02             151644         0        0
D AMER EXPRESS CO                COMMON     025816109     1040      23169 SH  -    DEFINED 02              15309         0     7860
D AMER EXPRESS CO                COMMON     025816109    29622     659738 SH  -    OTHER   02             182124    374887   100805
D AMER EXPRESS CO                COMMON     025816109     5177     115303 SH  -    OTHER   02              88484     18242     8577
D AMER EXPRESS CO                COMMON     025816109      166       3690 SH  -    OTHER   02                  0      3690        0
D AMER EXPRESS CO                COMMON     025816109       55       1217 SH  -    OTHER   02                  0      1217        0
D AMER EXPRESS CO                COMMON     025816109      139       3106 SH  -    OTHER   02                  0      3106        0
D AMER EXPRESS CO                COMMON     025816109   194185    4324827 SH  -    DEFINED 04            2843881         0  1480946
D AMER EXPRESS CO                COMMON     025816109    15275     340202 SH  -    DEFINED 04             340202         0        0
D AMER EXPRESS CO                COMMON     025816109    12583     280246 SH  -    DEFINED 04             280246         0        0
D AMER EXPRESS CO                COMMON     025816109       54       1211 SH  -    DEFINED 04               1211         0        0
D AMER EXPRESS CO                COMMON     025816109     6729     149858 SH  -    DEFINED 04             149858         0        0
D AMER EXPRESS CO                COMMON     025816109    47011    1047016 SH  -    DEFINED 04            1016785         0    30231

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  75
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMER EXPRESS CO                COMMON     025816109      293       6525 SH  -    DEFINED 04                  0         0     6525
D AMER EXPRESS CO                COMMON     025816109        6        125 SH  -    OTHER   04                  0       125        0
D AMER EXPRESS CO                COMMON     025816109     6998     155857 SH  -    OTHER   04                  0    155857        0
D AMER EXPRESS CO                COMMON     025816109    54645    1217046 SH  -    DEFINED 05            1217046         0        0
D AMER EXPRESS CO                COMMON     025816109       93       2074 SH  -    DEFINED 06               2074         0        0
D AMER EXPRESS CO                COMMON     025816109     9909     220684 SH  -    DEFINED 08             220684         0        0
D AMER EXPRESS CO                COMMON     025816109    97378    2168785 SH  -    DEFINED 09            2084740     15780    51788
D AMER EXPRESS CO                COMMON     025816109     1832      40802 SH  -    DEFINED 09              40802         0        0
D AMER EXPRESS CO                COMMON     025816109    10247     228216 SH  -    DEFINED 09             183149         0        0
D AMER EXPRESS CO                COMMON     025816109     5560     123837 SH  -    DEFINED 09              39811         0        0
D AMER EXPRESS CO                COMMON     025816109     9351     208258 SH  -    OTHER   09                  0    208258        0
D AMER EXPRESS CO                COMMON     025816109     2129      47415 SH  -    DEFINED 01              40214       900     6301
D AMER EXPRESS CO                COMMON     025816109      821      18275 SH  -    OTHER   01               2361     14476     1438
D AMER EXPRESS CO                COMMON     025816109    19870     442549 SH  -    OTHER   10                  0         0   442549
D AMER EXPRESS CO                OPTION     025816901     7220     160800 SH  C    DEFINED 05             160800         0        0
D AMER EXPRESS CO                OPTION     025816901      997      22200 SH  C    DEFINED 08              22200         0        0
D AMER EXPRESS CO                OPTION     025816950    10349     230500 SH  P    DEFINED 05             230500         0        0
D AMER EXPRESS CO                OPTION     025816950     1257      28000 SH  P    DEFINED 08              28000         0        0
D AMER FINL GROUP IN             COMMON     025932104      557      17931 SH  -    DEFINED 02              17931         0        0
D AMER FINL GROUP IN             COMMON     025932104       41       1317 SH  -    OTHER   02                178       466      673
D AMER FINL GROUP IN             COMMON     025932104       40       1300 SH  -    OTHER   02                  0         0     1300
D AMER FINL GROUP IN             COMMON     025932104     4216     135705 SH  -    DEFINED 04             119805         0    15900
D AMER FINL GROUP IN             COMMON     025932104     9360     301259 SH  -    DEFINED 04             301259         0        0
D AMER FINL GROUP IN             COMMON     025932104     2757      88723 SH  -    DEFINED 04              50596         0    38127
D AMER FINL GROUP IN             COMMON     025932104       36       1173 SH  -    DEFINED 05               1173         0        0
D AMER FINL GROUP IN             COMMON     025932104      527      16950 SH  -    DEFINED 08              16950         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  76
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMER FINL GROUP IN             COMMON     025932104    10454     336466 SH  -    DEFINED 09             314386     22080        0
D AMER FINL GROUP IN             COMMON     025932104      699      22499 SH  -    DEFINED 09              22499         0        0
D AMER FINL GROUP IN             COMMON     025932104     4988     160554 SH  -    DEFINED 09             160554         0        0
D AMER FINL GROUP IN             COMMON     025932104      129       4159 SH  -    OTHER   09                  0      4159        0
D AMER FINL GROUP IN             COMMON     025932104        6        200 SH  -    OTHER   01                  0       200        0
D AMER GREETINGS                 COMMON     026375105        8        406 SH  -    OTHER   02                  0       406        0
D AMER GREETINGS                 COMMON     026375105     7052     381200 SH  -    DEFINED 04             333200         0    48000
D AMER GREETINGS                 COMMON     026375105     2285     123506 SH  -    DEFINED 04             123506         0        0
D AMER GREETINGS                 COMMON     026375105       10        567 SH  -    DEFINED 05                567         0        0
D AMER GREETINGS                 COMMON     026375105      174       9417 SH  -    DEFINED 08               9417         0        0
D AMERICAN INTL GROUP INC        WARRANT    026874156      193      31556 SH  -    DEFINED 02              31556         0        0
D AMERICAN INTL GROUP INC        WARRANT    026874156        5        886 SH  -    DEFINED 02                836         0       50
D AMERICAN INTL GROUP INC        WARRANT    026874156        0         56 SH  -    OTHER   02                 56         0        0
D AMERICAN INTL GROUP INC        WARRANT    026874156        1        191 SH  -    OTHER   02                 71         0      120
D AMERICAN INTL GROUP INC        WARRANT    026874156       81      13206 SH  -    DEFINED 04              11189         0     2017
D AMERICAN INTL GROUP INC        WARRANT    026874156       79      12954 SH  -    DEFINED 04              12954         0        0
D AMERICAN INTL GROUP INC        WARRANT    026874156       40       6595 SH  -    DEFINED 05               6595         0        0
D AMERICAN INTL GROUP INC        WARRANT    026874156        1         82 SH  -    DEFINED 06                 82         0        0
D AMERICAN INTL GROUP INC        WARRANT    026874156      157      25732 SH  -    DEFINED 08              25732         0        0
D AMERICAN INTL GROUP INC        WARRANT    026874156        1         84 SH  -    OTHER   10                  0         0       84
D AMERICAN INTL GROUP INC        COMMON     026874784     1297      59105 SH  -    DEFINED 02              59105         0        0
D AMERICAN INTL GROUP INC        COMMON     026874784        2        100 SH  -    DEFINED 02                100         0        0
D AMERICAN INTL GROUP INC        COMMON     026874784      118       5358 SH  -    DEFINED 02               5034         0      324
D AMERICAN INTL GROUP INC        COMMON     026874784      594      27061 SH  -    OTHER   02                109     26952        0
D AMERICAN INTL GROUP INC        COMMON     026874784        8        351 SH  -    OTHER   02                126         0      225
D AMERICAN INTL GROUP INC        COMMON     026874784    17358     790787 SH  -    DEFINED 04             758554         0    32233

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  77
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMERICAN INTL GROUP INC        COMMON     026874784     1545      70382 SH  -    DEFINED 04              70382         0        0
D AMERICAN INTL GROUP INC        COMMON     026874784       21        941 SH  -    DEFINED 04                941         0        0
D AMERICAN INTL GROUP INC        COMMON     026874784        6        295 SH  -    OTHER   04                  0       295        0
D AMERICAN INTL GROUP INC        COMMON     026874784     3793     172803 SH  -    DEFINED 05             172803         0        0
D AMERICAN INTL GROUP INC        COMMON     026874784        5        233 SH  -    DEFINED 06                233         0        0
D AMERICAN INTL GROUP INC        COMMON     026874784     1596      72697 SH  -    DEFINED 08              72697         0        0
D AMERICAN INTL GROUP INC        COMMON     026874784       38       1723 SH  -    DEFINED 01               1723         0        0
D AMERICAN INTL GROUP INC        COMMON     026874784        6        293 SH  -    OTHER   01                  0       293        0
D AMERICAN INTL GROUP INC        COMMON     026874784      497      22665 SH  -    OTHER   10                  0         0    22665
D AMERICAN PUBLIC EDUCATION INC  COMMON     02913V103      349      10258 SH  -    OTHER   02                  0     10258        0
D AMERICAN PUBLIC EDUCATION INC  COMMON     02913V103    29530     868524 SH  -    DEFINED 04             548110         0   320414
D AMERICAN PUBLIC EDUCATION INC  COMMON     02913V103     7307     214924 SH  -    DEFINED 04             214924         0        0
D AMERICAN PUBLIC EDUCATION INC  COMMON     02913V103     1501      44160 SH  -    DEFINED 04              44160         0        0
D AMERICAN PUBLIC EDUCATION INC  COMMON     02913V103       64       1884 SH  -    OTHER   04                  0      1884        0
D AMERICAN PUBLIC EDUCATION INC  COMMON     02913V103      283       8325 SH  -    DEFINED 05               8325         0        0
D AMERICAN PUBLIC EDUCATION INC  COMMON     02913V103       38       1131 SH  -    OTHER   01                  0      1131        0
D AMERICAN RAILCAR INDS INC      COMMON     02916P103      138       8944 SH  -    OTHER   02                  0      8944        0
D AMERICAN RAILCAR INDS INC      COMMON     02916P103      194      12600 SH  -    DEFINED 04              12600         0        0
D AMERICAN RAILCAR INDS INC      COMMON     02916P103      947      61600 SH  -    DEFINED 04              61600         0        0
D AMERICAN RAILCAR INDS INC      COMMON     02916P103        2        162 SH  -    DEFINED 05                162         0        0
D AMERICAN RAILCAR INDS INC      COMMON     02916P103        9        584 SH  -    DEFINED 08                584         0        0
D AMERICAN RAILCAR INDS INC      COMMON     02916P103       85       5500 SH  -    OTHER   01                  0      5500        0
D AMERICAN RAILCAR INDS INC      COMMON     02916P103       60       3910 SH  -    OTHER   10                  0         0     3910
D AMERICAN REPROGRAPHICS CO      COMMON     029263100       21       6360 SH  -    OTHER   02                  0      2140     4220
D AMERICAN REPROGRAPHICS CO      COMMON     029263100      625     185875 SH  -    DEFINED 04             168875         0    17000
D AMERICAN REPROGRAPHICS CO      COMMON     029263100      153      45400 SH  -    DEFINED 04              45400         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  78
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMERICAN REPROGRAPHICS CO      COMMON     029263100        2        525 SH  -    DEFINED 05                525         0        0
D AMERICAN REPROGRAPHICS CO      COMMON     029263100        7       2184 SH  -    DEFINED 08               2184         0        0
D AMERICAN SCIENCE & ENGR INC    COMMON     029429107      402       6577 SH  -    DEFINED 04               6577         0        0
D AMERICAN SCIENCE & ENGR INC    COMMON     029429107      264       4331 SH  -    DEFINED 05               4331         0        0
D AMERICAN STS WTR CO            COMMON     029899101        6        163 SH  -    OTHER   02                  0       163        0
D AMERICAN STS WTR CO            COMMON     029899101      582      17150 SH  -    DEFINED 04              17150         0        0
D AMERICAN STS WTR CO            COMMON     029899101      438      12901 SH  -    DEFINED 04              12901         0        0
D AMERICAN STS WTR CO            COMMON     029899101      296       8724 SH  -    DEFINED 05               8724         0        0
D AMERICAN TOWER CORPORATION     COMMON     029912201     2477      46050 SH  -    DEFINED 02              36390         0     9660
D AMERICAN TOWER CORPORATION     COMMON     029912201      274       5096 SH  -    DEFINED 02               3674         0     1422
D AMERICAN TOWER CORPORATION     COMMON     029912201      597      11089 SH  -    DEFINED 02               6466         0     4623
D AMERICAN TOWER CORPORATION     COMMON     029912201     5496     102152 SH  -    OTHER   02              13590     82825     5676
D AMERICAN TOWER CORPORATION     COMMON     029912201      704      13084 SH  -    OTHER   02               1191      1358    10535
D AMERICAN TOWER CORPORATION     COMMON     029912201    70964    1319027 SH  -    DEFINED 04            1140633         0   178394
D AMERICAN TOWER CORPORATION     COMMON     029912201     8831     164137 SH  -    DEFINED 04             164137         0        0
D AMERICAN TOWER CORPORATION     COMMON     029912201     4129      76754 SH  -    DEFINED 04              76754         0        0
D AMERICAN TOWER CORPORATION     COMMON     029912201       52        975 SH  -    DEFINED 04                975         0        0
D AMERICAN TOWER CORPORATION     COMMON     029912201       51        940 SH  -    DEFINED 04                  0         0      940
D AMERICAN TOWER CORPORATION     COMMON     029912201     2413      44850 SH  -    DEFINED 05              44850         0        0
D AMERICAN TOWER CORPORATION     COMMON     029912201      500       9293 SH  -    DEFINED 09               9293         0        0
D AMERICAN TOWER CORPORATION     COMMON     029912201      641      11910 SH  -    OTHER   01               2000      9693        0
D AMERICAN TOWER CORPORATION     COMMON     029912201      299       5553 SH  -    OTHER   10                  0         0     5553
D AMER SUPER CONDUCT             COMMON     030111108        0         50 SH  -    DEFINED 02                 50         0        0
D AMER SUPER CONDUCT             COMMON     030111108       18       4566 SH  -    OTHER   02                  0      4459        0
D AMER SUPER CONDUCT             COMMON     030111108        0        100 SH  -    OTHER   02                100         0        0
D AMER SUPER CONDUCT             COMMON     030111108       19       4739 SH  -    DEFINED 05               4739         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  79
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMER SUPER CONDUCT             COMMON     030111108       24       6047 SH  -    DEFINED 08               6047         0        0
D AMERICAN VANGUARD CORP         COMMON     030371108        1         78 SH  -    OTHER   02                  0        78        0
D AMERICAN VANGUARD CORP         COMMON     030371108      158      14197 SH  -    DEFINED 04              14197         0        0
D AMERICAN VANGUARD CORP         COMMON     030371108      121      10829 SH  -    DEFINED 05              10829         0        0
D AMERICAN VANGUARD CORP         COMMON     030371108     1456     130470 SH  -    OTHER   10                  0         0   130470
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103      556      18412 SH  -    DEFINED 02               2442         0    15970
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103      958      31732 SH  -    DEFINED 02              31087         0      645
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103     4882     161777 SH  -    OTHER   02               1103    152424     8250
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103      253       8382 SH  -    OTHER   02               8237        20      125
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103    32195    1066758 SH  -    DEFINED 04             867548         0   199210
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103     5940     196826 SH  -    DEFINED 04             196826         0        0
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103     3765     124740 SH  -    DEFINED 04             124740         0        0
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103      147       4871 SH  -    DEFINED 05               4871         0        0
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103     4096     135706 SH  -    DEFINED 08             135706         0        0
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103      161       5320 SH  -    DEFINED 01               5300         0       20
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103        4        120 SH  -    OTHER   01                  0        65       55
D AMERICAN WTR WKS CO INC NEW    COMMON     030420103     1705      56510 SH  -    OTHER   10                  0         0    56510
D AMERISTAR CASINOS              COMMON     03070Q101        3        191 SH  -    OTHER   02                  0       191        0
D AMERISTAR CASINOS              COMMON     03070Q101     5648     351925 SH  -    DEFINED 04             282725         0    69200
D AMERISTAR CASINOS              COMMON     03070Q101        8        488 SH  -    DEFINED 05                488         0        0
D AMERISTAR CASINOS              COMMON     03070Q101       25       1582 SH  -    DEFINED 08               1582         0        0
D AMERISAFE INC                  COMMON     03071H100       13        724 SH  -    OTHER   02                 59       210      455
D AMERISAFE INC                  COMMON     03071H100     3164     171860 SH  -    DEFINED 04             171860         0        0
D AMERISAFE INC                  COMMON     03071H100      242      13122 SH  -    DEFINED 04              13122         0        0
D AMERISAFE INC                  COMMON     03071H100      158       8599 SH  -    DEFINED 05               8599         0        0
D AMERON INTL INC                COMMON     030710107       16        184 SH  -    OTHER   02                  0       184        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  80
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMERON INTL INC                COMMON     030710107      747       8791 SH  -    DEFINED 04               8791         0        0
D AMERON INTL INC                COMMON     030710107       11        132 SH  -    DEFINED 05                132         0        0
D AMERON INTL INC                COMMON     030710107       46        540 SH  -    DEFINED 08                540         0        0
D AMERON INTL INC                COMMON     030710107    17239     202956 SH  -    DEFINED 09             113997         0        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105       85       2294 SH  -    DEFINED 02               1594       700        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105      586      15725 SH  -    DEFINED 02              12675      1750     1300
D AMERISOURCEBERGEN CORP         COMMON     03073E105      134       3586 SH  -    DEFINED 02               3103         0      483
D AMERISOURCEBERGEN CORP         COMMON     03073E105    13844     371451 SH  -    OTHER   02               1348    366571     1490
D AMERISOURCEBERGEN CORP         COMMON     03073E105     1182      31704 SH  -    OTHER   02                360     25292     6052
D AMERISOURCEBERGEN CORP         COMMON     03073E105   130261    3495053 SH  -    DEFINED 04            3377853         0   117200
D AMERISOURCEBERGEN CORP         COMMON     03073E105     7610     204179 SH  -    DEFINED 04             204179         0        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105      169       4528 SH  -    DEFINED 04               4528         0        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105     4725     126779 SH  -    DEFINED 04              93053         0    33726
D AMERISOURCEBERGEN CORP         COMMON     03073E105      959      25723 SH  -    OTHER   04                  0     25723        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105     5206     139672 SH  -    OTHER   04                  0    139672        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105     1652      44338 SH  -    DEFINED 05              44338         0        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105    11808     316815 SH  -    DEFINED 09             296191     20624        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105      743      19929 SH  -    DEFINED 09              19929         0        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105     5377     144277 SH  -    DEFINED 09             144277         0        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105     4293     115185 SH  -    OTHER   09                  0    115185        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105     1240      33264 SH  -    OTHER   01              14000     19264        0
D AMERISOURCEBERGEN CORP         COMMON     03073E105       68       1818 SH  -    OTHER   10                  0         0     1818
D AMERIGROUP CORP                BOND       03073TAB8       86      81000 PRN -    DEFINED 05                  0         0        0
D AMERIGROUP CORP                COMMON     03073T102        1         21 SH  -    DEFINED 02                  0        21        0
D AMERIGROUP CORP                COMMON     03073T102        8        211 SH  -    DEFINED 02                211         0        0
D AMERIGROUP CORP                COMMON     03073T102      158       4053 SH  -    OTHER   02                 27      1926     2100

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  81
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMERIGROUP CORP                COMMON     03073T102        2         45 SH  -    OTHER   02                  0         0       45
D AMERIGROUP CORP                COMMON     03073T102     6810     174575 SH  -    DEFINED 04             165575         0     9000
D AMERIGROUP CORP                COMMON     03073T102     4070     104345 SH  -    DEFINED 04             104345         0        0
D AMERIGROUP CORP                COMMON     03073T102       98       2518 SH  -    DEFINED 05               2518         0        0
D AMERIGROUP CORP                COMMON     03073T102     2794      71617 SH  -    DEFINED 08              71617         0        0
D AMERIGROUP CORP                COMMON     03073T102        2         44 SH  -    OTHER   01                  0        44        0
D AMERIGROUP CORP                COMMON     03073T102       12        300 SH  -    OTHER   10                  0         0      300
D AMERIPRISE FINL INC            COMMON     03076C106     1112      28262 SH  -    DEFINED 02              25787       340     2135
D AMERIPRISE FINL INC            COMMON     03076C106      181       4597 SH  -    DEFINED 02               4597         0        0
D AMERIPRISE FINL INC            COMMON     03076C106      113       2883 SH  -    DEFINED 02               2721         0      162
D AMERIPRISE FINL INC            COMMON     03076C106     2348      59660 SH  -    OTHER   02              21473     27601    10586
D AMERIPRISE FINL INC            COMMON     03076C106      162       4108 SH  -    OTHER   02               3360         0      748
D AMERIPRISE FINL INC            COMMON     03076C106   178989    4547493 SH  -    DEFINED 04            4325711         0   221782
D AMERIPRISE FINL INC            COMMON     03076C106     3277      83251 SH  -    DEFINED 04              83251         0        0
D AMERIPRISE FINL INC            COMMON     03076C106      227       5765 SH  -    DEFINED 04               5765         0        0
D AMERIPRISE FINL INC            COMMON     03076C106     4500     114336 SH  -    DEFINED 04              88209         0    26127
D AMERIPRISE FINL INC            COMMON     03076C106     1164      29562 SH  -    OTHER   04                  0     29562        0
D AMERIPRISE FINL INC            COMMON     03076C106     7034     178719 SH  -    OTHER   04                  0    178719        0
D AMERIPRISE FINL INC            COMMON     03076C106     2607      66231 SH  -    DEFINED 05              66231         0        0
D AMERIPRISE FINL INC            COMMON     03076C106       19        481 SH  -    DEFINED 06                481         0        0
D AMERIPRISE FINL INC            COMMON     03076C106    28870     733489 SH  -    DEFINED 08             733489         0        0
D AMERIPRISE FINL INC            COMMON     03076C106    13269     337121 SH  -    DEFINED 09             320515     16606        0
D AMERIPRISE FINL INC            COMMON     03076C106      609      15465 SH  -    DEFINED 09              15465         0        0
D AMERIPRISE FINL INC            COMMON     03076C106     7169     182147 SH  -    DEFINED 09             111995         0        0
D AMERIPRISE FINL INC            COMMON     03076C106     2124      53954 SH  -    OTHER   09                  0     53954        0
D AMERIPRISE FINL INC            COMMON     03076C106      276       7000 SH  -    DEFINED 01               7000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  82
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMERIPRISE FINL INC            COMMON     03076C106       25        639 SH  -    OTHER   10                  0         0      639
D AMERIGAS PARTNERS L P          COMMON     030975106      125       2850 SH  -    OTHER   02               1000         0     1850
D AMERIGAS PARTNERS L P          COMMON     030975106      330       7500 SH  -    OTHER   01               7500         0        0
D AMERIGAS PARTNERS L P          COMMON     030975106    23806     541168 SH  -    DEFINED 10             541168         0        0
D AMERIGAS PARTNERS L P          COMMON     030975106       22        500 SH  -    OTHER   10                  0         0      500
D AMETEK INC NEW                 COMMON     031100100       21        625 SH  -    DEFINED 02                625         0        0
D AMETEK INC NEW                 COMMON     031100100       34       1032 SH  -    OTHER   02                114       918        0
D AMETEK INC NEW                 COMMON     031100100      225       6835 SH  -    OTHER   02                  7        21     6807
D AMETEK INC NEW                 COMMON     031100100    74880    2271146 SH  -    DEFINED 04            2180946         0    90200
D AMETEK INC NEW                 COMMON     031100100     4988     151289 SH  -    DEFINED 04             151289         0        0
D AMETEK INC NEW                 COMMON     031100100     1740      52775 SH  -    DEFINED 04              52775         0        0
D AMETEK INC NEW                 COMMON     031100100      833      25271 SH  -    OTHER   04                  0     25271        0
D AMETEK INC NEW                 COMMON     031100100     4265     129361 SH  -    OTHER   04                  0    129361        0
D AMETEK INC NEW                 COMMON     031100100     2561      77662 SH  -    DEFINED 05              77662         0        0
D AMETEK INC NEW                 COMMON     031100100      742      22497 SH  -    DEFINED 08              22497         0        0
D AMETEK INC NEW                 COMMON     031100100      119       3600 SH  -    DEFINED 09               3600         0        0
D AMETEK INC NEW                 COMMON     031100100        2         62 SH  -    OTHER   10                  0         0       62
D AMGEN INC                      BOND       031162AQ3     4913    5000000 PRN -    DEFINED 05                  0         0        0
D AMGEN INC                      BOND       031162AQ3     7860    8000000 PRN -    DEFINED 08                  0         0        0
D AMGEN INC                      BOND       031162AQ3    28196   28698000 PRN -    DEFINED 09                  0         0        0
D AMGEN INC                      COMMON     031162100     3822      69538 SH  -    DEFINED 02              69472         0       66
D AMGEN INC                      COMMON     031162100      460       8362 SH  -    DEFINED 02               8362         0        0
D AMGEN INC                      COMMON     031162100      626      11387 SH  -    DEFINED 02              10649         0      738
D AMGEN INC                      COMMON     031162100     4045      73592 SH  -    OTHER   02              38634     28236     6620
D AMGEN INC                      COMMON     031162100     1932      35161 SH  -    OTHER   02              30863       272     4026
D AMGEN INC                      COMMON     031162100      111       2028 SH  -    OTHER   02                  0      2028        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  83
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMGEN INC                      COMMON     031162100    70395    1280834 SH  -    DEFINED 04            1178527         0   102307
D AMGEN INC                      COMMON     031162100     8423     153252 SH  -    DEFINED 04             153252         0        0
D AMGEN INC                      COMMON     031162100       56       1024 SH  -    DEFINED 04               1024         0        0
D AMGEN INC                      COMMON     031162100     3475      63235 SH  -    DEFINED 04              35712         0    27523
D AMGEN INC                      COMMON     031162100     1025      18641 SH  -    OTHER   04                  0     18641        0
D AMGEN INC                      COMMON     031162100    34667     630774 SH  -    DEFINED 05             630774         0        0
D AMGEN INC                      COMMON     031162100      210       3817 SH  -    DEFINED 06               3817         0        0
D AMGEN INC                      COMMON     031162100    47774     869247 SH  -    DEFINED 08             869247         0        0
D AMGEN INC                      COMMON     031162100    15918     289635 SH  -    DEFINED 09             272873     16762        0
D AMGEN INC                      COMMON     031162100      883      16070 SH  -    DEFINED 09              16070         0        0
D AMGEN INC                      COMMON     031162100     6488     118057 SH  -    DEFINED 09             118057         0        0
D AMGEN INC                      COMMON     031162100      157       2848 SH  -    OTHER   09                  0      2848        0
D AMGEN INC                      COMMON     031162100      137       2500 SH  -    DEFINED 01               2500         0        0
D AMGEN INC                      COMMON     031162100      136       2466 SH  -    OTHER   01               2190       276        0
D AMGEN INC                      COMMON     031162100      694      12631 SH  -    OTHER   10                  0         0    12631
D AMICUS THERAPEUTICS INC        COMMON     03152W109       81      21043 SH  -    DEFINED 05              21043         0        0
D AMICUS THERAPEUTICS INC        COMMON     03152W109        4        935 SH  -    DEFINED 08                935         0        0
D AMKOR TECHNOLOGY               COMMON     031652100        1        296 SH  -    OTHER   02                236        60        0
D AMKOR TECHNOLOGY               COMMON     031652100     5753    1319610 SH  -    DEFINED 04            1253110         0    66500
D AMKOR TECHNOLOGY               COMMON     031652100      827     189615 SH  -    DEFINED 04             189615         0        0
D AMKOR TECHNOLOGY               COMMON     031652100        0         80 SH  -    OTHER   04                  0        80        0
D AMKOR TECHNOLOGY               COMMON     031652100       51      11796 SH  -    DEFINED 05              11796         0        0
D AMKOR TECHNOLOGY               COMMON     031652100       85      19545 SH  -    DEFINED 08              19545         0        0
D AMPHENOL CORP                  COMMON     032095101       33        798 SH  -    DEFINED 02                698       100        0
D AMPHENOL CORP                  COMMON     032095101      103       2519 SH  -    DEFINED 02               2449         0       70
D AMPHENOL CORP                  COMMON     032095101       83       2043 SH  -    DEFINED 02               1958         0       85

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  84
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMPHENOL CORP                  COMMON     032095101     1197      29370 SH  -    OTHER   02                  0     24749     4621
D AMPHENOL CORP                  COMMON     032095101      139       3414 SH  -    OTHER   02                140       710     2564
D AMPHENOL CORP                  COMMON     032095101    91387    2241530 SH  -    DEFINED 04            1897648         0   343882
D AMPHENOL CORP                  COMMON     032095101    29619     726490 SH  -    DEFINED 04             726490         0        0
D AMPHENOL CORP                  COMMON     032095101     1734      42527 SH  -    DEFINED 04              42527         0        0
D AMPHENOL CORP                  COMMON     032095101      844      20691 SH  -    OTHER   04                  0     20691        0
D AMPHENOL CORP                  COMMON     032095101     4309     105694 SH  -    OTHER   04                  0    105694        0
D AMPHENOL CORP                  COMMON     032095101     1924      47188 SH  -    DEFINED 05              47188         0        0
D AMPHENOL CORP                  COMMON     032095101      291       7138 SH  -    DEFINED 09               7138         0        0
D AMPHENOL CORP                  COMMON     032095101       20        480 SH  -    OTHER   01                  0       480        0
D AMPHENOL CORP                  COMMON     032095101        1         23 SH  -    OTHER   10                  0         0       23
D AMSURG CORP                    COMMON     03232P405     3849     171080 SH  -    DEFINED 04             130043         0    41037
D AMSURG CORP                    COMMON     03232P405      507      22549 SH  -    DEFINED 04              22549         0        0
D AMSURG CORP                    COMMON     03232P405      329      14609 SH  -    DEFINED 05              14609         0        0
D AMTECH SYSTEMS INC             COMMON     032332504        5        574 SH  -    DEFINED 08                574         0        0
D AMTECH SYSTEMS INC             COMMON     032332504      229      28654 SH  -    OTHER   10                  0         0    28654
D AMYLIN PHARMACEUTICALS INC     BOND       032346AF5       19      21000 PRN -    DEFINED 05                  0         0        0
D AMYLIN PHARMACEUTICALS INC     BOND       032346AF5     3961    4450000 PRN -    DEFINED 09                  0         0        0
D AMYLIN PHARM                   COMMON     032346108       23       2442 SH  -    OTHER   02                  0      1951      491
D AMYLIN PHARM                   COMMON     032346108        0         52 SH  -    OTHER   02                 19        33        0
D AMYLIN PHARM                   COMMON     032346108     1383     149794 SH  -    DEFINED 04             149794         0        0
D AMYLIN PHARM                   COMMON     032346108      654      70892 SH  -    DEFINED 04              70892         0        0
D AMYLIN PHARM                   COMMON     032346108       62       6743 SH  -    DEFINED 05               6743         0        0
D AMTRUST FINANCIAL SERVICES INC COMMON     032359309        6        283 SH  -    OTHER   02                  0       283        0
D AMTRUST FINANCIAL SERVICES INC COMMON     032359309       41       1850 SH  -    OTHER   02                  0      1850        0
D AMTRUST FINANCIAL SERVICES INC COMMON     032359309    16469     739850 SH  -    DEFINED 04             476820         0   263030

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  85
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AMTRUST FINANCIAL SERVICES INC COMMON     032359309       46       2054 SH  -    OTHER   04                  0      2054        0
D AMTRUST FINANCIAL SERVICES INC COMMON     032359309        9        407 SH  -    DEFINED 05                407         0        0
D AMTRUST FINANCIAL SERVICES INC COMMON     032359309       33       1498 SH  -    DEFINED 08               1498         0        0
D AMTRUST FINANCIAL SERVICES INC COMMON     032359309      774      34775 SH  -    OTHER   10                  0         0    34775
D ANACOR PHARMACEUTICALS INC     COMMON     032420101        6       1029 SH  -    OTHER   02                  0      1029        0
D ANACOR PHARMACEUTICALS INC     COMMON     032420101       78      13632 SH  -    DEFINED 05              13632         0        0
D ANACOR PHARMACEUTICALS INC     COMMON     032420101        4        717 SH  -    DEFINED 08                717         0        0
D ANADARKO PETE CORP             COMMON     032511107    13408     212651 SH  -    DEFINED 02             195387       869    16395
D ANADARKO PETE CORP             COMMON     032511107     3546      56243 SH  -    DEFINED 02              54260        48     1935
D ANADARKO PETE CORP             COMMON     032511107      462       7331 SH  -    DEFINED 02               5922         0     1409
D ANADARKO PETE CORP             COMMON     032511107     8394     133137 SH  -    OTHER   02              83381     37840    11821
D ANADARKO PETE CORP             COMMON     032511107     1362      21602 SH  -    OTHER   02              13959      2253     5390
D ANADARKO PETE CORP             COMMON     032511107       59        941 SH  -    OTHER   02                  0       941        0
D ANADARKO PETE CORP             COMMON     032511107       61        960 SH  -    OTHER   02                  0       960        0
D ANADARKO PETE CORP             COMMON     032511107      155       2465 SH  -    OTHER   02                  0      2465        0
D ANADARKO PETE CORP             COMMON     032511107   148840    2360668 SH  -    DEFINED 04            1827348         0   533320
D ANADARKO PETE CORP             COMMON     032511107    11357     180127 SH  -    DEFINED 04             180127         0        0
D ANADARKO PETE CORP             COMMON     032511107    15061     238874 SH  -    DEFINED 04             238874         0        0
D ANADARKO PETE CORP             COMMON     032511107       81       1286 SH  -    DEFINED 04               1286         0        0
D ANADARKO PETE CORP             COMMON     032511107     4519      71671 SH  -    DEFINED 04              71671         0        0
D ANADARKO PETE CORP             COMMON     032511107    15603     247464 SH  -    DEFINED 04             222748         0    24716
D ANADARKO PETE CORP             COMMON     032511107        9        145 SH  -    OTHER   04                  0       145        0
D ANADARKO PETE CORP             COMMON     032511107     7446     118091 SH  -    OTHER   04                  0    118091        0
D ANADARKO PETE CORP             COMMON     032511107     3267      51816 SH  -    DEFINED 05              51816         0        0
D ANADARKO PETE CORP             COMMON     032511107      595       9433 SH  -    DEFINED 06               9433         0        0
D ANADARKO PETE CORP             COMMON     032511107    28042     444752 SH  -    DEFINED 08             444752         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  86
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ANADARKO PETE CORP             COMMON     032511107    34472     546740 SH  -    DEFINED 09             531453     15287        0
D ANADARKO PETE CORP             COMMON     032511107      920      14590 SH  -    DEFINED 09              14590         0        0
D ANADARKO PETE CORP             COMMON     032511107     6757     107168 SH  -    DEFINED 09             107168         0        0
D ANADARKO PETE CORP             COMMON     032511107     2748      43590 SH  -    OTHER   09                  0     43590        0
D ANADARKO PETE CORP             COMMON     032511107      496       7867 SH  -    DEFINED 01               6729       660      478
D ANADARKO PETE CORP             COMMON     032511107      685      10865 SH  -    OTHER   01               9116       707     1042
D ANADARKO PETE CORP             COMMON     032511107      487       7717 SH  -    OTHER   10                  0         0     7717
D ANADARKO PETE CORP             OPTION     032511909      322       5100 SH  C    DEFINED 05               5100         0        0
D ANADARKO PETE CORP             OPTION     032511909      259       4100 SH  C    DEFINED 08               4100         0        0
D ANADARKO PETE CORP             OPTION     032511958       63       1000 SH  P    DEFINED 05               1000         0        0
D ANADARKO PETE CORP             OPTION     032511958     2837      45000 SH  P    DEFINED 08              45000         0        0
D ANADYS PHARMACEUTICALS INC     COMMON     03252Q408      225     247600 SH  -    DEFINED 04             186900         0    60700
D ANADYS PHARMACEUTICALS INC     COMMON     03252Q408      251     275616 SH  -    DEFINED 09             275616         0        0
D ANALOG DEVICES INC             COMMON     032654105      731      23381 SH  -    DEFINED 02              16281         0     7100
D ANALOG DEVICES INC             COMMON     032654105      879      28138 SH  -    DEFINED 02              26591         0     1547
D ANALOG DEVICES INC             COMMON     032654105      360      11522 SH  -    DEFINED 02               5861         0     5661
D ANALOG DEVICES INC             COMMON     032654105     2204      70516 SH  -    OTHER   02              26587     36838     7091
D ANALOG DEVICES INC             COMMON     032654105      741      23725 SH  -    OTHER   02               5638       458    17629
D ANALOG DEVICES INC             COMMON     032654105   182162    5829181 SH  -    DEFINED 04            5331195         0   497986
D ANALOG DEVICES INC             COMMON     032654105     4214     134838 SH  -    DEFINED 04             134838         0        0
D ANALOG DEVICES INC             COMMON     032654105     5024     160758 SH  -    DEFINED 04             160758         0        0
D ANALOG DEVICES INC             COMMON     032654105     1556      49800 SH  -    DEFINED 04              49800         0        0
D ANALOG DEVICES INC             COMMON     032654105       29        930 SH  -    DEFINED 04                  0         0      930
D ANALOG DEVICES INC             COMMON     032654105      833      26659 SH  -    OTHER   04                  0     26659        0
D ANALOG DEVICES INC             COMMON     032654105     4208     134664 SH  -    OTHER   04                  0    134664        0
D ANALOG DEVICES INC             COMMON     032654105     5618     179763 SH  -    DEFINED 05             179763         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  87
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ANALOG DEVICES INC             COMMON     032654105      253       8100 SH  -    DEFINED 09               8100         0        0
D ANALOG DEVICES INC             COMMON     032654105      781      25000 SH  -    OTHER   09                  0     25000        0
D ANALOG DEVICES INC             COMMON     032654105      193       6160 SH  -    DEFINED 01               6100         0       60
D ANALOG DEVICES INC             COMMON     032654105      359      11483 SH  -    OTHER   01              11000       333      150
D ANALOG DEVICES INC             COMMON     032654105      140       4489 SH  -    OTHER   10                  0         0     4489
D ANALOG DEVICES INC             OPTION     032654907      831      26600 SH  C    DEFINED 05              26600         0        0
D ANALOGIC CORP                  COMMON     032657207        5        116 SH  -    DEFINED 02                  0       116        0
D ANALOGIC CORP                  COMMON     032657207      431       9484 SH  -    OTHER   02                  0      9484        0
D ANALOGIC CORP                  COMMON     032657207       55       1221 SH  -    OTHER   02                  0         0     1221
D ANALOGIC CORP                  COMMON     032657207      407       8965 SH  -    DEFINED 04               8965         0        0
D ANALOGIC CORP                  COMMON     032657207      268       5898 SH  -    DEFINED 05               5898         0        0
D ANALOGIC CORP                  COMMON     032657207      101       2220 SH  -    OTHER   01                  0      2220        0
D ANCESTRY COM INC               COMMON     032803108       21        875 SH  -    OTHER   02                  0         0      875
D ANCESTRY COM INC               COMMON     032803108      194       8275 SH  -    DEFINED 04               7675         0      600
D ANCESTRY COM INC               COMMON     032803108      509      21648 SH  -    DEFINED 04              21648         0        0
D ANCESTRY COM INC               COMMON     032803108       10        442 SH  -    DEFINED 05                442         0        0
D ANCESTRY COM INC               COMMON     032803108       50       2139 SH  -    DEFINED 08               2139         0        0
D ANCESTRY COM INC               COMMON     032803108        1         42 SH  -    OTHER   01                  0        42        0
D ANDERSONS INC                  COMMON     034164103       10        306 SH  -    OTHER   02                  0        16      290
D ANDERSONS INC                  COMMON     034164103     4443     132100 SH  -    DEFINED 04             113900         0    18200
D ANDERSONS INC                  COMMON     034164103      452      13438 SH  -    DEFINED 04              13438         0        0
D ANDERSONS INC                  COMMON     034164103      292       8670 SH  -    DEFINED 05               8670         0        0
D ANDERSONS INC                  COMMON     034164103        5        147 SH  -    DEFINED 08                147         0        0
D ANGLOGOLD ASHANTI HLDGS FIN PL PREF CONV  03512Q206     6201     126550 SH  -    DEFINED 04                  0         0        0
D ANGLOGOLD ASHANTI HLDGS FIN PL PREF CONV  03512Q206    14543     296800 SH  -    DEFINED 09                  0         0        0
D ANGLOGOLD ASHANTI HLDGS FIN PL PREF CONV  03512Q206     1176      24000 SH  -    DEFINED 09                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  88
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ANGLOGOLD ASHANTI LTD          ADR        035128206       33        800 SH  -    DEFINED 02                  0       800        0
D ANGLOGOLD ASHANTI LTD          ADR        035128206       17        400 SH  -    DEFINED 02                  0         0      400
D ANGLOGOLD ASHANTI LTD          ADR        035128206     6271     151624 SH  -    OTHER   02                800    150424      400
D ANGLOGOLD ASHANTI LTD          ADR        035128206       54       1300 SH  -    OTHER   02                  0       900      400
D ANGLOGOLD ASHANTI LTD          ADR        035128206     3555      85955 SH  -    DEFINED 05              85955         0        0
D ANGLOGOLD ASHANTI LTD          ADR        035128206     1756      42468 SH  -    DEFINED 06              42468         0        0
D ANGLOGOLD ASHANTI LTD          ADR        035128206     1369      33100 SH  -    DEFINED 09                  0         0        0
D ANGLOGOLD ASHANTI LTD          ADR        035128206     2426      58665 SH  -    DEFINED 09              58665         0        0
D ANGLOGOLD ASHANTI LTD          ADR        035128206      321       7766 SH  -    OTHER   01                  0      7766        0
D ANGLOGOLD ASHANTI LTD          ADR        035128206        3         65 SH  -    OTHER   10                  0         0       65
D ANGLOGOLD ASHANTI LTD          OPTION     035128909      546      13200 SH  C    DEFINED 05              13200         0        0
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108     2999      56613 SH  -    DEFINED 02              56613         0        0
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108      979      18488 SH  -    DEFINED 02              18488         0        0
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108     1579      29804 SH  -    OTHER   02              23260      6314      230
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108      276       5215 SH  -    OTHER   02               5040         0      175
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108     1943      36676 SH  -    DEFINED 04              36676         0        0
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108     5162      97441 SH  -    OTHER   04                  0     97441        0
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108     1427      26942 SH  -    OTHER   04                  0     26942        0
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108    10650     201011 SH  -    DEFINED 05             201011         0        0
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108     4805      90700 SH  -    DEFINED 08              90700         0        0
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108       41        774 SH  -    DEFINED 01                774         0        0
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108       63       1197 SH  -    OTHER   01                  0      1157        0
D ANHEUSER BUSCH INBEV SA/NV     ADR        03524A108     2163      40824 SH  -    OTHER   10                  0         0    40824
D ANIXTER INTL INC               BOND       035290AJ4     4967    4876000 PRN -    DEFINED 05                  0         0        0
D ANIXTER INTL INC               COMMON     035290105        8        166 SH  -    OTHER   02                  0       166        0
D ANIXTER INTL INC               COMMON     035290105       93       1950 SH  -    OTHER   02                  0       950     1000

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  89
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ANIXTER INTL INC               COMMON     035290105    32839     692224 SH  -    DEFINED 04             644979         0    47245
D ANIXTER INTL INC               COMMON     035290105     2129      44886 SH  -    DEFINED 04              44886         0        0
D ANIXTER INTL INC               COMMON     035290105     2181      45981 SH  -    DEFINED 04              26084         0    19897
D ANIXTER INTL INC               COMMON     035290105      676      14242 SH  -    DEFINED 05              14242         0        0
D ANIXTER INTL INC               COMMON     035290105      343       7231 SH  -    DEFINED 08               7231         0        0
D ANIXTER INTL INC               COMMON     035290105     8966     189000 SH  -    DEFINED 09             175393     13607        0
D ANIXTER INTL INC               COMMON     035290105      560      11802 SH  -    DEFINED 09              11802         0        0
D ANIXTER INTL INC               COMMON     035290105     4029      84930 SH  -    DEFINED 09              84930         0        0
D ANIXTER INTL INC               COMMON     035290105      104       2202 SH  -    OTHER   09                  0      2202        0
D ANIXTER INTL INC               COMMON     035290105      688      14500 SH  -    OTHER   10                  0         0    14500
D ANN INC                        COMMON     035623107       18        804 SH  -    OTHER   02                  0       804        0
D ANN INC                        COMMON     035623107      426      18665 SH  -    DEFINED 04              18665         0        0
D ANN INC                        COMMON     035623107     2949     129122 SH  -    DEFINED 04             129122         0        0
D ANN INC                        COMMON     035623107      625      27354 SH  -    DEFINED 05              27354         0        0
D ANN INC                        COMMON     035623107      272      11903 SH  -    DEFINED 08              11903         0        0
D ANN INC                        OPTION     035623909       14        600 SH  C    DEFINED 05                600         0        0
D ANNALY CAP MGMT INC            BOND       035710AA0      298     260000 PRN -    DEFINED 09                  0         0        0
D ANNALY CAP MGMT INC            COMMON     035710409    17535    1054417 SH  -    DEFINED 04             832417         0   222000
D ANNALY CAP MGMT INC            COMMON     035710409     6358     382322 SH  -    DEFINED 04             382322         0        0
D ANNALY CAP MGMT INC            COMMON     035710409     2420     145500 SH  -    DEFINED 04             145500         0        0
D ANNALY CAP MGMT INC            COMMON     035710409      314      18881 SH  -    OTHER   04                  0     18881        0
D ANNALY CAP MGMT INC            COMMON     035710409     6837     411121 SH  -    DEFINED 05             411121         0        0
D ANNALY CAP MGMT INC            COMMON     035710409       23       1354 SH  -    DEFINED 06               1354         0        0
D ANNALY CAP MGMT INC            COMMON     035710409     7804     469258 SH  -    OTHER   10                  0         0   469258
D ANSYS INC                      COMMON     03662Q105     1731      35304 SH  -    OTHER   02                 52     34452      800
D ANSYS INC                      COMMON     03662Q105     3183      64916 SH  -    DEFINED 04              64916         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  90
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ANSYS INC                      COMMON     03662Q105     1539      31388 SH  -    DEFINED 05              31388         0        0
D ANSYS INC                      COMMON     03662Q105      191       3886 SH  -    OTHER   01                  0      3886        0
D ANSYS INC                      COMMON     03662Q105       31        625 SH  -    OTHER   10                  0         0      625
D ANTARES PHARMA INC             COMMON     036642106        2        791 SH  -    OTHER   02                  0       791        0
D ANTARES PHARMA INC             COMMON     036642106     1920     827630 SH  -    DEFINED 05             827630         0        0
D ANTARES PHARMA INC             COMMON     036642106       14       6113 SH  -    DEFINED 08               6113         0        0
D ANTHERA PHARMACEUTICALS INC    COMMON     03674U102      175      36705 SH  -    DEFINED 05              36705         0        0
D ANTHERA PHARMACEUTICALS INC    COMMON     03674U102        6       1220 SH  -    DEFINED 08               1220         0        0
D ANWORTH MORTGAGE ASSET CP      COMMON     037347101    13697    2014230 SH  -    DEFINED 04            1823530         0   190700
D ANWORTH MORTGAGE ASSET CP      COMMON     037347101     5775     849300 SH  -    DEFINED 04             849300         0        0
D ANWORTH MORTGAGE ASSET CP      COMMON     037347101       13       1914 SH  -    DEFINED 05               1914         0        0
D ANWORTH MORTGAGE ASSET CP      COMMON     037347101       52       7691 SH  -    DEFINED 08               7691         0        0
D ANWORTH MORTGAGE ASSET CP      COMMON     037347101      307      45164 SH  -    OTHER   10                  0         0    45164
D AON CORPORATION                COMMON     037389103      106       2518 SH  -    DEFINED 02                595      1723      200
D AON CORPORATION                COMMON     037389103      172       4087 SH  -    DEFINED 02               4087         0        0
D AON CORPORATION                COMMON     037389103      168       4000 SH  -    DEFINED 02               3765         0      235
D AON CORPORATION                COMMON     037389103     2883      68683 SH  -    OTHER   02               2619     65474      590
D AON CORPORATION                COMMON     037389103      477      11367 SH  -    OTHER   02               4167       116     7084
D AON CORPORATION                COMMON     037389103    76165    1814306 SH  -    DEFINED 04            1739454         0    74852
D AON CORPORATION                COMMON     037389103    18062     430255 SH  -    DEFINED 04             430255         0        0
D AON CORPORATION                COMMON     037389103       14        336 SH  -    DEFINED 04                336         0        0
D AON CORPORATION                COMMON     037389103     1532      36500 SH  -    DEFINED 04              36500         0        0
D AON CORPORATION                COMMON     037389103      810      19292 SH  -    OTHER   04                  0     19292        0
D AON CORPORATION                COMMON     037389103     4123      98211 SH  -    OTHER   04                  0     98211        0
D AON CORPORATION                COMMON     037389103     6065     144470 SH  -    DEFINED 05             144470         0        0
D AON CORPORATION                COMMON     037389103       24        568 SH  -    DEFINED 06                568         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  91
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AON CORPORATION                COMMON     037389103     2035      48473 SH  -    DEFINED 08              48473         0        0
D AON CORPORATION                COMMON     037389103      384       9150 SH  -    DEFINED 01                  0         0     9150
D AON CORPORATION                COMMON     037389103       15        362 SH  -    OTHER   01                  0       362        0
D AON CORPORATION                COMMON     037389103     2740      65267 SH  -    OTHER   10                  0         0    65267
D A123 SYS INC                   COMMON     03739T108       15       4398 SH  -    OTHER   02                265      3962        0
D A123 SYS INC                   COMMON     03739T108     1037     301429 SH  -    DEFINED 05             301429         0        0
D A123 SYS INC                   COMMON     03739T108       45      13022 SH  -    DEFINED 08              13022         0        0
D APACHE CORP                    COMMON     037411105     4144      51643 SH  -    DEFINED 02              35500       400    15743
D APACHE CORP                    COMMON     037411105     1171      14594 SH  -    DEFINED 02              13159         0     1435
D APACHE CORP                    COMMON     037411105      585       7293 SH  -    DEFINED 02               7293         0        0
D APACHE CORP                    COMMON     037411105      783       9763 SH  -    DEFINED 02               5938         0     3825
D APACHE CORP                    COMMON     037411105    10398     129586 SH  -    OTHER   02              38962     65993    24571
D APACHE CORP                    COMMON     037411105     1366      17029 SH  -    OTHER   02              13601       623     2805
D APACHE CORP                    COMMON     037411105      347       4320 SH  -    OTHER   02                  0      4320        0
D APACHE CORP                    COMMON     037411105       54        674 SH  -    OTHER   02                  0       674        0
D APACHE CORP                    COMMON     037411105      700       8719 SH  -    OTHER   02                  0      8719        0
D APACHE CORP                    COMMON     037411105       32        399 SH  -    OTHER   02                  0       399        0
D APACHE CORP                    COMMON     037411105    79001     984555 SH  -    DEFINED 04             799813         0   184742
D APACHE CORP                    COMMON     037411105    11065     137904 SH  -    DEFINED 04             137904         0        0
D APACHE CORP                    COMMON     037411105     7635      95152 SH  -    DEFINED 04              95152         0        0
D APACHE CORP                    COMMON     037411105       80        995 SH  -    DEFINED 04                995         0        0
D APACHE CORP                    COMMON     037411105    14295     178151 SH  -    DEFINED 04             166361         0    11790
D APACHE CORP                    COMMON     037411105       67        835 SH  -    DEFINED 04                  0         0      835
D APACHE CORP                    COMMON     037411105        9        109 SH  -    OTHER   04                  0       109        0
D APACHE CORP                    COMMON     037411105      230       2871 SH  -    OTHER   04                  0      2871        0
D APACHE CORP                    COMMON     037411105    30264     377165 SH  -    DEFINED 05             377165         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  92
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D APACHE CORP                    COMMON     037411105      496       6176 SH  -    DEFINED 06               6176         0        0
D APACHE CORP                    COMMON     037411105    15079     187918 SH  -    DEFINED 08             187918         0        0
D APACHE CORP                    COMMON     037411105    30411     378995 SH  -    DEFINED 09             342865      7180    28950
D APACHE CORP                    COMMON     037411105      688       8570 SH  -    DEFINED 09               7170         0     1400
D APACHE CORP                    COMMON     037411105     3933      49013 SH  -    DEFINED 09              49013         0        0
D APACHE CORP                    COMMON     037411105     6708      83596 SH  -    OTHER   09                  0     83596        0
D APACHE CORP                    COMMON     037411105     1692      21090 SH  -    DEFINED 01              21090         0        0
D APACHE CORP                    COMMON     037411105      106       1322 SH  -    OTHER   01                655       617       50
D APACHE CORP                    COMMON     037411105      850      10595 SH  -    OTHER   10                  0         0    10595
D APACHE CORP                    PREF CONV  037411808        3         50 SH  -    DEFINED 02                  0         0        0
D APACHE CORP                    PREF CONV  037411808        8        162 SH  -    DEFINED 02                  0         0        0
D APACHE CORP                    PREF CONV  037411808    12465     243600 SH  -    DEFINED 09                  0         0        0
D APACHE CORP                    PREF CONV  037411808     1791      35000 SH  -    DEFINED 09                  0         0        0
D APACHE CORP                    OPTION     037411907     7502      93500 SH  C    DEFINED 05              93500         0        0
D APACHE CORP                    OPTION     037411907     4012      50000 SH  C    DEFINED 08              50000         0        0
D APARTMENT INV&MGMT             COMMON     03748R101       31       1405 SH  -    DEFINED 02               1393         0       12
D APARTMENT INV&MGMT             COMMON     03748R101    37155    1679685 SH  -    DEFINED 04            1134843         0   544842
D APARTMENT INV&MGMT             COMMON     03748R101     6547     295981 SH  -    DEFINED 04             295981         0        0
D APARTMENT INV&MGMT             COMMON     03748R101       60       2730 SH  -    DEFINED 04               2730         0        0
D APARTMENT INV&MGMT             COMMON     03748R101     1203      54404 SH  -    DEFINED 04              54404         0        0
D APARTMENT INV&MGMT             COMMON     03748R101       42       1921 SH  -    DEFINED 04                  0         0     1921
D APARTMENT INV&MGMT             COMMON     03748R101      743      33573 SH  -    DEFINED 05              33573         0        0
D APARTMENT INV&MGMT             COMMON     03748R101       17        757 SH  -    DEFINED 06                757         0        0
D APARTMENT INV&MGMT             COMMON     03748R101      187       8470 SH  -    OTHER   09                  0      8470        0
D APOGEE ENTERPRISES             COMMON     037598109        3        317 SH  -    OTHER   02                  0       317        0
D APOGEE ENTERPRISES             COMMON     037598109      167      19496 SH  -    DEFINED 04              19496         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  93
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D APOGEE ENTERPRISES             COMMON     037598109      113      13123 SH  -    DEFINED 05              13123         0        0
D APOLLO GROUP INC               COMMON     037604105      116       2925 SH  -    DEFINED 02                925         0     2000
D APOLLO GROUP INC               COMMON     037604105        8        190 SH  -    DEFINED 02                190         0        0
D APOLLO GROUP INC               COMMON     037604105       59       1479 SH  -    DEFINED 02               1413         0       66
D APOLLO GROUP INC               COMMON     037604105      160       4051 SH  -    OTHER   02                325      3205      452
D APOLLO GROUP INC               COMMON     037604105       71       1792 SH  -    OTHER   02                  0        41     1751
D APOLLO GROUP INC               COMMON     037604105    12552     316884 SH  -    DEFINED 04             107774         0   209110
D APOLLO GROUP INC               COMMON     037604105     6605     166762 SH  -    DEFINED 04             166762         0        0
D APOLLO GROUP INC               COMMON     037604105       51       1300 SH  -    DEFINED 04               1300         0        0
D APOLLO GROUP INC               COMMON     037604105        0         10 SH  -    OTHER   04                  0        10        0
D APOLLO GROUP INC               COMMON     037604105     1038      26212 SH  -    DEFINED 05              26212         0        0
D APOLLO GROUP INC               COMMON     037604105     7405     186945 SH  -    DEFINED 08             186945         0        0
D APOLLO GROUP INC               COMMON     037604105      269       6799 SH  -    DEFINED 09               6799         0        0
D APOLLO GROUP INC               COMMON     037604105        1         33 SH  -    OTHER   01                  0        33        0
D APOLLO GROUP INC               COMMON     037604105        7        186 SH  -    OTHER   10                  0         0      186
D APOLLO INVT CORP               COMMON     03761U106      139      18472 SH  -    OTHER   02               1026      1146    16300
D APOLLO INVT CORP               COMMON     03761U106      432      57500 SH  -    OTHER   02              57500         0        0
D APOLLO INVT CORP               COMMON     03761U106      511      68020 SH  -    DEFINED 04              68020         0        0
D APOLLO INVT CORP               COMMON     03761U106      631      84026 SH  -    DEFINED 04              84026         0        0
D APOLLO INVT CORP               COMMON     03761U106       22       2956 SH  -    DEFINED 05               2956         0        0
D APOLLO INVT CORP               COMMON     03761U106      119      15892 SH  -    DEFINED 08              15892         0        0
D APOLLO INVT CORP               COMMON     03761U106        3        446 SH  -    OTHER   01                  0       446        0
D APOLLO INVT CORP               COMMON     03761U106     1992     265015 SH  -    OTHER   10                  0         0   265015
D APOLLO GLOBAL MGMT LLC         COMMON     037612306      256      25000 SH  -    DEFINED 08              25000         0        0
D APOLLO COML REAL EST FIN INC   COMMON     03762U105        4        266 SH  -    DEFINED 05                266         0        0
D APOLLO COML REAL EST FIN INC   COMMON     03762U105      620      47043 SH  -    DEFINED 08              47043         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  94
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D APOLLO COML REAL EST FIN INC   COMMON     03762U105     1276      96909 SH  -    OTHER   10                  0         0    96909
D APOLLO RESIDENTIAL MTG INC     COMMON     03763V102      362      22096 SH  -    DEFINED 05              22096         0        0
D APOLLO RESIDENTIAL MTG INC     COMMON     03763V102      869      53001 SH  -    DEFINED 08              53001         0        0
D APOLLO RESIDENTIAL MTG INC     COMMON     03763V102      216      13200 SH  -    OTHER   10                  0         0    13200
D APOLLO SR FLOATING RATE FD INC COMMON     037636107        1         33 SH  -    DEFINED 02                 33         0        0
D APOLLO SR FLOATING RATE FD INC COMMON     037636107     1478      93775 SH  -    OTHER   10                  0         0    93775
D APPLE INC                      COMMON     037833100   125633     329468 SH  -    DEFINED 02             278803      3037    47628
D APPLE INC                      COMMON     037833100    41861     109778 SH  -    DEFINED 02             105699        85     3994
D APPLE INC                      COMMON     037833100     5213      13671 SH  -    DEFINED 02              13671         0        0
D APPLE INC                      COMMON     037833100     9361      24550 SH  -    DEFINED 02              14265         0    10285
D APPLE INC                      COMMON     037833100    71602     187773 SH  -    OTHER   02              89853     69615    27916
D APPLE INC                      COMMON     037833100    11799      30943 SH  -    OTHER   02              24552       801     5590
D APPLE INC                      COMMON     037833100     1115       2923 SH  -    OTHER   02                  0      2923        0
D APPLE INC                      COMMON     037833100      635       1664 SH  -    OTHER   02                  0      1664        0
D APPLE INC                      COMMON     037833100     5084      13332 SH  -    OTHER   02                  0     13332        0
D APPLE INC                      COMMON     037833100  2741099    7188449 SH  -    DEFINED 04            5505299         0  1683150
D APPLE INC                      COMMON     037833100   207688     544655 SH  -    DEFINED 04             544655         0        0
D APPLE INC                      COMMON     037833100   227404     596361 SH  -    DEFINED 04             596361         0        0
D APPLE INC                      COMMON     037833100      917       2405 SH  -    DEFINED 04               2405         0        0
D APPLE INC                      COMMON     037833100    12905      33842 SH  -    DEFINED 04              33842         0        0
D APPLE INC                      COMMON     037833100   112576     295226 SH  -    DEFINED 04             271555         0    23671
D APPLE INC                      COMMON     037833100     1807       4738 SH  -    DEFINED 04                  0         0     4738
D APPLE INC                      COMMON     037833100       24         62 SH  -    OTHER   04                  0        62        0
D APPLE INC                      COMMON     037833100    82153     215444 SH  -    OTHER   04                  0    215444        0
D APPLE INC                      COMMON     037833100   246322     645972 SH  -    DEFINED 05             645972         0        0
D APPLE INC                      COMMON     037833100        0          1 SH  -    DEFINED 08                  1         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  95
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D APPLE INC                      COMMON     037833100   357319     937059 SH  -    DEFINED 08             937059         0        0
D APPLE INC                      COMMON     037833100   245193     643010 SH  -    DEFINED 09             608042     14146    16211
D APPLE INC                      COMMON     037833100     5623      14745 SH  -    DEFINED 09              14745         0        0
D APPLE INC                      COMMON     037833100    45053     118149 SH  -    DEFINED 09             118149         0        0
D APPLE INC                      COMMON     037833100     4414      11576 SH  -    DEFINED 09              11576         0        0
D APPLE INC                      COMMON     037833100    28326      74285 SH  -    OTHER   09                  0     74285        0
D APPLE INC                      COMMON     037833100     8529      22367 SH  -    DEFINED 01              19704      1098     1565
D APPLE INC                      COMMON     037833100     3356       8802 SH  -    OTHER   01               3813      3035     1935
D APPLE INC                      COMMON     037833100    80888     212127 SH  -    OTHER   10                  0         0   212127
D APPLE INC                      OPTION     037833902   107685     282400 SH  C    DEFINED 05             282400         0        0
D APPLE INC                      OPTION     037833902     2156       5654 SH  C    DEFINED 08               5654         0        0
D APPLE INC                      OPTION     037833951    76340     200200 SH  P    DEFINED 05             200200         0        0
D APPLE INC                      OPTION     037833951    65168     170900 SH  P    DEFINED 08             170900         0        0
D APPLIED INDL TECHNOLOGIES INC  COMMON     03820C105        1         38 SH  -    OTHER   02                  0        38        0
D APPLIED INDL TECHNOLOGIES INC  COMMON     03820C105     9031     332517 SH  -    DEFINED 04             306242         0    26275
D APPLIED INDL TECHNOLOGIES INC  COMMON     03820C105     5552     204410 SH  -    DEFINED 04             204410         0        0
D APPLIED INDL TECHNOLOGIES INC  COMMON     03820C105      538      19812 SH  -    DEFINED 05              19812         0        0
D APPLIED MATERIALS              COMMON     038222105      196      18903 SH  -    DEFINED 02               6428     12250      225
D APPLIED MATERIALS              COMMON     038222105       43       4122 SH  -    DEFINED 02               4122         0        0
D APPLIED MATERIALS              COMMON     038222105      167      16150 SH  -    DEFINED 02              15183         0      967
D APPLIED MATERIALS              COMMON     038222105     1889     182443 SH  -    OTHER   02              51451    129151     1447
D APPLIED MATERIALS              COMMON     038222105      152      14686 SH  -    OTHER   02              12620       324     1742
D APPLIED MATERIALS              COMMON     038222105    19060    1840662 SH  -    DEFINED 04             701416         0  1139246
D APPLIED MATERIALS              COMMON     038222105     3466     334722 SH  -    DEFINED 04             334722         0        0
D APPLIED MATERIALS              COMMON     038222105       30       2850 SH  -    DEFINED 04               2850         0        0
D APPLIED MATERIALS              COMMON     038222105        0         43 SH  -    OTHER   04                  0        43        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  96
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D APPLIED MATERIALS              COMMON     038222105      870      84025 SH  -    DEFINED 05              84025         0        0
D APPLIED MATERIALS              COMMON     038222105      158      15262 SH  -    DEFINED 09              15262         0        0
D APPLIED MATERIALS              COMMON     038222105        1         95 SH  -    DEFINED 01                 95         0        0
D APPLIED MATERIALS              COMMON     038222105       12       1116 SH  -    OTHER   01               1116         0        0
D APPLIED MATERIALS              COMMON     038222105      407      39307 SH  -    OTHER   10                  0         0    39307
D APPLIED MATERIALS              OPTION     038222907       53       5100 SH  C    DEFINED 05               5100         0        0
D APPLIED MATERIALS              OPTION     038222956      193      18600 SH  P    DEFINED 05              18600         0        0
D APTARGROUP INC                 COMMON     038336103      289       6465 SH  -    OTHER   02                  0      6465        0
D APTARGROUP INC                 COMMON     038336103       57       1270 SH  -    OTHER   02                  0         0     1270
D APTARGROUP INC                 COMMON     038336103    42150     943581 SH  -    DEFINED 04             875471         0    68110
D APTARGROUP INC                 COMMON     038336103      794      17772 SH  -    DEFINED 04              17772         0        0
D APTARGROUP INC                 COMMON     038336103      360       8063 SH  -    DEFINED 05               8063         0        0
D APTARGROUP INC                 COMMON     038336103      116       2599 SH  -    DEFINED 08               2599         0        0
D APTARGROUP INC                 COMMON     038336103        3         56 SH  -    OTHER   01                  0        56        0
D APTARGROUP INC                 COMMON     038336103        1         28 SH  -    OTHER   10                  0         0       28
D APPROACH RESOURCES INC         COMMON     03834A103      301      17700 SH  -    OTHER   02              14700         0     3000
D APPROACH RESOURCES INC         COMMON     03834A103    14666     863242 SH  -    DEFINED 04             806047         0    57195
D APPROACH RESOURCES INC         COMMON     03834A103      193      11353 SH  -    DEFINED 05              11353         0        0
D AQUA AMERICA INC               COMMON     03836W103       14        653 SH  -    DEFINED 02                653         0        0
D AQUA AMERICA INC               COMMON     03836W103        1         48 SH  -    OTHER   02                  0        48        0
D AQUA AMERICA INC               COMMON     03836W103      386      17875 SH  -    DEFINED 04              17875         0        0
D AQUA AMERICA INC               COMMON     03836W103       45       2090 SH  -    DEFINED 05               2090         0        0
D AQUA AMERICA INC               COMMON     03836W103      127       5865 SH  -    DEFINED 08               5865         0        0
D AQUA AMERICA INC               COMMON     03836W103       57       2654 SH  -    OTHER   10                  0         0     2654
D ARBITRON INC                   COMMON     03875Q108        2         48 SH  -    OTHER   02                  0        48        0
D ARBITRON INC                   COMMON     03875Q108      645      19508 SH  -    DEFINED 04              19508         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  97
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ARBITRON INC                   COMMON     03875Q108      420      12705 SH  -    DEFINED 05              12705         0        0
D ARCH CHEMICALS INC             COMMON     03937R102      846      18029 SH  -    DEFINED 04              18029         0        0
D ARCH CHEMICALS INC             COMMON     03937R102      554      11798 SH  -    DEFINED 05              11798         0        0
D ARCH CHEMICALS INC             COMMON     03937R102       26        559 SH  -    DEFINED 08                559         0        0
D ARCH CHEMICALS INC             COMMON     03937R102     2993      63799 SH  -    DEFINED 09              63799         0        0
D ARCELORMITTAL SA LUXEMBOURG    BOND       03938LAK0    28210   26899000 PRN -    DEFINED 05                  0         0        0
D ARCELORMITTAL SA LUXEMBOURG    BOND       03938LAK0     3168    3021000 PRN -    DEFINED 06                  0         0        0
D ARCELORMITTAL SA LUXEMBOURG    BOND       03938LAK0    13673   13037000 PRN -    DEFINED 09                  0         0        0
D ARCELORMITTAL SA LUXEMBOURG    BOND       03938LAK0     4845    4620000 PRN -    DEFINED 09                  0         0        0
D ARCELORMITTAL SA LUXEMBOURG    ADR        03938L104        1         45 SH  -    DEFINED 02                 45         0        0
D ARCELORMITTAL SA LUXEMBOURG    ADR        03938L104       27       1701 SH  -    OTHER   02                  0      1701        0
D ARCELORMITTAL SA LUXEMBOURG    ADR        03938L104     1144      71900 SH  -    DEFINED 05              71900         0        0
D ARCELORMITTAL SA LUXEMBOURG    ADR        03938L104      460      28944 SH  -    DEFINED 08              28944         0        0
D ARCELORMITTAL SA LUXEMBOURG    ADR        03938L104     2286     143670 SH  -    DEFINED 09             143670         0        0
D ARCELORMITTAL SA LUXEMBOURG    ADR        03938L104      784      49256 SH  -    OTHER   09                  0     49256        0
D ARCELORMITTAL SA LUXEMBOURG    ADR        03938L104        2        119 SH  -    OTHER   01                  0       119        0
D ARCELORMITTAL SA LUXEMBOURG    ADR        03938L104      153       9639 SH  -    OTHER   10                  0         0     9639
D ARCH COAL INC                  COMMON     039380100      225      15431 SH  -    DEFINED 02                611     14820        0
D ARCH COAL INC                  COMMON     039380100      770      52791 SH  -    OTHER   02              14500     37484      807
D ARCH COAL INC                  COMMON     039380100     3753     257384 SH  -    DEFINED 04             257384         0        0
D ARCH COAL INC                  COMMON     039380100      193      13238 SH  -    DEFINED 05              13238         0        0
D ARCH COAL INC                  COMMON     039380100       36       2500 SH  -    DEFINED 06               2500         0        0
D ARCH COAL INC                  COMMON     039380100    12362     847846 SH  -    DEFINED 08             847846         0        0
D ARCH COAL INC                  COMMON     039380100      433      29676 SH  -    OTHER   10                  0         0    29676
D ARCH COAL INC                  OPTION     039380951       90       6200 SH  P    DEFINED 05               6200         0        0
D ARCHER DANIELS MIDLAND CO      BOND       039483AW2     4975    5000000 PRN -    DEFINED 05                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  98
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ARCHER DANIELS MIDLAND CO      BOND       039483AW2    26168   26299000 PRN -    DEFINED 09                  0         0        0
D ARCHER DANIELS MIDLAND CO      COMMON     039483102     2857     115169 SH  -    DEFINED 02             115169         0        0
D ARCHER DANIELS MIDLAND CO      COMMON     039483102      121       4887 SH  -    DEFINED 02               4887         0        0
D ARCHER DANIELS MIDLAND CO      COMMON     039483102      205       8275 SH  -    DEFINED 02               7788         0      487
D ARCHER DANIELS MIDLAND CO      COMMON     039483102      657      26462 SH  -    OTHER   02                  0     20270     6124
D ARCHER DANIELS MIDLAND CO      COMMON     039483102       76       3059 SH  -    OTHER   02                500        53     2506
D ARCHER DANIELS MIDLAND CO      COMMON     039483102    17745     715219 SH  -    DEFINED 04             614311         0   100908
D ARCHER DANIELS MIDLAND CO      COMMON     039483102     2552     102861 SH  -    DEFINED 04             102861         0        0
D ARCHER DANIELS MIDLAND CO      COMMON     039483102        1         30 SH  -    OTHER   04                  0        30        0
D ARCHER DANIELS MIDLAND CO      COMMON     039483102    31945    1287572 SH  -    DEFINED 05            1287572         0        0
D ARCHER DANIELS MIDLAND CO      COMMON     039483102      355      14301 SH  -    DEFINED 06              14301         0        0
D ARCHER DANIELS MIDLAND CO      COMMON     039483102    37115    1495956 SH  -    DEFINED 08            1495956         0        0
D ARCHER DANIELS MIDLAND CO      COMMON     039483102      157       6312 SH  -    DEFINED 09               6312         0        0
D ARCHER DANIELS MIDLAND CO      COMMON     039483102      277      11185 SH  -    OTHER   10                  0         0    11185
D ARCHIPELAGO LEARNING INC       COMMON     03956P102        7        853 SH  -    OTHER   02                  0       853        0
D ARCHIPELAGO LEARNING INC       COMMON     03956P102    11849    1410610 SH  -    DEFINED 04            1316560         0    94050
D ARCHIPELAGO LEARNING INC       COMMON     03956P102        1        139 SH  -    DEFINED 05                139         0        0
D ARCHIPELAGO LEARNING INC       COMMON     03956P102        7        820 SH  -    DEFINED 08                820         0        0
D ARCTIC CAT INC                 COMMON     039670104        1         68 SH  -    OTHER   02                  0        68        0
D ARCTIC CAT INC                 COMMON     039670104     1308      90250 SH  -    DEFINED 04              82050         0     8200
D ARCTIC CAT INC                 COMMON     039670104      815      56259 SH  -    DEFINED 04              56259         0        0
D ARCTIC CAT INC                 COMMON     039670104       83       5723 SH  -    DEFINED 05               5723         0        0
D ARDEN GROUP INC                COMMON     039762109      676       8500 SH  -    DEFINED 04               7800         0      700
D ARDEN GROUP INC                COMMON     039762109       10        123 SH  -    DEFINED 08                123         0        0
D ARENA PHARMACEUTIC             COMMON     040047102        4       2766 SH  -    OTHER   02                  0      2766        0
D ARENA PHARMACEUTIC             COMMON     040047102       90      62648 SH  -    DEFINED 05              62648         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE  99
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ARENA PHARMACEUTIC             COMMON     040047102       13       9325 SH  -    DEFINED 08               9325         0        0
D ARGAN INC                      COMMON     04010E109        1         64 SH  -    OTHER   02                  0        64        0
D ARGAN INC                      COMMON     04010E109      389      38172 SH  -    DEFINED 04              35672         0     2500
D ARGAN INC                      COMMON     04010E109        1        123 SH  -    DEFINED 05                123         0        0
D ARGAN INC                      COMMON     04010E109        5        479 SH  -    DEFINED 08                479         0        0
D ARES CAP CORP                  COMMON     04010L103       70       5092 SH  -    OTHER   02               1591      3041      360
D ARES CAP CORP                  COMMON     04010L103       15       1097 SH  -    OTHER   02               1097         0        0
D ARES CAP CORP                  COMMON     04010L103     1090      79149 SH  -    DEFINED 04              38849         0    40300
D ARES CAP CORP                  COMMON     04010L103     1677     121796 SH  -    DEFINED 04             121796         0        0
D ARES CAP CORP                  COMMON     04010L103     7033     510743 SH  -    DEFINED 05             510743         0        0
D ARES CAP CORP                  COMMON     04010L103     1736     126084 SH  -    DEFINED 08             126084         0        0
D ARES CAP CORP                  COMMON     04010L103      488      35427 SH  -    OTHER   10                  0         0    35427
D ARIAD PHARMACEUTIC             COMMON     04033A100        0         48 SH  -    OTHER   02                  0        48        0
D ARIAD PHARMACEUTIC             COMMON     04033A100     9811    1116110 SH  -    DEFINED 04             868560         0   247550
D ARIAD PHARMACEUTIC             COMMON     04033A100     4620     525600 SH  -    DEFINED 04             525600         0        0
D ARIAD PHARMACEUTIC             COMMON     04033A100      754      85760 SH  -    DEFINED 04              85760         0        0
D ARIAD PHARMACEUTIC             COMMON     04033A100     1894     215427 SH  -    DEFINED 05             215427         0        0
D ARIAD PHARMACEUTIC             COMMON     04033A100       70       8001 SH  -    DEFINED 08               8001         0        0
D ARIAD PHARMACEUTIC             COMMON     04033A100      350      39837 SH  -    DEFINED 09              39837         0        0
D ARIAD PHARMACEUTIC             COMMON     04033A100        1        133 SH  -    OTHER   01                  0       133        0
D ARIAD PHARMACEUTIC             COMMON     04033A100      590      67164 SH  -    OTHER   10                  0         0    67164
D ARIBA INC                      COMMON     04033V203       40       1459 SH  -    OTHER   02                  0      1459        0
D ARIBA INC                      COMMON     04033V203     1133      40889 SH  -    DEFINED 04              35089         0     5800
D ARIBA INC                      COMMON     04033V203       84       3048 SH  -    DEFINED 05               3048         0        0
D ARKANSAS BEST CORP             COMMON     040790107       70       4317 SH  -    OTHER   02                  0       240     4077
D ARKANSAS BEST CORP             COMMON     040790107      198      12261 SH  -    OTHER   02                  5       523    11733

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 100
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ARKANSAS BEST CORP             COMMON     040790107      362      22400 SH  -    DEFINED 04              20900         0     1500
D ARKANSAS BEST CORP             COMMON     040790107      782      48394 SH  -    DEFINED 04              48394         0        0
D ARKANSAS BEST CORP             COMMON     040790107      191      11848 SH  -    DEFINED 05              11848         0        0
D ARKANSAS BEST CORP             COMMON     040790107     1051      65055 SH  -    OTHER   10                  0         0    65055
D ARM HLDGS PLC                  ADR        042068106        7        273 SH  -    DEFINED 02                273         0        0
D ARM HLDGS PLC                  ADR        042068106        7        266 SH  -    OTHER   02                  0       266        0
D ARM HLDGS PLC                  ADR        042068106    36069    1414476 SH  -    DEFINED 04             792359         0   622117
D ARM HLDGS PLC                  ADR        042068106    16111     631800 SH  -    DEFINED 04             631800         0        0
D ARM HLDGS PLC                  ADR        042068106     4696     184160 SH  -    DEFINED 04             184160         0        0
D ARM HLDGS PLC                  ADR        042068106       27       1058 SH  -    OTHER   04                  0      1058        0
D ARM HLDGS PLC                  ADR        042068106      305      11947 SH  -    DEFINED 05              11947         0        0
D ARM HLDGS PLC                  ADR        042068106     4989     195631 SH  -    DEFINED 06             195631         0        0
D ARM HLDGS PLC                  ADR        042068106        3        100 SH  -    DEFINED 08                100         0        0
D ARM HLDGS PLC                  ADR        042068106      198       7781 SH  -    OTHER   01               7700        81        0
D ARM HLDGS PLC                  ADR        042068106        3        119 SH  -    OTHER   10                  0         0      119
D ARMSTRONG WORLD INDS INC NEW   COMMON     04247X102      100       2900 SH  -    DEFINED 02               2900         0        0
D ARMSTRONG WORLD INDS INC NEW   COMMON     04247X102    36553    1061355 SH  -    DEFINED 04             574100         0   487255
D ARMSTRONG WORLD INDS INC NEW   COMMON     04247X102       75       2166 SH  -    OTHER   04                  0      2166        0
D ARMSTRONG WORLD INDS INC NEW   COMMON     04247X102       11        309 SH  -    DEFINED 05                309         0        0
D ARMSTRONG WORLD INDS INC NEW   COMMON     04247X102      188       5469 SH  -    DEFINED 08               5469         0        0
D ARQULE INC                     COMMON     04269E107        1        262 SH  -    OTHER   02                262         0        0
D ARQULE INC                     COMMON     04269E107      404      80025 SH  -    DEFINED 04              71825         0     8200
D ARQULE INC                     COMMON     04269E107      153      30300 SH  -    DEFINED 04              30300         0        0
D ARQULE INC                     COMMON     04269E107      507     100305 SH  -    DEFINED 05             100305         0        0
D ARRIS GROUP INC                BOND       04269QAC4       17      17000 PRN -    DEFINED 05                  0         0        0
D ARRIS GROUP INC                COMMON     04269Q100        6        629 SH  -    DEFINED 02                629         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 101
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ARRIS GROUP INC                COMMON     04269Q100       29       2768 SH  -    OTHER   02               2600       168        0
D ARRIS GROUP INC                COMMON     04269Q100     6297     611362 SH  -    DEFINED 04             542442         0    68920
D ARRIS GROUP INC                COMMON     04269Q100     5386     522884 SH  -    DEFINED 04             522884         0        0
D ARRIS GROUP INC                COMMON     04269Q100      574      55702 SH  -    DEFINED 05              55702         0        0
D ARRIS GROUP INC                COMMON     04269Q100     1110     107741 SH  -    DEFINED 08             107741         0        0
D ARRAY BIOPHARMA INC            COMMON     04269X105      234     119950 SH  -    OTHER   02                  0    119950        0
D ARRAY BIOPHARMA INC            COMMON     04269X105       96      49217 SH  -    DEFINED 05              49217         0        0
D ARRAY BIOPHARMA INC            COMMON     04269X105        5       2812 SH  -    DEFINED 08               2812         0        0
D ARROW ELECTRONICS              COMMON     042735100      161       5800 SH  -    DEFINED 02                700         0     5100
D ARROW ELECTRONICS              COMMON     042735100       94       3386 SH  -    OTHER   02                  0      2703      683
D ARROW ELECTRONICS              COMMON     042735100    78143    2812935 SH  -    DEFINED 04            2456035         0   356900
D ARROW ELECTRONICS              COMMON     042735100     7389     265992 SH  -    DEFINED 04             265992         0        0
D ARROW ELECTRONICS              COMMON     042735100     1483      53400 SH  -    DEFINED 04              53400         0        0
D ARROW ELECTRONICS              COMMON     042735100     1537      55325 SH  -    DEFINED 04              55325         0        0
D ARROW ELECTRONICS              COMMON     042735100      882      31742 SH  -    OTHER   04                  0     31742        0
D ARROW ELECTRONICS              COMMON     042735100     4350     156590 SH  -    OTHER   04                  0    156590        0
D ARROW ELECTRONICS              COMMON     042735100      142       5121 SH  -    DEFINED 05               5121         0        0
D ARROW ELECTRONICS              COMMON     042735100     1064      38289 SH  -    DEFINED 08              38289         0        0
D ARROW ELECTRONICS              COMMON     042735100        1         35 SH  -    OTHER   10                  0         0       35
D ARTHROCARE INC                 COMMON     043136100      196       6810 SH  -    DEFINED 03               6810         0        0
D ARTHROCARE INC                 COMMON     043136100     2957     102786 SH  -    DEFINED 05             102786         0        0
D ARTIO GLOBAL INVS INC          COMMON     04315B107      598      75082 SH  -    OTHER   02              75000        82        0
D ARTIO GLOBAL INVS INC          COMMON     04315B107      841     105700 SH  -    DEFINED 04             105700         0        0
D ARTIO GLOBAL INVS INC          COMMON     04315B107        4        504 SH  -    DEFINED 05                504         0        0
D ARTIO GLOBAL INVS INC          COMMON     04315B107       16       2013 SH  -    DEFINED 08               2013         0        0
D ARUBA NETWORKS INC             COMMON     043176106       77       3662 SH  -    DEFINED 02               3662         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 102
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ARUBA NETWORKS INC             COMMON     043176106      154       7365 SH  -    OTHER   02                  0         0     7365
D ARUBA NETWORKS INC             COMMON     043176106    18463     882967 SH  -    DEFINED 04             542130         0   340837
D ARUBA NETWORKS INC             COMMON     043176106     3028     144800 SH  -    DEFINED 04             144800         0        0
D ARUBA NETWORKS INC             COMMON     043176106     1198      57310 SH  -    DEFINED 04              57310         0        0
D ARUBA NETWORKS INC             COMMON     043176106     1792      85685 SH  -    DEFINED 05              85685         0        0
D ARUBA NETWORKS INC             COMMON     043176106      556      26576 SH  -    DEFINED 08              26576         0        0
D ARUBA NETWORKS INC             COMMON     043176106      125       6000 SH  -    OTHER   01               6000         0        0
D ARUBA NETWORKS INC             COMMON     043176106       14        667 SH  -    OTHER   10                  0         0      667
D ARUBA NETWORKS INC             OPTION     043176957      429      20500 SH  P    DEFINED 08              20500         0        0
D ARVINMERITOR INC               BOND       043353AH4       14      21000 PRN -    DEFINED 05                  0         0        0
D ASCENA RETAIL GROUP INC        COMMON     04351G101       94       3472 SH  -    DEFINED 02               3472         0        0
D ASCENA RETAIL GROUP INC        COMMON     04351G101     5016     185284 SH  -    DEFINED 04             185284         0        0
D ASCENA RETAIL GROUP INC        COMMON     04351G101       28       1046 SH  -    DEFINED 05               1046         0        0
D ASCENA RETAIL GROUP INC        COMMON     04351G101      146       5377 SH  -    DEFINED 08               5377         0        0
D ASHFORD HOSPITALITY TR INC     COMMON     044103109     9373    1335120 SH  -    DEFINED 04            1198720         0   136400
D ASHFORD HOSPITALITY TR INC     COMMON     044103109     3401     484500 SH  -    DEFINED 04             484500         0        0
D ASHFORD HOSPITALITY TR INC     COMMON     044103109       31       4348 SH  -    DEFINED 04               4348         0        0
D ASHFORD HOSPITALITY TR INC     COMMON     044103109       92      13172 SH  -    OTHER   04                  0     13172        0
D ASHFORD HOSPITALITY TR INC     COMMON     044103109        6        823 SH  -    DEFINED 05                823         0        0
D ASHFORD HOSPITALITY TR INC     COMMON     044103109        4        500 SH  -    DEFINED 06                500         0        0
D ASHFORD HOSPITALITY TR INC     PREF CONV  044103505     1550      65000 SH  -    DEFINED 08                  0         0        0
D ASHLAND INC NEW                COMMON     044209104        0          2 SH  -    DEFINED 02                  0         0        2
D ASHLAND INC NEW                COMMON     044209104       46       1043 SH  -    OTHER   02                  0       379      664
D ASHLAND INC NEW                COMMON     044209104       49       1105 SH  -    OTHER   02                  0         0     1105
D ASHLAND INC NEW                COMMON     044209104     1589      36000 SH  -    DEFINED 04              36000         0        0
D ASHLAND INC NEW                COMMON     044209104     3592      81380 SH  -    DEFINED 04              81380         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 103
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ASHLAND INC NEW                COMMON     044209104     3657      82846 SH  -    DEFINED 05              82846         0        0
D ASHLAND INC NEW                COMMON     044209104      440       9976 SH  -    DEFINED 08               9976         0        0
D ASHLAND INC NEW                OPTION     044209906        4        100 SH  C    DEFINED 05                100         0        0
D ASIAINFO-LINKAGE INC           COMMON     04518A104      564      76400 SH  -    DEFINED 02              76400         0        0
D ASIAINFO-LINKAGE INC           COMMON     04518A104        4        500 SH  -    OTHER   02                500         0        0
D ASIAINFO-LINKAGE INC           COMMON     04518A104      312      42327 SH  -    DEFINED 04                  0         0    42327
D ASIAINFO-LINKAGE INC           COMMON     04518A104    10533    1427200 SH  -    DEFINED 04            1427200         0        0
D ASIAINFO-LINKAGE INC           COMMON     04518A104    14701    1992042 SH  -    DEFINED 09            1284042    708000        0
D ASPEN TECHNOLOGY               COMMON     045327103       17       1137 SH  -    OTHER   02                  0      1137        0
D ASPEN TECHNOLOGY               COMMON     045327103     8500     556640 SH  -    DEFINED 04             472840         0    83800
D ASPEN TECHNOLOGY               COMMON     045327103     2868     187800 SH  -    DEFINED 04             187800         0        0
D ASPEN TECHNOLOGY               COMMON     045327103        0          1 SH  -    DEFINED 05                  1         0        0
D ASPEN TECHNOLOGY               COMMON     045327103       76       5005 SH  -    DEFINED 08               5005         0        0
D ASPEN TECHNOLOGY               COMMON     045327103       20       1290 SH  -    OTHER   10                  0         0     1290
D ASSISTED LIVING CONCPT NEV NEW COMMON     04544X300      429      33852 SH  -    OTHER   02               1304     32548        0
D ASSISTED LIVING CONCPT NEV NEW COMMON     04544X300        4        303 SH  -    DEFINED 05                303         0        0
D ASSISTED LIVING CONCPT NEV NEW COMMON     04544X300       15       1149 SH  -    DEFINED 08               1149         0        0
D ASSOCD BANC-CORP               COMMON     045487105        2        225 SH  -    DEFINED 02                225         0        0
D ASSOCD BANC-CORP               COMMON     045487105       30       3191 SH  -    OTHER   02                150      3041        0
D ASSOCD BANC-CORP               COMMON     045487105       39       4200 SH  -    OTHER   02                  0         0     4200
D ASSOCD BANC-CORP               COMMON     045487105    24751    2661411 SH  -    DEFINED 04            2486565         0   174846
D ASSOCD BANC-CORP               COMMON     045487105       46       4989 SH  -    DEFINED 05               4989         0        0
D ASSOCD BANC-CORP               COMMON     045487105      235      25244 SH  -    DEFINED 08              25244         0        0
D ASSOCD BANC-CORP               COMMON     045487105        4        408 SH  -    OTHER   10                  0         0      408
D ASSOCIATED ESTATES RLTY CORP   COMMON     045604105     2121     137175 SH  -    DEFINED 04             109975         0    27200
D ASSOCIATED ESTATES RLTY CORP   COMMON     045604105       10        628 SH  -    DEFINED 05                628         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 104
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ASSOCIATED ESTATES RLTY CORP   COMMON     045604105        0          1 SH  -    OTHER   10                  0         0        1
D ASSURANT INC                   COMMON     04621X108       19        535 SH  -    DEFINED 02                535         0        0
D ASSURANT INC                   COMMON     04621X108       55       1525 SH  -    DEFINED 02               1525         0        0
D ASSURANT INC                   COMMON     04621X108       41       1147 SH  -    DEFINED 02               1088         0       59
D ASSURANT INC                   COMMON     04621X108       63       1769 SH  -    OTHER   02                  0      1769        0
D ASSURANT INC                   COMMON     04621X108       67       1883 SH  -    OTHER   02               1850        17       16
D ASSURANT INC                   COMMON     04621X108     3856     107718 SH  -    DEFINED 04              99613         0     8105
D ASSURANT INC                   COMMON     04621X108     3829     106962 SH  -    DEFINED 04             106962         0        0
D ASSURANT INC                   COMMON     04621X108        6        173 SH  -    OTHER   04                  0       173        0
D ASSURANT INC                   COMMON     04621X108     2053      57342 SH  -    DEFINED 05              57342         0        0
D ASSURANT INC                   COMMON     04621X108        7        204 SH  -    DEFINED 06                204         0        0
D ASSURANT INC                   COMMON     04621X108      952      26599 SH  -    DEFINED 08              26599         0        0
D ASSURANT INC                   COMMON     04621X108        6        161 SH  -    OTHER   01                  0       161        0
D ASTEC INDUSTRIES               COMMON     046224101        9        303 SH  -    OTHER   02                  0       303        0
D ASTEC INDUSTRIES               COMMON     046224101      405      13827 SH  -    DEFINED 04              13827         0        0
D ASTEC INDUSTRIES               COMMON     046224101      273       9309 SH  -    DEFINED 05               9309         0        0
D ASTORIA FINANCIAL              COMMON     046265104        4        545 SH  -    DEFINED 02                545         0        0
D ASTORIA FINANCIAL              COMMON     046265104       51       6589 SH  -    OTHER   02                  0        89     6500
D ASTORIA FINANCIAL              COMMON     046265104      478      62200 SH  -    DEFINED 04              58700         0     3500
D ASTORIA FINANCIAL              COMMON     046265104     1777     231133 SH  -    DEFINED 04             231133         0        0
D ASTORIA FINANCIAL              COMMON     046265104       56       7308 SH  -    DEFINED 05               7308         0        0
D ASTORIA FINANCIAL              COMMON     046265104      107      13958 SH  -    DEFINED 08              13958         0        0
D ASTORIA FINANCIAL              COMMON     046265104        4        525 SH  -    OTHER   10                  0         0      525
D ASTRAZENECA                    ADR        046353108      139       3130 SH  -    DEFINED 02                490      2640        0
D ASTRAZENECA                    ADR        046353108       56       1257 SH  -    DEFINED 02               1257         0        0
D ASTRAZENECA                    ADR        046353108     9965     224648 SH  -    OTHER   02               4550    217363     2325

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 105
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ASTRAZENECA                    ADR        046353108      821      18497 SH  -    OTHER   02                957     13030     4510
D ASTRAZENECA                    ADR        046353108        4        100 SH  -    DEFINED 05                100         0        0
D ASTRAZENECA                    ADR        046353108     6629     149447 SH  -    DEFINED 06             149447         0        0
D ASTRAZENECA                    ADR        046353108     1238      27916 SH  -    OTHER   01               6000     21803        0
D ASTRAZENECA                    ADR        046353108       51       1158 SH  -    OTHER   10                  0         0     1158
D ATHENAHEALTH INC               COMMON     04685W103        9        143 SH  -    DEFINED 02                  0       143        0
D ATHENAHEALTH INC               COMMON     04685W103        5         80 SH  -    DEFINED 02                 80         0        0
D ATHENAHEALTH INC               COMMON     04685W103      500       8402 SH  -    OTHER   02                 17      8373        0
D ATHENAHEALTH INC               COMMON     04685W103       18        306 SH  -    OTHER   02                  0         0      306
D ATHENAHEALTH INC               COMMON     04685W103       52        866 SH  -    DEFINED 05                866         0        0
D ATHENAHEALTH INC               COMMON     04685W103      128       2155 SH  -    DEFINED 08               2155         0        0
D ATLANTIC TELE NETW             COMMON     049079205        2         74 SH  -    OTHER   02                  0        74        0
D ATLANTIC TELE NETW             COMMON     049079205      216       6566 SH  -    DEFINED 04               6566         0        0
D ATLANTIC TELE NETW             COMMON     049079205      143       4353 SH  -    DEFINED 05               4353         0        0
D ATLAS AIR WORLDWIDE HLDGS INC  COMMON     049164205      454      13642 SH  -    OTHER   02                460     13182        0
D ATLAS AIR WORLDWIDE HLDGS INC  COMMON     049164205     8530     256245 SH  -    DEFINED 04             233720         0    22525
D ATLAS AIR WORLDWIDE HLDGS INC  COMMON     049164205     1833      55067 SH  -    DEFINED 04              55067         0        0
D ATLAS AIR WORLDWIDE HLDGS INC  COMMON     049164205       56       1689 SH  -    DEFINED 05               1689         0        0
D ATLAS AIR WORLDWIDE HLDGS INC  COMMON     049164205      116       3489 SH  -    DEFINED 08               3489         0        0
D ATLAS AIR WORLDWIDE HLDGS INC  COMMON     049164205       67       2022 SH  -    OTHER   10                  0         0     2022
D ATLAS ENERGY LP                COMMON     04930A104       20       1080 SH  -    DEFINED 05               1080         0        0
D ATLAS ENERGY LP                COMMON     04930A104     3587     193173 SH  -    DEFINED 08             193173         0        0
D ATLAS ENERGY LP                COMMON     04930A104    22069    1188398 SH  -    DEFINED 10            1188398         0        0
D ATLAS PIPELINE PAR             COMMON     049392103        1         27 SH  -    DEFINED 05                 27         0        0
D ATLAS PIPELINE PAR             COMMON     049392103    11306     378512 SH  -    DEFINED 10             378512         0        0
D ATLAS PIPELINE PAR             COMMON     049392103       42       1400 SH  -    OTHER   10                  0         0     1400

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 106
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ATLAS PIPELINE PAR             OPTION     049392905      299      10000 SH  C    DEFINED 05              10000         0        0
D ATMEL CORP                     COMMON     049513104        2        295 SH  -    DEFINED 02                295         0        0
D ATMEL CORP                     COMMON     049513104      107      13221 SH  -    OTHER   02              10650      2571        0
D ATMEL CORP                     COMMON     049513104        3        400 SH  -    OTHER   02                400         0        0
D ATMEL CORP                     COMMON     049513104      771      95600 SH  -    DEFINED 04              95600         0        0
D ATMEL CORP                     COMMON     049513104      773      95848 SH  -    DEFINED 04              95848         0        0
D ATMEL CORP                     COMMON     049513104     1675     207568 SH  -    DEFINED 05             207568         0        0
D ATMEL CORP                     COMMON     049513104       68       8432 SH  -    DEFINED 09               8432         0        0
D ATMEL CORP                     COMMON     049513104      301      37337 SH  -    OTHER   10                  0         0    37337
D ATMOS ENERGY CORP              COMMON     049560105       37       1155 SH  -    OTHER   02                  0       565      590
D ATMOS ENERGY CORP              COMMON     049560105        4        123 SH  -    OTHER   02                105        13        5
D ATMOS ENERGY CORP              COMMON     049560105      738      22750 SH  -    DEFINED 04              22750         0        0
D ATMOS ENERGY CORP              COMMON     049560105     5939     183024 SH  -    DEFINED 04             183024         0        0
D ATMOS ENERGY CORP              COMMON     049560105       44       1366 SH  -    DEFINED 05               1366         0        0
D ATMOS ENERGY CORP              COMMON     049560105      173       5331 SH  -    DEFINED 08               5331         0        0
D ATMOS ENERGY CORP              COMMON     049560105      104       3213 SH  -    DEFINED 09               3213         0        0
D ATWOOD OCEANICS INC            COMMON     050095108       10        278 SH  -    DEFINED 02                141       137        0
D ATWOOD OCEANICS INC            COMMON     050095108      278       8095 SH  -    OTHER   02                  0      8095        0
D ATWOOD OCEANICS INC            COMMON     050095108       10        293 SH  -    OTHER   02                  0         0      293
D ATWOOD OCEANICS INC            COMMON     050095108      142       4125 SH  -    DEFINED 04               4125         0        0
D ATWOOD OCEANICS INC            COMMON     050095108     2684      78117 SH  -    DEFINED 04              78117         0        0
D ATWOOD OCEANICS INC            COMMON     050095108       34       1002 SH  -    DEFINED 05               1002         0        0
D AUDIOVOX CORP                  COMMON     050757103       84      15300 SH  -    DEFINED 04              15300         0        0
D AUDIOVOX CORP                  COMMON     050757103      177      32324 SH  -    DEFINED 04              32324         0        0
D AUDIOVOX CORP                  COMMON     050757103       63      11397 SH  -    DEFINED 05              11397         0        0
D AUGUSTA RES CORP               COMMON     050912203      320     104200 SH  -    DEFINED 04             104200         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 107
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AUGUSTA RES CORP               COMMON     050912203        1        316 SH  -    DEFINED 08                316         0        0
D AUGUSTA RES CORP               COMMON     050912203    23897    7783900 SH  -    DEFINED 09            7783900         0        0
D AUGUSTA RES CORP               COMMON     050912203     5617    1829800 SH  -    DEFINED 09            1829800         0        0
D AURICO GOLD INC                COMMON     05155C105        3        286 SH  -    OTHER   02                  0       286        0
D AURICO GOLD INC                COMMON     05155C105      938      99797 SH  -    DEFINED 08              99797         0        0
D AUTODESK INC                   COMMON     052769106      188       6755 SH  -    DEFINED 02               6345       410        0
D AUTODESK INC                   COMMON     052769106        7        266 SH  -    DEFINED 02                 16         0      250
D AUTODESK INC                   COMMON     052769106       77       2777 SH  -    DEFINED 02               2637         0      140
D AUTODESK INC                   COMMON     052769106     2494      89743 SH  -    OTHER   02                700     78913    10130
D AUTODESK INC                   COMMON     052769106      242       8716 SH  -    OTHER   02               1404      3143     4169
D AUTODESK INC                   COMMON     052769106     1132      40736 SH  -    DEFINED 04              34185         0     6551
D AUTODESK INC                   COMMON     052769106    15900     572144 SH  -    DEFINED 04             572144         0        0
D AUTODESK INC                   COMMON     052769106      119       4284 SH  -    DEFINED 05               4284         0        0
D AUTODESK INC                   COMMON     052769106     2954     106291 SH  -    DEFINED 08             106291         0        0
D AUTODESK INC                   COMMON     052769106       54       1940 SH  -    OTHER   09                  0      1940        0
D AUTODESK INC                   COMMON     052769106       57       2060 SH  -    OTHER   01                  0      2060        0
D AUTODESK INC                   COMMON     052769106       12        440 SH  -    OTHER   10                  0         0      440
D AUTOLIV INC                    COMMON     052800109      135       2780 SH  -    DEFINED 02                 80         0     2700
D AUTOLIV INC                    COMMON     052800109      168       3463 SH  -    OTHER   02                  0      2985      478
D AUTOLIV INC                    COMMON     052800109     4576      94347 SH  -    DEFINED 04              56947         0    37400
D AUTOLIV INC                    COMMON     052800109     3771      77760 SH  -    DEFINED 04              77760         0        0
D AUTOLIV INC                    COMMON     052800109       10        200 SH  -    DEFINED 04                200         0        0
D AUTOLIV INC                    COMMON     052800109      108       2232 SH  -    DEFINED 05               2232         0        0
D AUTOLIV INC                    COMMON     052800109      874      18019 SH  -    DEFINED 08              18019         0        0
D AUTOLIV INC                    COMMON     052800109      138       2851 SH  -    DEFINED 09               2851         0        0
D AUTOLIV INC                    COMMON     052800109      114       2350 SH  -    DEFINED 09                  0         0     2350

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 108
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AUTO DATA PROCESS              COMMON     053015103    58541    1241591 SH  -    DEFINED 02            1218353       450    22788
D AUTO DATA PROCESS              COMMON     053015103    19204     407301 SH  -    DEFINED 02             404331      1075     1895
D AUTO DATA PROCESS              COMMON     053015103      284       6029 SH  -    DEFINED 02               5643         0      386
D AUTO DATA PROCESS              COMMON     053015103    21076     446998 SH  -    OTHER   02             163664    238098    43297
D AUTO DATA PROCESS              COMMON     053015103     4984     105700 SH  -    OTHER   02              68403     28061     9236
D AUTO DATA PROCESS              COMMON     053015103     8736     185284 SH  -    OTHER   02                  0    185284        0
D AUTO DATA PROCESS              COMMON     053015103     3864      81952 SH  -    OTHER   02                  0     81952        0
D AUTO DATA PROCESS              COMMON     053015103     3611      76578 SH  -    OTHER   02                  0     76578        0
D AUTO DATA PROCESS              COMMON     053015103    14745     312722 SH  -    DEFINED 04             250533         0    62189
D AUTO DATA PROCESS              COMMON     053015103     6437     136523 SH  -    DEFINED 04             136523         0        0
D AUTO DATA PROCESS              COMMON     053015103     4687      99414 SH  -    DEFINED 05              99414         0        0
D AUTO DATA PROCESS              COMMON     053015103      444       9412 SH  -    DEFINED 01               9309         0      103
D AUTO DATA PROCESS              COMMON     053015103      964      20440 SH  -    OTHER   01               7560     11985      895
D AUTO DATA PROCESS              COMMON     053015103      516      10947 SH  -    OTHER   10                  0         0    10947
D AUTO DATA PROCESS              OPTION     053015954     3583      76000 SH  P    DEFINED 05              76000         0        0
D AUTONATION INC                 COMMON     05329W102        0          7 SH  -    DEFINED 02                  7         0        0
D AUTONATION INC                 COMMON     05329W102        1         38 SH  -    DEFINED 02                 38         0        0
D AUTONATION INC                 COMMON     05329W102       20        616 SH  -    DEFINED 02                571         0       45
D AUTONATION INC                 COMMON     05329W102      447      13636 SH  -    OTHER   02              11583      1973       80
D AUTONATION INC                 COMMON     05329W102        1         26 SH  -    OTHER   02                  0        13       13
D AUTONATION INC                 COMMON     05329W102      289       8823 SH  -    DEFINED 04               7404         0     1419
D AUTONATION INC                 COMMON     05329W102      339      10347 SH  -    DEFINED 04              10347         0        0
D AUTONATION INC                 COMMON     05329W102       30        929 SH  -    DEFINED 05                929         0        0
D AUTONATION INC                 COMMON     05329W102        1         34 SH  -    OTHER   01                  0        34        0
D AUTONATION INC                 COMMON     05329W102        3        100 SH  -    OTHER   10                  0         0      100
D AUTONATION INC                 OPTION     05329W904       33       1000 SH  C    DEFINED 05               1000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 109
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AUTOZONE INC                   COMMON     053332102    15192      47596 SH  -    DEFINED 02              41791       140     5665
D AUTOZONE INC                   COMMON     053332102     4191      13130 SH  -    DEFINED 02              12515        14      601
D AUTOZONE INC                   COMMON     053332102     2390       7487 SH  -    DEFINED 02               7487         0        0
D AUTOZONE INC                   COMMON     053332102      693       2172 SH  -    DEFINED 02                885         0     1287
D AUTOZONE INC                   COMMON     053332102     3755      11763 SH  -    OTHER   02               7527      2930     1292
D AUTOZONE INC                   COMMON     053332102      370       1158 SH  -    OTHER   02                812        68      278
D AUTOZONE INC                   COMMON     053332102      384       1202 SH  -    OTHER   02                  0      1202        0
D AUTOZONE INC                   COMMON     053332102      105        328 SH  -    OTHER   02                  0       328        0
D AUTOZONE INC                   COMMON     053332102      818       2562 SH  -    OTHER   02                  0      2562        0
D AUTOZONE INC                   COMMON     053332102       34        105 SH  -    OTHER   02                  0       105        0
D AUTOZONE INC                   COMMON     053332102   343186    1075177 SH  -    DEFINED 04             865364         0   209813
D AUTOZONE INC                   COMMON     053332102     5926      18566 SH  -    DEFINED 04              18566         0        0
D AUTOZONE INC                   COMMON     053332102    19779      61966 SH  -    DEFINED 04              61966         0        0
D AUTOZONE INC                   COMMON     053332102      201        631 SH  -    DEFINED 04                631         0        0
D AUTOZONE INC                   COMMON     053332102     6966      21823 SH  -    DEFINED 04              21823         0        0
D AUTOZONE INC                   COMMON     053332102    24768      77597 SH  -    DEFINED 04              77170         0      427
D AUTOZONE INC                   COMMON     053332102      314        985 SH  -    DEFINED 04                  0         0      985
D AUTOZONE INC                   COMMON     053332102     1397       4377 SH  -    OTHER   04                  0      4377        0
D AUTOZONE INC                   COMMON     053332102    18706      58605 SH  -    OTHER   04                  0     58605        0
D AUTOZONE INC                   COMMON     053332102     2244       7031 SH  -    DEFINED 05               7031         0        0
D AUTOZONE INC                   COMMON     053332102    39886     124960 SH  -    DEFINED 09             120635         0     1830
D AUTOZONE INC                   COMMON     053332102     3153       9879 SH  -    DEFINED 09               9879         0        0
D AUTOZONE INC                   COMMON     053332102     1963       6150 SH  -    DEFINED 09               6150         0        0
D AUTOZONE INC                   COMMON     053332102      724       2269 SH  -    DEFINED 01               1921       180      168
D AUTOZONE INC                   COMMON     053332102      810       2539 SH  -    OTHER   01               2027       207      305
D AUTOZONE INC                   COMMON     053332102      134        419 SH  -    OTHER   10                  0         0      419

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 110
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AUTOZONE INC                   OPTION     053332904      670       2100 SH  C    DEFINED 05               2100         0        0
D AUXILIUM PHARMACEUTICALS INC   COMMON     05334D107        3        175 SH  -    OTHER   02                  0       175        0
D AUXILIUM PHARMACEUTICALS INC   COMMON     05334D107      325      21700 SH  -    DEFINED 04                  0         0    21700
D AUXILIUM PHARMACEUTICALS INC   COMMON     05334D107      292      19465 SH  -    DEFINED 05              19465         0        0
D AUXILIUM PHARMACEUTICALS INC   COMMON     05334D107       44       2953 SH  -    DEFINED 08               2953         0        0
D AVANIR PHARMACEUTICALS INC     COMMON     05348P401        5       1843 SH  -    OTHER   02                  0         0     1843
D AVANIR PHARMACEUTICALS INC     COMMON     05348P401      286     100303 SH  -    DEFINED 05             100303         0        0
D AVANIR PHARMACEUTICALS INC     COMMON     05348P401       21       7340 SH  -    DEFINED 08               7340         0        0
D AVALONBAY CMNTYS INC           COMMON     053484101     1665      14600 SH  -    DEFINED 02              14600         0        0
D AVALONBAY CMNTYS INC           COMMON     053484101      130       1138 SH  -    DEFINED 02               1084         0       54
D AVALONBAY CMNTYS INC           COMMON     053484101    91986     806542 SH  -    DEFINED 04             632015         0   174527
D AVALONBAY CMNTYS INC           COMMON     053484101     2095      18373 SH  -    DEFINED 04              18373         0        0
D AVALONBAY CMNTYS INC           COMMON     053484101      593       5200 SH  -    DEFINED 04               5200         0        0
D AVALONBAY CMNTYS INC           COMMON     053484101      137       1200 SH  -    DEFINED 04               1200         0        0
D AVALONBAY CMNTYS INC           COMMON     053484101     3778      33125 SH  -    DEFINED 04              25525         0        0
D AVALONBAY CMNTYS INC           COMMON     053484101     6243      54735 SH  -    DEFINED 05              54735         0        0
D AVALONBAY CMNTYS INC           COMMON     053484101      117       1024 SH  -    DEFINED 06               1024         0        0
D AVALONBAY CMNTYS INC           COMMON     053484101     1478      12957 SH  -    DEFINED 08              12957         0        0
D AVALONBAY CMNTYS INC           COMMON     053484101      803       7037 SH  -    DEFINED 09               7037         0        0
D AVALONBAY CMNTYS INC           COMMON     053484101      208       1823 SH  -    OTHER   10                  0         0     1823
D AVATAR HLDGS INC               BOND       053494AF7      225     225000 PRN -    OTHER   02                  0         0        0
D AVATAR HLDGS INC               BOND       053494AG5      956    1005000 PRN -    OTHER   02                  0         0        0
D AVATAR HLDGS INC               COMMON     053494100      491      60053 SH  -    OTHER   02              60000        53        0
D AVATAR HLDGS INC               COMMON     053494100        1        128 SH  -    DEFINED 05                128         0        0
D AVATAR HLDGS INC               COMMON     053494100        5        567 SH  -    DEFINED 08                567         0        0
D AVEO PHARMACEUTICALS INC       COMMON     053588109     4433     288060 SH  -    DEFINED 04             206980         0    81080

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 111
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AVEO PHARMACEUTICALS INC       COMMON     053588109     2955     192000 SH  -    DEFINED 04             192000         0        0
D AVEO PHARMACEUTICALS INC       COMMON     053588109      700      45480 SH  -    DEFINED 04              45480         0        0
D AVEO PHARMACEUTICALS INC       COMMON     053588109      701      45518 SH  -    DEFINED 05              45518         0        0
D AVEO PHARMACEUTICALS INC       COMMON     053588109       28       1814 SH  -    DEFINED 08               1814         0        0
D AVERY DENNISON CP              COMMON     053611109      405      16167 SH  -    DEFINED 02              16167         0        0
D AVERY DENNISON CP              COMMON     053611109       54       2158 SH  -    DEFINED 02               2158         0        0
D AVERY DENNISON CP              COMMON     053611109       33       1306 SH  -    DEFINED 02               1221         0       85
D AVERY DENNISON CP              COMMON     053611109      314      12513 SH  -    OTHER   02               4520      6353     1640
D AVERY DENNISON CP              COMMON     053611109      297      11841 SH  -    OTHER   02               2735       243     8863
D AVERY DENNISON CP              COMMON     053611109      473      18864 SH  -    DEFINED 04              15830         0     3034
D AVERY DENNISON CP              COMMON     053611109      433      17250 SH  -    DEFINED 04              17250         0        0
D AVERY DENNISON CP              COMMON     053611109     3420     136352 SH  -    DEFINED 05             136352         0        0
D AVIAT NETWORKS INC             COMMON     05366Y102       53      22666 SH  -    OTHER   02                  0       589    21813
D AVIAT NETWORKS INC             COMMON     05366Y102      154      65599 SH  -    OTHER   02                  0      2799    62800
D AVIAT NETWORKS INC             COMMON     05366Y102        2        872 SH  -    DEFINED 05                872         0        0
D AVIAT NETWORKS INC             COMMON     05366Y102        9       4014 SH  -    DEFINED 08               4014         0        0
D AVIAT NETWORKS INC             COMMON     05366Y102       14       6000 SH  -    OTHER   10                  0         0     6000
D AVID TECHNOLOGY                COMMON     05367P100      163      21041 SH  -    DEFINED 04              21041         0        0
D AVID TECHNOLOGY                COMMON     05367P100      107      13811 SH  -    DEFINED 05              13811         0        0
D AVID TECHNOLOGY                COMMON     05367P100       15       2000 SH  -    OTHER   10                  0         0     2000
D AVIS BUDGET GROUP              BOND       053774AB1     6281    6500000 PRN -    DEFINED 08                  0         0        0
D AVIS BUDGET GROUP              COMMON     053774105       69       7180 SH  -    DEFINED 02               7180         0        0
D AVIS BUDGET GROUP              COMMON     053774105       17       1793 SH  -    OTHER   02                  0      1793        0
D AVIS BUDGET GROUP              COMMON     053774105        5        480 SH  -    OTHER   02                  0         0      480
D AVIS BUDGET GROUP              COMMON     053774105    33996    3515666 SH  -    DEFINED 04            2070650         0  1445016
D AVIS BUDGET GROUP              COMMON     053774105    11209    1159200 SH  -    DEFINED 04            1159200         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 112
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AVIS BUDGET GROUP              COMMON     053774105     1360     140600 SH  -    DEFINED 04             140600         0        0
D AVIS BUDGET GROUP              COMMON     053774105       49       5025 SH  -    OTHER   04                  0      5025        0
D AVIS BUDGET GROUP              COMMON     053774105       15       1587 SH  -    DEFINED 05               1587         0        0
D AVISTA CORP                    COMMON     05379B107       95       3985 SH  -    OTHER   02                  0      3445      435
D AVISTA CORP                    COMMON     05379B107        1         34 SH  -    OTHER   02                  5        20        9
D AVISTA CORP                    COMMON     05379B107      885      37100 SH  -    DEFINED 04              37100         0        0
D AVISTA CORP                    COMMON     05379B107     5286     221618 SH  -    DEFINED 04             221618         0        0
D AVISTA CORP                    COMMON     05379B107      645      27062 SH  -    DEFINED 05              27062         0        0
D AVISTA CORP                    COMMON     05379B107        3        114 SH  -    DEFINED 08                114         0        0
D AVISTA CORP                    COMMON     05379B107        3        116 SH  -    OTHER   01                  0       116        0
D AVNET INC                      COMMON     053807103       50       1900 SH  -    DEFINED 02               1900         0        0
D AVNET INC                      COMMON     053807103     3383     129719 SH  -    OTHER   02               2930    126789        0
D AVNET INC                      COMMON     053807103     8173     313382 SH  -    DEFINED 04             228782         0    84600
D AVNET INC                      COMMON     053807103    10923     418810 SH  -    DEFINED 04             418810         0        0
D AVNET INC                      COMMON     053807103     1893      72600 SH  -    DEFINED 04              72600         0        0
D AVNET INC                      COMMON     053807103      109       4184 SH  -    DEFINED 05               4184         0        0
D AVNET INC                      COMMON     053807103     1932      74083 SH  -    DEFINED 08              74083         0        0
D AVNET INC                      COMMON     053807103      137       5260 SH  -    OTHER   01                  0      5260        0
D AVON PRODUCTS INC              COMMON     054303102      116       5907 SH  -    DEFINED 02                545         0     5362
D AVON PRODUCTS INC              COMMON     054303102        1         35 SH  -    DEFINED 02                 35         0        0
D AVON PRODUCTS INC              COMMON     054303102      103       5255 SH  -    DEFINED 02               4964         0      291
D AVON PRODUCTS INC              COMMON     054303102      970      49512 SH  -    OTHER   02                280     49232        0
D AVON PRODUCTS INC              COMMON     054303102       76       3872 SH  -    OTHER   02               1406        45     2421
D AVON PRODUCTS INC              COMMON     054303102     1781      90884 SH  -    DEFINED 04              78553         0    12331
D AVON PRODUCTS INC              COMMON     054303102     1360      69367 SH  -    DEFINED 04              69367         0        0
D AVON PRODUCTS INC              COMMON     054303102     6928     353449 SH  -    DEFINED 05             353449         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 113
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D AVON PRODUCTS INC              COMMON     054303102      565      28802 SH  -    DEFINED 08              28802         0        0
D AVON PRODUCTS INC              COMMON     054303102       32       1624 SH  -    OTHER   01                  0      1624        0
D AVON PRODUCTS INC              COMMON     054303102        1         72 SH  -    OTHER   10                  0         0       72
D AVON PRODUCTS INC              OPTION     054303904       84       4300 SH  C    DEFINED 05               4300         0        0
D AVON PRODUCTS INC              OPTION     054303904     2838     144800 SH  C    DEFINED 08             144800         0        0
D AXCELIS TECHS INC              COMMON     054540109        5       4518 SH  -    DEFINED 02               4518         0        0
D AXCELIS TECHS INC              COMMON     054540109        1        936 SH  -    OTHER   02                936         0        0
D AXCELIS TECHS INC              COMMON     054540109        0          1 SH  -    DEFINED 05                  1         0        0
D AXCELIS TECHS INC              COMMON     054540109        8       6501 SH  -    DEFINED 08               6501         0        0
D AXCELIS TECHS INC              COMMON     054540109        3       2356 SH  -    OTHER   10                  0         0     2356
D BB&T CORP                      COMMON     054937107     1482      69496 SH  -    DEFINED 02              53551      2000    13945
D BB&T CORP                      COMMON     054937107     1870      87678 SH  -    DEFINED 02              86723         0      955
D BB&T CORP                      COMMON     054937107      315      14790 SH  -    DEFINED 02              14790         0        0
D BB&T CORP                      COMMON     054937107      182       8518 SH  -    DEFINED 02               8033         0      485
D BB&T CORP                      COMMON     054937107     2644     123943 SH  -    OTHER   02              29511     90142     4275
D BB&T CORP                      COMMON     054937107      802      37616 SH  -    OTHER   02              26504       321    10791
D BB&T CORP                      COMMON     054937107      308      14419 SH  -    OTHER   02                  0     14419        0
D BB&T CORP                      COMMON     054937107       46       2151 SH  -    OTHER   02                  0      2151        0
D BB&T CORP                      COMMON     054937107      603      28258 SH  -    OTHER   02                  0     28258        0
D BB&T CORP                      COMMON     054937107       35       1656 SH  -    OTHER   02                  0      1656        0
D BB&T CORP                      COMMON     054937107    19480     913282 SH  -    DEFINED 04             807436         0   105846
D BB&T CORP                      COMMON     054937107    10117     474325 SH  -    DEFINED 04             474325         0        0
D BB&T CORP                      COMMON     054937107       47       2204 SH  -    DEFINED 04               2204         0        0
D BB&T CORP                      COMMON     054937107     2319     108719 SH  -    DEFINED 04              62060         0    46659
D BB&T CORP                      COMMON     054937107      559      26190 SH  -    OTHER   04                  0     26190        0
D BB&T CORP                      COMMON     054937107    81702    3830375 SH  -    DEFINED 05            3830375         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 114
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BB&T CORP                      COMMON     054937107       28       1327 SH  -    DEFINED 06               1327         0        0
D BB&T CORP                      COMMON     054937107     9651     452460 SH  -    DEFINED 09             424595     27865        0
D BB&T CORP                      COMMON     054937107      588      27565 SH  -    DEFINED 09              27565         0        0
D BB&T CORP                      COMMON     054937107     4170     195485 SH  -    DEFINED 09             195485         0        0
D BB&T CORP                      COMMON     054937107      111       5196 SH  -    OTHER   09                  0      5196        0
D BB&T CORP                      COMMON     054937107      154       7236 SH  -    DEFINED 01               6865         0      371
D BB&T CORP                      COMMON     054937107      128       6020 SH  -    OTHER   01               1775      3445      800
D BB&T CORP                      COMMON     054937107     1059      49627 SH  -    OTHER   10                  0         0    49627
D BB&T CORP                      OPTION     054937909     7476     350500 SH  C    DEFINED 05             350500         0        0
D B & G FOODS INC NEW            COMMON     05508R106       50       3000 SH  -    DEFINED 02               3000         0        0
D B & G FOODS INC NEW            COMMON     05508R106       29       1766 SH  -    OTHER   02                  0      1766        0
D B & G FOODS INC NEW            COMMON     05508R106       17       1000 SH  -    OTHER   02               1000         0        0
D B & G FOODS INC NEW            COMMON     05508R106     3605     216100 SH  -    DEFINED 04             190100         0    26000
D B & G FOODS INC NEW            COMMON     05508R106     1832     109825 SH  -    DEFINED 04             109825         0        0
D B & G FOODS INC NEW            COMMON     05508R106      373      22369 SH  -    DEFINED 05              22369         0        0
D B & G FOODS INC NEW            COMMON     05508R106      294      17600 SH  -    OTHER   01              17600         0        0
D B & G FOODS INC NEW            COMMON     05508R106      362      21697 SH  -    OTHER   10                  0         0    21697
D BCE INC                        COMMON     05534B760       20        544 SH  -    DEFINED 02                544         0        0
D BCE INC                        COMMON     05534B760      742      19800 SH  -    OTHER   02                  0     11800     8000
D BCE INC                        COMMON     05534B760      809      21600 SH  -    OTHER   02              21600         0        0
D BCE INC                        COMMON     05534B760     2575      68745 SH  -    DEFINED 04              37996         0    30749
D BCE INC                        COMMON     05534B760     3467      92539 SH  -    DEFINED 05              92539         0        0
D BCE INC                        COMMON     05534B760      265       7072 SH  -    DEFINED 06               7072         0        0
D BCE INC                        COMMON     05534B760    10272     274203 SH  -    DEFINED 09             255792     18411        0
D BCE INC                        COMMON     05534B760      763      20378 SH  -    DEFINED 09              20378         0        0
D BCE INC                        COMMON     05534B760      463      12354 SH  -    DEFINED 09              12354         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 115
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BCE INC                        COMMON     05534B760      104       2775 SH  -    OTHER   09                  0      2775        0
D BCE INC                        COMMON     05534B760       56       1500 SH  -    DEFINED 01               1500         0        0
D BCE INC                        COMMON     05534B760       18        474 SH  -    OTHER   10                  0         0      474
D BGC PARTNERS INC               COMMON     05541T101       12       1917 SH  -    OTHER   02                  0      1917        0
D BGC PARTNERS INC               COMMON     05541T101     3136     520040 SH  -    DEFINED 04             473290         0    46750
D BGC PARTNERS INC               COMMON     05541T101        7       1093 SH  -    DEFINED 05               1093         0        0
D BGC PARTNERS INC               COMMON     05541T101       22       3730 SH  -    DEFINED 08               3730         0        0
D BGC PARTNERS INC               COMMON     05541T101     6393    1060268 SH  -    OTHER   10                  0         0  1060268
D BHP BILLITON PLC               ADR        05545E209        4         75 SH  -    DEFINED 02                 75         0        0
D BHP BILLITON PLC               ADR        05545E209      487       9182 SH  -    OTHER   02                  0      8752      430
D BHP BILLITON PLC               ADR        05545E209       14        255 SH  -    OTHER   02                  0         0      255
D BHP BILLITON PLC               ADR        05545E209      134       2524 SH  -    DEFINED 04               2524         0        0
D BHP BILLITON PLC               ADR        05545E209       14        260 SH  -    OTHER   04                  0       260        0
D BHP BILLITON PLC               ADR        05545E209        7        123 SH  -    OTHER   04                  0       123        0
D BHP BILLITON PLC               ADR        05545E209     1651      31100 SH  -    DEFINED 05              31100         0        0
D BHP BILLITON PLC               ADR        05545E209      117       2202 SH  -    OTHER   01                  0      2069        0
D BHP BILLITON PLC               ADR        05545E209        8        143 SH  -    OTHER   10                  0         0      143
D BJS WHOLESALE CLUB INC         COMMON     05548J106        7        130 SH  -    DEFINED 02                130         0        0
D BJS WHOLESALE CLUB INC         COMMON     05548J106       19        370 SH  -    OTHER   02                 22       348        0
D BJS WHOLESALE CLUB INC         COMMON     05548J106        9        178 SH  -    OTHER   02                  0         0      178
D BJS WHOLESALE CLUB INC         COMMON     05548J106     5184     101176 SH  -    DEFINED 05             101176         0        0
D BJS WHOLESALE CLUB INC         COMMON     05548J106     2308      45035 SH  -    DEFINED 08              45035         0        0
D BJS WHOLESALE CLUB INC         COMMON     05548J106     2879      56180 SH  -    DEFINED 09              56180         0        0
D BJS WHOLESALE CLUB INC         COMMON     05548J106        1         24 SH  -    OTHER   01                  0        24        0
D BOK FINL CORP                  COMMON     05561Q201      107       2290 SH  -    DEFINED 02               2290         0        0
D BOK FINL CORP                  COMMON     05561Q201       97       2065 SH  -    OTHER   02                570       495     1000

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 116
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BOK FINL CORP                  COMMON     05561Q201       70       1500 SH  -    OTHER   02                  0         0     1500
D BOK FINL CORP                  COMMON     05561Q201    13901     296469 SH  -    DEFINED 04             134650         0   161819
D BOK FINL CORP                  COMMON     05561Q201    15185     323850 SH  -    DEFINED 04             323850         0        0
D BOK FINL CORP                  COMMON     05561Q201       19        415 SH  -    DEFINED 05                415         0        0
D BOK FINL CORP                  COMMON     05561Q201       93       1985 SH  -    DEFINED 08               1985         0        0
D BOK FINL CORP                  COMMON     05561Q201        6        122 SH  -    OTHER   01                  0       122        0
D BP                             ADR        055622104     2753      76333 SH  -    DEFINED 02              75265      1068        0
D BP                             ADR        055622104     3906     108301 SH  -    DEFINED 02              97601         0    10700
D BP                             ADR        055622104    12813     355219 SH  -    OTHER   02              57467    236940    60812
D BP                             ADR        055622104    10076     279334 SH  -    OTHER   02             217322      1960    60052
D BP                             ADR        055622104    10020     277784 SH  -    OTHER   04                  0    277784        0
D BP                             ADR        055622104    32000     887154 SH  -    DEFINED 05             887154         0        0
D BP                             ADR        055622104    21494     595884 SH  -    DEFINED 08             595884         0        0
D BP                             ADR        055622104      341       9448 SH  -    OTHER   01                400      8890        0
D BP                             ADR        055622104    14938     414131 SH  -    OTHER   10                  0         0   414131
D BP                             OPTION     055622906    11030     305800 SH  C    DEFINED 05             305800         0        0
D BP                             OPTION     055622955     1046      29000 SH  P    DEFINED 05              29000         0        0
D BP PRUDHOE BAY RTY TR          COMMON     055630107      158       1500 SH  -    OTHER   02               1500         0        0
D BP PRUDHOE BAY RTY TR          COMMON     055630107      190       1800 SH  -    OTHER   01               1800         0        0
D BP PRUDHOE BAY RTY TR          COMMON     055630107      129       1225 SH  -    OTHER   10                  0         0     1225
D BPZ RESOURCES INC              COMMON     055639108       11       4055 SH  -    DEFINED 05               4055         0        0
D BPZ RESOURCES INC              COMMON     055639108       28      10145 SH  -    DEFINED 08              10145         0        0
D BRE PROPERTIES INC             COMMON     05564E106      385       9100 SH  -    DEFINED 02               9100         0        0
D BRE PROPERTIES INC             COMMON     05564E106    36644     865472 SH  -    DEFINED 04             705827         0   159645
D BRE PROPERTIES INC             COMMON     05564E106     1960      46291 SH  -    DEFINED 04              46291         0        0
D BRE PROPERTIES INC             COMMON     05564E106      872      20600 SH  -    DEFINED 04              20600         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 117
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BRE PROPERTIES INC             COMMON     05564E106       34        800 SH  -    DEFINED 04                800         0        0
D BRE PROPERTIES INC             COMMON     05564E106      851      20100 SH  -    DEFINED 04              15500         0        0
D BRE PROPERTIES INC             COMMON     05564E106       69       1638 SH  -    DEFINED 05               1638         0        0
D BRE PROPERTIES INC             COMMON     05564E106       16        388 SH  -    DEFINED 06                388         0        0
D BRE PROPERTIES INC             COMMON     05564E106       31        725 SH  -    DEFINED 08                725         0        0
D BT GROUP PLC                   ADR        05577E101       12        440 SH  -    DEFINED 02                440         0        0
D BT GROUP PLC                   ADR        05577E101        7        275 SH  -    DEFINED 02                275         0        0
D BT GROUP PLC                   ADR        05577E101      800      30033 SH  -    OTHER   02                  0     28383     1650
D BT GROUP PLC                   ADR        05577E101       25        945 SH  -    OTHER   02                  0         0      945
D BT GROUP PLC                   ADR        05577E101     5279     198170 SH  -    OTHER   04                  0    198170        0
D BT GROUP PLC                   ADR        05577E101      188       7069 SH  -    OTHER   01                  0      6975        0
D BT GROUP PLC                   ADR        05577E101       15        549 SH  -    OTHER   10                  0         0      549
D BMC SOFTWARE INC               COMMON     055921100       97       2506 SH  -    DEFINED 02               2426         0       80
D BMC SOFTWARE INC               COMMON     055921100        0          6 SH  -    DEFINED 02                  6         0        0
D BMC SOFTWARE INC               COMMON     055921100       82       2128 SH  -    DEFINED 02               2022         0      106
D BMC SOFTWARE INC               COMMON     055921100      489      12670 SH  -    OTHER   02               5606      7064        0
D BMC SOFTWARE INC               COMMON     055921100        2         52 SH  -    OTHER   02                  5        43        4
D BMC SOFTWARE INC               COMMON     055921100     2545      65996 SH  -    DEFINED 04              60971         0     5025
D BMC SOFTWARE INC               COMMON     055921100     4206     109081 SH  -    DEFINED 04             109081         0        0
D BMC SOFTWARE INC               COMMON     055921100       55       1428 SH  -    DEFINED 04               1428         0        0
D BMC SOFTWARE INC               COMMON     055921100      169       4376 SH  -    OTHER   04                  0      4376        0
D BMC SOFTWARE INC               COMMON     055921100      182       4731 SH  -    DEFINED 05               4731         0        0
D BMC SOFTWARE INC               COMMON     055921100        3         89 SH  -    OTHER   01                  0        89        0
D BMC SOFTWARE INC               COMMON     055921100      474      12297 SH  -    OTHER   10                  0         0    12297
D BABCOCK & WILCOX CO NEW        COMMON     05615F102        6        325 SH  -    DEFINED 02                325         0        0
D BABCOCK & WILCOX CO NEW        COMMON     05615F102      155       7947 SH  -    OTHER   02                  0      6790     1078

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 118
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BABCOCK & WILCOX CO NEW        COMMON     05615F102      361      18483 SH  -    OTHER   02                905       510    17068
D BABCOCK & WILCOX CO NEW        COMMON     05615F102       37       1901 SH  -    DEFINED 05               1901         0        0
D BABCOCK & WILCOX CO NEW        COMMON     05615F102      870      44481 SH  -    DEFINED 08              44481         0        0
D BABCOCK & WILCOX CO NEW        COMMON     05615F102       14        719 SH  -    OTHER   10                  0         0      719
D BADGER METER INC               COMMON     056525108      301      10420 SH  -    DEFINED 04              10420         0        0
D BADGER METER INC               COMMON     056525108      204       7043 SH  -    DEFINED 05               7043         0        0
D BAIDU INC                      ADR        056752108     9390      87831 SH  -    DEFINED 02              79013       758     8060
D BAIDU INC                      ADR        056752108     2814      26324 SH  -    DEFINED 02              25857        26      441
D BAIDU INC                      ADR        056752108     2493      23316 SH  -    OTHER   02              15319      4154     3838
D BAIDU INC                      ADR        056752108      206       1923 SH  -    OTHER   02               1764       114       45
D BAIDU INC                      ADR        056752108       66        613 SH  -    OTHER   02                  0       613        0
D BAIDU INC                      ADR        056752108       54        503 SH  -    OTHER   02                  0       503        0
D BAIDU INC                      ADR        056752108      138       1290 SH  -    OTHER   02                  0      1290        0
D BAIDU INC                      ADR        056752108    31646     296004 SH  -    DEFINED 04             153684         0   142320
D BAIDU INC                      ADR        056752108     9761      91300 SH  -    DEFINED 04              91300         0        0
D BAIDU INC                      ADR        056752108     5051      47248 SH  -    DEFINED 04              47248         0        0
D BAIDU INC                      ADR        056752108     7319      68460 SH  -    OTHER   04                  0     68460        0
D BAIDU INC                      ADR        056752108     9234      86370 SH  -    DEFINED 05              86370         0        0
D BAIDU INC                      ADR        056752108      820       7673 SH  -    DEFINED 06               7673         0        0
D BAIDU INC                      ADR        056752108    50336     470828 SH  -    DEFINED 08             470828         0        0
D BAIDU INC                      ADR        056752108      727       6800 SH  -    DEFINED 09               6800         0        0
D BAIDU INC                      ADR        056752108    29209     273215 SH  -    OTHER   09                  0    273215        0
D BAIDU INC                      ADR        056752108      561       5244 SH  -    DEFINED 01               3734       335     1175
D BAIDU INC                      ADR        056752108      972       9095 SH  -    OTHER   01               8195       341      559
D BAIDU INC                      ADR        056752108     2677      25042 SH  -    OTHER   10                  0         0    25042
D BAIDU INC                      OPTION     056752900     3207      30000 SH  C    DEFINED 05              30000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 119
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BAIDU INC                      OPTION     056752959     1069      10000 SH  P    DEFINED 05              10000         0        0
D BAKER HUGHES INC               COMMON     057224107     1696      36750 SH  -    DEFINED 02              25371      1225    10154
D BAKER HUGHES INC               COMMON     057224107      364       7892 SH  -    DEFINED 02               7136         0      756
D BAKER HUGHES INC               COMMON     057224107      351       7613 SH  -    DEFINED 02               5772         0     1841
D BAKER HUGHES INC               COMMON     057224107     3331      72183 SH  -    OTHER   02               8341     49322    14520
D BAKER HUGHES INC               COMMON     057224107      556      12058 SH  -    OTHER   02               7870      1284     2904
D BAKER HUGHES INC               COMMON     057224107       11        230 SH  -    OTHER   02                  0       230        0
D BAKER HUGHES INC               COMMON     057224107    75062    1626485 SH  -    DEFINED 04             752525         0   873960
D BAKER HUGHES INC               COMMON     057224107     8136     176287 SH  -    DEFINED 04             176287         0        0
D BAKER HUGHES INC               COMMON     057224107      341       7389 SH  -    DEFINED 04               7389         0        0
D BAKER HUGHES INC               COMMON     057224107     2566      55603 SH  -    DEFINED 04              33933         0    21670
D BAKER HUGHES INC               COMMON     057224107      118       2547 SH  -    DEFINED 04                  0         0     2547
D BAKER HUGHES INC               COMMON     057224107       19        421 SH  -    OTHER   04                  0       421        0
D BAKER HUGHES INC               COMMON     057224107     6743     146121 SH  -    DEFINED 05             146121         0        0
D BAKER HUGHES INC               COMMON     057224107      238       5149 SH  -    DEFINED 06               5149         0        0
D BAKER HUGHES INC               COMMON     057224107    10963     237555 SH  -    DEFINED 09             224255     13300        0
D BAKER HUGHES INC               COMMON     057224107      596      12909 SH  -    DEFINED 09              12909         0        0
D BAKER HUGHES INC               COMMON     057224107     4290      92950 SH  -    DEFINED 09              92950         0        0
D BAKER HUGHES INC               COMMON     057224107      107       2329 SH  -    OTHER   09                  0      2329        0
D BAKER HUGHES INC               COMMON     057224107       84       1815 SH  -    DEFINED 01               1815         0        0
D BAKER HUGHES INC               COMMON     057224107      132       2859 SH  -    OTHER   01               1859      1000        0
D BAKER HUGHES INC               COMMON     057224107     1933      41893 SH  -    OTHER   10                  0         0    41893
D BAKER HUGHES INC               OPTION     057224909     2506      54300 SH  C    DEFINED 05              54300         0        0
D BAKER HUGHES INC               OPTION     057224909     5778     125200 SH  C    DEFINED 08             125200         0        0
D BAKER HUGHES INC               OPTION     057224958     2229      48300 SH  P    DEFINED 05              48300         0        0
D BAKER HUGHES INC               OPTION     057224958     5077     110000 SH  P    DEFINED 08             110000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 120
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BALCHEM CORP                   COMMON     057665200       56       1500 SH  -    OTHER   02                  0         0     1500
D BALCHEM CORP                   COMMON     057665200      768      20586 SH  -    DEFINED 04              20586         0        0
D BALCHEM CORP                   COMMON     057665200      504      13510 SH  -    DEFINED 05              13510         0        0
D BALL CORP                      COMMON     058498106      260       8380 SH  -    DEFINED 02               1300         0     7080
D BALL CORP                      COMMON     058498106     4474     144238 SH  -    DEFINED 02             144238         0        0
D BALL CORP                      COMMON     058498106       58       1885 SH  -    DEFINED 02               1885         0        0
D BALL CORP                      COMMON     058498106      206       6629 SH  -    OTHER   02                  0      5695      934
D BALL CORP                      COMMON     058498106        0         16 SH  -    OTHER   02                  0        16        0
D BALL CORP                      COMMON     058498106   160060    5159893 SH  -    DEFINED 04            4310511         0   849382
D BALL CORP                      COMMON     058498106     2109      67981 SH  -    DEFINED 04              67981         0        0
D BALL CORP                      COMMON     058498106     1787      57602 SH  -    DEFINED 04              57602         0        0
D BALL CORP                      COMMON     058498106     2894      93304 SH  -    DEFINED 04              93304         0        0
D BALL CORP                      COMMON     058498106       66       2130 SH  -    DEFINED 04                  0         0     2130
D BALL CORP                      COMMON     058498106     1500      48357 SH  -    OTHER   04                  0     48357        0
D BALL CORP                      COMMON     058498106     7755     249989 SH  -    OTHER   04                  0    249989        0
D BALL CORP                      COMMON     058498106     1403      45217 SH  -    DEFINED 05              45217         0        0
D BALL CORP                      COMMON     058498106       75       2427 SH  -    DEFINED 06               2427         0        0
D BALL CORP                      COMMON     058498106     6784     218690 SH  -    DEFINED 08             218690         0        0
D BALL CORP                      COMMON     058498106      695      22408 SH  -    DEFINED 09              22408         0        0
D BALL CORP                      COMMON     058498106        1         35 SH  -    OTHER   01                  0        35        0
D BALL CORP                      COMMON     058498106        2         50 SH  -    OTHER   10                  0         0       50
D BALLY TECHNOLOGIES INC         COMMON     05874B107        3        102 SH  -    OTHER   02                 37        65        0
D BALLY TECHNOLOGIES INC         COMMON     05874B107       18        650 SH  -    DEFINED 05                650         0        0
D BALLY TECHNOLOGIES INC         COMMON     05874B107      512      18965 SH  -    DEFINED 08              18965         0        0
D BANCFIRST CORP                 COMMON     05945F103        1         35 SH  -    OTHER   02                  0        35        0
D BANCFIRST CORP                 COMMON     05945F103     2606      78575 SH  -    DEFINED 04              73375         0     5200

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 121
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BANCFIRST CORP                 COMMON     05945F103     1360      41000 SH  -    DEFINED 04              41000         0        0
D BANCFIRST CORP                 COMMON     05945F103       61       1842 SH  -    DEFINED 05               1842         0        0
D BANCFIRST CORP                 COMMON     05945F103       13        384 SH  -    DEFINED 08                384         0        0
D BBVA(BILB-VIZ-ARG)             ADR        05946K101       49       6046 SH  -    OTHER   02                  0      6046        0
D BBVA(BILB-VIZ-ARG)             ADR        05946K101        2        193 SH  -    OTHER   02                193         0        0
D BBVA(BILB-VIZ-ARG)             ADR        05946K101     1085     133490 SH  -    DEFINED 04             133490         0        0
D BBVA(BILB-VIZ-ARG)             ADR        05946K101     2886     354956 SH  -    OTHER   04                  0    354956        0
D BBVA(BILB-VIZ-ARG)             ADR        05946K101     6683     822030 SH  -    OTHER   04                  0    822030        0
D BBVA(BILB-VIZ-ARG)             ADR        05946K101      323      39714 SH  -    DEFINED 05              39714         0        0
D BBVA(BILB-VIZ-ARG)             ADR        05946K101        7        901 SH  -    OTHER   01                  0         0        0
D BANCO BRADESCO S A             PREF ADR   059460303        6        384 SH  -    DEFINED 02                384         0        0
D BANCO BRADESCO S A             PREF ADR   059460303    22317    1508935 SH  -    DEFINED 04            1508935         0        0
D BANCO BRADESCO S A             PREF ADR   059460303    10731     725561 SH  -    DEFINED 04             725561         0        0
D BANCO BRADESCO S A             PREF ADR   059460303     2670     180537 SH  -    DEFINED 05             180537         0        0
D BANCO BRADESCO S A             PREF ADR   059460303    54940    3714678 SH  -    DEFINED 08            3714678         0        0
D BANCO BRADESCO S A             PREF ADR   059460303    26188    1770649 SH  -    DEFINED 09            1770649         0        0
D BANCO BRADESCO S A             PREF ADR   059460303      145       9800 SH  -    OTHER   09                  0      9800        0
D BANCO BRADESCO S A             PREF ADR   059460303      233      15730 SH  -    OTHER   01              15730         0        0
D BANCO MACRO SA                 ADR        05961W105      844      42200 SH  -    DEFINED 09              42200         0        0
D BANCO MACRO SA                 ADR        05961W105      372      18603 SH  -    OTHER   10                  0         0    18603
D BANCO SANTANDER SA             ADR        05964H105        3        403 SH  -    DEFINED 02                317        86        0
D BANCO SANTANDER SA             ADR        05964H105       19       2401 SH  -    DEFINED 02               2401         0        0
D BANCO SANTANDER SA             ADR        05964H105      116      14445 SH  -    OTHER   02                  0     14445        0
D BANCO SANTANDER SA             ADR        05964H105      272      33846 SH  -    OTHER   02                  0     33846        0
D BANCO SANTANDER SA             ADR        05964H105     1191     148154 SH  -    DEFINED 05             148154         0        0
D BANCO SANTANDER SA             ADR        05964H105    26815    3335259 SH  -    DEFINED 06            3335259         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 122
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BANCO SANTANDER SA             ADR        05964H105     4350     541094 SH  -    DEFINED 08             541094         0        0
D BANCO SANTANDER SA             ADR        05964H105       43       5373 SH  -    OTHER   01                  0      4957        0
D BANCO SANTANDER SA             ADR        05964H105       21       2662 SH  -    OTHER   10                  0         0     2662
D BANCO SANTANDER CHILE NEW      ADR        05965X109    36843     501399 SH  -    DEFINED 02             501399         0        0
D BANCO SANTANDER CHILE NEW      ADR        05965X109     9860     134191 SH  -    DEFINED 04             134191         0        0
D BANCO SANTANDER CHILE NEW      ADR        05965X109    65570     892347 SH  -    DEFINED 04             687046         0   205301
D BANCO SANTANDER CHILE NEW      ADR        05965X109      676       9194 SH  -    DEFINED 08               9194         0        0
D BANCO SANTANDER CHILE NEW      ADR        05965X109   155770    2119895 SH  -    DEFINED 09            2104565         0    15330
D BANCO SANTANDER CHILE NEW      ADR        05965X109     1206      16415 SH  -    DEFINED 09              16415         0        0
D BANCO SANTANDER CHILE NEW      ADR        05965X109    15313     208398 SH  -    DEFINED 09             208398         0        0
D BANCO SANTANDER CHILE NEW      ADR        05965X109     3013      41000 SH  -    DEFINED 09                  0         0        0
D BANCO SANTANDER CHILE NEW      ADR        05965X109     4352      59228 SH  -    OTHER   09                  0     59228        0
D BANCO SANTANDER CHILE NEW      ADR        05965X109      331       4500 SH  -    OTHER   01               4500         0        0
D BANCO SANTANDER BRASIL S A     ADR        05967A107     1752     239350 SH  -    DEFINED 05             239350         0        0
D BANCO SANTANDER BRASIL S A     ADR        05967A107      805     110000 SH  -    DEFINED 06             110000         0        0
D BANCO SANTANDER BRASIL S A     ADR        05967A107     1714     234153 SH  -    DEFINED 08             234153         0        0
D BANCO SANTANDER BRASIL S A     ADR        05967A107       15       2000 SH  -    OTHER   10                  0         0     2000
D BANCORPSOUTH INC               COMMON     059692103        4        425 SH  -    DEFINED 02                425         0        0
D BANCORPSOUTH INC               COMMON     059692103        6        700 SH  -    DEFINED 02                700         0        0
D BANCORPSOUTH INC               COMMON     059692103       14       1595 SH  -    OTHER   02                  0      1595        0
D BANCORPSOUTH INC               COMMON     059692103        0         40 SH  -    OTHER   02                 40         0        0
D BANCORPSOUTH INC               COMMON     059692103    16535    1883245 SH  -    DEFINED 04            1807386         0    75859
D BANCORPSOUTH INC               COMMON     059692103      356      40541 SH  -    DEFINED 04              40541         0        0
D BANCORPSOUTH INC               COMMON     059692103       10       1190 SH  -    OTHER   04                  0      1190        0
D BANCORPSOUTH INC               COMMON     059692103       45       5119 SH  -    OTHER   04                  0      5119        0
D BANCORPSOUTH INC               COMMON     059692103       57       6453 SH  -    DEFINED 05               6453         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 123
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BANCORPSOUTH INC               COMMON     059692103      114      12929 SH  -    DEFINED 08              12929         0        0
D BK OF AMERICA CPN              COMMON     060505104    14347    2344202 SH  -    DEFINED 02            1961908     22059   360235
D BK OF AMERICA CPN              COMMON     060505104     5056     826099 SH  -    DEFINED 02             776523      4722    44854
D BK OF AMERICA CPN              COMMON     060505104      274      44807 SH  -    DEFINED 02              44807         0        0
D BK OF AMERICA CPN              COMMON     060505104     1730     282724 SH  -    DEFINED 02             163862         0   118862
D BK OF AMERICA CPN              COMMON     060505104    11190    1828415 SH  -    OTHER   02             495111   1193666   138306
D BK OF AMERICA CPN              COMMON     060505104     2791     456103 SH  -    OTHER   02             270693     28123   157287
D BK OF AMERICA CPN              COMMON     060505104      345      56319 SH  -    OTHER   02                  0     56319        0
D BK OF AMERICA CPN              COMMON     060505104      120      19623 SH  -    OTHER   02                  0     19623        0
D BK OF AMERICA CPN              COMMON     060505104      703     114911 SH  -    OTHER   02                  0    114911        0
D BK OF AMERICA CPN              COMMON     060505104       30       4956 SH  -    OTHER   02                  0      4956        0
D BK OF AMERICA CPN              COMMON     060505104   320865   52428903 SH  -    DEFINED 04           41478637         0 10950266
D BK OF AMERICA CPN              COMMON     060505104    16934    2767049 SH  -    DEFINED 04            2767049         0        0
D BK OF AMERICA CPN              COMMON     060505104    29834    4874901 SH  -    DEFINED 04            4874901         0        0
D BK OF AMERICA CPN              COMMON     060505104      119      19401 SH  -    DEFINED 04              19401         0        0
D BK OF AMERICA CPN              COMMON     060505104      320      52275 SH  -    DEFINED 04              52275         0        0
D BK OF AMERICA CPN              COMMON     060505104      247      40303 SH  -    DEFINED 04                  0         0    40303
D BK OF AMERICA CPN              COMMON     060505104        2        370 SH  -    OTHER   04                  0       370        0
D BK OF AMERICA CPN              COMMON     060505104    10297    1682524 SH  -    OTHER   04                  0   1682524        0
D BK OF AMERICA CPN              COMMON     060505104   190820   31179760 SH  -    DEFINED 05           31179760         0        0
D BK OF AMERICA CPN              COMMON     060505104      424      69222 SH  -    DEFINED 06              69222         0        0
D BK OF AMERICA CPN              COMMON     060505104   739881  120895589 SH  -    DEFINED 08          120895589         0        0
D BK OF AMERICA CPN              COMMON     060505104     9509    1553741 SH  -    DEFINED 09            1553741         0        0
D BK OF AMERICA CPN              COMMON     060505104     5456     891424 SH  -    DEFINED 09                  0         0        0
D BK OF AMERICA CPN              COMMON     060505104     1948     318240 SH  -    OTHER   09                  0    318240        0
D BK OF AMERICA CPN              COMMON     060505104      697     113929 SH  -    DEFINED 01              97470      8175     8284

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 124
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BK OF AMERICA CPN              COMMON     060505104      386      63105 SH  -    OTHER   01              22635     27110    13360
D BK OF AMERICA CPN              COMMON     060505104     3035     495897 SH  -    OTHER   10                  0         0   495897
D BANK OF AMERICA CORPORATION    PREF CONV  060505682       34         45 SH  -    DEFINED 02                  0         0        0
D BANK OF AMERICA CORPORATION    PREF CONV  060505682        3          4 SH  -    DEFINED 02                  0         0        0
D BANK OF AMERICA CORPORATION    PREF CONV  060505682     1155       1510 SH  -    OTHER   02                  0         0        0
D BANK OF AMERICA CORPORATION    PREF CONV  060505682     6553       8566 SH  -    DEFINED 04                  0         0        0
D BANK OF AMERICA CORPORATION    PREF CONV  060505682       17         22 SH  -    DEFINED 05                  0         0        0
D BANK OF AMERICA CORPORATION    PREF CONV  060505682    29400      38431 SH  -    DEFINED 09                  0         0        0
D BANK OF AMERICA CORPORATION    PREF CONV  060505682     2610       3412 SH  -    DEFINED 09                  0         0        0
D BANK OF AMERICA CORPORATION    PREF CONV  060505682     1379       1802 SH  -    OTHER   10                  0         0        0
D BK OF AMERICA CPN              OPTION     060505906    37117    6064900 SH  C    DEFINED 05            6064900         0        0
D BK OF AMERICA CPN              OPTION     060505906     4933     806000 SH  C    DEFINED 08             806000         0        0
D BK OF AMERICA CPN              OPTION     060505955    14409    2354400 SH  P    DEFINED 05            2354400         0        0
D BK OF AMERICA CPN              OPTION     060505955    25769    4210700 SH  P    DEFINED 08            4210700         0        0
D BANK HAWAII CORP               COMMON     062540109      165       4526 SH  -    DEFINED 02               4526         0        0
D BANK HAWAII CORP               COMMON     062540109        9        242 SH  -    OTHER   02                100       142        0
D BANK HAWAII CORP               COMMON     062540109       67       1834 SH  -    OTHER   02               1200         6      628
D BANK HAWAII CORP               COMMON     062540109     1738      47736 SH  -    DEFINED 04              47736         0        0
D BANK HAWAII CORP               COMMON     062540109     6535     179536 SH  -    DEFINED 04             179536         0        0
D BANK HAWAII CORP               COMMON     062540109      266       7317 SH  -    DEFINED 05               7317         0        0
D BANK HAWAII CORP               COMMON     062540109      295       8110 SH  -    DEFINED 08               8110         0        0
D BANK MONTREAL QUE              COMMON     063671101       50        900 SH  -    DEFINED 02                900         0        0
D BANK MONTREAL QUE              COMMON     063671101     1023      18321 SH  -    DEFINED 02              18321         0        0
D BANK MONTREAL QUE              COMMON     063671101      153       2747 SH  -    OTHER   02                  0      1858      836
D BANK MONTREAL QUE              COMMON     063671101       23        414 SH  -    OTHER   02                300         9      105
D BANK MONTREAL QUE              COMMON     063671101      384       6877 SH  -    DEFINED 05               6877         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 125
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BANK MONTREAL QUE              COMMON     063671101     1048      18771 SH  -    DEFINED 06              18771         0        0
D BANK MONTREAL QUE              COMMON     063671101       34        615 SH  -    DEFINED 08                615         0        0
D BANK MONTREAL QUE              COMMON     063671101      335       6000 SH  -    OTHER   01               6000         0        0
D BANK MONTREAL QUE              COMMON     063671101     1198      21456 SH  -    OTHER   10                  0         0    21456
D BANK MUTUAL CORP NEW           COMMON     063750103        9       3415 SH  -    OTHER   02                  0      3415        0
D BANK MUTUAL CORP NEW           COMMON     063750103       22       8384 SH  -    DEFINED 04               8384         0        0
D BANK MUTUAL CORP NEW           COMMON     063750103       56      21543 SH  -    DEFINED 05              21543         0        0
D BK OF THE OZARKS               COMMON     063904106        6        310 SH  -    DEFINED 02                  0       310        0
D BK OF THE OZARKS               COMMON     063904106      407      19462 SH  -    OTHER   02               1200     18262        0
D BK OF THE OZARKS               COMMON     063904106       14        660 SH  -    OTHER   02                  0         0      660
D BK OF THE OZARKS               COMMON     063904106      782      37340 SH  -    DEFINED 04              37340         0        0
D BK OF THE OZARKS               COMMON     063904106      200       9545 SH  -    DEFINED 04               9545         0        0
D BK OF THE OZARKS               COMMON     063904106      277      13245 SH  -    DEFINED 05              13245         0        0
D BANK OF NEW YORK MELLON CORP   COMMON     064058100     2562     137798 SH  -    DEFINED 02              84618     15460    37720
D BANK OF NEW YORK MELLON CORP   COMMON     064058100     1195      64300 SH  -    DEFINED 02              57705      3525     3070
D BANK OF NEW YORK MELLON CORP   COMMON     064058100      279      15029 SH  -    DEFINED 02              14206         0      823
D BANK OF NEW YORK MELLON CORP   COMMON     064058100    20120    1082318 SH  -    OTHER   02              78406    819660   179936
D BANK OF NEW YORK MELLON CORP   COMMON     064058100     1678      90250 SH  -    OTHER   02              20269     53781    16200
D BANK OF NEW YORK MELLON CORP   COMMON     064058100    20841    1121085 SH  -    DEFINED 04            1012573         0   108512
D BANK OF NEW YORK MELLON CORP   COMMON     064058100     4793     257849 SH  -    DEFINED 04             257849         0        0
D BANK OF NEW YORK MELLON CORP   COMMON     064058100       56       3000 SH  -    DEFINED 04               3000         0        0
D BANK OF NEW YORK MELLON CORP   COMMON     064058100       50       2710 SH  -    DEFINED 04               2710         0        0
D BANK OF NEW YORK MELLON CORP   COMMON     064058100       37       1999 SH  -    DEFINED 04                  0         0     1999
D BANK OF NEW YORK MELLON CORP   COMMON     064058100      154       8270 SH  -    OTHER   04                  0      8270        0
D BANK OF NEW YORK MELLON CORP   COMMON     064058100    19789    1064516 SH  -    DEFINED 05            1064516         0        0
D BANK OF NEW YORK MELLON CORP   COMMON     064058100       43       2326 SH  -    DEFINED 06               2326         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 126
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BANK OF NEW YORK MELLON CORP   COMMON     064058100    10577     568973 SH  -    DEFINED 08             568973         0        0
D BANK OF NEW YORK MELLON CORP   COMMON     064058100    10399     559365 SH  -    DEFINED 01             559185         0      180
D BANK OF NEW YORK MELLON CORP   COMMON     064058100     2453     131945 SH  -    OTHER   01              90566     40834      545
D BANK OF NEW YORK MELLON CORP   COMMON     064058100     3821     205567 SH  -    OTHER   10                  0         0   205567
D BANK OF NEW YORK MELLON CORP   OPTION     064058902       80       4300 SH  C    DEFINED 05               4300         0        0
D BANK OF NEW YORK MELLON CORP   OPTION     064058951      197      10600 SH  P    DEFINED 05              10600         0        0
D BK OF NOVA SCOTIA              COMMON     064149107        8        155 SH  -    DEFINED 02                155         0        0
D BK OF NOVA SCOTIA              COMMON     064149107      281       5600 SH  -    OTHER   02                  0         0     5600
D BK OF NOVA SCOTIA              COMMON     064149107     1920      38293 SH  -    DEFINED 04              38293         0        0
D BK OF NOVA SCOTIA              COMMON     064149107     4709      93903 SH  -    DEFINED 04              93903         0        0
D BK OF NOVA SCOTIA              COMMON     064149107      113       2251 SH  -    DEFINED 05               2251         0        0
D BK OF NOVA SCOTIA              COMMON     064149107     2041      40702 SH  -    DEFINED 06              40702         0        0
D BK OF NOVA SCOTIA              COMMON     064149107      326       6500 SH  -    OTHER   01               6500         0        0
D BANKFINANCIAL CORP             COMMON     06643P104        3        413 SH  -    OTHER   02                  0       413        0
D BANKFINANCIAL CORP             COMMON     06643P104      290      43625 SH  -    DEFINED 04              42825         0      800
D BANKFINANCIAL CORP             COMMON     06643P104        2        288 SH  -    DEFINED 05                288         0        0
D BANKFINANCIAL CORP             COMMON     06643P104        9       1302 SH  -    DEFINED 08               1302         0        0
D BANKRATE INC DEL               COMMON     06647F102      692      45500 SH  -    DEFINED 05              45500         0        0
D BANKUNITED INC                 COMMON     06652K103        9        430 SH  -    DEFINED 04                430         0        0
D BANKUNITED INC                 COMMON     06652K103     2115     101900 SH  -    DEFINED 04             101900         0        0
D BANKUNITED INC                 COMMON     06652K103        9        441 SH  -    DEFINED 05                441         0        0
D BANKUNITED INC                 COMMON     06652K103       50       2397 SH  -    DEFINED 08               2397         0        0
D BANNER CORP                    COMMON     06652V208     1503     117500 SH  -    DEFINED 04             105100         0    12400
D BANNER CORP                    COMMON     06652V208        3        251 SH  -    DEFINED 05                251         0        0
D BANNER CORP                    COMMON     06652V208       13        986 SH  -    DEFINED 08                986         0        0
D BANRO CORP                     COMMON     066800103      114      29014 SH  -    DEFINED 02                  0     29014        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 127
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BANRO CORP                     COMMON     066800103      122      30915 SH  -    OTHER   02              21674      9241        0
D BANRO CORP                     COMMON     066800103      541     137200 SH  -    DEFINED 04             137200         0        0
D BANRO CORP                     COMMON     066800103    66326   16833944 SH  -    DEFINED 09           16833944         0        0
D BANRO CORP                     COMMON     066800103     7676    1948258 SH  -    DEFINED 09            1948258         0        0
D BANRO CORP                     COMMON     066800103     1377     349448 SH  -    OTHER   09                  0    349448        0
D BARCLAYS BK PLC                COMMON     06738C778       76       1809 SH  -    DEFINED 02               1809         0        0
D BARCLAYS BK PLC                COMMON     06738C778     1944      46565 SH  -    OTHER   02              45880         0      685
D BARCLAYS BK PLC                COMMON     06738C778     4636     111078 SH  -    DEFINED 04             111078         0        0
D BARCLAYS BK PLC                COMMON     06738C778      848      20310 SH  -    OTHER   10                  0         0    20310
D BARCLAYS BK PLC                COMMON     06738C786     1594      80363 SH  -    DEFINED 02              77884         0     2479
D BARCLAYS BK PLC                COMMON     06738C786     5638     284157 SH  -    DEFINED 02             284064         0       93
D BARCLAYS BK PLC                COMMON     06738C786      656      33068 SH  -    OTHER   02              13115     19834        0
D BARCLAYS BK PLC                COMMON     06738C786       69       3495 SH  -    OTHER   02               1341         0     2154
D BARCLAYS BK PLC                COMMON     06738C786      475      23932 SH  -    OTHER   10                  0         0    23932
D BARCLAYS                       ADR        06738E204        2        160 SH  -    DEFINED 02                160         0        0
D BARCLAYS                       ADR        06738E204        2        200 SH  -    DEFINED 02                200         0        0
D BARCLAYS                       ADR        06738E204      231      23646 SH  -    OTHER   02                  0     22396     1250
D BARCLAYS                       ADR        06738E204        9        901 SH  -    OTHER   02                131         0      770
D BARCLAYS                       ADR        06738E204     1007     102978 SH  -    DEFINED 04             102978         0        0
D BARCLAYS                       ADR        06738E204     2599     265776 SH  -    OTHER   04                  0    265776        0
D BARCLAYS                       ADR        06738E204     4386     448432 SH  -    OTHER   04                  0    448432        0
D BARCLAYS                       ADR        06738E204     2936     300197 SH  -    DEFINED 05             300197         0        0
D BARCLAYS                       ADR        06738E204     2904     296955 SH  -    DEFINED 08             296955         0        0
D BARCLAYS                       ADR        06738E204       56       5713 SH  -    OTHER   01                  0      5400        0
D BARCLAYS                       ADR        06738E204       13       1315 SH  -    OTHER   10                  0         0     1315
D BARCLAYS                       OPTION     06738E907        1        100 SH  C    DEFINED 05                100         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 128
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BARCLAYS BK PLC                COMMON     06738G878     8161     172792 SH  -    DEFINED 02             172792         0        0
D BARCLAYS BK PLC                COMMON     06738G878     3498      74069 SH  -    DEFINED 02              74069         0        0
D BARCLAYS BK PLC                COMMON     06738G878       78       1645 SH  -    DEFINED 01               1645         0        0
D BARD C R INC                   COMMON     067383109      296       3382 SH  -    DEFINED 02               2982         0      400
D BARD C R INC                   COMMON     067383109       52        592 SH  -    DEFINED 02                592         0        0
D BARD C R INC                   COMMON     067383109       92       1051 SH  -    DEFINED 02                999         0       52
D BARD C R INC                   COMMON     067383109      356       4068 SH  -    OTHER   02               2650      1418        0
D BARD C R INC                   COMMON     067383109       67        763 SH  -    OTHER   02                393         0      370
D BARD C R INC                   COMMON     067383109     5940      67859 SH  -    DEFINED 04              42978         0    24881
D BARD C R INC                   COMMON     067383109     1202      13727 SH  -    DEFINED 04              13727         0        0
D BARD C R INC                   COMMON     067383109        1         10 SH  -    DEFINED 04                 10         0        0
D BARD C R INC                   COMMON     067383109     4183      47784 SH  -    DEFINED 05              47784         0        0
D BARCLAYS BANK PLC              COMMON     06739H206     2227      42809 SH  -    OTHER   10                  0         0    42809
D BARCLAYS BANK PLC              COMMON     06739H214      272       3062 SH  -    OTHER   10                  0         0     3062
D BARCLAYS BANK PLC              COMMON     06739H248      264       2986 SH  -    OTHER   10                  0         0     2986
D BARCLAYS BANK PLC              COMMON     06739H305      353       8255 SH  -    OTHER   10                  0         0     8255
D BARCLAYS BANK PLC              COMMON     06739H644      167      29558 SH  -    OTHER   10                  0         0    29558
D BARCLAYS BK PLC                COMMON     06740C261      133       2500 SH  -    DEFINED 05               2500         0        0
D BARCLAYS BK PLC                COMMON     06740C261     2282      42759 SH  -    DEFINED 08              42759         0        0
D BARCLAYS BK PLC                COMMON     06740C261      726      13603 SH  -    DEFINED 08              13603         0        0
D BARCLAYS BK PLC                COMMON     06740C261     8165     152983 SH  -    OTHER   10                  0         0   152983
D BARNES & NOBLE INC             COMMON     067774109       10        870 SH  -    OTHER   02                  0         0      870
D BARNES & NOBLE INC             COMMON     067774109        5        400 SH  -    OTHER   02                400         0        0
D BARNES & NOBLE INC             COMMON     067774109      634      53600 SH  -    DEFINED 04              48600         0     5000
D BARNES & NOBLE INC             COMMON     067774109      305      25764 SH  -    DEFINED 04              25764         0        0
D BARNES & NOBLE INC             COMMON     067774109       47       3964 SH  -    DEFINED 05               3964         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 129
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BARNES & NOBLE INC             COMMON     067774109      144      12186 SH  -    DEFINED 08              12186         0        0
D BARNES GROUP INC               BOND       067806AD1      149     149000 PRN -    DEFINED 05                  0         0        0
D BARNES GROUP INC               COMMON     067806109        8        400 SH  -    DEFINED 02                400         0        0
D BARNES GROUP INC               COMMON     067806109       18        923 SH  -    OTHER   02                  0       923        0
D BARNES GROUP INC               COMMON     067806109       12        630 SH  -    OTHER   02                  0         0      630
D BARNES GROUP INC               COMMON     067806109     1265      65700 SH  -    DEFINED 04              50100         0    15600
D BARNES GROUP INC               COMMON     067806109      429      22307 SH  -    DEFINED 05              22307         0        0
D BARRICK GOLD CORP              COMMON     067901108      520      11147 SH  -    DEFINED 02              11147         0        0
D BARRICK GOLD CORP              COMMON     067901108       20        420 SH  -    DEFINED 02                420         0        0
D BARRICK GOLD CORP              COMMON     067901108     2466      52863 SH  -    OTHER   02                330     49748     2785
D BARRICK GOLD CORP              COMMON     067901108      179       3830 SH  -    OTHER   02               2375         0     1455
D BARRICK GOLD CORP              COMMON     067901108     1660      35588 SH  -    DEFINED 04              35588         0        0
D BARRICK GOLD CORP              COMMON     067901108     7075     151656 SH  -    DEFINED 04             151656         0        0
D BARRICK GOLD CORP              COMMON     067901108        2         45 SH  -    OTHER   04                  0        45        0
D BARRICK GOLD CORP              COMMON     067901108        0          0 SH  -    OTHER   04                  0         0        0
D BARRICK GOLD CORP              COMMON     067901108    14293     306386 SH  -    DEFINED 05             306386         0        0
D BARRICK GOLD CORP              COMMON     067901108     2307      49463 SH  -    DEFINED 06              49463         0        0
D BARRICK GOLD CORP              COMMON     067901108    24504     525268 SH  -    DEFINED 08             525268         0        0
D BARRICK GOLD CORP              COMMON     067901108   109146    2339677 SH  -    DEFINED 09            2104950         0        0
D BARRICK GOLD CORP              COMMON     067901108    11196     240000 SH  -    DEFINED 09             240000         0        0
D BARRICK GOLD CORP              COMMON     067901108      155       3315 SH  -    OTHER   01                  0      3315        0
D BARRICK GOLD CORP              COMMON     067901108     1564      33519 SH  -    OTHER   10                  0         0    33519
D BARRETT BILL CORP              BOND       06846NAA2       46      46000 PRN -    DEFINED 05                  0         0        0
D BARRETT BILL CORP              COMMON     06846N104        4        118 SH  -    DEFINED 02                  0       118        0
D BARRETT BILL CORP              COMMON     06846N104      346       9560 SH  -    OTHER   02                600      8960        0
D BARRETT BILL CORP              COMMON     06846N104       84       2324 SH  -    OTHER   02                  0         0     2324

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 130
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BARRETT BILL CORP              COMMON     06846N104     1559      43013 SH  -    DEFINED 04              43013         0        0
D BARRETT BILL CORP              COMMON     06846N104       33        918 SH  -    DEFINED 05                918         0        0
D BARRETT BILL CORP              COMMON     06846N104      178       4919 SH  -    DEFINED 08               4919         0        0
D BARRETT BUSINESS S             COMMON     068463108        3        186 SH  -    OTHER   02                  0       186        0
D BARRETT BUSINESS S             COMMON     068463108      321      23000 SH  -    DEFINED 04              20900         0     2100
D BARRETT BUSINESS S             COMMON     068463108        0          1 SH  -    DEFINED 05                  1         0        0
D BARRETT BUSINESS S             COMMON     068463108        6        436 SH  -    DEFINED 08                436         0        0
D BASIC ENERGY SVCS INC NEW      COMMON     06985P100        7        502 SH  -    OTHER   02                  0       476        0
D BASIC ENERGY SVCS INC NEW      COMMON     06985P100      840      59322 SH  -    DEFINED 04              52622         0     6700
D BASIC ENERGY SVCS INC NEW      COMMON     06985P100      223      15773 SH  -    DEFINED 04              15773         0        0
D BASIC ENERGY SVCS INC NEW      COMMON     06985P100      194      13674 SH  -    DEFINED 05              13674         0        0
D BAXTER INTL INC                COMMON     071813109     2361      42054 SH  -    DEFINED 02              26069         0    15985
D BAXTER INTL INC                COMMON     071813109     3245      57810 SH  -    DEFINED 02              57736         0       74
D BAXTER INTL INC                COMMON     071813109      394       7020 SH  -    DEFINED 02               6549         0      471
D BAXTER INTL INC                COMMON     071813109     5110      91025 SH  -    OTHER   02              53685     20205    17100
D BAXTER INTL INC                COMMON     071813109     5010      89246 SH  -    OTHER   02              78388       828    10030
D BAXTER INTL INC                COMMON     071813109    80260    1429634 SH  -    DEFINED 04            1208495         0   221139
D BAXTER INTL INC                COMMON     071813109     7984     142222 SH  -    DEFINED 04             142222         0        0
D BAXTER INTL INC                COMMON     071813109      115       2044 SH  -    DEFINED 04               2044         0        0
D BAXTER INTL INC                COMMON     071813109     3396      60496 SH  -    DEFINED 04              34042         0    26454
D BAXTER INTL INC                COMMON     071813109      345       6151 SH  -    OTHER   04                  0      6151        0
D BAXTER INTL INC                COMMON     071813109    15826     281898 SH  -    DEFINED 05             281898         0        0
D BAXTER INTL INC                COMMON     071813109      131       2334 SH  -    DEFINED 06               2334         0        0
D BAXTER INTL INC                COMMON     071813109     4328      77086 SH  -    DEFINED 08              77086         0        0
D BAXTER INTL INC                COMMON     071813109    13885     247335 SH  -    DEFINED 09             231481     15854        0
D BAXTER INTL INC                COMMON     071813109      941      16769 SH  -    DEFINED 09              16769         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 131
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BAXTER INTL INC                COMMON     071813109     6353     113168 SH  -    DEFINED 09             113168         0        0
D BAXTER INTL INC                COMMON     071813109     3251      57902 SH  -    OTHER   09                  0     57902        0
D BAXTER INTL INC                COMMON     071813109      196       3485 SH  -    DEFINED 01               3450         0       35
D BAXTER INTL INC                COMMON     071813109      310       5522 SH  -    OTHER   01               5252       185       85
D BAXTER INTL INC                COMMON     071813109      799      14228 SH  -    OTHER   10                  0         0    14228
D BAXTER INTL INC                OPTION     071813901     1869      33300 SH  C    DEFINED 05              33300         0        0
D BAXTER INTL INC                OPTION     071813950      281       5000 SH  P    DEFINED 08               5000         0        0
D BAYTEX ENERGY CORP             COMMON     07317Q105      190       4556 SH  -    DEFINED 06               4556         0        0
D BAYTEX ENERGY CORP             COMMON     07317Q105     2721      65303 SH  -    DEFINED 08              65303         0        0
D BAYTEX ENERGY CORP             COMMON     07317Q105     1083      26000 SH  -    OTHER   01              26000         0        0
D BAYTEX ENERGY CORP             COMMON     07317Q105        2         40 SH  -    OTHER   10                  0         0       40
D BE AEROSPACE                   COMMON     073302101       15        465 SH  -    DEFINED 02                465         0        0
D BE AEROSPACE                   COMMON     073302101      130       3937 SH  -    OTHER   02                 65      1572     2300
D BE AEROSPACE                   COMMON     073302101      368      11125 SH  -    DEFINED 04              11125         0        0
D BE AEROSPACE                   COMMON     073302101     3400     102687 SH  -    DEFINED 04             102687         0        0
D BE AEROSPACE                   COMMON     073302101     3005      90744 SH  -    DEFINED 04              49841         0    40903
D BE AEROSPACE                   COMMON     073302101       74       2223 SH  -    DEFINED 05               2223         0        0
D BE AEROSPACE                   COMMON     073302101      617      18642 SH  -    DEFINED 08              18642         0        0
D BE AEROSPACE                   COMMON     073302101    11836     357465 SH  -    DEFINED 09             329375     28090        0
D BE AEROSPACE                   COMMON     073302101      834      25179 SH  -    DEFINED 09              25179         0        0
D BE AEROSPACE                   COMMON     073302101     5584     168648 SH  -    DEFINED 09             168648         0        0
D BE AEROSPACE                   COMMON     073302101      341      10286 SH  -    OTHER   09                  0     10286        0
D BEACON ROOFING SUPPLY INC      COMMON     073685109      985      61611 SH  -    OTHER   02                  0     61611        0
D BEACON ROOFING SUPPLY INC      COMMON     073685109      603      37700 SH  -    DEFINED 04              28800         0     8900
D BEACON ROOFING SUPPLY INC      COMMON     073685109       11        696 SH  -    DEFINED 05                696         0        0
D BEACON ROOFING SUPPLY INC      COMMON     073685109       42       2656 SH  -    DEFINED 08               2656         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 132
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BEACON ROOFING SUPPLY INC      COMMON     073685109      109       6792 SH  -    OTHER   01                  0      6792        0
D BEAZER HOMES USA INC           COMMON     07556Q105        1        511 SH  -    OTHER   02                  0       511        0
D BEAZER HOMES USA INC           COMMON     07556Q105      304     201153 SH  -    DEFINED 05             201153         0        0
D BEAZER HOMES USA INC           COMMON     07556Q105        7       4465 SH  -    DEFINED 08               4465         0        0
D BECTON DICKINSON & CO          COMMON     075887109     2403      32776 SH  -    DEFINED 02              29867       290     2619
D BECTON DICKINSON & CO          COMMON     075887109      861      11743 SH  -    DEFINED 02              11418         0      325
D BECTON DICKINSON & CO          COMMON     075887109     1353      18459 SH  -    DEFINED 02              18459         0        0
D BECTON DICKINSON & CO          COMMON     075887109      722       9843 SH  -    DEFINED 02               4706         0     5137
D BECTON DICKINSON & CO          COMMON     075887109     5581      76123 SH  -    OTHER   02               9859     60733     5510
D BECTON DICKINSON & CO          COMMON     075887109      799      10902 SH  -    OTHER   02               4280      1046     5576
D BECTON DICKINSON & CO          COMMON     075887109   305540    4167207 SH  -    DEFINED 04            3451817         0   715390
D BECTON DICKINSON & CO          COMMON     075887109     8368     114128 SH  -    DEFINED 04             114128         0        0
D BECTON DICKINSON & CO          COMMON     075887109    14901     203227 SH  -    DEFINED 04             203227         0        0
D BECTON DICKINSON & CO          COMMON     075887109       22        301 SH  -    DEFINED 04                301         0        0
D BECTON DICKINSON & CO          COMMON     075887109     2587      35290 SH  -    DEFINED 04              35290         0        0
D BECTON DICKINSON & CO          COMMON     075887109    15170     206897 SH  -    DEFINED 04             205786         0     1111
D BECTON DICKINSON & CO          COMMON     075887109      217       2966 SH  -    DEFINED 04                  0         0     2966
D BECTON DICKINSON & CO          COMMON     075887109     1004      13688 SH  -    OTHER   04                  0     13688        0
D BECTON DICKINSON & CO          COMMON     075887109     5085      69353 SH  -    OTHER   04                  0     69353        0
D BECTON DICKINSON & CO          COMMON     075887109     7375     100591 SH  -    DEFINED 05             100591         0        0
D BECTON DICKINSON & CO          COMMON     075887109       64        872 SH  -    DEFINED 06                872         0        0
D BECTON DICKINSON & CO          COMMON     075887109    24334     331894 SH  -    DEFINED 09             320737         0     4808
D BECTON DICKINSON & CO          COMMON     075887109     1841      25103 SH  -    DEFINED 09              25103         0        0
D BECTON DICKINSON & CO          COMMON     075887109     1139      15531 SH  -    DEFINED 09              15531         0        0
D BECTON DICKINSON & CO          COMMON     075887109      276       3770 SH  -    DEFINED 01               3700         0       70
D BECTON DICKINSON & CO          COMMON     075887109       80       1093 SH  -    OTHER   01                100       943       50

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 133
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BECTON DICKINSON & CO          COMMON     075887109       78       1058 SH  -    OTHER   10                  0         0     1058
D BED BATH & BEYOND              COMMON     075896100      421       7338 SH  -    DEFINED 02               7228         0      110
D BED BATH & BEYOND              COMMON     075896100      262       4579 SH  -    DEFINED 02               4579         0        0
D BED BATH & BEYOND              COMMON     075896100      171       2981 SH  -    DEFINED 02               2820         0      161
D BED BATH & BEYOND              COMMON     075896100     3867      67468 SH  -    OTHER   02               8000     58937      472
D BED BATH & BEYOND              COMMON     075896100      227       3966 SH  -    OTHER   02                133      2493     1340
D BED BATH & BEYOND              COMMON     075896100   147342    2570962 SH  -    DEFINED 04            2239037         0   331925
D BED BATH & BEYOND              COMMON     075896100     8850     154427 SH  -    DEFINED 04             154427         0        0
D BED BATH & BEYOND              COMMON     075896100     2115      36900 SH  -    DEFINED 04              36900         0        0
D BED BATH & BEYOND              COMMON     075896100       47        818 SH  -    DEFINED 04                818         0        0
D BED BATH & BEYOND              COMMON     075896100     2206      38500 SH  -    DEFINED 04              38500         0        0
D BED BATH & BEYOND              COMMON     075896100     1266      22098 SH  -    OTHER   04                  0     22098        0
D BED BATH & BEYOND              COMMON     075896100     6541     114131 SH  -    OTHER   04                  0    114131        0
D BED BATH & BEYOND              COMMON     075896100     2166      37792 SH  -    DEFINED 05              37792         0        0
D BED BATH & BEYOND              COMMON     075896100      877      15305 SH  -    DEFINED 09              15305         0        0
D BED BATH & BEYOND              COMMON     075896100      213       3723 SH  -    OTHER   01                  0      3348        0
D BED BATH & BEYOND              COMMON     075896100       80       1395 SH  -    OTHER   10                  0         0     1395
D BED BATH & BEYOND              OPTION     075896951       80       1400 SH  P    DEFINED 05               1400         0        0
D BEL FUSE INC                   COMMON     077347300        2         97 SH  -    OTHER   02                  0        97        0
D BEL FUSE INC                   COMMON     077347300       77       4963 SH  -    DEFINED 04               4963         0        0
D BEL FUSE INC                   COMMON     077347300      125       8020 SH  -    DEFINED 04               8020         0        0
D BEL FUSE INC                   COMMON     077347300       74       4757 SH  -    DEFINED 05               4757         0        0
D BELDEN INC                     COMMON     077454106        6        217 SH  -    OTHER   02                  0       217        0
D BELDEN INC                     COMMON     077454106      837      32446 SH  -    DEFINED 04              32446         0        0
D BELDEN INC                     COMMON     077454106     1003      38902 SH  -    DEFINED 04              38902         0        0
D BELDEN INC                     COMMON     077454106      571      22143 SH  -    DEFINED 05              22143         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 134
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BELO CORP                      COMMON     080555105       16       3242 SH  -    OTHER   02               2950       292        0
D BELO CORP                      COMMON     080555105      104      21344 SH  -    OTHER   02              21344         0        0
D BELO CORP                      COMMON     080555105     4512     922670 SH  -    DEFINED 04             878870         0    43800
D BELO CORP                      COMMON     080555105      506     103500 SH  -    DEFINED 04             103500         0        0
D BELO CORP                      COMMON     080555105       11       2160 SH  -    DEFINED 04               2160         0        0
D BELO CORP                      COMMON     080555105        3        686 SH  -    OTHER   04                  0       686        0
D BELO CORP                      COMMON     080555105      421      86038 SH  -    DEFINED 05              86038         0        0
D BELO CORP                      COMMON     080555105      954     195140 SH  -    DEFINED 08             195140         0        0
D BEMIS CO INC                   COMMON     081437105        8        286 SH  -    DEFINED 02                286         0        0
D BEMIS CO INC                   COMMON     081437105        5        156 SH  -    DEFINED 02                156         0        0
D BEMIS CO INC                   COMMON     081437105       36       1226 SH  -    DEFINED 02               1192         0       34
D BEMIS CO INC                   COMMON     081437105       53       1813 SH  -    OTHER   02                 83      1430      300
D BEMIS CO INC                   COMMON     081437105      484      16529 SH  -    OTHER   02               9521        39     6969
D BEMIS CO INC                   COMMON     081437105      540      18408 SH  -    DEFINED 04              15448         0     2960
D BEMIS CO INC                   COMMON     081437105      506      17277 SH  -    DEFINED 04              17277         0        0
D BEMIS CO INC                   COMMON     081437105     3211     109543 SH  -    DEFINED 05             109543         0        0
D BENCHMARK ELECTRON             COMMON     08160H101       10        806 SH  -    OTHER   02                  0       806        0
D BENCHMARK ELECTRON             COMMON     08160H101      568      43639 SH  -    DEFINED 04              43639         0        0
D BENCHMARK ELECTRON             COMMON     08160H101      362      27838 SH  -    DEFINED 05              27838         0        0
D BENCHMARK ELECTRON             COMMON     08160H101       30       2306 SH  -    DEFINED 08               2306         0        0
D BENCHMARK ELECTRON             COMMON     08160H101        3        227 SH  -    OTHER   01                  0       227        0
D BERKLEY(WR)CORP                COMMON     084423102       37       1250 SH  -    DEFINED 02               1250         0        0
D BERKLEY(WR)CORP                COMMON     084423102      885      29804 SH  -    OTHER   02                790     29014        0
D BERKLEY(WR)CORP                COMMON     084423102       38       1273 SH  -    OTHER   02                  0         0     1273
D BERKLEY(WR)CORP                COMMON     084423102   136865    4609799 SH  -    DEFINED 04            4433895         0   175904
D BERKLEY(WR)CORP                COMMON     084423102     3759     126618 SH  -    DEFINED 04             126618         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 135
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BERKLEY(WR)CORP                COMMON     084423102       55       1842 SH  -    DEFINED 04               1842         0        0
D BERKLEY(WR)CORP                COMMON     084423102     2541      85600 SH  -    DEFINED 04              85600         0        0
D BERKLEY(WR)CORP                COMMON     084423102     1472      49569 SH  -    OTHER   04                  0     49569        0
D BERKLEY(WR)CORP                COMMON     084423102     7588     255562 SH  -    OTHER   04                  0    255562        0
D BERKLEY(WR)CORP                COMMON     084423102     1030      34676 SH  -    DEFINED 05              34676         0        0
D BERKLEY(WR)CORP                COMMON     084423102        8        256 SH  -    DEFINED 06                256         0        0
D BERKLEY(WR)CORP                COMMON     084423102     1414      47629 SH  -    DEFINED 08              47629         0        0
D BERKLEY(WR)CORP                COMMON     084423102     2788      93893 SH  -    OTHER   10                  0         0    93893
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702    10819     152289 SH  -    DEFINED 02             143659      1000     7630
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702     2006      28232 SH  -    DEFINED 02              26397       975      860
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702     1622      22832 SH  -    DEFINED 02              20472         0     2360
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702    45615     642109 SH  -    OTHER   02             290431    297262    53155
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702     2861      40274 SH  -    OTHER   02              15374     17757     7143
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702      150       2108 SH  -    OTHER   02                  0      2108        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702   305170    4295751 SH  -    DEFINED 04            2950740         0  1345011
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702    20214     284547 SH  -    DEFINED 04             284547         0        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702    15491     218058 SH  -    DEFINED 04             218058         0        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702      243       3425 SH  -    DEFINED 04               3425         0        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702      206       2905 SH  -    DEFINED 04                  0         0     2905
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702        1         15 SH  -    OTHER   04                  0        15        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702    68893     969776 SH  -    DEFINED 05             969776         0        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702      116       1639 SH  -    DEFINED 06               1639         0        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702    26325     370563 SH  -    DEFINED 08             370563         0        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702     1297      18264 SH  -    DEFINED 09              18264         0        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702     4703      66200 SH  -    OTHER   09                  0     66200        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702    22751     320255 SH  -    DEFINED 01             316255         0     4000

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 136
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702      778      10956 SH  -    OTHER   01                  0     10956        0
D BERKSHIRE HATHAWAY INC DEL     COMMON     084670702    38367     540082 SH  -    OTHER   10                  0         0   540082
D BERKSHIRE HILLS BANCORP INC    COMMON     084680107        4        191 SH  -    OTHER   02                 54       137        0
D BERKSHIRE HILLS BANCORP INC    COMMON     084680107      689      37310 SH  -    DEFINED 04              37310         0        0
D BERKSHIRE HILLS BANCORP INC    COMMON     084680107        5        296 SH  -    DEFINED 05                296         0        0
D BERKSHIRE HILLS BANCORP INC    COMMON     084680107       24       1284 SH  -    DEFINED 08               1284         0        0
D BERRY PETE CO                  COMMON     085789105       18        500 SH  -    DEFINED 02                500         0        0
D BERRY PETE CO                  COMMON     085789105       22        632 SH  -    OTHER   02                  0       617        0
D BERRY PETE CO                  COMMON     085789105     2148      60713 SH  -    DEFINED 04              60713         0        0
D BERRY PETE CO                  COMMON     085789105       75       2122 SH  -    DEFINED 05               2122         0        0
D BERRY PETE CO                  COMMON     085789105      107       3018 SH  -    DEFINED 08               3018         0        0
D BERRY PETE CO                  COMMON     085789105      644      18216 SH  -    OTHER   10                  0         0    18216
D BEST BUY INC                   BOND       086516AF8        2       2000 PRN -    DEFINED 02                  0         0        0
D BEST BUY INC                   BOND       086516AF8      325     326000 PRN -    DEFINED 05                  0         0        0
D BEST BUY INC                   BOND       086516AF8    11096   11124000 PRN -    DEFINED 08                  0         0        0
D BEST BUY INC                   BOND       086516AF8       56      56000 PRN -    DEFINED 09                  0         0        0
D BEST BUY INC                   BOND       086516AF8      573     574000 PRN -    DEFINED 09                  0         0        0
D BEST BUY CO INC                COMMON     086516101      202       8654 SH  -    DEFINED 02                  0      8531      123
D BEST BUY CO INC                COMMON     086516101       22        957 SH  -    DEFINED 02                267       690        0
D BEST BUY CO INC                COMMON     086516101       86       3695 SH  -    DEFINED 02               3491         0      204
D BEST BUY CO INC                COMMON     086516101     2794     119923 SH  -    OTHER   02              10738    103267     5918
D BEST BUY CO INC                COMMON     086516101      683      29320 SH  -    OTHER   02               1018      3132    25170
D BEST BUY CO INC                COMMON     086516101     5986     256931 SH  -    DEFINED 04             248260         0     8671
D BEST BUY CO INC                COMMON     086516101     1230      52807 SH  -    DEFINED 04              52807         0        0
D BEST BUY CO INC                COMMON     086516101      155       6644 SH  -    DEFINED 04               6644         0        0
D BEST BUY CO INC                COMMON     086516101      480      20620 SH  -    OTHER   04                  0     20620        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 137
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BEST BUY CO INC                COMMON     086516101    13610     584125 SH  -    DEFINED 05             584125         0        0
D BEST BUY CO INC                COMMON     086516101      286      12270 SH  -    DEFINED 08              12270         0        0
D BEST BUY CO INC                COMMON     086516101      871      37400 SH  -    OTHER   09                  0     37400        0
D BEST BUY CO INC                COMMON     086516101      102       4377 SH  -    DEFINED 01               4377         0        0
D BEST BUY CO INC                COMMON     086516101       14        608 SH  -    OTHER   01                  0       608        0
D BEST BUY CO INC                COMMON     086516101        2         80 SH  -    OTHER   10                  0         0       80
D BHP BILLITON LTD               ADR        088606108      516       7773 SH  -    DEFINED 02               7773         0        0
D BHP BILLITON LTD               ADR        088606108       53        794 SH  -    DEFINED 02                794         0        0
D BHP BILLITON LTD               ADR        088606108     2664      40100 SH  -    OTHER   02              15625      4030    20445
D BHP BILLITON LTD               ADR        088606108     1803      27133 SH  -    OTHER   02               1460       120    25553
D BHP BILLITON LTD               ADR        088606108     3658      55058 SH  -    DEFINED 04              55058         0        0
D BHP BILLITON LTD               ADR        088606108    10092     151896 SH  -    OTHER   04                  0    151896        0
D BHP BILLITON LTD               ADR        088606108     2742      41269 SH  -    OTHER   04                  0     41269        0
D BHP BILLITON LTD               ADR        088606108     2087      31417 SH  -    DEFINED 05              31417         0        0
D BHP BILLITON LTD               ADR        088606108     9016     135698 SH  -    DEFINED 06             135698         0        0
D BHP BILLITON LTD               ADR        088606108       29        442 SH  -    OTHER   01                  0       267        0
D BHP BILLITON LTD               ADR        088606108     1455      21903 SH  -    OTHER   10                  0         0    21903
D BHP BILLITON LTD               OPTION     088606900      332       5000 SH  C    DEFINED 05               5000         0        0
D BHP BILLITON LTD               OPTION     088606959      412       6200 SH  P    DEFINED 05               6200         0        0
D BG MEDICINE INC                COMMON     08861T107       32       8957 SH  -    DEFINED 05               8957         0        0
D BG MEDICINE INC                COMMON     08861T107        6       1566 SH  -    DEFINED 08               1566         0        0
D BIG 5 SPORTING GOODS CORP      COMMON     08915P101       91      15019 SH  -    DEFINED 04              15019         0        0
D BIG 5 SPORTING GOODS CORP      COMMON     08915P101       62      10219 SH  -    DEFINED 05              10219         0        0
D BIG LOTS INC                   COMMON     089302103        0         13 SH  -    DEFINED 02                 13         0        0
D BIG LOTS INC                   COMMON     089302103       27        781 SH  -    DEFINED 02                755         0       26
D BIG LOTS INC                   COMMON     089302103      135       3866 SH  -    OTHER   02                  0      3821        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 138
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BIG LOTS INC                   COMMON     089302103       13        371 SH  -    OTHER   02                  0        12      359
D BIG LOTS INC                   COMMON     089302103     4508     129435 SH  -    DEFINED 04              69458         0    59977
D BIG LOTS INC                   COMMON     089302103      541      15530 SH  -    DEFINED 04              15530         0        0
D BIG LOTS INC                   COMMON     089302103       20        580 SH  -    DEFINED 04                580         0        0
D BIG LOTS INC                   COMMON     089302103       13        385 SH  -    DEFINED 04                  0         0      385
D BIG LOTS INC                   COMMON     089302103        1         15 SH  -    OTHER   04                  0        15        0
D BIG LOTS INC                   COMMON     089302103      549      15773 SH  -    DEFINED 05              15773         0        0
D BIG LOTS INC                   COMMON     089302103        0          1 SH  -    OTHER   10                  0         0        1
D BIGLARI HLDGS INC              COMMON     08986R101     6128      20675 SH  -    DEFINED 04              17975         0     2700
D BIGLARI HLDGS INC              COMMON     08986R101     2896       9770 SH  -    DEFINED 04               9770         0        0
D BIGLARI HLDGS INC              COMMON     08986R101      199        672 SH  -    DEFINED 05                672         0        0
D BIO-REFERENCE LABS             COMMON     09057G602        4        193 SH  -    OTHER   02                  0       193        0
D BIO-REFERENCE LABS             COMMON     09057G602      322      17511 SH  -    DEFINED 04              17511         0        0
D BIO-REFERENCE LABS             COMMON     09057G602      214      11616 SH  -    DEFINED 05              11616         0        0
D BIO-REFERENCE LABS             COMMON     09057G602      331      18000 SH  -    OTHER   01              18000         0        0
D BIO RAD LABS INC               COMMON     090572207       11        126 SH  -    OTHER   02                  0       126        0
D BIO RAD LABS INC               COMMON     090572207       80        880 SH  -    OTHER   02                  0         0      880
D BIO RAD LABS INC               COMMON     090572207       36        394 SH  -    DEFINED 05                394         0        0
D BIO RAD LABS INC               COMMON     090572207       65        718 SH  -    DEFINED 08                718         0        0
D BIO RAD LABS INC               COMMON     090572207       10        113 SH  -    OTHER   10                  0         0      113
D BIOCRYST PHARMACTL             COMMON     09058V103      825     298750 SH  -    DEFINED 04             252025         0    46725
D BIOCRYST PHARMACTL             COMMON     09058V103        1        411 SH  -    DEFINED 05                411         0        0
D BIOCRYST PHARMACTL             COMMON     09058V103        5       1725 SH  -    DEFINED 08               1725         0        0
D BIOMARIN PHARMACEUTICAL INC    BOND       09061GAC5     1979    1005000 PRN -    DEFINED 05                  0         0        0
D BIOMARIN PHARMACEUTICAL INC    BOND       09061GAD3     6968    4185000 PRN -    DEFINED 05                  0         0        0
D BIOMARIN PHARMA                COMMON     09061G101        5        150 SH  -    DEFINED 02                  0       150        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 139
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BIOMARIN PHARMA                COMMON     09061G101        3         90 SH  -    DEFINED 02                  0         0       90
D BIOMARIN PHARMA                COMMON     09061G101     1240      38922 SH  -    OTHER   02                  0     35002     3920
D BIOMARIN PHARMA                COMMON     09061G101       93       2920 SH  -    OTHER   02                710      1210     1000
D BIOMARIN PHARMA                COMMON     09061G101     2821      88525 SH  -    DEFINED 04              88525         0        0
D BIOMARIN PHARMA                COMMON     09061G101      516      16179 SH  -    DEFINED 04              16179         0        0
D BIOMARIN PHARMA                COMMON     09061G101       53       1677 SH  -    DEFINED 05               1677         0        0
D BIOMARIN PHARMA                COMMON     09061G101      554      17371 SH  -    DEFINED 09              17371         0        0
D BIOMARIN PHARMA                COMMON     09061G101       25        770 SH  -    OTHER   01                  0       770        0
D BIOMARIN PHARMA                COMMON     09061G101      193       6047 SH  -    OTHER   10                  0         0     6047
D BIOGEN IDEC INC                COMMON     09062X103    23216     249229 SH  -    DEFINED 02             206855       932    41442
D BIOGEN IDEC INC                COMMON     09062X103     7266      77998 SH  -    DEFINED 02              72501        77     5420
D BIOGEN IDEC INC                COMMON     09062X103     7288      78237 SH  -    DEFINED 02              78237         0        0
D BIOGEN IDEC INC                COMMON     09062X103     1407      15110 SH  -    DEFINED 02               6255         0     8855
D BIOGEN IDEC INC                COMMON     09062X103     7442      79891 SH  -    OTHER   02              48931     20912    10004
D BIOGEN IDEC INC                COMMON     09062X103      476       5114 SH  -    OTHER   02               4423       383      308
D BIOGEN IDEC INC                COMMON     09062X103      149       1599 SH  -    OTHER   02                  0      1599        0
D BIOGEN IDEC INC                COMMON     09062X103      133       1426 SH  -    OTHER   02                  0      1426        0
D BIOGEN IDEC INC                COMMON     09062X103      340       3654 SH  -    OTHER   02                  0      3654        0
D BIOGEN IDEC INC                COMMON     09062X103   603145    6474990 SH  -    DEFINED 04            4963381         0  1511609
D BIOGEN IDEC INC                COMMON     09062X103    36140     387981 SH  -    DEFINED 04             387981         0        0
D BIOGEN IDEC INC                COMMON     09062X103    57727     619717 SH  -    DEFINED 04             619717         0        0
D BIOGEN IDEC INC                COMMON     09062X103      181       1943 SH  -    DEFINED 04               1943         0        0
D BIOGEN IDEC INC                COMMON     09062X103     6595      70798 SH  -    DEFINED 04              70798         0        0
D BIOGEN IDEC INC                COMMON     09062X103    31926     342737 SH  -    DEFINED 04             326031         0    16706
D BIOGEN IDEC INC                COMMON     09062X103      337       3617 SH  -    DEFINED 04                  0         0     3617
D BIOGEN IDEC INC                COMMON     09062X103    17752     190570 SH  -    OTHER   04                  0    190570        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 140
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BIOGEN IDEC INC                COMMON     09062X103     4858      52151 SH  -    DEFINED 05              52151         0        0
D BIOGEN IDEC INC                COMMON     09062X103    38830     416853 SH  -    DEFINED 08             416853         0        0
D BIOGEN IDEC INC                COMMON     09062X103    84501     907146 SH  -    DEFINED 09             881147      9416     7164
D BIOGEN IDEC INC                COMMON     09062X103     1984      21300 SH  -    DEFINED 09              21300         0        0
D BIOGEN IDEC INC                COMMON     09062X103     9547     102493 SH  -    DEFINED 09             102493         0        0
D BIOGEN IDEC INC                COMMON     09062X103     6341      68078 SH  -    DEFINED 09              22684         0        0
D BIOGEN IDEC INC                COMMON     09062X103      572       6146 SH  -    OTHER   09                  0      6146        0
D BIOGEN IDEC INC                COMMON     09062X103     1148      12325 SH  -    DEFINED 01              10431       978      916
D BIOGEN IDEC INC                COMMON     09062X103      420       4513 SH  -    OTHER   01               1991       994     1528
D BIOGEN IDEC INC                COMMON     09062X103      119       1277 SH  -    OTHER   10                  0         0     1277
D BIOGEN IDEC INC                OPTION     09062X905       93       1000 SH  C    DEFINED 05               1000         0        0
D BIOGEN IDEC INC                OPTION     09062X954      401       4300 SH  P    DEFINED 05               4300         0        0
D BIOMED RLTY TR INC             COMMON     09063H107     3908     235850 SH  -    DEFINED 04              73550         0   162300
D BIOMED RLTY TR INC             COMMON     09063H107     2371     143064 SH  -    DEFINED 04             143064         0        0
D BIOMED RLTY TR INC             COMMON     09063H107     1015      61274 SH  -    DEFINED 05              61274         0        0
D BIOMED RLTY TR INC             COMMON     09063H107       10        628 SH  -    DEFINED 06                628         0        0
D BIOMED RLTY TR INC             COMMON     09063H107        1         40 SH  -    OTHER   10                  0         0       40
D BIOMIMETIC THERAPEUTICS INC    COMMON     09064X101      647     196125 SH  -    DEFINED 04             162725         0    33400
D BIOMIMETIC THERAPEUTICS INC    COMMON     09064X101       35      10680 SH  -    DEFINED 05              10680         0        0
D BIOMIMETIC THERAPEUTICS INC    COMMON     09064X101        4       1196 SH  -    DEFINED 08               1196         0        0
D BIONOVO INC                    COMMON     090643206        1       1800 SH  -    OTHER   02               1800         0        0
D BIONOVO INC                    COMMON     090643206       39      61460 SH  -    DEFINED 04              61460         0        0
D BIONOVO INC                    COMMON     090643206      186     295037 SH  -    DEFINED 09             295037         0        0
D BIOSANTE PHARMACEUTICALS INC   COMMON     09065V203        1        595 SH  -    OTHER   02                  0       595        0
D BIOSANTE PHARMACEUTICALS INC   COMMON     09065V203      389     170500 SH  -    DEFINED 05             170500         0        0
D BIOSANTE PHARMACEUTICALS INC   COMMON     09065V203       13       5745 SH  -    DEFINED 08               5745         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 141
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BIOTIME INC                    COMMON     09066L105        0         81 SH  -    OTHER   02                  0        81        0
D BIOTIME INC                    COMMON     09066L105      147      33279 SH  -    DEFINED 05              33279         0        0
D BIOTIME INC                    COMMON     09066L105        6       1434 SH  -    DEFINED 08               1434         0        0
D BJS RESTAURANTS INC            COMMON     09180C106        6        125 SH  -    DEFINED 02                  0       125        0
D BJS RESTAURANTS INC            COMMON     09180C106      338       7654 SH  -    OTHER   02                  0      7654        0
D BJS RESTAURANTS INC            COMMON     09180C106       12        266 SH  -    OTHER   02                  0         0      266
D BJS RESTAURANTS INC            COMMON     09180C106    25801     584919 SH  -    DEFINED 04             366600         0   218319
D BJS RESTAURANTS INC            COMMON     09180C106     6175     140000 SH  -    DEFINED 04             140000         0        0
D BJS RESTAURANTS INC            COMMON     09180C106     1140      25850 SH  -    DEFINED 04              25850         0        0
D BJS RESTAURANTS INC            COMMON     09180C106       76       1726 SH  -    OTHER   04                  0      1726        0
D BJS RESTAURANTS INC            COMMON     09180C106      497      11257 SH  -    DEFINED 05              11257         0        0
D BLACK BOX CORP                 COMMON     091826107     5037     235945 SH  -    DEFINED 04             211745         0    24200
D BLACK BOX CORP                 COMMON     091826107     1484      69489 SH  -    DEFINED 04              69489         0        0
D BLACK BOX CORP                 COMMON     091826107      225      10540 SH  -    DEFINED 05              10540         0        0
D BLACKBOARD INC                 COMMON     091935502        6        144 SH  -    DEFINED 02                144         0        0
D BLACKBOARD INC                 COMMON     091935502       12        271 SH  -    OTHER   02                  0       255        0
D BLACKBOARD INC                 COMMON     091935502     9003     201600 SH  -    DEFINED 04             201600         0        0
D BLACKBOARD INC                 COMMON     091935502      621      13900 SH  -    DEFINED 04              13900         0        0
D BLACKBOARD INC                 COMMON     091935502      650      14553 SH  -    DEFINED 05              14553         0        0
D BLACKBOARD INC                 COMMON     091935502    27339     612164 SH  -    DEFINED 08             612164         0        0
D BLACKBOARD INC                 COMMON     091935502    15143     339070 SH  -    DEFINED 09             198170         0        0
D BLACK HILLS CORP               COMMON     092113109        3         99 SH  -    OTHER   02                  0        99        0
D BLACK HILLS CORP               COMMON     092113109       14        450 SH  -    OTHER   02                450         0        0
D BLACK HILLS CORP               COMMON     092113109      218       7100 SH  -    DEFINED 04               7100         0        0
D BLACK HILLS CORP               COMMON     092113109     1069      34900 SH  -    DEFINED 04              34900         0        0
D BLACK HILLS CORP               COMMON     092113109      240       7837 SH  -    DEFINED 05               7837         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 142
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BLACKBAUD INC                  COMMON     09227Q100        4        190 SH  -    OTHER   02                  0       190        0
D BLACKBAUD INC                  COMMON     09227Q100      722      32415 SH  -    DEFINED 04              32415         0        0
D BLACKBAUD INC                  COMMON     09227Q100      464      20823 SH  -    DEFINED 05              20823         0        0
D BLACKBAUD INC                  COMMON     09227Q100        1         60 SH  -    OTHER   10                  0         0       60
D BLACKROCK INC                  COMMON     09247X101      375       2532 SH  -    DEFINED 02               2532         0        0
D BLACKROCK INC                  COMMON     09247X101      589       3981 SH  -    DEFINED 02               3858         0      123
D BLACKROCK INC                  COMMON     09247X101      181       1222 SH  -    DEFINED 02               1156         0       66
D BLACKROCK INC                  COMMON     09247X101     1627      10995 SH  -    OTHER   02               9667      1303       25
D BLACKROCK INC                  COMMON     09247X101       99        672 SH  -    OTHER   02                297        48      327
D BLACKROCK INC                  COMMON     09247X101    13731      92770 SH  -    DEFINED 04              63159         0    29611
D BLACKROCK INC                  COMMON     09247X101     4552      30754 SH  -    DEFINED 04              30754         0        0
D BLACKROCK INC                  COMMON     09247X101     4995      33749 SH  -    DEFINED 05              33749         0        0
D BLACKROCK INC                  COMMON     09247X101       25        169 SH  -    DEFINED 06                169         0        0
D BLACKROCK INC                  COMMON     09247X101     1319       8911 SH  -    DEFINED 08               8911         0        0
D BLACKROCK INC                  COMMON     09247X101       24        160 SH  -    DEFINED 09                160         0        0
D BLACKROCK INC                  COMMON     09247X101      166       1120 SH  -    DEFINED 01               1100         0       20
D BLACKROCK INC                  COMMON     09247X101        8         55 SH  -    OTHER   01                  0        30       25
D BLACKROCK INC                  COMMON     09247X101     3002      20281 SH  -    OTHER   10                  0         0    20281
D BLACKROCK MUNICIPAL BOND TR    COMMON     09249H104      669      43750 SH  -    OTHER   02              43750         0        0
D BLACKSTONE GROUP L P           COMMON     09253U108      110       9200 SH  -    OTHER   02               9200         0        0
D BLACKSTONE GROUP L P           COMMON     09253U108       16       1346 SH  -    DEFINED 05               1346         0        0
D BLACKSTONE GROUP L P           COMMON     09253U108       38       3182 SH  -    DEFINED 08               3182         0        0
D BLACKSTONE GROUP L P           COMMON     09253U108      743      62000 SH  -    DEFINED 09                  0         0    62000
D BLACKSTONE GROUP L P           COMMON     09253U108     8262     689680 SH  -    DEFINED 10             689680         0        0
D BLACKSTONE GROUP L P           COMMON     09253U108      312      26025 SH  -    OTHER   10                  0         0    26025
D BLACKROCK CREDIT ALL INC TR I  COMMON     09255J101      132      15000 SH  -    OTHER   02              15000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 143
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BLOCK(H&R)INC                  COMMON     093671105      126       9500 SH  -    DEFINED 02               9500         0        0
D BLOCK(H&R)INC                  COMMON     093671105        0         14 SH  -    DEFINED 02                 14         0        0
D BLOCK(H&R)INC                  COMMON     093671105       50       3748 SH  -    DEFINED 02               3524         0      224
D BLOCK(H&R)INC                  COMMON     093671105     1269      95359 SH  -    OTHER   02                  0      4159    91200
D BLOCK(H&R)INC                  COMMON     093671105       61       4594 SH  -    OTHER   02                  0        44     4550
D BLOCK(H&R)INC                  COMMON     093671105     7996     600773 SH  -    DEFINED 04             380119         0   220654
D BLOCK(H&R)INC                  COMMON     093671105     3244     243717 SH  -    DEFINED 04             243717         0        0
D BLOCK(H&R)INC                  COMMON     093671105       94       7030 SH  -    DEFINED 04               7030         0        0
D BLOCK(H&R)INC                  COMMON     093671105       13       1000 SH  -    DEFINED 04               1000         0        0
D BLOCK(H&R)INC                  COMMON     093671105      285      21414 SH  -    OTHER   04                  0     21414        0
D BLOCK(H&R)INC                  COMMON     093671105      106       7974 SH  -    DEFINED 05               7974         0        0
D BLOCK(H&R)INC                  COMMON     093671105      568      42645 SH  -    DEFINED 08              42645         0        0
D BLOCK(H&R)INC                  COMMON     093671105       91       6800 SH  -    DEFINED 09               6800         0        0
D BLOCK(H&R)INC                  COMMON     093671105       13        985 SH  -    OTHER   10                  0         0      985
D BLOUNT INTL INC NEW            COMMON     095180105        4        336 SH  -    OTHER   02                  0       336        0
D BLOUNT INTL INC NEW            COMMON     095180105       95       7103 SH  -    OTHER   02                  0      2250     4853
D BLOUNT INTL INC NEW            COMMON     095180105       10        737 SH  -    DEFINED 05                737         0        0
D BLOUNT INTL INC NEW            COMMON     095180105       38       2870 SH  -    DEFINED 08               2870         0        0
D BLUE COAT SYSTEMS INC          COMMON     09534T508        2        157 SH  -    DEFINED 02                  0       157        0
D BLUE COAT SYSTEMS INC          COMMON     09534T508      193      13933 SH  -    OTHER   02                  0     13363      570
D BLUE COAT SYSTEMS INC          COMMON     09534T508        5        335 SH  -    OTHER   02                  0         0      335
D BLUE COAT SYSTEMS INC          COMMON     09534T508      487      35100 SH  -    DEFINED 04              26800         0     8300
D BLUE COAT SYSTEMS INC          COMMON     09534T508      159      11431 SH  -    DEFINED 04              11431         0        0
D BLUE COAT SYSTEMS INC          COMMON     09534T508      274      19757 SH  -    DEFINED 05              19757         0        0
D BLUE NILE INC                  COMMON     09578R103        2         65 SH  -    OTHER   02                  0        65        0
D BLUE NILE INC                  COMMON     09578R103      358      10138 SH  -    DEFINED 04              10138         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 144
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BLUE NILE INC                  COMMON     09578R103      237       6708 SH  -    DEFINED 05               6708         0        0
D BLUELINX HLDGS INC             COMMON     09624H109       64      44000 SH  -    DEFINED 04              44000         0        0
D BLUEKNIGHT ENERGY PARTNERS L P COMMON     09625U109       35       5550 SH  -    OTHER   02                  0      5550        0
D BLUEKNIGHT ENERGY PARTNERS L P COMMON     09625U109       21       3300 SH  -    OTHER   02                  0      3300        0
D BLUEKNIGHT ENERGY PARTNERS L P COMMON     09625U109       13       2000 SH  -    OTHER   10                  0         0     2000
D BLYTH INC                      COMMON     09643P207        8        146 SH  -    OTHER   02                  0       146        0
D BLYTH INC                      COMMON     09643P207     4394      79250 SH  -    DEFINED 04              75550         0     3700
D BLYTH INC                      COMMON     09643P207     3273      59030 SH  -    DEFINED 04              59030         0        0
D BLYTH INC                      COMMON     09643P207      136       2446 SH  -    DEFINED 05               2446         0        0
D BLYTH INC                      COMMON     09643P207        3         62 SH  -    OTHER   10                  0         0       62
D BMB MUNAI INC(RESTRICTED AND C COMMON     09656A105      218     194625 SH  -    DEFINED 04             194625         0        0
D BMB MUNAI INC(RESTRICTED AND C COMMON     09656A105     3360    3000417 SH  -    DEFINED 09            3000417         0        0
D BMB MUNAI INC(RESTRICTED AND C COMMON     09656A105      176     157582 SH  -    DEFINED 09             157582         0        0
D BOARDWALK PIPELINE PARTNERS LP COMMON     096627104     2513      98000 SH  -    OTHER   02                  0     98000        0
D BOARDWALK PIPELINE PARTNERS LP COMMON     096627104      187       7275 SH  -    OTHER   01                  0      7275        0
D BOARDWALK PIPELINE PARTNERS LP COMMON     096627104    31010    1209452 SH  -    DEFINED 10            1209452         0        0
D BOARDWALK PIPELINE PARTNERS LP COMMON     096627104      402      15662 SH  -    OTHER   10                  0         0    15662
D BOB EVANS FARMS                COMMON     096761101       12        404 SH  -    OTHER   02                  0       404        0
D BOB EVANS FARMS                COMMON     096761101        3         88 SH  -    OTHER   02                  0         0       88
D BOB EVANS FARMS                COMMON     096761101      604      21178 SH  -    DEFINED 04              21178         0        0
D BOB EVANS FARMS                COMMON     096761101       13        458 SH  -    DEFINED 05                458         0        0
D BOB EVANS FARMS                COMMON     096761101      138       4849 SH  -    DEFINED 08               4849         0        0
D BOEING CO                      COMMON     097023105     2177      35980 SH  -    DEFINED 02              30488      1570     3922
D BOEING CO                      COMMON     097023105     1716      28355 SH  -    DEFINED 02              27630       675       50
D BOEING CO                      COMMON     097023105      553       9137 SH  -    DEFINED 02               8540         0      597
D BOEING CO                      COMMON     097023105    16629     274813 SH  -    OTHER   02              86313    182918     5224

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 145
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BOEING CO                      COMMON     097023105     3631      60003 SH  -    OTHER   02              40850     10255     8898
D BOEING CO                      COMMON     097023105     8690     143615 SH  -    DEFINED 04             122398         0    21217
D BOEING CO                      COMMON     097023105     7191     118840 SH  -    DEFINED 04             118840         0        0
D BOEING CO                      COMMON     097023105    34250     566026 SH  -    DEFINED 05             566026         0        0
D BOEING CO                      COMMON     097023105      807      13330 SH  -    OTHER   01                  0     13130        0
D BOEING CO                      COMMON     097023105     2868      47401 SH  -    OTHER   10                  0         0    47401
D BOEING CO                      OPTION     097023907      605      10000 SH  C    DEFINED 05              10000         0        0
D BOEING CO                      OPTION     097023907     4103      67800 SH  C    DEFINED 08              67800         0        0
D BOEING CO                      OPTION     097023956      756      12500 SH  P    DEFINED 05              12500         0        0
D BOEING CO                      OPTION     097023956     2075      34300 SH  P    DEFINED 08              34300         0        0
D BOINGO WIRELESS INC            COMMON     09739C102     7155    1000658 SH  -    DEFINED 04             740208         0   260450
D BOINGO WIRELESS INC            COMMON     09739C102     3801     531600 SH  -    DEFINED 04             531600         0        0
D BOINGO WIRELESS INC            COMMON     09739C102      988     138200 SH  -    DEFINED 04             138200         0        0
D BOINGO WIRELESS INC            COMMON     09739C102        4        555 SH  -    DEFINED 08                555         0        0
D BOISE INC                      COMMON     09746Y105        2        401 SH  -    OTHER   02                401         0        0
D BOISE INC                      COMMON     09746Y105       94      18100 SH  -    DEFINED 04              18100         0        0
D BOISE INC                      COMMON     09746Y105     3700     715753 SH  -    DEFINED 05             715753         0        0
D BOISE INC                      COMMON     09746Y105       11       2153 SH  -    DEFINED 08               2153         0        0
D BOISE INC                      COMMON     09746Y105      218      42203 SH  -    OTHER   10                  0         0    42203
D BON-TON STORES INC             COMMON     09776J101      242      48650 SH  -    DEFINED 04              45950         0     2700
D BON-TON STORES INC             COMMON     09776J101      522     105000 SH  -    DEFINED 04             105000         0        0
D BON-TON STORES INC             COMMON     09776J101        1        163 SH  -    DEFINED 05                163         0        0
D BON-TON STORES INC             COMMON     09776J101        4        747 SH  -    DEFINED 08                747         0        0
D BORGWARNER INC                 BOND       099724AF3      146      79000 PRN -    DEFINED 05                  0         0        0
D BORGWARNER INC                 COMMON     099724106     3067      50664 SH  -    DEFINED 02              50124       540        0
D BORGWARNER INC                 COMMON     099724106      199       3282 SH  -    DEFINED 02               3282         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 146
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BORGWARNER INC                 COMMON     099724106     1374      22696 SH  -    OTHER   02                  0     18723     3926
D BORGWARNER INC                 COMMON     099724106      104       1716 SH  -    OTHER   02                  5        16     1695
D BORGWARNER INC                 COMMON     099724106     2487      41090 SH  -    OTHER   02                  0     41090        0
D BORGWARNER INC                 COMMON     099724106   164030    2709892 SH  -    DEFINED 03            2709892         0        0
D BORGWARNER INC                 COMMON     099724106    91290    1508175 SH  -    DEFINED 04             739609         0   768566
D BORGWARNER INC                 COMMON     099724106    47278     781068 SH  -    DEFINED 04             781068         0        0
D BORGWARNER INC                 COMMON     099724106     7484     123640 SH  -    DEFINED 04             123640         0        0
D BORGWARNER INC                 COMMON     099724106      112       1852 SH  -    OTHER   04                  0      1852        0
D BORGWARNER INC                 COMMON     099724106      155       2556 SH  -    DEFINED 05               2556         0        0
D BORGWARNER INC                 COMMON     099724106        1         18 SH  -    OTHER   01                  0        18        0
D BORGWARNER INC                 COMMON     099724106      378       6239 SH  -    OTHER   10                  0         0     6239
D BOSTON BEER INC                COMMON     100557107       18        242 SH  -    OTHER   02                  0       242        0
D BOSTON BEER INC                COMMON     100557107      496       6816 SH  -    DEFINED 04               6816         0        0
D BOSTON BEER INC                COMMON     100557107      296       4077 SH  -    DEFINED 05               4077         0        0
D BOSTON PRIVATE FIN             COMMON     101119105      704     119790 SH  -    DEFINED 04             119790         0        0
D BOSTON PRIVATE FIN             COMMON     101119105      325      55355 SH  -    DEFINED 04              55355         0        0
D BOSTON PRIVATE FIN             COMMON     101119105      213      36292 SH  -    DEFINED 05              36292         0        0
D BOSTON PPTYS LTD PARTNERSHIP   BOND       10112RAG9        4       4000 PRN -    DEFINED 02                  0         0        0
D BOSTON PPTYS LTD PARTNERSHIP   BOND       10112RAG9    15757   14473000 PRN -    DEFINED 09                  0         0        0
D BOSTON PPTYS LTD PARTNERSHIP   BOND       10112RAG9     2662    2445000 PRN -    DEFINED 09                  0         0        0
D BOSTON PPTYS LTD PARTNERSHIP   BOND       10112RAK0    14011   13959000 PRN -    DEFINED 09                  0         0        0
D BOSTON PROPERTIES              COMMON     101121101     1114      12500 SH  -    DEFINED 02              12500         0        0
D BOSTON PROPERTIES              COMMON     101121101      159       1781 SH  -    DEFINED 02               1693         0       88
D BOSTON PROPERTIES              COMMON     101121101    45652     512368 SH  -    DEFINED 04             442728         0    69640
D BOSTON PROPERTIES              COMMON     101121101     2051      23020 SH  -    DEFINED 04              23020         0        0
D BOSTON PROPERTIES              COMMON     101121101      388       4350 SH  -    DEFINED 04               4350         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 147
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BOSTON PROPERTIES              COMMON     101121101       98       1100 SH  -    DEFINED 04               1100         0        0
D BOSTON PROPERTIES              COMMON     101121101     3219      36125 SH  -    DEFINED 04              29725         0        0
D BOSTON PROPERTIES              COMMON     101121101     7154      80287 SH  -    DEFINED 05              80287         0        0
D BOSTON PROPERTIES              COMMON     101121101      110       1233 SH  -    DEFINED 06               1233         0        0
D BOSTON PROPERTIES              COMMON     101121101    41294     463458 SH  -    DEFINED 08             463458         0        0
D BOSTON PROPERTIES              COMMON     101121101      241       2700 SH  -    DEFINED 09               2700         0        0
D BOSTON PROPERTIES              COMMON     101121101        0          5 SH  -    OTHER   10                  0         0        5
D BOSTON SCIENTIFIC              COMMON     101137107       29       4888 SH  -    DEFINED 02               3158      1730        0
D BOSTON SCIENTIFIC              COMMON     101137107       13       2282 SH  -    DEFINED 02               1222         0     1060
D BOSTON SCIENTIFIC              COMMON     101137107      109      18521 SH  -    DEFINED 02              17640         0      881
D BOSTON SCIENTIFIC              COMMON     101137107     3984     674109 SH  -    OTHER   02               1157    313283   359010
D BOSTON SCIENTIFIC              COMMON     101137107      591     100050 SH  -    OTHER   02               8237     12107    79706
D BOSTON SCIENTIFIC              COMMON     101137107     1610     272493 SH  -    DEFINED 04             228670         0    43823
D BOSTON SCIENTIFIC              COMMON     101137107     1453     245877 SH  -    DEFINED 04             245877         0        0
D BOSTON SCIENTIFIC              COMMON     101137107     1735     293581 SH  -    DEFINED 05             293581         0        0
D BOSTON SCIENTIFIC              COMMON     101137107       53       8898 SH  -    OTHER   01                  0      8898        0
D BOSTON SCIENTIFIC              COMMON     101137107      797     134929 SH  -    OTHER   10                  0         0   134929
D BOSTON SCIENTIFIC              OPTION     101137909       19       3200 SH  C    DEFINED 05               3200         0        0
D BOTTOMLINE TECH                COMMON     101388106        1         30 SH  -    OTHER   02                  0         0        0
D BOTTOMLINE TECH                COMMON     101388106      465      23100 SH  -    DEFINED 04              23100         0        0
D BOTTOMLINE TECH                COMMON     101388106      364      18095 SH  -    DEFINED 05              18095         0        0
D BOTTOMLINE TECH                COMMON     101388106        1         53 SH  -    OTHER   01                  0        53        0
D BOYD GAMING CORP               COMMON     103304101       43       8762 SH  -    OTHER   02                210      8552        0
D BOYD GAMING CORP               COMMON     103304101     5129    1046770 SH  -    DEFINED 04             785720         0   261050
D BOYD GAMING CORP               COMMON     103304101      192      39264 SH  -    DEFINED 04              39264         0        0
D BOYD GAMING CORP               COMMON     103304101      717     146380 SH  -    DEFINED 04             146380         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 148
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BOYD GAMING CORP               COMMON     103304101      125      25568 SH  -    DEFINED 05              25568         0        0
D BRADY CORP                     COMMON     104674106        8        302 SH  -    OTHER   02                  0       302        0
D BRADY CORP                     COMMON     104674106        1         28 SH  -    OTHER   02                  5        16        7
D BRADY CORP                     COMMON     104674106     1444      54623 SH  -    DEFINED 04              54623         0        0
D BRADY CORP                     COMMON     104674106      650      24600 SH  -    DEFINED 05              24600         0        0
D BRANDYWINE OPER PARTNERSHIP L  BOND       105340AH6     5025    5000000 PRN -    DEFINED 06                  0         0        0
D BRANDYWINE RLTY TR             COMMON     105368203    17093    2133946 SH  -    DEFINED 04            1702846         0   431100
D BRANDYWINE RLTY TR             COMMON     105368203      884     110376 SH  -    DEFINED 04             110376         0        0
D BRANDYWINE RLTY TR             COMMON     105368203      117      14647 SH  -    DEFINED 04              14647         0        0
D BRANDYWINE RLTY TR             COMMON     105368203     1937     241800 SH  -    DEFINED 04             241800         0        0
D BRANDYWINE RLTY TR             COMMON     105368203      523      65261 SH  -    OTHER   04                  0     65261        0
D BRANDYWINE RLTY TR             COMMON     105368203       97      12048 SH  -    DEFINED 05              12048         0        0
D BRANDYWINE RLTY TR             COMMON     105368203        5        645 SH  -    DEFINED 06                645         0        0
D BRANDYWINE RLTY TR             COMMON     105368203       59       7400 SH  -    DEFINED 09               7400         0        0
D BRANDYWINE RLTY TR             COMMON     105368203      143      17900 SH  -    OTHER   09                  0     17900        0
D BRANDYWINE RLTY TR             COMMON     105368203       14       1747 SH  -    OTHER   10                  0         0     1747
D BRF-BRASIL FOODS S A           ADR        10552T107     2673     152500 SH  -    DEFINED 02             152500         0        0
D BRF-BRASIL FOODS S A           ADR        10552T107    10129     577800 SH  -    DEFINED 04             577800         0        0
D BRF-BRASIL FOODS S A           ADR        10552T107    15933     908902 SH  -    DEFINED 04             908902         0        0
D BRF-BRASIL FOODS S A           ADR        10552T107     2822     160993 SH  -    DEFINED 05             160993         0        0
D BRF-BRASIL FOODS S A           ADR        10552T107     2174     124000 SH  -    DEFINED 06             124000         0        0
D BRF-BRASIL FOODS S A           ADR        10552T107    23598    1346153 SH  -    DEFINED 09            1346153         0        0
D BRF-BRASIL FOODS S A           ADR        10552T107     1962     111900 SH  -    OTHER   09                  0    111900        0
D BRF-BRASIL FOODS S A           ADR        10552T107      112       6377 SH  -    OTHER   10                  0         0     6377
D BRASIL TELECOM SA              PREF ADR   10553M101     4071     233136 SH  -    DEFINED 08             233136         0        0
D BRASKEM S A                    PREF ADR   105532105       39       2500 SH  -    DEFINED 05               2500         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 149
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BRASKEM S A                    PREF ADR   105532105     3795     242981 SH  -    DEFINED 08             242981         0        0
D BRAVO BRIO RESTAURANT GROUP IN COMMON     10567B109     6986     419842 SH  -    DEFINED 04             301525         0   118317
D BRAVO BRIO RESTAURANT GROUP IN COMMON     10567B109     5410     325150 SH  -    DEFINED 04             325150         0        0
D BRAVO BRIO RESTAURANT GROUP IN COMMON     10567B109     1115      67000 SH  -    DEFINED 04              67000         0        0
D BRAVO BRIO RESTAURANT GROUP IN COMMON     10567B109        5        278 SH  -    DEFINED 05                278         0        0
D BRAVO BRIO RESTAURANT GROUP IN COMMON     10567B109       21       1273 SH  -    DEFINED 08               1273         0        0
D BRIDGEPOINT ED INC             COMMON     10807M105        2        117 SH  -    OTHER   02                  0       117        0
D BRIDGEPOINT ED INC             COMMON     10807M105     3371     193289 SH  -    DEFINED 04             153189         0    40100
D BRIDGEPOINT ED INC             COMMON     10807M105        6        320 SH  -    DEFINED 05                320         0        0
D BRIDGEPOINT ED INC             COMMON     10807M105       18       1007 SH  -    DEFINED 08               1007         0        0
D BRIGGS & STRATTON CORP         COMMON     109043109       23       1716 SH  -    DEFINED 02               1716         0        0
D BRIGGS & STRATTON CORP         COMMON     109043109     5135     380100 SH  -    DEFINED 04             380100         0        0
D BRIGGS & STRATTON CORP         COMMON     109043109      572      42344 SH  -    DEFINED 04              42344         0        0
D BRIGGS & STRATTON CORP         COMMON     109043109      366      27110 SH  -    DEFINED 05              27110         0        0
D BRIGGS & STRATTON CORP         COMMON     109043109       31       2271 SH  -    DEFINED 08               2271         0        0
D BRIGHAM EXPLORATION CO         COMMON     109178103      103       4063 SH  -    OTHER   02                139      2124     1800
D BRIGHAM EXPLORATION CO         COMMON     109178103     1089      43101 SH  -    DEFINED 04              43101         0        0
D BRIGHAM EXPLORATION CO         COMMON     109178103       75       2971 SH  -    DEFINED 05               2971         0        0
D BRIGHAM EXPLORATION CO         COMMON     109178103     2498      98851 SH  -    DEFINED 08              98851         0        0
D BRIGHAM EXPLORATION CO         COMMON     109178103        1         42 SH  -    OTHER   01                  0        42        0
D BRIGHAM EXPLORATION CO         COMMON     109178103      887      35104 SH  -    OTHER   10                  0         0    35104
D BRIGHTPOINT INC                COMMON     109473405       15       1620 SH  -    OTHER   02                  0      1620        0
D BRIGHTPOINT INC                COMMON     109473405       13       1362 SH  -    OTHER   02                  0         0     1362
D BRIGHTPOINT INC                COMMON     109473405     3378     366415 SH  -    DEFINED 04             317115         0    49300
D BRIGHTPOINT INC                COMMON     109473405      438      47482 SH  -    DEFINED 04              47482         0        0
D BRIGHTPOINT INC                COMMON     109473405      294      31833 SH  -    DEFINED 05              31833         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 150
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BRIGHTPOINT INC                COMMON     109473405       73       7949 SH  -    DEFINED 08               7949         0        0
D BRIGHTPOINT INC                COMMON     109473405      101      10988 SH  -    DEFINED 09              10988         0        0
D BRINKER INTL INC               COMMON     109641100      109       5200 SH  -    DEFINED 02                  0         0     5200
D BRINKER INTL INC               COMMON     109641100       22       1038 SH  -    OTHER   02                  0       433      605
D BRINKER INTL INC               COMMON     109641100    25782    1232392 SH  -    DEFINED 04            1146812         0    85580
D BRINKER INTL INC               COMMON     109641100     8327     398063 SH  -    DEFINED 04             398063         0        0
D BRINKER INTL INC               COMMON     109641100     2958     141410 SH  -    DEFINED 04              76191         0    65219
D BRINKER INTL INC               COMMON     109641100      493      23550 SH  -    DEFINED 05              23550         0        0
D BRINKER INTL INC               COMMON     109641100      141       6748 SH  -    DEFINED 08               6748         0        0
D BRINKER INTL INC               COMMON     109641100    11406     545229 SH  -    DEFINED 09             506283     38946        0
D BRINKER INTL INC               COMMON     109641100      830      39666 SH  -    DEFINED 09              39666         0        0
D BRINKER INTL INC               COMMON     109641100     5565     265993 SH  -    DEFINED 09             265993         0        0
D BRINKER INTL INC               COMMON     109641100      129       6166 SH  -    OTHER   09                  0      6166        0
D BRINKER INTL INC               COMMON     109641100     1547      73925 SH  -    OTHER   10                  0         0    73925
D BRINKS CO                      COMMON     109696104      102       4365 SH  -    OTHER   02               3350      1015        0
D BRINKS CO                      COMMON     109696104        8        335 SH  -    OTHER   02                  0         0      335
D BRINKS CO                      COMMON     109696104      337      14447 SH  -    DEFINED 04              14447         0        0
D BRINKS CO                      COMMON     109696104     2840     121823 SH  -    DEFINED 04             121823         0        0
D BRINKS CO                      COMMON     109696104       16        705 SH  -    DEFINED 05                705         0        0
D BRINKS CO                      COMMON     109696104      220       9430 SH  -    DEFINED 08               9430         0        0
D BRISTOL-MYRS SQUIB             COMMON     110122108     7725     246187 SH  -    DEFINED 02             195345      4820    46022
D BRISTOL-MYRS SQUIB             COMMON     110122108     7346     234103 SH  -    DEFINED 02             233366         0      737
D BRISTOL-MYRS SQUIB             COMMON     110122108      617      19657 SH  -    DEFINED 02              19657         0        0
D BRISTOL-MYRS SQUIB             COMMON     110122108    32956    1050215 SH  -    OTHER   02             267377    707954    73939
D BRISTOL-MYRS SQUIB             COMMON     110122108    13232     421680 SH  -    OTHER   02             337024     49116    35540
D BRISTOL-MYRS SQUIB             COMMON     110122108      117       3738 SH  -    OTHER   02                  0      3738        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 151
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BRISTOL-MYRS SQUIB             COMMON     110122108    50209    1600017 SH  -    DEFINED 04            1465926         0   134091
D BRISTOL-MYRS SQUIB             COMMON     110122108    10575     337010 SH  -    DEFINED 04             337010         0        0
D BRISTOL-MYRS SQUIB             COMMON     110122108       55       1747 SH  -    DEFINED 04               1747         0        0
D BRISTOL-MYRS SQUIB             COMMON     110122108    12767     406855 SH  -    DEFINED 04             310129         0    55290
D BRISTOL-MYRS SQUIB             COMMON     110122108       17        540 SH  -    OTHER   04                  0       540        0
D BRISTOL-MYRS SQUIB             COMMON     110122108    61088    1946719 SH  -    DEFINED 05            1946719         0        0
D BRISTOL-MYRS SQUIB             COMMON     110122108      215       6858 SH  -    DEFINED 06               6858         0        0
D BRISTOL-MYRS SQUIB             COMMON     110122108    59794    1905481 SH  -    DEFINED 08            1905481         0        0
D BRISTOL-MYRS SQUIB             COMMON     110122108    26107     831966 SH  -    DEFINED 09             799186     32780        0
D BRISTOL-MYRS SQUIB             COMMON     110122108     1051      33489 SH  -    DEFINED 09              33489         0        0
D BRISTOL-MYRS SQUIB             COMMON     110122108     7335     233750 SH  -    DEFINED 09             233750         0        0
D BRISTOL-MYRS SQUIB             COMMON     110122108      243       7754 SH  -    OTHER   09                  0      7754        0
D BRISTOL-MYRS SQUIB             COMMON     110122108      124       3965 SH  -    DEFINED 01               3365         0      600
D BRISTOL-MYRS SQUIB             COMMON     110122108     1552      49461 SH  -    OTHER   01              16838     32223      400
D BRISTOL-MYRS SQUIB             COMMON     110122108     4603     146689 SH  -    OTHER   10                  0         0   146689
D BRISTOL-MYRS SQUIB             OPTION     110122900    12690     404400 SH  C    DEFINED 05             404400         0        0
D BRISTOL-MYRS SQUIB             OPTION     110122900     1412      45000 SH  C    DEFINED 06              45000         0        0
D BRISTOL-MYRS SQUIB             OPTION     110122900     3351     106800 SH  C    DEFINED 08             106800         0        0
D BRISTOL-MYRS SQUIB             OPTION     110122959     9110     290300 SH  P    DEFINED 05             290300         0        0
D BRISTOL-MYRS SQUIB             OPTION     110122959     6966     222000 SH  P    DEFINED 08             222000         0        0
D BRISTOW GROUP INC              BOND       110394AC7      100     100000 PRN -    OTHER   02                  0         0        0
D BRISTOW GROUP INC              COMMON     110394103      294       6936 SH  -    DEFINED 02                  0      6936        0
D BRISTOW GROUP INC              COMMON     110394103        9        208 SH  -    DEFINED 02                208         0        0
D BRISTOW GROUP INC              COMMON     110394103       95       2236 SH  -    OTHER   02                836      1384        0
D BRISTOW GROUP INC              COMMON     110394103      353       8329 SH  -    DEFINED 04               8329         0        0
D BRISTOW GROUP INC              COMMON     110394103      798      18806 SH  -    DEFINED 05              18806         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 152
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BRITISH AMERN TOB PLC          ADR        110448107       11        135 SH  -    DEFINED 02                135         0        0
D BRITISH AMERN TOB PLC          ADR        110448107     1891      22318 SH  -    OTHER   02               3450     13748     5120
D BRITISH AMERN TOB PLC          ADR        110448107      978      11540 SH  -    OTHER   02                 35        75    11430
D BRITISH AMERN TOB PLC          ADR        110448107     2043      24111 SH  -    DEFINED 04              24111         0        0
D BRITISH AMERN TOB PLC          ADR        110448107     5594      66016 SH  -    OTHER   04                  0     66016        0
D BRITISH AMERN TOB PLC          ADR        110448107    11820     139499 SH  -    OTHER   04                  0    139499        0
D BRITISH AMERN TOB PLC          ADR        110448107      352       4149 SH  -    OTHER   01                  0      4076        0
D BRITISH AMERN TOB PLC          ADR        110448107      116       1370 SH  -    OTHER   10                  0         0     1370
D BROADCOM CORP                  COMMON     111320107    13947     418963 SH  -    DEFINED 02             364064      3890    51009
D BROADCOM CORP                  COMMON     111320107     4070     122267 SH  -    DEFINED 02             115760       125     6382
D BROADCOM CORP                  COMMON     111320107     1966      59045 SH  -    DEFINED 02              59045         0        0
D BROADCOM CORP                  COMMON     111320107      911      27353 SH  -    DEFINED 02              12049         0    15304
D BROADCOM CORP                  COMMON     111320107     6852     205828 SH  -    OTHER   02              74635    107085    23986
D BROADCOM CORP                  COMMON     111320107      542      16288 SH  -    OTHER   02               9537       605     6146
D BROADCOM CORP                  COMMON     111320107      439      13182 SH  -    OTHER   02                  0     13182        0
D BROADCOM CORP                  COMMON     111320107      197       5909 SH  -    OTHER   02                  0      5909        0
D BROADCOM CORP                  COMMON     111320107      997      29943 SH  -    OTHER   02                  0     29943        0
D BROADCOM CORP                  COMMON     111320107       44       1319 SH  -    OTHER   02                  0      1319        0
D BROADCOM CORP                  COMMON     111320107   312177    9377500 SH  -    DEFINED 04            7514267         0  1863233
D BROADCOM CORP                  COMMON     111320107     6640     199458 SH  -    DEFINED 04             199458         0        0
D BROADCOM CORP                  COMMON     111320107    23220     697502 SH  -    DEFINED 04             697502         0        0
D BROADCOM CORP                  COMMON     111320107     4244     127485 SH  -    DEFINED 04             127485         0        0
D BROADCOM CORP                  COMMON     111320107    21638     649994 SH  -    DEFINED 04             603805         0    46189
D BROADCOM CORP                  COMMON     111320107      228       6838 SH  -    DEFINED 04                  0         0     6838
D BROADCOM CORP                  COMMON     111320107    10849     325905 SH  -    OTHER   04                  0    325905        0
D BROADCOM CORP                  COMMON     111320107      382      11489 SH  -    DEFINED 05              11489         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 153
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BROADCOM CORP                  COMMON     111320107    12728     382338 SH  -    DEFINED 08             382338         0        0
D BROADCOM CORP                  COMMON     111320107    65488    1967211 SH  -    DEFINED 09            1912481     27754    10714
D BROADCOM CORP                  COMMON     111320107      899      27003 SH  -    DEFINED 09              27003         0        0
D BROADCOM CORP                  COMMON     111320107     8712     261694 SH  -    DEFINED 09             261694         0        0
D BROADCOM CORP                  COMMON     111320107     1294      38879 SH  -    DEFINED 09              38879         0        0
D BROADCOM CORP                  COMMON     111320107     2294      68924 SH  -    OTHER   09                  0     68924        0
D BROADCOM CORP                  COMMON     111320107      760      22838 SH  -    DEFINED 01              17618      1555     3665
D BROADCOM CORP                  COMMON     111320107      314       9422 SH  -    OTHER   01               3147      3556     2719
D BROADCOM CORP                  COMMON     111320107     3746     112540 SH  -    OTHER   10                  0         0   112540
D BROADCOM CORP                  OPTION     111320909     1645      49400 SH  C    DEFINED 05              49400         0        0
D BROADCOM CORP                  OPTION     111320958     1581      47500 SH  P    DEFINED 05              47500         0        0
D BROADCOM CORP                  OPTION     111320958    16645     500000 SH  P    DEFINED 08             500000         0        0
D BROADSOFT INC                  COMMON     11133B409      106       3477 SH  -    OTHER   02                  0       202     3275
D BROADSOFT INC                  COMMON     11133B409     8011     263959 SH  -    DEFINED 04             204309         0    59650
D BROADSOFT INC                  COMMON     11133B409     3111     102500 SH  -    DEFINED 04             102500         0        0
D BROADSOFT INC                  COMMON     11133B409     1013      33390 SH  -    DEFINED 04              33390         0        0
D BROADSOFT INC                  COMMON     11133B409        9        302 SH  -    DEFINED 05                302         0        0
D BROADSOFT INC                  COMMON     11133B409       43       1412 SH  -    DEFINED 08               1412         0        0
D BROADRIDGE FINL SOLUTIONS INC  COMMON     11133T103       90       4458 SH  -    DEFINED 02                 83      4375        0
D BROADRIDGE FINL SOLUTIONS INC  COMMON     11133T103       55       2736 SH  -    DEFINED 02               2736         0        0
D BROADRIDGE FINL SOLUTIONS INC  COMMON     11133T103      313      15548 SH  -    OTHER   02               2175      3230    10143
D BROADRIDGE FINL SOLUTIONS INC  COMMON     11133T103      585      29061 SH  -    OTHER   02               1310       670    27081
D BROADRIDGE FINL SOLUTIONS INC  COMMON     11133T103     1095      54352 SH  -    DEFINED 04              54352         0        0
D BROADRIDGE FINL SOLUTIONS INC  COMMON     11133T103     1675      83152 SH  -    DEFINED 04              83152         0        0
D BROADRIDGE FINL SOLUTIONS INC  COMMON     11133T103       38       1865 SH  -    DEFINED 05               1865         0        0
D BROADRIDGE FINL SOLUTIONS INC  COMMON     11133T103      194       9644 SH  -    DEFINED 08               9644         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 154
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BROADRIDGE FINL SOLUTIONS INC  COMMON     11133T103        2         95 SH  -    OTHER   01                  0        95        0
D BROADWIND ENERGY INC           COMMON     11161T108      705    2201585 SH  -    DEFINED 05            2201585         0        0
D BROADWIND ENERGY INC           COMMON     11161T108        0       1356 SH  -    DEFINED 08               1356         0        0
D BROCADE COMMUNICATIONS SYS INC COMMON     111621306        3        614 SH  -    DEFINED 02                614         0        0
D BROCADE COMMUNICATIONS SYS INC COMMON     111621306       10       2375 SH  -    DEFINED 02               2375         0        0
D BROCADE COMMUNICATIONS SYS INC COMMON     111621306       95      21946 SH  -    OTHER   02                  0     21946        0
D BROCADE COMMUNICATIONS SYS INC COMMON     111621306      936     216700 SH  -    DEFINED 04             216700         0        0
D BROCADE COMMUNICATIONS SYS INC COMMON     111621306      288      66600 SH  -    DEFINED 04              66600         0        0
D BROCADE COMMUNICATIONS SYS INC COMMON     111621306       54      12395 SH  -    DEFINED 05              12395         0        0
D BROCADE COMMUNICATIONS SYS INC COMMON     111621306       54      12504 SH  -    DEFINED 08              12504         0        0
D BROCADE COMMUNICATIONS SYS INC COMMON     111621306        3        800 SH  -    OTHER   01                  0       800        0
D BROCADE COMMUNICATIONS SYS INC COMMON     111621306       11       2500 SH  -    OTHER   10                  0         0     2500
D BROCADE COMMUNICATIONS SYS INC OPTION     111621900      149      34500 SH  C    DEFINED 05              34500         0        0
D BROCADE COMMUNICATIONS SYS INC OPTION     111621959      393      90900 SH  P    DEFINED 05              90900         0        0
D BROOKDALE SR LIVING INC        BOND       112463AA2     2886    3823000 PRN -    DEFINED 05                  0         0        0
D BROOKDALE SR LIVING INC        BOND       112463AA2     2039    2700000 PRN -    DEFINED 09                  0         0        0
D BROOKDALE SR LIVING INC        COMMON     112463104       75       5950 SH  -    DEFINED 02               5950         0        0
D BROOKDALE SR LIVING INC        COMMON     112463104       15       1179 SH  -    OTHER   02                  0       831      227
D BROOKDALE SR LIVING INC        COMMON     112463104     9872     787266 SH  -    DEFINED 04             345820         0   441446
D BROOKDALE SR LIVING INC        COMMON     112463104    10077     803600 SH  -    DEFINED 04             803600         0        0
D BROOKDALE SR LIVING INC        COMMON     112463104      229      18249 SH  -    DEFINED 05              18249         0        0
D BROOKDALE SR LIVING INC        COMMON     112463104     4680     373194 SH  -    DEFINED 08             373194         0        0
D BROOKDALE SR LIVING INC        COMMON     112463104        1         81 SH  -    OTHER   01                  0        81        0
D BROOKFIELD ASSET MGMT INC      COMMON     112585104      373      13551 SH  -    DEFINED 02                901     12650        0
D BROOKFIELD ASSET MGMT INC      COMMON     112585104        4        150 SH  -    DEFINED 02                150         0        0
D BROOKFIELD ASSET MGMT INC      COMMON     112585104     5056     183504 SH  -    OTHER   02             103690     73100     6714

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 155
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BROOKFIELD ASSET MGMT INC      COMMON     112585104      517      18784 SH  -    OTHER   02                  0        80    18704
D BROOKFIELD ASSET MGMT INC      COMMON     112585104    18301     664286 SH  -    DEFINED 04             632490         0    31796
D BROOKFIELD ASSET MGMT INC      COMMON     112585104       43       1557 SH  -    DEFINED 04               1557         0        0
D BROOKFIELD ASSET MGMT INC      COMMON     112585104       13        482 SH  -    OTHER   04                  0       482        0
D BROOKFIELD ASSET MGMT INC      COMMON     112585104       37       1354 SH  -    DEFINED 05               1354         0        0
D BROOKFIELD ASSET MGMT INC      COMMON     112585104     1014      36821 SH  -    DEFINED 06              36821         0        0
D BROOKFIELD ASSET MGMT INC      COMMON     112585104       61       2200 SH  -    OTHER   01                  0      2200        0
D BROOKFIELD ASSET MGMT INC      COMMON     112585104      332      12058 SH  -    OTHER   10                  0         0    12058
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105       19       1390 SH  -    DEFINED 02               1390         0        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105     2764     200699 SH  -    DEFINED 02             200699         0        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105        0         33 SH  -    OTHER   02                  0        33        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105    55645    4041005 SH  -    DEFINED 04            3911755         0   129250
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105      264      19155 SH  -    DEFINED 04              19155         0        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105       46       3362 SH  -    DEFINED 04               3362         0        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105     5123     372027 SH  -    DEFINED 04             343740         0        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105      603      43761 SH  -    OTHER   04                  0     43761        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105     3083     223926 SH  -    OTHER   04                  0    223926        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105       33       2411 SH  -    DEFINED 05               2411         0        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105      141      10216 SH  -    DEFINED 06              10216         0        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105      376      27324 SH  -    DEFINED 08              27324         0        0
D BROOKFIELD OFFICE PPTYS INC    COMMON     112900105        1         45 SH  -    OTHER   10                  0         0       45
D BROOKLINE BANCORP INC DEL      COMMON     11373M107        7        867 SH  -    OTHER   02                  0         0      867
D BROOKLINE BANCORP INC DEL      COMMON     11373M107      372      48290 SH  -    DEFINED 04              48290         0        0
D BROOKLINE BANCORP INC DEL      COMMON     11373M107      326      42292 SH  -    DEFINED 04              42292         0        0
D BROOKLINE BANCORP INC DEL      COMMON     11373M107      213      27636 SH  -    DEFINED 05              27636         0        0
D BROOKS AUTOMATION INC          COMMON     114340102       18       2267 SH  -    OTHER   02               2200        67        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 156
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BROOKS AUTOMATION INC          COMMON     114340102     1380     169292 SH  -    DEFINED 04             149192         0    20100
D BROOKS AUTOMATION INC          COMMON     114340102      977     119828 SH  -    DEFINED 04             119828         0        0
D BROOKS AUTOMATION INC          COMMON     114340102      251      30838 SH  -    DEFINED 05              30838         0        0
D BROWN & BROWN INC              COMMON     115236101       65       3675 SH  -    DEFINED 02               3675         0        0
D BROWN & BROWN INC              COMMON     115236101      610      34245 SH  -    OTHER   02               4680     23665     5900
D BROWN & BROWN INC              COMMON     115236101       23       1300 SH  -    OTHER   02                  0         0     1300
D BROWN & BROWN INC              COMMON     115236101     1021      57386 SH  -    DEFINED 04              57386         0        0
D BROWN & BROWN INC              COMMON     115236101       33       1837 SH  -    DEFINED 05               1837         0        0
D BROWN & BROWN INC              OPTION     115236903      178      10000 SH  C    DEFINED 08              10000         0        0
D BROWN FORMAN CORP              COMMON     115637209       16        225 SH  -    DEFINED 02                225         0        0
D BROWN FORMAN CORP              COMMON     115637209       87       1235 SH  -    DEFINED 02               1162         0       73
D BROWN FORMAN CORP              COMMON     115637209      460       6563 SH  -    OTHER   02               4525      1903      135
D BROWN FORMAN CORP              COMMON     115637209    50976     726774 SH  -    DEFINED 04             702611         0    24163
D BROWN FORMAN CORP              COMMON     115637209     1167      16638 SH  -    DEFINED 04              16638         0        0
D BROWN FORMAN CORP              COMMON     115637209      930      13256 SH  -    DEFINED 04              13256         0        0
D BROWN FORMAN CORP              COMMON     115637209      658       9383 SH  -    OTHER   04                  0      9383        0
D BROWN FORMAN CORP              COMMON     115637209     3285      46834 SH  -    OTHER   04                  0     46834        0
D BROWN FORMAN CORP              COMMON     115637209      110       1569 SH  -    DEFINED 05               1569         0        0
D BROWN FORMAN CORP              COMMON     115637209        1         10 SH  -    OTHER   10                  0         0       10
D BROWN SHOE INC NEW             COMMON     115736100        1        118 SH  -    OTHER   02                  0       118        0
D BROWN SHOE INC NEW             COMMON     115736100      224      31526 SH  -    DEFINED 04              31526         0        0
D BROWN SHOE INC NEW             COMMON     115736100      140      19634 SH  -    DEFINED 05              19634         0        0
D BROWN SHOE INC NEW             COMMON     115736100       12       1653 SH  -    DEFINED 08               1653         0        0
D BRUKER CORP                    COMMON     116794108       49       3600 SH  -    DEFINED 02               3600         0        0
D BRUKER CORP                    COMMON     116794108        7        521 SH  -    OTHER   02                  0       521        0
D BRUKER CORP                    COMMON     116794108        5        366 SH  -    OTHER   02                  0         0      366

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 157
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BRUKER CORP                    COMMON     116794108    14948    1104786 SH  -    DEFINED 04             679276         0   425510
D BRUKER CORP                    COMMON     116794108     5941     439074 SH  -    DEFINED 04             439074         0        0
D BRUKER CORP                    COMMON     116794108     1211      89510 SH  -    DEFINED 04              89510         0        0
D BRUKER CORP                    COMMON     116794108      266      19693 SH  -    DEFINED 05              19693         0        0
D BRUKER CORP                    COMMON     116794108      243      17963 SH  -    DEFINED 09              17963         0        0
D BRUNSWICK CORP                 COMMON     117043109     4029     286949 SH  -    DEFINED 02             286949         0        0
D BRUNSWICK CORP                 COMMON     117043109      207      14736 SH  -    OTHER   02              14450       286        0
D BRUNSWICK CORP                 COMMON     117043109    13837     985508 SH  -    DEFINED 04             916628         0    68880
D BRUNSWICK CORP                 COMMON     117043109     1220      86925 SH  -    DEFINED 04              86925         0        0
D BRUNSWICK CORP                 COMMON     117043109      605      43063 SH  -    DEFINED 05              43063         0        0
D BUCKEYE PARTNERS L P           COMMON     118230101       13        200 SH  -    DEFINED 02                200         0        0
D BUCKEYE PARTNERS L P           COMMON     118230101      125       2000 SH  -    OTHER   02               2000         0        0
D BUCKEYE PARTNERS L P           COMMON     118230101      160       2564 SH  -    OTHER   02                  0         0     2564
D BUCKEYE PARTNERS L P           COMMON     118230101       69       1098 SH  -    DEFINED 05               1098         0        0
D BUCKEYE PARTNERS L P           COMMON     118230101      656      10500 SH  -    OTHER   01              10500         0        0
D BUCKEYE PARTNERS L P           COMMON     118230101    87548    1400546 SH  -    DEFINED 10            1400546         0        0
D BUCKEYE PARTNERS L P           COMMON     118230101     1951      31216 SH  -    OTHER   10                  0         0    31216
D BUCKEYE TECHNOLOGIES INC       COMMON     118255108       49       2043 SH  -    OTHER   02                  0      2043        0
D BUCKEYE TECHNOLOGIES INC       COMMON     118255108     9956     412930 SH  -    DEFINED 04             373530         0    39400
D BUCKEYE TECHNOLOGIES INC       COMMON     118255108     1509      62600 SH  -    DEFINED 04              62600         0        0
D BUCKEYE TECHNOLOGIES INC       COMMON     118255108      827      34293 SH  -    DEFINED 05              34293         0        0
D BUCKEYE TECHNOLOGIES INC       COMMON     118255108       99       4093 SH  -    DEFINED 09               4093         0        0
D BUCKLE INC                     COMMON     118440106        6        165 SH  -    OTHER   02                  0       165        0
D BUCKLE INC                     COMMON     118440106       27        703 SH  -    OTHER   02                700         3        0
D BUCKLE INC                     COMMON     118440106      574      14937 SH  -    DEFINED 04              14937         0        0
D BUCKLE INC                     COMMON     118440106      645      16766 SH  -    DEFINED 04              16766         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 158
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D BUCKLE INC                     COMMON     118440106      619      16099 SH  -    DEFINED 05              16099         0        0
D BUFFALO WILD WINGS INC         COMMON     119848109       10        169 SH  -    OTHER   02                  0       169        0
D BUFFALO WILD WINGS INC         COMMON     119848109     1399      23400 SH  -    DEFINED 04              17800         0     5600
D BUFFALO WILD WINGS INC         COMMON     119848109      792      13238 SH  -    DEFINED 04              13238         0        0
D BUFFALO WILD WINGS INC         COMMON     119848109      536       8960 SH  -    DEFINED 05               8960         0        0
D BUFFALO WILD WINGS INC         COMMON     119848109       11        191 SH  -    OTHER   10                  0         0      191
D C&J ENERGY SVCS INC            COMMON     12467B304     1710     103988 SH  -    DEFINED 04              92488         0    11500
D C&J ENERGY SVCS INC            COMMON     12467B304      337      20522 SH  -    DEFINED 05              20522         0        0
D CAE INC                        COMMON     124765108      125      13375 SH  -    OTHER   02               4300      9075        0
D CAE INC                        COMMON     124765108       53       5700 SH  -    OTHER   02                  0         0     5700
D CAE INC                        COMMON     124765108        9        916 SH  -    DEFINED 05                916         0        0
D CAE INC                        COMMON     124765108       66       7099 SH  -    DEFINED 06               7099         0        0
D CAE INC                        COMMON     124765108      543      58358 SH  -    DEFINED 08              58358         0        0
D CBIZ INC                       COMMON     124805102      662     100388 SH  -    OTHER   02             100000       388        0
D CBIZ INC                       COMMON     124805102        4        653 SH  -    DEFINED 05                653         0        0
D CBIZ INC                       COMMON     124805102       16       2503 SH  -    DEFINED 08               2503         0        0
D CBL & ASSOC PROPER             COMMON     124830100     3387     298154 SH  -    DEFINED 04             258354         0    39800
D CBL & ASSOC PROPER             COMMON     124830100     4040     355590 SH  -    DEFINED 04             355590         0        0
D CBL & ASSOC PROPER             COMMON     124830100       65       5742 SH  -    DEFINED 04               5742         0        0
D CBL & ASSOC PROPER             COMMON     124830100      194      17108 SH  -    OTHER   04                  0     17108        0
D CBL & ASSOC PROPER             COMMON     124830100       82       7223 SH  -    DEFINED 05               7223         0        0
D CBL & ASSOC PROPER             COMMON     124830100       13       1116 SH  -    DEFINED 06               1116         0        0
D CBL & ASSOC PROPER             COMMON     124830100       72       6347 SH  -    DEFINED 08               6347         0        0
D CBL & ASSOC PROPER             COMMON     124830100        2        148 SH  -    OTHER   10                  0         0      148
D CBS CORP NEW                   COMMON     124857202    15409     756092 SH  -    DEFINED 02             644065      3210   108817
D CBS CORP NEW                   COMMON     124857202     4198     205992 SH  -    DEFINED 02             197464       232     8296

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 159
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CBS CORP NEW                   COMMON     124857202     6783     332844 SH  -    DEFINED 02             332844         0        0
D CBS CORP NEW                   COMMON     124857202      722      35435 SH  -    DEFINED 02              14885         0    20550
D CBS CORP NEW                   COMMON     124857202     4987     244720 SH  -    OTHER   02             176137     48093    20490
D CBS CORP NEW                   COMMON     124857202      299      14653 SH  -    OTHER   02              12959      1049      645
D CBS CORP NEW                   COMMON     124857202      710      34836 SH  -    OTHER   02                  0     34836        0
D CBS CORP NEW                   COMMON     124857202       92       4507 SH  -    OTHER   02                  0      4507        0
D CBS CORP NEW                   COMMON     124857202      235      11550 SH  -    OTHER   02                  0     11550        0
D CBS CORP NEW                   COMMON     124857202   490042   24045216 SH  -    DEFINED 04           20195640         0  3849576
D CBS CORP NEW                   COMMON     124857202    14732     722862 SH  -    DEFINED 04             722862         0        0
D CBS CORP NEW                   COMMON     124857202    34190    1677617 SH  -    DEFINED 04            1677617         0        0
D CBS CORP NEW                   COMMON     124857202     6879     337523 SH  -    DEFINED 04             337523         0        0
D CBS CORP NEW                   COMMON     124857202    28392    1393107 SH  -    DEFINED 04            1332475         0    60632
D CBS CORP NEW                   COMMON     124857202      210      10309 SH  -    DEFINED 04                  0         0    10309
D CBS CORP NEW                   COMMON     124857202      940      46104 SH  -    OTHER   04                  0     46104        0
D CBS CORP NEW                   COMMON     124857202    16055     787784 SH  -    OTHER   04                  0    787784        0
D CBS CORP NEW                   COMMON     124857202      424      20827 SH  -    DEFINED 05              20827         0        0
D CBS CORP NEW                   COMMON     124857202    76589    3758059 SH  -    DEFINED 09            3657542     33548    25228
D CBS CORP NEW                   COMMON     124857202     1453      71290 SH  -    DEFINED 09              71290         0        0
D CBS CORP NEW                   COMMON     124857202     8360     410219 SH  -    DEFINED 09             410219         0        0
D CBS CORP NEW                   COMMON     124857202     5970     292940 SH  -    DEFINED 09             105409         0        0
D CBS CORP NEW                   COMMON     124857202      518      25400 SH  -    OTHER   09                  0     25400        0
D CBS CORP NEW                   COMMON     124857202      738      36232 SH  -    DEFINED 01              30716      2904     2612
D CBS CORP NEW                   COMMON     124857202      251      12337 SH  -    OTHER   01               4778      2949     4610
D CBS CORP NEW                   COMMON     124857202      310      15195 SH  -    OTHER   10                  0         0    15195
D CB RICHARD ELLIS GROUP INC     COMMON     12497T101       11        854 SH  -    DEFINED 02                854         0        0
D CB RICHARD ELLIS GROUP INC     COMMON     12497T101       53       3965 SH  -    DEFINED 02               3746         0      219

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 160
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CB RICHARD ELLIS GROUP INC     COMMON     12497T101      213      15808 SH  -    OTHER   02               3136     12672        0
D CB RICHARD ELLIS GROUP INC     COMMON     12497T101        1        103 SH  -    OTHER   02                 18        46       39
D CB RICHARD ELLIS GROUP INC     COMMON     12497T101     1019      75671 SH  -    DEFINED 04              66364         0     9307
D CB RICHARD ELLIS GROUP INC     COMMON     12497T101      633      47005 SH  -    DEFINED 04              47005         0        0
D CB RICHARD ELLIS GROUP INC     COMMON     12497T101     1204      89439 SH  -    DEFINED 05              89439         0        0
D CB RICHARD ELLIS GROUP INC     COMMON     12497T101        7        555 SH  -    DEFINED 06                555         0        0
D CB RICHARD ELLIS GROUP INC     COMMON     12497T101      156      11580 SH  -    DEFINED 08              11580         0        0
D CB RICHARD ELLIS GROUP INC     COMMON     12497T101      578      42942 SH  -    OTHER   10                  0         0    42942
D CBOE HLDGS INC                 COMMON     12503M108       24        988 SH  -    DEFINED 02                 88         0      900
D CBOE HLDGS INC                 COMMON     12503M108       19        793 SH  -    OTHER   02                  0       793        0
D CBOE HLDGS INC                 COMMON     12503M108        4        180 SH  -    OTHER   02                  0         0      180
D CBOE HLDGS INC                 COMMON     12503M108       34       1402 SH  -    DEFINED 04               1402         0        0
D CBOE HLDGS INC                 COMMON     12503M108       36       1489 SH  -    DEFINED 05               1489         0        0
D CBOE HLDGS INC                 COMMON     12503M108      724      29577 SH  -    OTHER   10                  0         0    29577
D CBRE CLARION GLOBAL REAL ESTAT COMMON     12504G100       58       8648 SH  -    OTHER   02               8648         0        0
D CBRE CLARION GLOBAL REAL ESTAT COMMON     12504G100       55       8228 SH  -    OTHER   10                  0         0     8228
D C D I CORP                     COMMON     125071100        1         67 SH  -    OTHER   02                  0        67        0
D C D I CORP                     COMMON     125071100       96       8966 SH  -    DEFINED 04               8966         0        0
D C D I CORP                     COMMON     125071100       65       6043 SH  -    DEFINED 05               6043         0        0
D CEC ENTMT INC                  COMMON     125137109      423      14854 SH  -    DEFINED 04              14854         0        0
D CEC ENTMT INC                  COMMON     125137109      258       9069 SH  -    DEFINED 05               9069         0        0
D CF INDS HLDGS INC              COMMON     125269100        1          7 SH  -    DEFINED 02                  7         0        0
D CF INDS HLDGS INC              COMMON     125269100      108        875 SH  -    DEFINED 02                827         0       48
D CF INDS HLDGS INC              COMMON     125269100      353       2857 SH  -    OTHER   02                  0      2635      207
D CF INDS HLDGS INC              COMMON     125269100        1          5 SH  -    OTHER   02                  0         5        0
D CF INDS HLDGS INC              COMMON     125269100    52065     421952 SH  -    DEFINED 04             263326         0   158626

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 161
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CF INDS HLDGS INC              COMMON     125269100    14301     115899 SH  -    DEFINED 04             115899         0        0
D CF INDS HLDGS INC              COMMON     125269100     3941      31940 SH  -    DEFINED 04              31940         0        0
D CF INDS HLDGS INC              COMMON     125269100       64        516 SH  -    DEFINED 04                516         0        0
D CF INDS HLDGS INC              COMMON     125269100       49        400 SH  -    DEFINED 04                400         0        0
D CF INDS HLDGS INC              COMMON     125269100      426       3452 SH  -    OTHER   04                  0      3452        0
D CF INDS HLDGS INC              COMMON     125269100     4581      37128 SH  -    DEFINED 05              37128         0        0
D CF INDS HLDGS INC              COMMON     125269100      306       2482 SH  -    DEFINED 06               2482         0        0
D CF INDS HLDGS INC              COMMON     125269100     2091      16948 SH  -    DEFINED 09              16948         0        0
D CF INDS HLDGS INC              COMMON     125269100      532       4309 SH  -    DEFINED 09               4309         0        0
D CF INDS HLDGS INC              COMMON     125269100     3463      28066 SH  -    DEFINED 09              28066         0        0
D CF INDS HLDGS INC              COMMON     125269100        2         20 SH  -    OTHER   01                  0        20        0
D CF INDS HLDGS INC              COMMON     125269100    10235      82947 SH  -    OTHER   10                  0         0    82947
D CF INDS HLDGS INC              OPTION     125269902       49        400 SH  C    DEFINED 05                400         0        0
D CH ENERGY GROUP INC            COMMON     12541M102       60       1157 SH  -    OTHER   02                  0      1089        0
D CH ENERGY GROUP INC            COMMON     12541M102      570      10925 SH  -    DEFINED 04              10925         0        0
D CH ENERGY GROUP INC            COMMON     12541M102      375       7194 SH  -    DEFINED 05               7194         0        0
D CH ENERGY GROUP INC            COMMON     12541M102        6        113 SH  -    OTHER   01                  0       113        0
D C H ROBINSON WORLDWIDE INC     COMMON     12541W209      211       3084 SH  -    DEFINED 02               3084         0        0
D C H ROBINSON WORLDWIDE INC     COMMON     12541W209        8        113 SH  -    DEFINED 02                113         0        0
D C H ROBINSON WORLDWIDE INC     COMMON     12541W209      136       1984 SH  -    DEFINED 02               1900         0       84
D C H ROBINSON WORLDWIDE INC     COMMON     12541W209      594       8682 SH  -    OTHER   02                  0      8682        0
D C H ROBINSON WORLDWIDE INC     COMMON     12541W209      446       6509 SH  -    OTHER   02               1457        29     5023
D C H ROBINSON WORLDWIDE INC     COMMON     12541W209     2010      29358 SH  -    DEFINED 04              24637         0     4721
D C H ROBINSON WORLDWIDE INC     COMMON     12541W209    14249     208101 SH  -    DEFINED 04             208101         0        0
D C H ROBINSON WORLDWIDE INC     COMMON     12541W209      807      11786 SH  -    DEFINED 05              11786         0        0
D C H ROBINSON WORLDWIDE INC     COMMON     12541W209       42        620 SH  -    OTHER   01                504       116        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 162
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D C H ROBINSON WORLDWIDE INC     COMMON     12541W209        2         30 SH  -    OTHER   10                  0         0       30
D C H ROBINSON WORLDWIDE INC     OPTION     12541W902       68       1000 SH  C    DEFINED 05               1000         0        0
D CIGNA CORPORATION              COMMON     125509109     5799     138266 SH  -    DEFINED 02             128836         0     9430
D CIGNA CORPORATION              COMMON     125509109      139       3305 SH  -    DEFINED 02               3114         0      191
D CIGNA CORPORATION              COMMON     125509109     1328      31659 SH  -    OTHER   02              20769     10309      561
D CIGNA CORPORATION              COMMON     125509109        4        107 SH  -    OTHER   02                 25        56       26
D CIGNA CORPORATION              COMMON     125509109    12468     297279 SH  -    DEFINED 04             256043         0    41236
D CIGNA CORPORATION              COMMON     125509109     3908      93178 SH  -    DEFINED 04              93178         0        0
D CIGNA CORPORATION              COMMON     125509109     3494      83308 SH  -    DEFINED 04              47568         0    35740
D CIGNA CORPORATION              COMMON     125509109      291       6939 SH  -    OTHER   04                  0      6939        0
D CIGNA CORPORATION              COMMON     125509109     3149      75094 SH  -    DEFINED 05              75094         0        0
D CIGNA CORPORATION              COMMON     125509109    14164     337728 SH  -    DEFINED 09             315818     21910        0
D CIGNA CORPORATION              COMMON     125509109      918      21889 SH  -    DEFINED 09              21889         0        0
D CIGNA CORPORATION              COMMON     125509109     6280     149745 SH  -    DEFINED 09             149745         0        0
D CIGNA CORPORATION              COMMON     125509109      160       3823 SH  -    OTHER   09                  0      3823        0
D CIGNA CORPORATION              OPTION     125509901      147       3500 SH  C    DEFINED 05               3500         0        0
D CIGNA CORPORATION              OPTION     125509950      331       7900 SH  P    DEFINED 05               7900         0        0
D CIT GROUP INC                  COMMON     125581801      300       9876 SH  -    DEFINED 02               9876         0        0
D CIT GROUP INC                  COMMON     125581801       18        606 SH  -    DEFINED 02                606         0        0
D CIT GROUP INC                  COMMON     125581801      851      28029 SH  -    OTHER   02               1000     27009        0
D CIT GROUP INC                  COMMON     125581801        5        164 SH  -    OTHER   02                  0         0      164
D CIT GROUP INC                  COMMON     125581801     1843      60700 SH  -    DEFINED 04              60700         0        0
D CIT GROUP INC                  COMMON     125581801      200       6595 SH  -    DEFINED 05               6595         0        0
D CIT GROUP INC                  COMMON     125581801     1776      58466 SH  -    DEFINED 08              58466         0        0
D CIT GROUP INC                  COMMON     125581801       38       1250 SH  -    OTHER   10                  0         0     1250
D CIT GROUP INC                  OPTION     125581900     6031     198600 SH  C    DEFINED 05             198600         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 163
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CLECO CORP NEW                 COMMON     12561W105       34       1000 SH  -    DEFINED 02               1000         0        0
D CLECO CORP NEW                 COMMON     12561W105      276       8078 SH  -    OTHER   02               7280       798        0
D CLECO CORP NEW                 COMMON     12561W105       50       1456 SH  -    OTHER   02               1445         5        6
D CLECO CORP NEW                 COMMON     12561W105     3439     100730 SH  -    DEFINED 04             100730         0        0
D CLECO CORP NEW                 COMMON     12561W105      207       6053 SH  -    DEFINED 05               6053         0        0
D CLECO CORP NEW                 COMMON     12561W105      292       8552 SH  -    DEFINED 08               8552         0        0
D CKX LANDS INC                  COMMON     12562N104      222      19050 SH  -    DEFINED 02              19050         0        0
D CME GROUP INC                  COMMON     12572Q105      810       3287 SH  -    DEFINED 02               1981       100     1206
D CME GROUP INC                  COMMON     12572Q105      332       1349 SH  -    DEFINED 02               1324         0       25
D CME GROUP INC                  COMMON     12572Q105      271       1100 SH  -    DEFINED 02                821         0      279
D CME GROUP INC                  COMMON     12572Q105     5208      21138 SH  -    OTHER   02               2069     18150      899
D CME GROUP INC                  COMMON     12572Q105     1852       7515 SH  -    OTHER   02               4987       551     1977
D CME GROUP INC                  COMMON     12572Q105       12         50 SH  -    OTHER   02                  0        50        0
D CME GROUP INC                  COMMON     12572Q105   121709     493949 SH  -    DEFINED 04             366813         0   127136
D CME GROUP INC                  COMMON     12572Q105     2994      12152 SH  -    DEFINED 04              12152         0        0
D CME GROUP INC                  COMMON     12572Q105     6157      24986 SH  -    DEFINED 04              24986         0        0
D CME GROUP INC                  COMMON     12572Q105      175        710 SH  -    DEFINED 04                710         0        0
D CME GROUP INC                  COMMON     12572Q105       65        265 SH  -    DEFINED 04                  0         0      265
D CME GROUP INC                  COMMON     12572Q105       81        330 SH  -    OTHER   04                  0       330        0
D CME GROUP INC                  COMMON     12572Q105    17439      70777 SH  -    DEFINED 05              70777         0        0
D CME GROUP INC                  COMMON     12572Q105     1613       6545 SH  -    DEFINED 08               6545         0        0
D CME GROUP INC                  COMMON     12572Q105      922       3740 SH  -    DEFINED 09               3740         0        0
D CME GROUP INC                  COMMON     12572Q105        1          5 SH  -    DEFINED 01                  5         0        0
D CME GROUP INC                  COMMON     12572Q105      491       1994 SH  -    OTHER   01                200      1743        0
D CME GROUP INC                  COMMON     12572Q105     2471      10028 SH  -    OTHER   10                  0         0    10028
D CME GROUP INC                  OPTION     12572Q907      641       2600 SH  C    DEFINED 05               2600         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 164
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CME GROUP INC                  OPTION     12572Q956      493       2000 SH  P    DEFINED 05               2000         0        0
D CMS ENERGY CORP                BOND       125896AW0       19      12000 PRN -    DEFINED 05                  0         0        0
D CMS ENERGY CORP                BOND       125896BD1     2915    2000000 PRN -    DEFINED 05                  0         0        0
D CMS ENERGY CORP                BOND       125896BD1     1458    1000000 PRN -    DEFINED 08                  0         0        0
D CMS ENERGY CORP                BOND       125896BD1      335     230000 PRN -    DEFINED 09                  0         0        0
D CMS ENERGY CORP                COMMON     125896100      725      36612 SH  -    DEFINED 02              19942         0    16670
D CMS ENERGY CORP                COMMON     125896100     1299      65637 SH  -    DEFINED 02              64212         0     1425
D CMS ENERGY CORP                COMMON     125896100       60       3014 SH  -    DEFINED 02               2901         0      113
D CMS ENERGY CORP                COMMON     125896100      961      48554 SH  -    OTHER   02              10795     18459    19300
D CMS ENERGY CORP                COMMON     125896100      172       8710 SH  -    OTHER   02               7808       172      730
D CMS ENERGY CORP                COMMON     125896100   169962    8588262 SH  -    DEFINED 04            8007378         0   580884
D CMS ENERGY CORP                COMMON     125896100     8396     424264 SH  -    DEFINED 04             424264         0        0
D CMS ENERGY CORP                COMMON     125896100       54       2720 SH  -    DEFINED 04               2720         0        0
D CMS ENERGY CORP                COMMON     125896100     3155     159400 SH  -    DEFINED 04             159400         0        0
D CMS ENERGY CORP                COMMON     125896100       36       1817 SH  -    DEFINED 04                  0         0     1817
D CMS ENERGY CORP                COMMON     125896100     1832      92561 SH  -    OTHER   04                  0     92561        0
D CMS ENERGY CORP                COMMON     125896100     9511     480599 SH  -    OTHER   04                  0    480599        0
D CMS ENERGY CORP                COMMON     125896100      246      12440 SH  -    DEFINED 05              12440         0        0
D CMS ENERGY CORP                COMMON     125896100      387      19545 SH  -    DEFINED 01              19400         0      145
D CMS ENERGY CORP                COMMON     125896100       16        800 SH  -    OTHER   01                  0       440      360
D CMS ENERGY CORP                COMMON     125896100       48       2421 SH  -    OTHER   10                  0         0     2421
D CSS INDS INC                   COMMON     125906107       67       3990 SH  -    OTHER   02                  0      1340     2650
D CSS INDS INC                   COMMON     125906107      640      38373 SH  -    DEFINED 04              34499         0     3874
D CSS INDS INC                   COMMON     125906107        2        126 SH  -    DEFINED 05                126         0        0
D CSS INDS INC                   COMMON     125906107        9        538 SH  -    DEFINED 08                538         0        0
D CNA FINANCIAL CORP             COMMON     126117100       74       3304 SH  -    DEFINED 02                  0      3304        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 165
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CNA FINANCIAL CORP             COMMON     126117100      275      12246 SH  -    OTHER   02               3234      8013      971
D CNA FINANCIAL CORP             COMMON     126117100      787      35017 SH  -    DEFINED 04              35017         0        0
D CNA FINANCIAL CORP             COMMON     126117100      121       5363 SH  -    DEFINED 08               5363         0        0
D CNB FINL CORP PA               COMMON     126128107      153      11900 SH  -    DEFINED 04              11900         0        0
D CNB FINL CORP PA               COMMON     126128107        0          1 SH  -    DEFINED 05                  1         0        0
D CNB FINL CORP PA               COMMON     126128107        9        726 SH  -    DEFINED 08                726         0        0
D CNOOC LTD                      ADR        126132109       56        348 SH  -    DEFINED 02                263        85        0
D CNOOC LTD                      ADR        126132109        7         45 SH  -    DEFINED 02                 45         0        0
D CNOOC LTD                      ADR        126132109      531       3313 SH  -    OTHER   02                688      2625        0
D CNOOC LTD                      ADR        126132109       29        180 SH  -    OTHER   02                  5         0      175
D CNOOC LTD                      ADR        126132109      664       4141 SH  -    DEFINED 04               4141         0        0
D CNOOC LTD                      ADR        126132109     1784      11128 SH  -    OTHER   04                  0     11128        0
D CNOOC LTD                      ADR        126132109      470       2930 SH  -    OTHER   04                  0      2930        0
D CNOOC LTD                      ADR        126132109     6022      37570 SH  -    DEFINED 09              32052         0     5518
D CNOOC LTD                      ADR        126132109     1603      10000 SH  -    DEFINED 09                  0         0        0
D CNOOC LTD                      ADR        126132109       16        100 SH  -    OTHER   10                  0         0      100
D CPFL ENERGIA S A               ADR        126153105       29       1290 SH  -    OTHER   02               1290         0        0
D CPFL ENERGIA S A               ADR        126153105       44       2000 SH  -    DEFINED 05               2000         0        0
D CPFL ENERGIA S A               ADR        126153105     1914      86421 SH  -    DEFINED 08              86421         0        0
D CPFL ENERGIA S A               ADR        126153105     1054      47596 SH  -    OTHER   10                  0         0    47596
D CNO FINL GROUP INC             COMMON     12621E103       37       6762 SH  -    OTHER   02                194      3939     2210
D CNO FINL GROUP INC             COMMON     12621E103    10606    1960523 SH  -    DEFINED 04            1791723         0   168800
D CNO FINL GROUP INC             COMMON     12621E103     2250     415914 SH  -    DEFINED 04             415914         0        0
D CNO FINL GROUP INC             COMMON     12621E103       51       9454 SH  -    DEFINED 04               9454         0        0
D CNO FINL GROUP INC             COMMON     12621E103      151      27856 SH  -    OTHER   04                  0     27856        0
D CNO FINL GROUP INC             COMMON     12621E103       45       8238 SH  -    DEFINED 05               8238         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 166
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CNO FINL GROUP INC             COMMON     12621E103      312      57676 SH  -    DEFINED 08              57676         0        0
D CNO FINL GROUP INC             COMMON     12621E103        6       1069 SH  -    OTHER   01                  0      1069        0
D CSG SYSTEMS INTL I             COMMON     126349109        1        104 SH  -    OTHER   02                  0       104        0
D CSG SYSTEMS INTL I             COMMON     126349109     1814     143525 SH  -    DEFINED 04             131225         0    12300
D CSG SYSTEMS INTL I             COMMON     126349109     2272     179746 SH  -    DEFINED 04             179746         0        0
D CSG SYSTEMS INTL I             COMMON     126349109       21       1663 SH  -    DEFINED 04               1663         0        0
D CSG SYSTEMS INTL I             COMMON     126349109       67       5269 SH  -    OTHER   04                  0      5269        0
D CSG SYSTEMS INTL I             COMMON     126349109      204      16150 SH  -    DEFINED 05              16150         0        0
D CSR PLC                        ADR        12640Y205       39       3027 SH  -    DEFINED 05               3027         0        0
D CSR PLC                        ADR        12640Y205        5        414 SH  -    DEFINED 08                414         0        0
D CSR PLC                        ADR        12640Y205      218      16764 SH  -    DEFINED 09              16764         0        0
D CSX CORP                       COMMON     126408103     1763      94415 SH  -    DEFINED 02              21995         0    72420
D CSX CORP                       COMMON     126408103     1714      91810 SH  -    DEFINED 02              79052         0    12758
D CSX CORP                       COMMON     126408103      305      16343 SH  -    DEFINED 02              12938         0     3405
D CSX CORP                       COMMON     126408103     1343      71952 SH  -    OTHER   02              21400     35828    14724
D CSX CORP                       COMMON     126408103      467      25029 SH  -    OTHER   02              22421      1279     1329
D CSX CORP                       COMMON     126408103   228896   12260109 SH  -    DEFINED 04            8367629         0  3892480
D CSX CORP                       COMMON     126408103     2101     112523 SH  -    DEFINED 04             112523         0        0
D CSX CORP                       COMMON     126408103    21086    1129426 SH  -    DEFINED 04            1129426         0        0
D CSX CORP                       COMMON     126408103    10174     544932 SH  -    DEFINED 04             544932         0        0
D CSX CORP                       COMMON     126408103     3494     187157 SH  -    DEFINED 04             112266         0    74891
D CSX CORP                       COMMON     126408103      242      12985 SH  -    DEFINED 04                  0         0    12985
D CSX CORP                       COMMON     126408103      683      36568 SH  -    OTHER   04                  0     36568        0
D CSX CORP                       COMMON     126408103     1415      75782 SH  -    DEFINED 05              75782         0        0
D CSX CORP                       COMMON     126408103    13860     742369 SH  -    DEFINED 09             696337     46032        0
D CSX CORP                       COMMON     126408103      785      42029 SH  -    DEFINED 09              42029         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 167
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CSX CORP                       COMMON     126408103     5695     305019 SH  -    DEFINED 09             305019         0        0
D CSX CORP                       COMMON     126408103      865      46332 SH  -    OTHER   09                  0     46332        0
D CSX CORP                       COMMON     126408103      306      16380 SH  -    OTHER   01              15900         0      480
D CSX CORP                       COMMON     126408103     1534      82190 SH  -    OTHER   10                  0         0    82190
D CTC MEDIA INC                  COMMON     12642X106        5        583 SH  -    OTHER   02                  0       583        0
D CTC MEDIA INC                  COMMON     12642X106     3929     441453 SH  -    DEFINED 04             441453         0        0
D CTC MEDIA INC                  COMMON     12642X106       40       4500 SH  -    DEFINED 05               4500         0        0
D CTC MEDIA INC                  COMMON     12642X106    86957    9770480 SH  -    DEFINED 09            9700180         0        0
D CTC MEDIA INC                  COMMON     12642X106     1173     131851 SH  -    DEFINED 09             131851         0        0
D CTC MEDIA INC                  COMMON     12642X106     5741     645063 SH  -    DEFINED 09             645063         0        0
D CTC MEDIA INC                  COMMON     12642X106      347      38995 SH  -    OTHER   10                  0         0    38995
D CTS CORP                       COMMON     126501105       33       4050 SH  -    OTHER   02                  0      1360     2690
D CTS CORP                       COMMON     126501105       78       9600 SH  -    DEFINED 04               9600         0        0
D CTS CORP                       COMMON     126501105      674      82932 SH  -    DEFINED 04              82932         0        0
D CTS CORP                       COMMON     126501105      130      15990 SH  -    DEFINED 05              15990         0        0
D CVB FINL CORP                  COMMON     126600105       91      11829 SH  -    OTHER   02                  0      4209     7620
D CVB FINL CORP                  COMMON     126600105     3084     401040 SH  -    DEFINED 04             401040         0        0
D CVB FINL CORP                  COMMON     126600105       10       1284 SH  -    DEFINED 05               1284         0        0
D CVB FINL CORP                  COMMON     126600105       40       5206 SH  -    DEFINED 08               5206         0        0
D CVR ENERGY INC                 COMMON     12662P108       12        550 SH  -    DEFINED 02                550         0        0
D CVR ENERGY INC                 COMMON     12662P108       19        903 SH  -    OTHER   02                  0       903        0
D CVR ENERGY INC                 COMMON     12662P108    31119    1472038 SH  -    DEFINED 04            1421338         0    50700
D CVR ENERGY INC                 COMMON     12662P108      613      29010 SH  -    DEFINED 04              29010         0        0
D CVR ENERGY INC                 COMMON     12662P108      477      22550 SH  -    OTHER   04                  0     22550        0
D CVR ENERGY INC                 COMMON     12662P108     2477     117150 SH  -    OTHER   04                  0    117150        0
D CVR ENERGY INC                 COMMON     12662P108       35       1658 SH  -    DEFINED 05               1658         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 168
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CVR ENERGY INC                 COMMON     12662P108      111       5267 SH  -    DEFINED 08               5267         0        0
D CVR ENERGY INC                 COMMON     12662P108       92       4374 SH  -    DEFINED 09               4374         0        0
D CVR ENERGY INC                 COMMON     12662P108        1         25 SH  -    OTHER   10                  0         0       25
D CVR PARTNERS LP                COMMON     126633106      947      40231 SH  -    DEFINED 05              40231         0        0
D CVR PARTNERS LP                COMMON     126633106      329      14000 SH  -    OTHER   10                  0         0    14000
D CVS CORP                       COMMON     126650100    26663     793766 SH  -    DEFINED 02             667221     12044   114501
D CVS CORP                       COMMON     126650100     8601     256059 SH  -    DEFINED 02             248509       179     7371
D CVS CORP                       COMMON     126650100      797      23730 SH  -    DEFINED 02              17108         0     6622
D CVS CORP                       COMMON     126650100    16582     493670 SH  -    OTHER   02             273810    138794    80964
D CVS CORP                       COMMON     126650100     4022     119751 SH  -    OTHER   02             104565      2807    12379
D CVS CORP                       COMMON     126650100      136       4059 SH  -    OTHER   02                  0      4059        0
D CVS CORP                       COMMON     126650100      115       3420 SH  -    OTHER   02                  0      3420        0
D CVS CORP                       COMMON     126650100      295       8775 SH  -    OTHER   02                  0      8775        0
D CVS CORP                       COMMON     126650100   240013    7145369 SH  -    DEFINED 04            5445124         0  1700245
D CVS CORP                       COMMON     126650100    16960     504918 SH  -    DEFINED 04             504918         0        0
D CVS CORP                       COMMON     126650100    19314     574994 SH  -    DEFINED 04             574994         0        0
D CVS CORP                       COMMON     126650100      317       9450 SH  -    DEFINED 04               9450         0        0
D CVS CORP                       COMMON     126650100      156       4647 SH  -    DEFINED 04                  0         0     4647
D CVS CORP                       COMMON     126650100    14781     440048 SH  -    OTHER   04                  0    440048        0
D CVS CORP                       COMMON     126650100    23451     698150 SH  -    DEFINED 05             698150         0        0
D CVS CORP                       COMMON     126650100    17341     516263 SH  -    DEFINED 08             516263         0        0
D CVS CORP                       COMMON     126650100     2561      76247 SH  -    DEFINED 09              76247         0        0
D CVS CORP                       COMMON     126650100     2428      72270 SH  -    OTHER   09                  0     72270        0
D CVS CORP                       COMMON     126650100     2507      74634 SH  -    DEFINED 01              67906      2223     4505
D CVS CORP                       COMMON     126650100      536      15948 SH  -    OTHER   01               9199      2387     4362
D CVS CORP                       COMMON     126650100     2185      65044 SH  -    OTHER   10                  0         0    65044

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 169
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CVS CORP                       OPTION     126650902    10181     303100 SH  C    DEFINED 05             303100         0        0
D CVS CORP                       OPTION     126650902     2667      79400 SH  C    DEFINED 08              79400         0        0
D CVS CORP                       OPTION     126650951    11807     351500 SH  P    DEFINED 05             351500         0        0
D CVS CORP                       OPTION     126650951      269       8000 SH  P    DEFINED 08               8000         0        0
D CA INC                         COMMON     12673P105        1         71 SH  -    DEFINED 02                 71         0        0
D CA INC                         COMMON     12673P105       90       4655 SH  -    DEFINED 02               4362         0      293
D CA INC                         COMMON     12673P105      317      16328 SH  -    OTHER   02                  0     16258        0
D CA INC                         COMMON     12673P105        9        477 SH  -    OTHER   02                469         0        8
D CA INC                         COMMON     12673P105     6702     345273 SH  -    DEFINED 04             213836         0   131437
D CA INC                         COMMON     12673P105     7907     407365 SH  -    DEFINED 04             407365         0        0
D CA INC                         COMMON     12673P105       33       1700 SH  -    DEFINED 04               1700         0        0
D CA INC                         COMMON     12673P105     2631     135536 SH  -    DEFINED 05             135536         0        0
D CA INC                         COMMON     12673P105      172       8850 SH  -    DEFINED 09               8850         0        0
D CA INC                         COMMON     12673P105     2051     105662 SH  -    OTHER   10                  0         0   105662
D CABELAS INC                    COMMON     126804301        5        224 SH  -    DEFINED 02                224         0        0
D CABELAS INC                    COMMON     126804301       83       4060 SH  -    OTHER   02                  0      1180     2880
D CABELAS INC                    COMMON     126804301    11983     584800 SH  -    DEFINED 04             531500         0    53300
D CABELAS INC                    COMMON     126804301      413      20132 SH  -    DEFINED 05              20132         0        0
D CABELAS INC                    COMMON     126804301       26       1276 SH  -    OTHER   10                  0         0     1276
D CABLEVISION SYS CP             COMMON     12686C109      127       8080 SH  -    DEFINED 02               8080         0        0
D CABLEVISION SYS CP             COMMON     12686C109        2        117 SH  -    DEFINED 02                117         0        0
D CABLEVISION SYS CP             COMMON     12686C109       43       2725 SH  -    DEFINED 02               2593         0      132
D CABLEVISION SYS CP             COMMON     12686C109      172      10938 SH  -    OTHER   02               2500      6953     1385
D CABLEVISION SYS CP             COMMON     12686C109      347      22037 SH  -    OTHER   02               1800       409    19828
D CABLEVISION SYS CP             COMMON     12686C109    62222    3955641 SH  -    DEFINED 04            3791640         0   164001
D CABLEVISION SYS CP             COMMON     12686C109      590      37538 SH  -    DEFINED 04              37538         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 170
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CABLEVISION SYS CP             COMMON     12686C109       21       1318 SH  -    DEFINED 04               1318         0        0
D CABLEVISION SYS CP             COMMON     12686C109     1255      79770 SH  -    DEFINED 04              79770         0        0
D CABLEVISION SYS CP             COMMON     12686C109      625      39745 SH  -    OTHER   04                  0     39745        0
D CABLEVISION SYS CP             COMMON     12686C109     3204     203661 SH  -    OTHER   04                  0    203661        0
D CABLEVISION SYS CP             COMMON     12686C109       88       5609 SH  -    DEFINED 05               5609         0        0
D CABLEVISION SYS CP             COMMON     12686C109        3        200 SH  -    DEFINED 09                200         0        0
D CABLEVISION SYS CP             COMMON     12686C109        3        214 SH  -    OTHER   01                  0       214        0
D CABLEVISION SYS CP             COMMON     12686C109       14        881 SH  -    OTHER   10                  0         0      881
D CABOT CORP                     COMMON     127055101        9        381 SH  -    OTHER   02                225       156        0
D CABOT CORP                     COMMON     127055101      554      22344 SH  -    DEFINED 04              22344         0        0
D CABOT CORP                     COMMON     127055101     2248      90725 SH  -    DEFINED 04              90725         0        0
D CABOT CORP                     COMMON     127055101       44       1792 SH  -    DEFINED 05               1792         0        0
D CABOT CORP                     COMMON     127055101       97       3932 SH  -    DEFINED 08               3932         0        0
D CABOT MICROELECTRO             COMMON     12709P103        5        150 SH  -    DEFINED 02                150         0        0
D CABOT MICROELECTRO             COMMON     12709P103       79       2300 SH  -    OTHER   02                  0         0     2300
D CABOT MICROELECTRO             COMMON     12709P103      581      16900 SH  -    DEFINED 04              16900         0        0
D CABOT MICROELECTRO             COMMON     12709P103      374      10883 SH  -    DEFINED 05              10883         0        0
D CABOT OIL & GAS CORP           COMMON     127097103       19        300 SH  -    DEFINED 02                300         0        0
D CABOT OIL & GAS CORP           COMMON     127097103       18        294 SH  -    DEFINED 02                294         0        0
D CABOT OIL & GAS CORP           COMMON     127097103       80       1286 SH  -    DEFINED 02               1204         0       82
D CABOT OIL & GAS CORP           COMMON     127097103     2352      37987 SH  -    OTHER   02               8525     24172     5290
D CABOT OIL & GAS CORP           COMMON     127097103     6145      99257 SH  -    DEFINED 04              96265         0     2992
D CABOT OIL & GAS CORP           COMMON     127097103     1042      16830 SH  -    DEFINED 04              16830         0        0
D CABOT OIL & GAS CORP           COMMON     127097103     2448      39547 SH  -    DEFINED 04              22343         0    17204
D CABOT OIL & GAS CORP           COMMON     127097103     3577      57770 SH  -    DEFINED 05              57770         0        0
D CABOT OIL & GAS CORP           COMMON     127097103       77       1236 SH  -    DEFINED 06               1236         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 171
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CABOT OIL & GAS CORP           COMMON     127097103     6367     102847 SH  -    DEFINED 08             102847         0        0
D CABOT OIL & GAS CORP           COMMON     127097103     9934     160457 SH  -    DEFINED 09             148575     11882        0
D CABOT OIL & GAS CORP           COMMON     127097103      630      10184 SH  -    DEFINED 09              10184         0        0
D CABOT OIL & GAS CORP           COMMON     127097103     4599      74278 SH  -    DEFINED 09              74278         0        0
D CABOT OIL & GAS CORP           COMMON     127097103      113       1830 SH  -    OTHER   09                  0      1830        0
D CABOT OIL & GAS CORP           COMMON     127097103      134       2160 SH  -    OTHER   01                  0      2160        0
D CABOT OIL & GAS CORP           COMMON     127097103     1052      16997 SH  -    OTHER   10                  0         0    16997
D CACI INTL INC                  BOND       127190AD8     3714    3376000 PRN -    DEFINED 05                  0         0        0
D CACI INTL INC                  COMMON     127190304        1         18 SH  -    OTHER   02                  0        18        0
D CACI INTL INC                  COMMON     127190304     5382     107778 SH  -    DEFINED 04              98978         0     8800
D CACI INTL INC                  COMMON     127190304     5290     105936 SH  -    DEFINED 04             105936         0        0
D CACI INTL INC                  COMMON     127190304     2577      51595 SH  -    DEFINED 05              51595         0        0
D CACI INTL INC                  COMMON     127190304    14262     285578 SH  -    DEFINED 08             285578         0        0
D CADENCE PHARMACEUTICALS INC    COMMON     12738T100     1560     238191 SH  -    DEFINED 04             191390         0    46801
D CADENCE PHARMACEUTICALS INC    COMMON     12738T100      873     133260 SH  -    DEFINED 05             133260         0        0
D CADENCE PHARMACEUTICALS INC    COMMON     12738T100       16       2515 SH  -    DEFINED 08               2515         0        0
D CADENCE DESIGN SYSTEM INC      BOND       127387AD0       98      99000 PRN -    DEFINED 05                  0         0        0
D CADENCE DESIGN SYSTEM INC      BOND       127387AF5     3654    3801000 PRN -    DEFINED 09                  0         0        0
D CADENCE DESIGN SYS             COMMON     127387108       29       3100 SH  -    DEFINED 02                  0         0     3100
D CADENCE DESIGN SYS             COMMON     127387108       46       4976 SH  -    OTHER   02                  0      1761     3215
D CADENCE DESIGN SYS             COMMON     127387108     2756     298316 SH  -    DEFINED 04             298316         0        0
D CADENCE DESIGN SYS             COMMON     127387108     5337     577574 SH  -    DEFINED 04             577574         0        0
D CADENCE DESIGN SYS             COMMON     127387108      433      46869 SH  -    DEFINED 05              46869         0        0
D CADENCE DESIGN SYS             COMMON     127387108    49270    5332295 SH  -    DEFINED 08            5332295         0        0
D CADENCE DESIGN SYS             COMMON     127387108      455      49223 SH  -    OTHER   10                  0         0    49223
D CAL DIVE INTL INC DEL          COMMON     12802T101        4       2281 SH  -    OTHER   02                  0      2281        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 172
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CAL DIVE INTL INC DEL          COMMON     12802T101       25      12900 SH  -    OTHER   02                  0     12900        0
D CAL DIVE INTL INC DEL          COMMON     12802T101     1458     763125 SH  -    DEFINED 04             705425         0    57700
D CAL DIVE INTL INC DEL          COMMON     12802T101     1559     816200 SH  -    DEFINED 04             816200         0        0
D CAL DIVE INTL INC DEL          COMMON     12802T101        3       1444 SH  -    DEFINED 05               1444         0        0
D CAL DIVE INTL INC DEL          COMMON     12802T101       20      10628 SH  -    DEFINED 08              10628         0        0
D CAL MAINE FOODS IN             COMMON     128030202       13        416 SH  -    OTHER   02                  0        66      350
D CAL MAINE FOODS IN             COMMON     128030202      293       9320 SH  -    DEFINED 04               9320         0        0
D CAL MAINE FOODS IN             COMMON     128030202      211       6720 SH  -    DEFINED 05               6720         0        0
D CALAMOS ASSET MANAGEMENT-A     COMMON     12811R104       37       3650 SH  -    OTHER   02                  0      3650        0
D CALAMOS ASSET MANAGEMENT-A     COMMON     12811R104    18161    1814333 SH  -    DEFINED 04            1667085         0   147248
D CALAMOS ASSET MANAGEMENT-A     COMMON     12811R104      143      14254 SH  -    DEFINED 04              14254         0        0
D CALAMOS ASSET MANAGEMENT-A     COMMON     12811R104       94       9397 SH  -    DEFINED 05               9397         0        0
D CALAMOS STRATEGIC TOTL RETN FD COMMON     128125101      167      21000 SH  -    DEFINED 02              21000         0        0
D CALAMOS STRATEGIC TOTL RETN FD COMMON     128125101       24       3000 SH  -    OTHER   02               3000         0        0
D CALAVO GROWERS INC             COMMON     128246105        5        252 SH  -    OTHER   02                  0       252        0
D CALAVO GROWERS INC             COMMON     128246105      176       8560 SH  -    DEFINED 04               8560         0        0
D CALAVO GROWERS INC             COMMON     128246105      120       5868 SH  -    DEFINED 05               5868         0        0
D CALGON CARBON CORP             COMMON     129603106      138       9476 SH  -    OTHER   02                  0       248     9228
D CALGON CARBON CORP             COMMON     129603106      216      14837 SH  -    OTHER   02                  7       642    14188
D CALGON CARBON CORP             COMMON     129603106      570      39100 SH  -    DEFINED 04              39100         0        0
D CALGON CARBON CORP             COMMON     129603106      384      26374 SH  -    DEFINED 05              26374         0        0
D CALIFORNIA WTR SVC GROUP       COMMON     130788102        9        531 SH  -    OTHER   02                  0       531        0
D CALIFORNIA WTR SVC GROUP       COMMON     130788102      671      37900 SH  -    DEFINED 04              37900         0        0
D CALIFORNIA WTR SVC GROUP       COMMON     130788102      301      17000 SH  -    DEFINED 04              17000         0        0
D CALIFORNIA WTR SVC GROUP       COMMON     130788102       11        601 SH  -    DEFINED 05                601         0        0
D CALIFORNIA WTR SVC GROUP       COMMON     130788102       57       3240 SH  -    DEFINED 08               3240         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 173
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CALIPER LIFE SCIENCES INC      COMMON     130872104       30       2841 SH  -    DEFINED 08               2841         0        0
D CALIPER LIFE SCIENCES INC      COMMON     130872104     3525     336670 SH  -    DEFINED 09             336670         0        0
D CALLAWAY GOLF CO               COMMON     131193104      232      44907 SH  -    DEFINED 04              44907         0        0
D CALLAWAY GOLF CO               COMMON     131193104      156      30163 SH  -    DEFINED 05              30163         0        0
D CALLON PETE CO DEL             COMMON     13123X102        8       2000 SH  -    DEFINED 02               2000         0        0
D CALLON PETE CO DEL             COMMON     13123X102      709     183300 SH  -    DEFINED 04             136300         0    47000
D CALLON PETE CO DEL             COMMON     13123X102        0          1 SH  -    DEFINED 05                  1         0        0
D CALLON PETE CO DEL             COMMON     13123X102       16       4170 SH  -    DEFINED 08               4170         0        0
D CALPINE CORP                   COMMON     131347304      419      29734 SH  -    DEFINED 02               5214         0    24520
D CALPINE CORP                   COMMON     131347304      281      19944 SH  -    DEFINED 02               9994         0     9950
D CALPINE CORP                   COMMON     131347304      247      17555 SH  -    DEFINED 02               5525         0    12030
D CALPINE CORP                   COMMON     131347304       85       6048 SH  -    OTHER   02                  0      3074     2974
D CALPINE CORP                   COMMON     131347304        1         51 SH  -    OTHER   02                  9        33        9
D CALPINE CORP                   COMMON     131347304    68032    4831851 SH  -    DEFINED 04            3482161         0  1349690
D CALPINE CORP                   COMMON     131347304     4838     343631 SH  -    DEFINED 04             343631         0        0
D CALPINE CORP                   COMMON     131347304       91       6475 SH  -    DEFINED 04               6475         0        0
D CALPINE CORP                   COMMON     131347304       86       6084 SH  -    DEFINED 04                  0         0     6084
D CALPINE CORP                   COMMON     131347304        4        295 SH  -    OTHER   04                  0       295        0
D CALPINE CORP                   COMMON     131347304      148      10496 SH  -    DEFINED 05              10496         0        0
D CALPINE CORP                   COMMON     131347304     1099      78034 SH  -    DEFINED 08              78034         0        0
D CALPINE CORP                   COMMON     131347304      481      34152 SH  -    DEFINED 09              34152         0        0
D CALPINE CORP                   COMMON     131347304        8        544 SH  -    OTHER   01                  0         0      544
D CALPINE CORP                   OPTION     131347908       42       3000 SH  C    DEFINED 05               3000         0        0
D CALUMET SPECIALTY PRODS PTNRS  COMMON     131476103     9310     549561 SH  -    DEFINED 10             549561         0        0
D CAMBREX CORP                   COMMON     132011107       14       2869 SH  -    OTHER   02                  0      1169     1700
D CAMBREX CORP                   COMMON     132011107      103      20387 SH  -    DEFINED 04              20387         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 174
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CAMBREX CORP                   COMMON     132011107       69      13739 SH  -    DEFINED 05              13739         0        0
D CAMDEN NATL CORP               COMMON     133034108        1         40 SH  -    OTHER   02                  0        40        0
D CAMDEN NATL CORP               COMMON     133034108      332      12200 SH  -    DEFINED 04              12200         0        0
D CAMDEN NATL CORP               COMMON     133034108        3        111 SH  -    DEFINED 05                111         0        0
D CAMDEN NATL CORP               COMMON     133034108       12        449 SH  -    DEFINED 08                449         0        0
D CAMDEN PPTY TR                 COMMON     133131102      713      12900 SH  -    DEFINED 02              12900         0        0
D CAMDEN PPTY TR                 COMMON     133131102    43376     784950 SH  -    DEFINED 04             564365         0   220585
D CAMDEN PPTY TR                 COMMON     133131102    20860     377486 SH  -    DEFINED 04             377486         0        0
D CAMDEN PPTY TR                 COMMON     133131102      249       4500 SH  -    DEFINED 04               4500         0        0
D CAMDEN PPTY TR                 COMMON     133131102       61       1100 SH  -    DEFINED 04               1100         0        0
D CAMDEN PPTY TR                 COMMON     133131102     1575      28500 SH  -    DEFINED 04              21800         0        0
D CAMDEN PPTY TR                 COMMON     133131102      103       1857 SH  -    DEFINED 05               1857         0        0
D CAMDEN PPTY TR                 COMMON     133131102       23        411 SH  -    DEFINED 06                411         0        0
D CAMDEN PPTY TR                 COMMON     133131102      197       3570 SH  -    DEFINED 08               3570         0        0
D CAMECO CORPORATION             COMMON     13321L108      261      14271 SH  -    DEFINED 02                705     13566        0
D CAMECO CORPORATION             COMMON     13321L108     1227      66952 SH  -    OTHER   02              15967     49385     1600
D CAMECO CORPORATION             COMMON     13321L108       11        600 SH  -    OTHER   02                  0         0      600
D CAMECO CORPORATION             COMMON     13321L108        0          4 SH  -    DEFINED 05                  4         0        0
D CAMECO CORPORATION             COMMON     13321L108      564      30809 SH  -    DEFINED 06              30809         0        0
D CAMECO CORPORATION             COMMON     13321L108     2820     153926 SH  -    DEFINED 08             153926         0        0
D CAMECO CORPORATION             COMMON     13321L108       77       4203 SH  -    OTHER   01                  0      4203        0
D CAMECO CORPORATION             COMMON     13321L108        2         99 SH  -    OTHER   10                  0         0       99
D CAMERON INTERNATIONAL CORP     COMMON     13342B105    11776     283489 SH  -    DEFINED 02             239406      2012    42071
D CAMERON INTERNATIONAL CORP     COMMON     13342B105     2132      51321 SH  -    DEFINED 02              50436        54      831
D CAMERON INTERNATIONAL CORP     COMMON     13342B105      124       2992 SH  -    DEFINED 02               2825         0      167
D CAMERON INTERNATIONAL CORP     COMMON     13342B105     3419      82308 SH  -    OTHER   02              35651     40812     5765

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 175
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CAMERON INTERNATIONAL CORP     COMMON     13342B105      240       5768 SH  -    OTHER   02               3429       286     2053
D CAMERON INTERNATIONAL CORP     COMMON     13342B105       52       1254 SH  -    OTHER   02                  0      1254        0
D CAMERON INTERNATIONAL CORP     COMMON     13342B105       43       1036 SH  -    OTHER   02                  0      1036        0
D CAMERON INTERNATIONAL CORP     COMMON     13342B105     2794      67263 SH  -    OTHER   02                  0     67263        0
D CAMERON INTERNATIONAL CORP     COMMON     13342B105    86745    2088240 SH  -    DEFINED 04            1178976         0   909264
D CAMERON INTERNATIONAL CORP     COMMON     13342B105    30421     732325 SH  -    DEFINED 04             732325         0        0
D CAMERON INTERNATIONAL CORP     COMMON     13342B105     3348      80587 SH  -    DEFINED 04              80587         0        0
D CAMERON INTERNATIONAL CORP     COMMON     13342B105     5949     143204 SH  -    OTHER   04                  0    143204        0
D CAMERON INTERNATIONAL CORP     COMMON     13342B105      476      11464 SH  -    DEFINED 05              11464         0        0
D CAMERON INTERNATIONAL CORP     COMMON     13342B105      121       2903 SH  -    DEFINED 06               2903         0        0
D CAMERON INTERNATIONAL CORP     COMMON     13342B105      363       8731 SH  -    DEFINED 01               7476       700      555
D CAMERON INTERNATIONAL CORP     COMMON     13342B105      138       3333 SH  -    OTHER   01               1326       863     1144
D CAMERON INTERNATIONAL CORP     COMMON     13342B105       14        326 SH  -    OTHER   10                  0         0      326
D CAMPBELL SOUP CO               COMMON     134429109    13931     430359 SH  -    DEFINED 02             385212      1664    43483
D CAMPBELL SOUP CO               COMMON     134429109     4235     130831 SH  -    DEFINED 02             128749       148     1934
D CAMPBELL SOUP CO               COMMON     134429109      208       6431 SH  -    DEFINED 02               2687         0     3744
D CAMPBELL SOUP CO               COMMON     134429109     7119     219918 SH  -    OTHER   02             110994     88635    20279
D CAMPBELL SOUP CO               COMMON     134429109     1105      34137 SH  -    OTHER   02              33156       648      333
D CAMPBELL SOUP CO               COMMON     134429109      100       3077 SH  -    OTHER   02                  0      3077        0
D CAMPBELL SOUP CO               COMMON     134429109       91       2804 SH  -    OTHER   02                  0      2804        0
D CAMPBELL SOUP CO               COMMON     134429109      233       7192 SH  -    OTHER   02                  0      7192        0
D CAMPBELL SOUP CO               COMMON     134429109   219415    6778354 SH  -    DEFINED 04            5322002         0  1456352
D CAMPBELL SOUP CO               COMMON     134429109     1409      43530 SH  -    DEFINED 04              43530         0        0
D CAMPBELL SOUP CO               COMMON     134429109    22148     684223 SH  -    DEFINED 04             684223         0        0
D CAMPBELL SOUP CO               COMMON     134429109      228       7050 SH  -    DEFINED 04               7050         0        0
D CAMPBELL SOUP CO               COMMON     134429109    11077     342195 SH  -    OTHER   04                  0    342195        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 176
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CAMPBELL SOUP CO               COMMON     134429109     7870     243118 SH  -    DEFINED 05             243118         0        0
D CAMPBELL SOUP CO               COMMON     134429109     1817      56124 SH  -    DEFINED 09              56124         0        0
D CAMPBELL SOUP CO               COMMON     134429109      841      25995 SH  -    DEFINED 01              22460      1825     1710
D CAMPBELL SOUP CO               COMMON     134429109      436      13468 SH  -    OTHER   01               6457      3885     3126
D CAMPBELL SOUP CO               COMMON     134429109     2651      81910 SH  -    OTHER   10                  0         0    81910
D CAMPBELL SOUP CO               OPTION     134429901     2826      87300 SH  C    DEFINED 08              87300         0        0
D CANADIAN IMP BANK              COMMON     136069101    13858     198482 SH  -    DEFINED 04              77412         0   121070
D CANADIAN IMP BANK              COMMON     136069101        5         70 SH  -    DEFINED 05                 70         0        0
D CANADIAN IMP BANK              COMMON     136069101     1636      23430 SH  -    DEFINED 06              23430         0        0
D CANADIAN IMP BANK              COMMON     136069101     1120      16042 SH  -    DEFINED 08              16042         0        0
D CANADIAN NATL RY CO            COMMON     136375102        9        128 SH  -    DEFINED 02                128         0        0
D CANADIAN NATL RY CO            COMMON     136375102      379       5686 SH  -    DEFINED 02               5286         0      400
D CANADIAN NATL RY CO            COMMON     136375102     1173      17615 SH  -    OTHER   02               8675         0     8940
D CANADIAN NATL RY CO            COMMON     136375102     1824      27397 SH  -    OTHER   02              14332        75    12990
D CANADIAN NATL RY CO            COMMON     136375102     7093     106539 SH  -    DEFINED 04             106539         0        0
D CANADIAN NATL RY CO            COMMON     136375102     1614      24235 SH  -    DEFINED 04              24235         0        0
D CANADIAN NATL RY CO            COMMON     136375102    48564     729409 SH  -    DEFINED 04             543339         0   186070
D CANADIAN NATL RY CO            COMMON     136375102        1         21 SH  -    OTHER   04                  0        21        0
D CANADIAN NATL RY CO            COMMON     136375102     5587      83921 SH  -    DEFINED 05              83921         0        0
D CANADIAN NATL RY CO            COMMON     136375102     1677      25182 SH  -    DEFINED 06              25182         0        0
D CANADIAN NATL RY CO            COMMON     136375102      691      10376 SH  -    DEFINED 09              10376         0        0
D CANADIAN NATL RY CO            COMMON     136375102      822      12340 SH  -    OTHER   09                  0     12340        0
D CANADIAN NATL RY CO            COMMON     136375102       10        150 SH  -    DEFINED 01                150         0        0
D CANADIAN NATL RY CO            COMMON     136375102      278       4175 SH  -    OTHER   01               4175         0        0
D CANADIAN NATL RY CO            COMMON     136375102      171       2566 SH  -    OTHER   10                  0         0     2566
D CDN NAT RES                    COMMON     136385101     5737     195995 SH  -    DEFINED 02             195995         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 177
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CDN NAT RES                    COMMON     136385101        6        210 SH  -    DEFINED 02                210         0        0
D CDN NAT RES                    COMMON     136385101     1188      40585 SH  -    OTHER   02              20874     11474     8237
D CDN NAT RES                    COMMON     136385101      404      13800 SH  -    OTHER   02                  0       115    13685
D CDN NAT RES                    COMMON     136385101     1220      41692 SH  -    DEFINED 04              41692         0        0
D CDN NAT RES                    COMMON     136385101    29755    1016564 SH  -    DEFINED 04             724964         0   291600
D CDN NAT RES                    COMMON     136385101      104       3565 SH  -    DEFINED 05               3565         0        0
D CDN NAT RES                    COMMON     136385101     1400      47829 SH  -    DEFINED 06              47829         0        0
D CDN NAT RES                    COMMON     136385101     4759     162605 SH  -    DEFINED 08             162605         0        0
D CDN NAT RES                    COMMON     136385101    74805    2555683 SH  -    DEFINED 09            2555683         0        0
D CDN NAT RES                    COMMON     136385101      560      19138 SH  -    DEFINED 09              19138         0        0
D CDN NAT RES                    COMMON     136385101     2930     100100 SH  -    DEFINED 09             100100         0        0
D CDN NAT RES                    COMMON     136385101     1231      42073 SH  -    OTHER   09                  0     42073        0
D CDN NAT RES                    COMMON     136385101     1468      50158 SH  -    OTHER   10                  0         0    50158
D CANADIAN PAC RY LTD            COMMON     13645T100       91       1882 SH  -    DEFINED 02                  0      1882        0
D CANADIAN PAC RY LTD            COMMON     13645T100     3660      76107 SH  -    OTHER   02              11442     45765    18900
D CANADIAN PAC RY LTD            COMMON     13645T100      866      18005 SH  -    OTHER   02                  0       105    17900
D CANADIAN PAC RY LTD            COMMON     13645T100     4414      91778 SH  -    DEFINED 04              91778         0        0
D CANADIAN PAC RY LTD            COMMON     13645T100      773      16078 SH  -    DEFINED 05              16078         0        0
D CANADIAN PAC RY LTD            COMMON     13645T100      450       9358 SH  -    DEFINED 06               9358         0        0
D CANADIAN PAC RY LTD            COMMON     13645T100        2         50 SH  -    DEFINED 08                 50         0        0
D CANADIAN PAC RY LTD            COMMON     13645T100       24        500 SH  -    DEFINED 01                500         0        0
D CANADIAN PAC RY LTD            COMMON     13645T100       11        222 SH  -    OTHER   10                  0         0      222
D CANON INC                      ADR        138006309       29        651 SH  -    DEFINED 02                577        74        0
D CANON INC                      ADR        138006309       43        940 SH  -    DEFINED 02                940         0        0
D CANON INC                      ADR        138006309     1011      22327 SH  -    OTHER   02                  0     21627      700
D CANON INC                      ADR        138006309       54       1192 SH  -    OTHER   02                 77         0     1115

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 178
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CANON INC                      ADR        138006309     2404      53113 SH  -    DEFINED 04              53113         0        0
D CANON INC                      ADR        138006309     6561     144969 SH  -    OTHER   04                  0    144969        0
D CANON INC                      ADR        138006309     7728     170750 SH  -    OTHER   04                  0    170750        0
D CANON INC                      ADR        138006309        5        120 SH  -    DEFINED 06                120         0        0
D CANON INC                      ADR        138006309      259       5719 SH  -    OTHER   01                  0      5596        0
D CANON INC                      ADR        138006309     1005      22206 SH  -    OTHER   10                  0         0    22206
D CANTEL MEDICAL CORP            COMMON     138098108        3        137 SH  -    DEFINED 02                137         0        0
D CANTEL MEDICAL CORP            COMMON     138098108        2         78 SH  -    OTHER   02                  0        78        0
D CANTEL MEDICAL CORP            COMMON     138098108     5464     258720 SH  -    DEFINED 04             220620         0    38100
D CANTEL MEDICAL CORP            COMMON     138098108      187       8836 SH  -    DEFINED 04               8836         0        0
D CANTEL MEDICAL CORP            COMMON     138098108      132       6247 SH  -    DEFINED 05               6247         0        0
D CAPELLA EDUCATION COMPANY      COMMON     139594105        1         40 SH  -    DEFINED 02                 40         0        0
D CAPELLA EDUCATION COMPANY      COMMON     139594105      209       7361 SH  -    OTHER   02                  0      7361        0
D CAPELLA EDUCATION COMPANY      COMMON     139594105        0          4 SH  -    OTHER   02                  0         4        0
D CAPELLA EDUCATION COMPANY      COMMON     139594105      201       7096 SH  -    DEFINED 05               7096         0        0
D CAPELLA EDUCATION COMPANY      COMMON     139594105       22        765 SH  -    OTHER   01                  0       765        0
D CAPELLA EDUCATION COMPANY      COMMON     139594105     1079      38030 SH  -    OTHER   10                  0         0    38030
D CAPLEASE INC                   COMMON     140288101        1        253 SH  -    OTHER   02                  0       253        0
D CAPLEASE INC                   COMMON     140288101      700     193900 SH  -    DEFINED 04             180800         0    13100
D CAPLEASE INC                   COMMON     140288101        4        979 SH  -    DEFINED 05                979         0        0
D CAPITAL ONE FINL               COMMON     14040H105     6401     161508 SH  -    DEFINED 02             131918       443    29147
D CAPITAL ONE FINL               COMMON     14040H105     1617      40798 SH  -    DEFINED 02              40142        46      610
D CAPITAL ONE FINL               COMMON     14040H105     5495     138664 SH  -    DEFINED 02             138664         0        0
D CAPITAL ONE FINL               COMMON     14040H105      330       8335 SH  -    DEFINED 02               5694         0     2641
D CAPITAL ONE FINL               COMMON     14040H105     2899      73155 SH  -    OTHER   02              33151     33304     6700
D CAPITAL ONE FINL               COMMON     14040H105      171       4323 SH  -    OTHER   02               3568       348      407

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 179
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CAPITAL ONE FINL               COMMON     14040H105      227       5723 SH  -    OTHER   02                  0      5723        0
D CAPITAL ONE FINL               COMMON     14040H105       76       1928 SH  -    OTHER   02                  0      1928        0
D CAPITAL ONE FINL               COMMON     14040H105      470      11854 SH  -    OTHER   02                  0     11854        0
D CAPITAL ONE FINL               COMMON     14040H105       22        552 SH  -    OTHER   02                  0       552        0
D CAPITAL ONE FINL               COMMON     14040H105   313269    7904851 SH  -    DEFINED 04            6230960         0  1673891
D CAPITAL ONE FINL               COMMON     14040H105    10230     258147 SH  -    DEFINED 04             258147         0        0
D CAPITAL ONE FINL               COMMON     14040H105    21960     554126 SH  -    DEFINED 04             554126         0        0
D CAPITAL ONE FINL               COMMON     14040H105      242       6094 SH  -    DEFINED 04               6094         0        0
D CAPITAL ONE FINL               COMMON     14040H105     4115     103836 SH  -    DEFINED 04             103836         0        0
D CAPITAL ONE FINL               COMMON     14040H105    18902     476971 SH  -    DEFINED 04             445704         0    31267
D CAPITAL ONE FINL               COMMON     14040H105      200       5053 SH  -    DEFINED 04                  0         0     5053
D CAPITAL ONE FINL               COMMON     14040H105     5508     138974 SH  -    OTHER   04                  0    138974        0
D CAPITAL ONE FINL               COMMON     14040H105     5134     129548 SH  -    DEFINED 05             129548         0        0
D CAPITAL ONE FINL               COMMON     14040H105       28        713 SH  -    DEFINED 06                713         0        0
D CAPITAL ONE FINL               COMMON     14040H105    10452     263738 SH  -    DEFINED 08             263738         0        0
D CAPITAL ONE FINL               COMMON     14040H105    67883    1712932 SH  -    DEFINED 09            1662015     24053    11380
D CAPITAL ONE FINL               COMMON     14040H105     1816      45833 SH  -    DEFINED 09              45833         0        0
D CAPITAL ONE FINL               COMMON     14040H105    10649     268712 SH  -    DEFINED 09             229721         0        0
D CAPITAL ONE FINL               COMMON     14040H105     5079     128171 SH  -    DEFINED 09              39501         0        0
D CAPITAL ONE FINL               COMMON     14040H105     1801      45456 SH  -    OTHER   09                  0     45456        0
D CAPITAL ONE FINL               COMMON     14040H105      278       7011 SH  -    DEFINED 01               5988       591      432
D CAPITAL ONE FINL               COMMON     14040H105      102       2566 SH  -    OTHER   01               1033       633      900
D CAPITAL ONE FINL               COMMON     14040H105       32        810 SH  -    OTHER   10                  0         0      810
D CAPITAL ONE FINL               OPTION     14040H907      238       6000 SH  C    DEFINED 05               6000         0        0
D CAPITAL ONE FINL               OPTION     14040H956      143       3600 SH  P    DEFINED 05               3600         0        0
D CAPITALSOURCE INC              BOND       14055XAG7       14      14000 PRN -    DEFINED 05                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 180
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CAPITALSOURCE INC              COMMON     14055X102       85      13791 SH  -    OTHER   02                353     13438        0
D CAPITALSOURCE INC              COMMON     14055X102        6        915 SH  -    OTHER   02                  0         0      915
D CAPITALSOURCE INC              COMMON     14055X102      213      34725 SH  -    DEFINED 04              34725         0        0
D CAPITALSOURCE INC              COMMON     14055X102       82      13403 SH  -    DEFINED 05              13403         0        0
D CAPITALSOURCE INC              COMMON     14055X102     1939     315724 SH  -    DEFINED 08             315724         0        0
D CAPITALSOURCE INC              COMMON     14055X102       52       8519 SH  -    OTHER   01                  0      8519        0
D CAPITOL FED FINL INC           COMMON     14057J101       23       2223 SH  -    DEFINED 02               2223         0        0
D CAPITOL FED FINL INC           COMMON     14057J101       60       5645 SH  -    DEFINED 02               5585         0       60
D CAPITOL FED FINL INC           COMMON     14057J101       35       3326 SH  -    OTHER   02                250      3076        0
D CAPITOL FED FINL INC           COMMON     14057J101       23       2145 SH  -    OTHER   02                495        30     1620
D CAPITOL FED FINL INC           COMMON     14057J101    30565    2894391 SH  -    DEFINED 04            2772248         0   122143
D CAPITOL FED FINL INC           COMMON     14057J101      543      51400 SH  -    DEFINED 04              51400         0        0
D CAPITOL FED FINL INC           COMMON     14057J101       12       1105 SH  -    DEFINED 04               1105         0        0
D CAPITOL FED FINL INC           COMMON     14057J101      608      57590 SH  -    DEFINED 04              57590         0        0
D CAPITOL FED FINL INC           COMMON     14057J101      337      31946 SH  -    OTHER   04                  0     31946        0
D CAPITOL FED FINL INC           COMMON     14057J101     1704     161409 SH  -    OTHER   04                  0    161409        0
D CAPITOL FED FINL INC           COMMON     14057J101       71       6724 SH  -    DEFINED 05               6724         0        0
D CAPITOL FED FINL INC           COMMON     14057J101      130      12337 SH  -    DEFINED 08              12337         0        0
D CAPITOL FED FINL INC           COMMON     14057J101       32       3030 SH  -    DEFINED 01               3000         0       30
D CAPITOL FED FINL INC           COMMON     14057J101        0         25 SH  -    OTHER   01                  0        25        0
D CAPITOL FED FINL INC           COMMON     14057J101        0         35 SH  -    OTHER   10                  0         0       35
D CAPSTONE TURBINE C             COMMON     14067D102        4       3720 SH  -    DEFINED 05               3720         0        0
D CAPSTONE TURBINE C             COMMON     14067D102       15      15273 SH  -    DEFINED 08              15273         0        0
D CAPSTONE TURBINE C             COMMON     14067D102        4       4431 SH  -    OTHER   01                  0      4431        0
D CAPSTEAD MTG CORP              COMMON     14067E506    13134    1138150 SH  -    DEFINED 04            1043450         0    94700
D CAPSTEAD MTG CORP              COMMON     14067E506     5660     490500 SH  -    DEFINED 04             490500         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 181
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CAPSTEAD MTG CORP              COMMON     14067E506       14       1171 SH  -    DEFINED 05               1171         0        0
D CAPSTEAD MTG CORP              COMMON     14067E506     1588     137628 SH  -    DEFINED 08             137628         0        0
D CARBO CERAMICS                 COMMON     140781105       65        630 SH  -    DEFINED 02                630         0        0
D CARBO CERAMICS                 COMMON     140781105        8         78 SH  -    OTHER   02                  0        73        0
D CARBO CERAMICS                 COMMON     140781105    13440     131085 SH  -    DEFINED 04              72680         0    58405
D CARBO CERAMICS                 COMMON     140781105    15579     151944 SH  -    DEFINED 04             151944         0        0
D CARBO CERAMICS                 COMMON     140781105      872       8500 SH  -    DEFINED 04               8500         0        0
D CARBO CERAMICS                 COMMON     140781105     1510      14730 SH  -    DEFINED 05              14730         0        0
D CARBO CERAMICS                 COMMON     140781105        2         23 SH  -    OTHER   10                  0         0       23
D CARBONITE INC                  COMMON     141337105      126      10427 SH  -    DEFINED 05              10427         0        0
D CARDINAL HEALTH                COMMON     14149Y108    24983     596548 SH  -    DEFINED 02             535018      4787    56743
D CARDINAL HEALTH                COMMON     14149Y108     8670     207026 SH  -    DEFINED 02             201242       188     5596
D CARDINAL HEALTH                COMMON     14149Y108      952      22737 SH  -    DEFINED 02               8773         0    13964
D CARDINAL HEALTH                COMMON     14149Y108     8487     202655 SH  -    OTHER   02             115219     72744    14677
D CARDINAL HEALTH                COMMON     14149Y108      871      20805 SH  -    OTHER   02              17632       920     2253
D CARDINAL HEALTH                COMMON     14149Y108      170       4070 SH  -    OTHER   02                  0      4070        0
D CARDINAL HEALTH                COMMON     14149Y108      152       3631 SH  -    OTHER   02                  0      3631        0
D CARDINAL HEALTH                COMMON     14149Y108      390       9306 SH  -    OTHER   02                  0      9306        0
D CARDINAL HEALTH                COMMON     14149Y108   312517    7462197 SH  -    DEFINED 04            6953498         0   508699
D CARDINAL HEALTH                COMMON     14149Y108     3498      83518 SH  -    DEFINED 04              83518         0        0
D CARDINAL HEALTH                COMMON     14149Y108    25087     599016 SH  -    DEFINED 04             599016         0        0
D CARDINAL HEALTH                COMMON     14149Y108       95       2280 SH  -    DEFINED 04                  0         0     2280
D CARDINAL HEALTH                COMMON     14149Y108    18894     451136 SH  -    OTHER   04                  0    451136        0
D CARDINAL HEALTH                COMMON     14149Y108     1740      41541 SH  -    DEFINED 05              41541         0        0
D CARDINAL HEALTH                COMMON     14149Y108      208       4964 SH  -    DEFINED 08               4964         0        0
D CARDINAL HEALTH                COMMON     14149Y108      741      17703 SH  -    DEFINED 09              17703         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 182
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CARDINAL HEALTH                COMMON     14149Y108     1363      32534 SH  -    DEFINED 01              27854      2495     2185
D CARDINAL HEALTH                COMMON     14149Y108      511      12194 SH  -    OTHER   01               5768      2535     3891
D CARDINAL HEALTH                COMMON     14149Y108        1         25 SH  -    OTHER   10                  0         0       25
D CARDIONET INC                  COMMON     14159L103      501     167050 SH  -    DEFINED 04             151450         0    15600
D CARDIONET INC                  COMMON     14159L103        4       1444 SH  -    DEFINED 08               1444         0        0
D CARDTRONICS INC                COMMON     14161H108       12        506 SH  -    OTHER   02                  0       506        0
D CARDTRONICS INC                COMMON     14161H108      484      21134 SH  -    DEFINED 04              21134         0        0
D CARDTRONICS INC                COMMON     14161H108      625      27265 SH  -    DEFINED 05              27265         0        0
D CAREER EDUCATION CORP          COMMON     141665109        3        237 SH  -    OTHER   02                  0       237        0
D CAREER EDUCATION CORP          COMMON     141665109     1049      80393 SH  -    DEFINED 04              80393         0        0
D CAREER EDUCATION CORP          COMMON     141665109     1219      93438 SH  -    DEFINED 04              93438         0        0
D CAREER EDUCATION CORP          COMMON     141665109       17       1311 SH  -    DEFINED 05               1311         0        0
D CAREER EDUCATION CORP          COMMON     141665109       87       6650 SH  -    DEFINED 08               6650         0        0
D CAREFUSION CORP                COMMON     14170T101       95       3969 SH  -    DEFINED 02               2249      1700       20
D CAREFUSION CORP                COMMON     14170T101      143       5983 SH  -    DEFINED 02               5383         0      600
D CAREFUSION CORP                COMMON     14170T101       64       2673 SH  -    DEFINED 02               2577         0       96
D CAREFUSION CORP                COMMON     14170T101     5321     222185 SH  -    OTHER   02               2954    217519     1600
D CAREFUSION CORP                COMMON     14170T101      104       4323 SH  -    OTHER   02               1476      1500     1347
D CAREFUSION CORP                COMMON     14170T101     1549      64675 SH  -    DEFINED 04              58273         0     6402
D CAREFUSION CORP                COMMON     14170T101     1347      56240 SH  -    DEFINED 04              56240         0        0
D CAREFUSION CORP                COMMON     14170T101      559      23354 SH  -    DEFINED 05              23354         0        0
D CAREFUSION CORP                COMMON     14170T101      165       6900 SH  -    OTHER   01                  0      6900        0
D CARLISLE COS INC               COMMON     142339100       21        650 SH  -    DEFINED 02                650         0        0
D CARLISLE COS INC               COMMON     142339100      107       3370 SH  -    DEFINED 02               3370         0        0
D CARLISLE COS INC               COMMON     142339100       48       1512 SH  -    OTHER   02                  0      1512        0
D CARLISLE COS INC               COMMON     142339100       46       1450 SH  -    OTHER   02                  0         0     1450

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 183
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CARLISLE COS INC               COMMON     142339100   118132    3705532 SH  -    DEFINED 04            3042834         0   662698
D CARLISLE COS INC               COMMON     142339100    26250     823389 SH  -    DEFINED 04             823389         0        0
D CARLISLE COS INC               COMMON     142339100       42       1321 SH  -    DEFINED 04               1321         0        0
D CARLISLE COS INC               COMMON     142339100     1108      34740 SH  -    DEFINED 04              34740         0        0
D CARLISLE COS INC               COMMON     142339100     1424      44675 SH  -    DEFINED 04              44675         0        0
D CARLISLE COS INC               COMMON     142339100      809      25382 SH  -    OTHER   04                  0     25382        0
D CARLISLE COS INC               COMMON     142339100     4198     131681 SH  -    OTHER   04                  0    131681        0
D CARLISLE COS INC               COMMON     142339100       36       1126 SH  -    DEFINED 05               1126         0        0
D CARLISLE COS INC               COMMON     142339100       86       2682 SH  -    DEFINED 08               2682         0        0
D CARLISLE COS INC               COMMON     142339100       98       3088 SH  -    DEFINED 09               3088         0        0
D CARLISLE COS INC               COMMON     142339100        2         57 SH  -    OTHER   10                  0         0       57
D CARMAX INC                     COMMON     143130102       26       1100 SH  -    DEFINED 02                  0         0     1100
D CARMAX INC                     COMMON     143130102       42       1750 SH  -    DEFINED 02               1750         0        0
D CARMAX INC                     COMMON     143130102       65       2730 SH  -    DEFINED 02               2607         0      123
D CARMAX INC                     COMMON     143130102      134       5599 SH  -    OTHER   02                  0      3607     1992
D CARMAX INC                     COMMON     143130102        2         84 SH  -    OTHER   02                 12        56       16
D CARMAX INC                     COMMON     143130102     2256      94600 SH  -    DEFINED 04              43622         0    50978
D CARMAX INC                     COMMON     143130102      868      36404 SH  -    DEFINED 04              36404         0        0
D CARMAX INC                     COMMON     143130102      144       6030 SH  -    DEFINED 05               6030         0        0
D CARMAX INC                     COMMON     143130102        1         35 SH  -    OTHER   10                  0         0       35
D CARMAX INC                     OPTION     143130904       48       2000 SH  C    DEFINED 05               2000         0        0
D CARNIVAL PLC                   ADR        14365C103        2         70 SH  -    DEFINED 02                 70         0        0
D CARNIVAL PLC                   ADR        14365C103      242       7859 SH  -    OTHER   02                  0      7454      405
D CARNIVAL PLC                   ADR        14365C103        7        235 SH  -    OTHER   02                  0         0      235
D CARNIVAL PLC                   ADR        14365C103       59       1914 SH  -    OTHER   01                  0      1834        0
D CARNIVAL CORP                  COMMON     143658300    16150     533001 SH  -    DEFINED 02             469102      5506    58393

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 184
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CARNIVAL CORP                  COMMON     143658300     5055     166820 SH  -    DEFINED 02             160534       164     6122
D CARNIVAL CORP                  COMMON     143658300     5192     171364 SH  -    DEFINED 02             171364         0        0
D CARNIVAL CORP                  COMMON     143658300      852      28125 SH  -    DEFINED 02              11308         0    16817
D CARNIVAL CORP                  COMMON     143658300    11183     369075 SH  -    OTHER   02             115309    165873    87739
D CARNIVAL CORP                  COMMON     143658300      970      32007 SH  -    OTHER   02              18108      3311    10588
D CARNIVAL CORP                  COMMON     143658300      109       3598 SH  -    OTHER   02                  0      3598        0
D CARNIVAL CORP                  COMMON     143658300       96       3153 SH  -    OTHER   02                  0      3153        0
D CARNIVAL CORP                  COMMON     143658300      244       8055 SH  -    OTHER   02                  0      8055        0
D CARNIVAL CORP                  COMMON     143658300   281804    9300476 SH  -    DEFINED 04            7957707         0  1342769
D CARNIVAL CORP                  COMMON     143658300     5480     180856 SH  -    DEFINED 04             180856         0        0
D CARNIVAL CORP                  COMMON     143658300    28886     953322 SH  -    DEFINED 04             953322         0        0
D CARNIVAL CORP                  COMMON     143658300     5193     171375 SH  -    DEFINED 04             171375         0        0
D CARNIVAL CORP                  COMMON     143658300    24643     813307 SH  -    DEFINED 04             773369         0     2734
D CARNIVAL CORP                  COMMON     143658300      142       4693 SH  -    DEFINED 04                  0         0     4693
D CARNIVAL CORP                  COMMON     143658300    12087     398918 SH  -    OTHER   04                  0    398918        0
D CARNIVAL CORP                  COMMON     143658300     3203     105716 SH  -    DEFINED 05             105716         0        0
D CARNIVAL CORP                  COMMON     143658300    54224    1789558 SH  -    DEFINED 09            1761785         0    12041
D CARNIVAL CORP                  COMMON     143658300      850      28040 SH  -    DEFINED 09              28040         0        0
D CARNIVAL CORP                  COMMON     143658300     1894      62506 SH  -    DEFINED 09              62506         0        0
D CARNIVAL CORP                  COMMON     143658300     4732     156163 SH  -    DEFINED 09              38728         0        0
D CARNIVAL CORP                  COMMON     143658300      431      14229 SH  -    OTHER   09                  0     14229        0
D CARNIVAL CORP                  COMMON     143658300      831      27415 SH  -    DEFINED 01              23409      2055     1951
D CARNIVAL CORP                  COMMON     143658300      402      13279 SH  -    OTHER   01               4106      5816     3357
D CARNIVAL CORP                  COMMON     143658300     1992      65756 SH  -    OTHER   10                  0         0    65756
D CARPENTER TECHNOLOGY CORP      COMMON     144285103        1         21 SH  -    OTHER   02                  0        21        0
D CARPENTER TECHNOLOGY CORP      COMMON     144285103      181       4025 SH  -    DEFINED 04               4025         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 185
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CARPENTER TECHNOLOGY CORP      COMMON     144285103       50       1106 SH  -    DEFINED 05               1106         0        0
D CARPENTER TECHNOLOGY CORP      COMMON     144285103        3         72 SH  -    OTHER   10                  0         0       72
D CARRIZO OIL & CO INC           COMMON     144577103      137       6338 SH  -    OTHER   02                  0      6338        0
D CARRIZO OIL & CO INC           COMMON     144577103        4        190 SH  -    OTHER   02                  0         0      190
D CARRIZO OIL & CO INC           COMMON     144577103       19        892 SH  -    DEFINED 05                892         0        0
D CARRIZO OIL & CO INC           COMMON     144577103      630      29230 SH  -    DEFINED 08              29230         0        0
D CARRIZO OIL & CO INC           COMMON     144577103      116       5390 SH  -    OTHER   01                  0      5390        0
D CARROLS RESTAURANT GROUP INC   COMMON     14574X104     1157     130000 SH  -    OTHER   02             130000         0        0
D CARROLS RESTAURANT GROUP INC   COMMON     14574X104        0          1 SH  -    DEFINED 05                  1         0        0
D CARROLS RESTAURANT GROUP INC   COMMON     14574X104        7        759 SH  -    DEFINED 08                759         0        0
D CARTER INC                     COMMON     146229109     2518      82465 SH  -    OTHER   02               1100     79345     2020
D CARTER INC                     COMMON     146229109      113       3700 SH  -    OTHER   02                  0      3700        0
D CARTER INC                     COMMON     146229109      724      23708 SH  -    DEFINED 05              23708         0        0
D CARTER INC                     COMMON     146229109      558      18285 SH  -    DEFINED 08              18285         0        0
D CARTER INC                     COMMON     146229109      209       6850 SH  -    OTHER   01                  0      6200        0
D CARTER INC                     COMMON     146229109       15        500 SH  -    OTHER   10                  0         0      500
D CASCADE BANCORP                COMMON     147154207      388      66505 SH  -    DEFINED 04              58305         0     8200
D CASCADE BANCORP                COMMON     147154207        3        573 SH  -    DEFINED 08                573         0        0
D CASCADE CORP                   COMMON     147195101       52       1550 SH  -    OTHER   02                  0      1550        0
D CASCADE CORP                   COMMON     147195101      826      24745 SH  -    DEFINED 04              22945         0     1800
D CASCADE CORP                   COMMON     147195101      547      16374 SH  -    DEFINED 04              16374         0        0
D CASCADE CORP                   COMMON     147195101      136       4072 SH  -    DEFINED 05               4072         0        0
D CASEYS GEN STORES INC          COMMON     147528103      782      17905 SH  -    OTHER   02                520     17385        0
D CASEYS GEN STORES INC          COMMON     147528103       17        400 SH  -    OTHER   02                  0         0      400
D CASEYS GEN STORES INC          COMMON     147528103      445      10199 SH  -    DEFINED 04              10199         0        0
D CASEYS GEN STORES INC          COMMON     147528103     3440      78805 SH  -    DEFINED 04              78805         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 186
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CASEYS GEN STORES INC          COMMON     147528103      802      18374 SH  -    DEFINED 05              18374         0        0
D CASEYS GEN STORES INC          COMMON     147528103      128       2930 SH  -    OTHER   01                  0      2930        0
D CASH AMER INTL INC             COMMON     14754D100        8        161 SH  -    DEFINED 02                161         0        0
D CASH AMER INTL INC             COMMON     14754D100      135       2633 SH  -    OTHER   02                  0        33     2600
D CASH AMER INTL INC             COMMON     14754D100    11972     234010 SH  -    DEFINED 04             202610         0    31400
D CASH AMER INTL INC             COMMON     14754D100      821      16044 SH  -    DEFINED 04              16044         0        0
D CASH AMER INTL INC             COMMON     14754D100      700      13691 SH  -    DEFINED 05              13691         0        0
D CASH AMER INTL INC             COMMON     14754D100      140       2744 SH  -    DEFINED 09                  0         0     2744
D CASH AMER INTL INC             COMMON     14754D100        3         56 SH  -    OTHER   01                  0        56        0
D CASH AMER INTL INC             COMMON     14754D100        7        139 SH  -    OTHER   10                  0         0      139
D CASTLE A M & CO                COMMON     148411101      219      20000 SH  -    DEFINED 04              20000         0        0
D CASTLE A M & CO                COMMON     148411101     1200     109650 SH  -    DEFINED 04             109650         0        0
D CASTLE A M & CO                COMMON     148411101       85       7755 SH  -    DEFINED 05               7755         0        0
D CASUAL MALE RETAIL GRP INC     COMMON     148711302        3        756 SH  -    OTHER   02                  0       756        0
D CASUAL MALE RETAIL GRP INC     COMMON     148711302      761     202500 SH  -    DEFINED 04             153800         0    48700
D CASUAL MALE RETAIL GRP INC     COMMON     148711302        0          1 SH  -    DEFINED 05                  1         0        0
D CASUAL MALE RETAIL GRP INC     COMMON     148711302        9       2437 SH  -    DEFINED 08               2437         0        0
D CATALYST HEALTH SOLUTIONS INC  COMMON     14888B103        3         53 SH  -    DEFINED 02                 53         0        0
D CATALYST HEALTH SOLUTIONS INC  COMMON     14888B103       16        270 SH  -    OTHER   02                  0       270        0
D CATALYST HEALTH SOLUTIONS INC  COMMON     14888B103     1458      25281 SH  -    DEFINED 04              25281         0        0
D CATALYST HEALTH SOLUTIONS INC  COMMON     14888B103       79       1365 SH  -    DEFINED 05               1365         0        0
D CATALYST HEALTH SOLUTIONS INC  COMMON     14888B103     5132      88965 SH  -    DEFINED 08              88965         0        0
D CATALYST HEALTH SOLUTIONS INC  COMMON     14888B103       19        334 SH  -    OTHER   10                  0         0      334
D CATERPILLAR INC                COMMON     149123101     4991      67591 SH  -    DEFINED 02              34145       200    33246
D CATERPILLAR INC                COMMON     149123101     4978      67420 SH  -    DEFINED 02              67420         0        0
D CATERPILLAR INC                COMMON     149123101      583       7899 SH  -    DEFINED 02               7446         0      453

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 187
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CATERPILLAR INC                COMMON     149123101    12292     166473 SH  -    OTHER   02              83680     52384    29895
D CATERPILLAR INC                COMMON     149123101     2064      27957 SH  -    OTHER   02              20807       450     6700
D CATERPILLAR INC                COMMON     149123101    84161    1139780 SH  -    DEFINED 04             807269         0   332511
D CATERPILLAR INC                COMMON     149123101    31811     430810 SH  -    DEFINED 04             430810         0        0
D CATERPILLAR INC                COMMON     149123101     4695      63580 SH  -    DEFINED 04              63580         0        0
D CATERPILLAR INC                COMMON     149123101      299       4055 SH  -    DEFINED 04               4055         0        0
D CATERPILLAR INC                COMMON     149123101     3171      42948 SH  -    DEFINED 04              24289         0    18659
D CATERPILLAR INC                COMMON     149123101       41        555 SH  -    OTHER   04                  0       555        0
D CATERPILLAR INC                COMMON     149123101    61232     829253 SH  -    DEFINED 05             829253         0        0
D CATERPILLAR INC                COMMON     149123101     5458      73922 SH  -    DEFINED 08              73922         0        0
D CATERPILLAR INC                COMMON     149123101    12873     174339 SH  -    DEFINED 09             163204     11135        0
D CATERPILLAR INC                COMMON     149123101      824      11156 SH  -    DEFINED 09              11156         0        0
D CATERPILLAR INC                COMMON     149123101     5914      80093 SH  -    DEFINED 09              80093         0        0
D CATERPILLAR INC                COMMON     149123101      148       2006 SH  -    OTHER   09                  0      2006        0
D CATERPILLAR INC                COMMON     149123101     2637      35711 SH  -    DEFINED 01              35650         0       61
D CATERPILLAR INC                COMMON     149123101      527       7134 SH  -    OTHER   01               6600       534        0
D CATERPILLAR INC                COMMON     149123101     5502      74519 SH  -    OTHER   10                  0         0    74519
D CATERPILLAR INC                OPTION     149123903     4504      61000 SH  C    DEFINED 05              61000         0        0
D CATERPILLAR INC                OPTION     149123903     5174      70066 SH  C    DEFINED 08              70066         0        0
D CATERPILLAR INC                OPTION     149123952     5029      68100 SH  P    DEFINED 05              68100         0        0
D CATERPILLAR INC                OPTION     149123952     4467      60500 SH  P    DEFINED 08              60500         0        0
D CATHAY GENERAL BANCORP         COMMON     149150104        8        703 SH  -    OTHER   02                  0       703        0
D CATHAY GENERAL BANCORP         COMMON     149150104        1         78 SH  -    OTHER   02                  0        62       16
D CATHAY GENERAL BANCORP         COMMON     149150104     2697     237025 SH  -    DEFINED 04             211225         0    25800
D CATHAY GENERAL BANCORP         COMMON     149150104     3331     292692 SH  -    DEFINED 04             292692         0        0
D CATHAY GENERAL BANCORP         COMMON     149150104       13       1131 SH  -    DEFINED 05               1131         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 188
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CATHAY GENERAL BANCORP         COMMON     149150104       72       6318 SH  -    DEFINED 08               6318         0        0
D CATO CORP                      COMMON     149205106       85       3782 SH  -    OTHER   02                  0      3782        0
D CATO CORP                      COMMON     149205106     1139      50485 SH  -    DEFINED 04              50485         0        0
D CATO CORP                      COMMON     149205106      310      13721 SH  -    DEFINED 05              13721         0        0
D CAVIUM INC                     COMMON     14964U108     6156     227930 SH  -    DEFINED 04             163750         0    64180
D CAVIUM INC                     COMMON     14964U108      973      36030 SH  -    DEFINED 04              36030         0        0
D CAVIUM INC                     COMMON     14964U108      283      10492 SH  -    DEFINED 05              10492         0        0
D CAVIUM INC                     COMMON     14964U108       68       2534 SH  -    DEFINED 08               2534         0        0
D CAVIUM INC                     COMMON     14964U108      463      17146 SH  -    OTHER   10                  0         0    17146
D CBEYOND INC                    COMMON     149847105        3        363 SH  -    DEFINED 02                  0       363        0
D CBEYOND INC                    COMMON     149847105      161      22849 SH  -    OTHER   02                  0     22849        0
D CBEYOND INC                    COMMON     149847105        5        769 SH  -    OTHER   02                  0         0      769
D CBEYOND INC                    COMMON     149847105      137      19370 SH  -    DEFINED 04              19370         0        0
D CBEYOND INC                    COMMON     149847105      101      14324 SH  -    DEFINED 05              14324         0        0
D CEDAR FAIR L P                 COMMON     150185106      129       6800 SH  -    DEFINED 02               6800         0        0
D CEDAR FAIR L P                 COMMON     150185106     2552     135000 SH  -    OTHER   02               2700    132300        0
D CEDAR FAIR L P                 COMMON     150185106      353      18700 SH  -    OTHER   02                  0     18700        0
D CEDAR FAIR L P                 COMMON     150185106      485      25650 SH  -    OTHER   01                  0     25650        0
D CEDAR FAIR L P                 COMMON     150185106    30799    1629576 SH  -    DEFINED 10            1629576         0        0
D CEDAR SHOPPING CTRS INC        COMMON     150602209      114      36545 SH  -    DEFINED 04              36545         0        0
D CEDAR SHOPPING CTRS INC        COMMON     150602209       81      26041 SH  -    DEFINED 05              26041         0        0
D CELADON GROUP INC              COMMON     150838100      189      21325 SH  -    DEFINED 04              19525         0     1800
D CELADON GROUP INC              COMMON     150838100      232      26100 SH  -    DEFINED 04              26100         0        0
D CELADON GROUP INC              COMMON     150838100        3        324 SH  -    DEFINED 05                324         0        0
D CELADON GROUP INC              COMMON     150838100       11       1202 SH  -    DEFINED 08               1202         0        0
D CELANESE CORP DEL              COMMON     150870103        5        155 SH  -    DEFINED 02                155         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 189
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CELANESE CORP DEL              COMMON     150870103       99       3037 SH  -    OTHER   02                165      2187      685
D CELANESE CORP DEL              COMMON     150870103      492      15139 SH  -    DEFINED 04              15139         0        0
D CELANESE CORP DEL              COMMON     150870103      416      12779 SH  -    DEFINED 04              12779         0        0
D CELANESE CORP DEL              COMMON     150870103       95       2925 SH  -    OTHER   04                  0      2925        0
D CELANESE CORP DEL              COMMON     150870103     1091      33548 SH  -    DEFINED 05              33548         0        0
D CELANESE CORP DEL              COMMON     150870103       68       2085 SH  -    DEFINED 06               2085         0        0
D CELANESE CORP DEL              COMMON     150870103     1979      60847 SH  -    DEFINED 08              60847         0        0
D CELANESE CORP DEL              COMMON     150870103        4        131 SH  -    OTHER   01                  0       131        0
D CELANESE CORP DEL              COMMON     150870103        1         30 SH  -    OTHER   10                  0         0       30
D CELL THERAPEUTICS INC          COMMON     150934602      279     263028 SH  -    DEFINED 05             263028         0        0
D CELL THERAPEUTICS INC          COMMON     150934602       10       9891 SH  -    DEFINED 08               9891         0        0
D CELGENE CORP                   COMMON     151020104    25319     408968 SH  -    DEFINED 02             341168      2174    65626
D CELGENE CORP                   COMMON     151020104     6774     109413 SH  -    DEFINED 02             107808       109     1496
D CELGENE CORP                   COMMON     151020104     2367      38239 SH  -    DEFINED 02              38239         0        0
D CELGENE CORP                   COMMON     151020104     1590      25684 SH  -    DEFINED 02              11262         0    14422
D CELGENE CORP                   COMMON     151020104    13455     217325 SH  -    OTHER   02              92515    105305    19469
D CELGENE CORP                   COMMON     151020104     2336      37734 SH  -    OTHER   02              23944      2547    11243
D CELGENE CORP                   COMMON     151020104      192       3107 SH  -    OTHER   02                  0      3107        0
D CELGENE CORP                   COMMON     151020104      127       2053 SH  -    OTHER   02                  0      2053        0
D CELGENE CORP                   COMMON     151020104     1928      31146 SH  -    OTHER   02                  0     31146        0
D CELGENE CORP                   COMMON     151020104   431826    6975061 SH  -    DEFINED 04            5100907         0  1874154
D CELGENE CORP                   COMMON     151020104    14856     239954 SH  -    DEFINED 04             239954         0        0
D CELGENE CORP                   COMMON     151020104    41238     666090 SH  -    DEFINED 04             666090         0        0
D CELGENE CORP                   COMMON     151020104       59        949 SH  -    DEFINED 04                949         0        0
D CELGENE CORP                   COMMON     151020104     5759      93030 SH  -    DEFINED 04              93030         0        0
D CELGENE CORP                   COMMON     151020104    31511     508984 SH  -    DEFINED 04             506621         0     2363

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 190
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CELGENE CORP                   COMMON     151020104      417       6728 SH  -    DEFINED 04                  0         0     6728
D CELGENE CORP                   COMMON     151020104        7        105 SH  -    OTHER   04                  0       105        0
D CELGENE CORP                   COMMON     151020104    16035     258999 SH  -    OTHER   04                  0    258999        0
D CELGENE CORP                   COMMON     151020104     3271      52833 SH  -    DEFINED 05              52833         0        0
D CELGENE CORP                   COMMON     151020104     2553      41232 SH  -    DEFINED 08              41232         0        0
D CELGENE CORP                   COMMON     151020104    50089     809054 SH  -    DEFINED 09             767128         0    30307
D CELGENE CORP                   COMMON     151020104     2838      45845 SH  -    DEFINED 09              45845         0        0
D CELGENE CORP                   COMMON     151020104     1568      25324 SH  -    DEFINED 09              25324         0        0
D CELGENE CORP                   COMMON     151020104     9392     151708 SH  -    OTHER   09                  0    151708        0
D CELGENE CORP                   COMMON     151020104     4578      73944 SH  -    DEFINED 01              71225      1349     1370
D CELGENE CORP                   COMMON     151020104     2328      37604 SH  -    OTHER   01              24200     10840     2313
D CELGENE CORP                   COMMON     151020104     1669      26956 SH  -    OTHER   10                  0         0    26956
D CELGENE CORP                   RIGHT      151020112        0        266 SH  -    OTHER   02                  0         0      266
D CELGENE CORP                   RIGHT      151020112       48      27462 SH  -    DEFINED 05              27462         0        0
D CELLDEX THERAPEUTICS INC NEW   COMMON     15117B103       42      18269 SH  -    DEFINED 05              18269         0        0
D CELLDEX THERAPEUTICS INC NEW   COMMON     15117B103        7       3044 SH  -    DEFINED 08               3044         0        0
D CEMEX SAB DE CV                BOND       151290AV5     3980    8400000 PRN -    DEFINED 04                  0         0        0
D CEMEX SAB DE CV                BOND       151290AV5     1498    3163000 PRN -    DEFINED 05                  0         0        0
D CEMEX SAB DE CV                BOND       151290AV5    11939   25200000 PRN -    DEFINED 09                  0         0        0
D CEMEX SAB DE CV                BOND       151290AV5      995    2100000 PRN -    DEFINED 09                  0         0        0
D CEMEX SAB DE CV                ADR        151290889        6       1881 SH  -    OTHER   02               1259         0      622
D CEMEX SAB DE CV                ADR        151290889      129      40849 SH  -    DEFINED 04              40849         0        0
D CEMEX SAB DE CV                ADR        151290889        7       2349 SH  -    DEFINED 04               2349         0        0
D CEMEX SAB DE CV                ADR        151290889       20       6301 SH  -    DEFINED 05               6301         0        0
D CEMEX SAB DE CV                ADR        151290889    31639   10012339 SH  -    DEFINED 08           10012339         0        0
D CEMEX SAB DE CV                ADR        151290889     1281     405326 SH  -    OTHER   10                  0         0   405326

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 191
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CENTENE CORPORATION            COMMON     15135B101      122       4256 SH  -    OTHER   02                  0        56     4200
D CENTENE CORPORATION            COMMON     15135B101      555      19374 SH  -    DEFINED 04              19374         0        0
D CENTENE CORPORATION            COMMON     15135B101      673      23481 SH  -    DEFINED 05              23481         0        0
D CENTENE CORPORATION            COMMON     15135B101       10        336 SH  -    DEFINED 08                336         0        0
D CENTENE CORPORATION            COMMON     15135B101      122       4240 SH  -    DEFINED 09               4240         0        0
D CENTENE CORPORATION            COMMON     15135B101        2         59 SH  -    OTHER   10                  0         0       59
D CENOVUS ENERGY INC             COMMON     15135U109       98       3205 SH  -    DEFINED 02                230      2975        0
D CENOVUS ENERGY INC             COMMON     15135U109        5        150 SH  -    DEFINED 02                150         0        0
D CENOVUS ENERGY INC             COMMON     15135U109     4948     161117 SH  -    OTHER   02                  0    118992    42125
D CENOVUS ENERGY INC             COMMON     15135U109      350      11393 SH  -    OTHER   02               1368      3050     6975
D CENOVUS ENERGY INC             COMMON     15135U109      158       5154 SH  -    DEFINED 05               5154         0        0
D CENOVUS ENERGY INC             COMMON     15135U109      914      29752 SH  -    DEFINED 06              29752         0        0
D CENOVUS ENERGY INC             COMMON     15135U109     1239      40350 SH  -    DEFINED 08              40350         0        0
D CENOVUS ENERGY INC             COMMON     15135U109     1293      42100 SH  -    DEFINED 09              42100         0        0
D CENOVUS ENERGY INC             COMMON     15135U109      508      16539 SH  -    OTHER   01              10000      6139        0
D CENOVUS ENERGY INC             COMMON     15135U109     3109     101232 SH  -    OTHER   10                  0         0   101232
D CENTER FINL CORP CALIF         COMMON     15146E102        3        544 SH  -    DEFINED 05                544         0        0
D CENTER FINL CORP CALIF         COMMON     15146E102       10       2102 SH  -    DEFINED 08               2102         0        0
D CENTER FINL CORP CALIF         COMMON     15146E102      493     105169 SH  -    DEFINED 09             105169         0        0
D CENTERPOINT ENERGY             COMMON     15189T107    23552    1200404 SH  -    DEFINED 02            1075358      8208   116838
D CENTERPOINT ENERGY             COMMON     15189T107     7329     373569 SH  -    DEFINED 02             355681       400    17488
D CENTERPOINT ENERGY             COMMON     15189T107     1269      64680 SH  -    DEFINED 02              64680         0        0
D CENTERPOINT ENERGY             COMMON     15189T107      572      29141 SH  -    DEFINED 02              12218         0    16923
D CENTERPOINT ENERGY             COMMON     15189T107     7030     358326 SH  -    OTHER   02             246513     66550    45263
D CENTERPOINT ENERGY             COMMON     15189T107      833      42462 SH  -    OTHER   02              40243      1794      425
D CENTERPOINT ENERGY             COMMON     15189T107      160       8155 SH  -    OTHER   02                  0      8155        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 192
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CENTERPOINT ENERGY             COMMON     15189T107      149       7618 SH  -    OTHER   02                  0      7618        0
D CENTERPOINT ENERGY             COMMON     15189T107      372      18935 SH  -    OTHER   02                  0     18935        0
D CENTERPOINT ENERGY             COMMON     15189T107   159361    8122380 SH  -    DEFINED 04            6481918         0  1640462
D CENTERPOINT ENERGY             COMMON     15189T107     5378     274133 SH  -    DEFINED 04             274133         0        0
D CENTERPOINT ENERGY             COMMON     15189T107    17039     868431 SH  -    DEFINED 04             868431         0        0
D CENTERPOINT ENERGY             COMMON     15189T107     5661     288537 SH  -    DEFINED 04             288537         0        0
D CENTERPOINT ENERGY             COMMON     15189T107    23534    1199472 SH  -    DEFINED 04            1124631         0     3920
D CENTERPOINT ENERGY             COMMON     15189T107      172       8761 SH  -    DEFINED 04                  0         0     8761
D CENTERPOINT ENERGY             COMMON     15189T107      496      25256 SH  -    OTHER   04                  0     25256        0
D CENTERPOINT ENERGY             COMMON     15189T107    20726    1056356 SH  -    OTHER   04                  0   1056356        0
D CENTERPOINT ENERGY             COMMON     15189T107      321      16357 SH  -    DEFINED 05              16357         0        0
D CENTERPOINT ENERGY             COMMON     15189T107    35990    1834344 SH  -    DEFINED 09            1794304         0    17561
D CENTERPOINT ENERGY             COMMON     15189T107     1728      88069 SH  -    DEFINED 09              88069         0        0
D CENTERPOINT ENERGY             COMMON     15189T107     1091      55600 SH  -    DEFINED 09              55600         0        0
D CENTERPOINT ENERGY             COMMON     15189T107       70       3552 SH  -    OTHER   09                  0      3552        0
D CENTERPOINT ENERGY             COMMON     15189T107     1297      66126 SH  -    DEFINED 01              56682      5018     4426
D CENTERPOINT ENERGY             COMMON     15189T107      470      23949 SH  -    OTHER   01              10585      5117     8247
D CENTERPOINT ENERGY             COMMON     15189T107      236      12050 SH  -    OTHER   10                  0         0    12050
D CENTERSTATE BANKS INC          COMMON     15201P109       27       5133 SH  -    DEFINED 04               5133         0        0
D CENTERSTATE BANKS INC          COMMON     15201P109      160      30500 SH  -    DEFINED 04              30500         0        0
D CENTERSTATE BANKS INC          COMMON     15201P109        2        410 SH  -    DEFINED 05                410         0        0
D CENTERSTATE BANKS INC          COMMON     15201P109       10       1919 SH  -    DEFINED 08               1919         0        0
D CENTRAIS ELETRICAS BRASILEIRAS PREF ADR   15234Q108       68       5835 SH  -    DEFINED 02                  0      5835        0
D CENTRAIS ELETRICAS BRASILEIRAS PREF ADR   15234Q108      500      42806 SH  -    OTHER   02               5691     37115        0
D CENTRAIS ELETRICAS BRASILEIRAS PREF ADR   15234Q108       26       2230 SH  -    OTHER   01                  0      2230        0
D CENTRAIS ELETRICAS BRASILEIRAS ADR        15234Q207        1         92 SH  -    DEFINED 05                 92         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 193
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CENTRAIS ELETRICAS BRASILEIRAS ADR        15234Q207     5881     670636 SH  -    DEFINED 08             670636         0        0
D CENTRAIS ELETRICAS BRASILEIRAS ADR        15234Q207        8        938 SH  -    OTHER   01                  0       938        0
D CENTRAIS ELETRICAS BRASILEIRAS ADR        15234Q207        2        188 SH  -    OTHER   10                  0         0      188
D CENTRAL EUROPEAN DIST CORP     BOND       153435AA0        5       8000 PRN -    DEFINED 02                  0         0        0
D CENTRAL EUROPEAN DIST CORP     BOND       153435AA0     1949    2845000 PRN -    DEFINED 05                  0         0        0
D CENTRAL FD CDA LTD             COMMON     153501101      114       5500 SH  -    OTHER   02                  0         0     5500
D CENTRAL FD CDA LTD             COMMON     153501101      155       7500 SH  -    OTHER   02                  0         0     7500
D CENTRAL FD CDA LTD             COMMON     153501101       91       4406 SH  -    OTHER   10                  0         0     4406
D CENTRAL GARDEN & PET CO        COMMON     153527205        3        472 SH  -    OTHER   02                  0       472        0
D CENTRAL GARDEN & PET CO        COMMON     153527205      741     104700 SH  -    DEFINED 04             104700         0        0
D CENTRAL GARDEN & PET CO        COMMON     153527205     3920     553617 SH  -    DEFINED 04             553617         0        0
D CENTRAL GARDEN & PET CO        COMMON     153527205      154      21809 SH  -    DEFINED 05              21809         0        0
D CENTRAL GOLDTRUST              COMMON     153546106      306       4800 SH  -    OTHER   02                  0         0     4800
D CENTRAL VT PUB SVC CORP        COMMON     155771108       11        301 SH  -    OTHER   02                  0       301        0
D CENTRAL VT PUB SVC CORP        COMMON     155771108     1602      45500 SH  -    DEFINED 04              41300         0     4200
D CENTRAL VT PUB SVC CORP        COMMON     155771108      307       8711 SH  -    DEFINED 04               8711         0        0
D CENTRAL VT PUB SVC CORP        COMMON     155771108      222       6297 SH  -    DEFINED 05               6297         0        0
D CENTRAL VT PUB SVC CORP        COMMON     155771108     3688     104757 SH  -    DEFINED 09             104757         0        0
D CENTURY ALUM CO                COMMON     156431108       13       1442 SH  -    OTHER   02                  0      1380        0
D CENTURY ALUM CO                COMMON     156431108     2113     236300 SH  -    DEFINED 04             215400         0    20900
D CENTURY ALUM CO                COMMON     156431108     3107     347541 SH  -    DEFINED 04             347541         0        0
D CENTURY ALUM CO                COMMON     156431108      238      26599 SH  -    DEFINED 05              26599         0        0
D CENTURY ALUM CO                COMMON     156431108     3699     413791 SH  -    DEFINED 08             413791         0        0
D CEPHEID                        COMMON     15670R107       18        473 SH  -    OTHER   02                 47       426        0
D CEPHEID                        COMMON     15670R107     3700      95291 SH  -    DEFINED 05              95291         0        0
D CEPHEID                        COMMON     15670R107      141       3619 SH  -    DEFINED 08               3619         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 194
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CENVEO INC                     COMMON     15670S105     2593     861600 SH  -    DEFINED 04             728600         0   133000
D CENVEO INC                     COMMON     15670S105        3        855 SH  -    DEFINED 05                855         0        0
D CENVEO INC                     COMMON     15670S105        9       3027 SH  -    DEFINED 08               3027         0        0
D CENTURYLINK INC                COMMON     156700106      396      11942 SH  -    DEFINED 02              11813         0      129
D CENTURYLINK INC                COMMON     156700106     1324      39981 SH  -    DEFINED 02              39289         0      692
D CENTURYLINK INC                COMMON     156700106      247       7465 SH  -    DEFINED 02               7104         0      361
D CENTURYLINK INC                COMMON     156700106     1519      45872 SH  -    OTHER   02               9553     34371     1793
D CENTURYLINK INC                COMMON     156700106      429      12965 SH  -    OTHER   02               8566       124     4275
D CENTURYLINK INC                COMMON     156700106   173551    5240080 SH  -    DEFINED 04            4904980         0   335100
D CENTURYLINK INC                COMMON     156700106     6618     199833 SH  -    DEFINED 04             199833         0        0
D CENTURYLINK INC                COMMON     156700106      348      10518 SH  -    DEFINED 04              10518         0        0
D CENTURYLINK INC                COMMON     156700106     1797      54263 SH  -    DEFINED 04              54263         0        0
D CENTURYLINK INC                COMMON     156700106      997      30096 SH  -    OTHER   04                  0     30096        0
D CENTURYLINK INC                COMMON     156700106     6333     191215 SH  -    OTHER   04                  0    191215        0
D CENTURYLINK INC                COMMON     156700106     9759     294661 SH  -    DEFINED 05             294661         0        0
D CENTURYLINK INC                COMMON     156700106     2414      72875 SH  -    DEFINED 08              72875         0        0
D CENTURYLINK INC                COMMON     156700106       95       2854 SH  -    DEFINED 09               2854         0        0
D CENTURYLINK INC                COMMON     156700106     4450     134348 SH  -    OTHER   09                  0    134348        0
D CENTURYLINK INC                COMMON     156700106      163       4917 SH  -    DEFINED 01               4700         0      217
D CENTURYLINK INC                COMMON     156700106       16        493 SH  -    OTHER   01                  0       273      220
D CENTURYLINK INC                COMMON     156700106     2326      70222 SH  -    OTHER   10                  0         0    70222
D CENTURYLINK INC                OPTION     156700908     3312     100000 SH  C    DEFINED 05             100000         0        0
D CEPHALON INC                   BOND       156708AP4     9845    5642000 PRN -    DEFINED 05                  0         0        0
D CEPHALON INC                   BOND       156708AP4     4363    2500000 PRN -    DEFINED 08                  0         0        0
D CEPHALON INC                   BOND       156708AR0     1906    1542000 PRN -    DEFINED 05                  0         0        0
D CEPHALON INC                   COMMON     156708109        1          9 SH  -    DEFINED 02                  9         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 195
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CEPHALON INC                   COMMON     156708109       78        965 SH  -    DEFINED 02                899         0       66
D CEPHALON INC                   COMMON     156708109      158       1953 SH  -    OTHER   02                 14      1618      294
D CEPHALON INC                   COMMON     156708109        8        105 SH  -    OTHER   02                  0        95       10
D CEPHALON INC                   COMMON     156708109     1524      18887 SH  -    DEFINED 04              16656         0     2231
D CEPHALON INC                   COMMON     156708109     2552      31623 SH  -    DEFINED 04              31623         0        0
D CEPHALON INC                   COMMON     156708109      591       7319 SH  -    DEFINED 04               7319         0        0
D CEPHALON INC                   COMMON     156708109        3         41 SH  -    OTHER   04                  0        41        0
D CEPHALON INC                   COMMON     156708109   119510    1480916 SH  -    DEFINED 05            1480916         0        0
D CEPHALON INC                   COMMON     156708109    79902     990112 SH  -    DEFINED 08             990112         0        0
D CEPHALON INC                   COMMON     156708109    14490     179558 SH  -    DEFINED 09             105490         0        0
D CEPHALON INC                   COMMON     156708109        7         88 SH  -    OTHER   01                  0        88        0
D CERADYNE INC                   COMMON     156710105       71       2655 SH  -    OTHER   02                  0        21     2634
D CERADYNE INC                   COMMON     156710105      190       7081 SH  -    OTHER   02                  0       302     6779
D CERADYNE INC                   COMMON     156710105     1776      66040 SH  -    DEFINED 04              60140         0     5900
D CERADYNE INC                   COMMON     156710105     1805      67142 SH  -    DEFINED 04              67142         0        0
D CERADYNE INC                   COMMON     156710105      325      12103 SH  -    DEFINED 05              12103         0        0
D CERADYNE INC                   COMMON     156710105        6        226 SH  -    OTHER   10                  0         0      226
D CERNER CORP                    COMMON     156782104       51        740 SH  -    DEFINED 02                  0       740        0
D CERNER CORP                    COMMON     156782104      156       2284 SH  -    DEFINED 02               2154         0      130
D CERNER CORP                    COMMON     156782104      121       1771 SH  -    DEFINED 02               1676         0       95
D CERNER CORP                    COMMON     156782104     6442      94017 SH  -    OTHER   02                217     86121     7645
D CERNER CORP                    COMMON     156782104      840      12255 SH  -    OTHER   02               4596      1463     6196
D CERNER CORP                    COMMON     156782104    67852     990254 SH  -    DEFINED 04             498340         0   491914
D CERNER CORP                    COMMON     156782104    16873     246249 SH  -    DEFINED 04             246249         0        0
D CERNER CORP                    COMMON     156782104     7148     104320 SH  -    DEFINED 04             104320         0        0
D CERNER CORP                    COMMON     156782104       34        502 SH  -    OTHER   04                  0       502        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 196
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CERNER CORP                    COMMON     156782104     1033      15074 SH  -    DEFINED 05              15074         0        0
D CERNER CORP                    COMMON     156782104      141       2065 SH  -    OTHER   09                  0      2065        0
D CERNER CORP                    COMMON     156782104      466       6805 SH  -    OTHER   01               4400      2405        0
D CERNER CORP                    COMMON     156782104      720      10505 SH  -    OTHER   10                  0         0    10505
D CERNER CORP                    OPTION     156782955      137       2000 SH  P    DEFINED 05               2000         0        0
D CEVA INC                       COMMON     157210105      388      15946 SH  -    DEFINED 04              15946         0        0
D CEVA INC                       COMMON     157210105      265      10915 SH  -    DEFINED 05              10915         0        0
D CHAMPION INDS                  COMMON     158520106      120      89150 SH  -    OTHER   02                  0     89150        0
D CHARLES RIV LABS INTL INC      BOND       159864AB3    20136   20495000 PRN -    DEFINED 09                  0         0        0
D CHARLES RIVER LABO             COMMON     159864107       43       1500 SH  -    OTHER   02                  0      1500        0
D CHARLES RIVER LABO             COMMON     159864107       70       2435 SH  -    OTHER   02                  0         0     2435
D CHARLES RIVER LABO             COMMON     159864107     1129      39438 SH  -    DEFINED 04              39438         0        0
D CHARLES RIVER LABO             COMMON     159864107       53       1844 SH  -    DEFINED 05               1844         0        0
D CHARLES RIVER LABO             COMMON     159864107     5232     182823 SH  -    DEFINED 08             182823         0        0
D CHARMING SHOPPES INC           COMMON     161133103        6       2269 SH  -    OTHER   02                  0      2269        0
D CHARMING SHOPPES INC           COMMON     161133103      577     221759 SH  -    DEFINED 05             221759         0        0
D CHARMING SHOPPES INC           COMMON     161133103      278     106951 SH  -    DEFINED 08             106951         0        0
D CHART INDS INC                 BOND       16115QAC4     3915    4210000 PRN -    DEFINED 05                  0         0        0
D CHART INDS INC                 COMMON     16115Q308       17        405 SH  -    OTHER   02                  0       389        0
D CHART INDS INC                 COMMON     16115Q308       19        445 SH  -    DEFINED 05                445         0        0
D CHART INDS INC                 COMMON     16115Q308     5981     141794 SH  -    DEFINED 08             141794         0        0
D CHART INDS INC                 COMMON     16115Q308        3         68 SH  -    OTHER   10                  0         0       68
D CHARTER COMMUNICATIONS INC DEL COMMON     16117M305      108       2304 SH  -    OTHER   02                  0      2257        0
D CHARTER COMMUNICATIONS INC DEL COMMON     16117M305     5656     120744 SH  -    DEFINED 04             120744         0        0
D CHARTER COMMUNICATIONS INC DEL COMMON     16117M305      319       6813 SH  -    DEFINED 05               6813         0        0
D CHECKPOINT SYSTEMS             COMMON     162825103        4        320 SH  -    DEFINED 02                320         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 197
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CHECKPOINT SYSTEMS             COMMON     162825103        1        102 SH  -    OTHER   02                  0       102        0
D CHECKPOINT SYSTEMS             COMMON     162825103     1774     130670 SH  -    DEFINED 04             121270         0     9400
D CHECKPOINT SYSTEMS             COMMON     162825103      382      28154 SH  -    DEFINED 04              28154         0        0
D CHECKPOINT SYSTEMS             COMMON     162825103      254      18718 SH  -    DEFINED 05              18718         0        0
D CHEESECAKE FACTORY INC         COMMON     163072101        9        381 SH  -    OTHER   02                  0       381        0
D CHEESECAKE FACTORY INC         COMMON     163072101       18        750 SH  -    OTHER   02                750         0        0
D CHEESECAKE FACTORY INC         COMMON     163072101      932      37800 SH  -    DEFINED 04              33700         0     4100
D CHEESECAKE FACTORY INC         COMMON     163072101    10759     436456 SH  -    DEFINED 04             436456         0        0
D CHEESECAKE FACTORY INC         COMMON     163072101      587      23830 SH  -    DEFINED 05              23830         0        0
D CHEESECAKE FACTORY INC         COMMON     163072101      193       7833 SH  -    DEFINED 08               7833         0        0
D CHEFS WHSE INC                 COMMON     163086101     5447     463150 SH  -    DEFINED 04             412350         0    50800
D CHEFS WHSE INC                 COMMON     163086101      102       8648 SH  -    DEFINED 05               8648         0        0
D CHELSEA THERAPEUTICS INTL LTD  COMMON     163428105      919     252375 SH  -    DEFINED 04             207075         0    45300
D CHELSEA THERAPEUTICS INTL LTD  COMMON     163428105      305      83767 SH  -    DEFINED 05              83767         0        0
D CHELSEA THERAPEUTICS INTL LTD  COMMON     163428105        8       2180 SH  -    DEFINED 08               2180         0        0
D CHEMED CORP NEW                COMMON     16359R103        2         45 SH  -    OTHER   02                  0        45        0
D CHEMED CORP NEW                COMMON     16359R103      721      13116 SH  -    DEFINED 05              13116         0        0
D CHEMED CORP NEW                COMMON     16359R103     9703     176547 SH  -    DEFINED 08             176547         0        0
D CHEMICAL FINANCIAL             COMMON     163731102        1         96 SH  -    OTHER   02                  0        96        0
D CHEMICAL FINANCIAL             COMMON     163731102      637      41633 SH  -    DEFINED 04              41633         0        0
D CHEMICAL FINANCIAL             COMMON     163731102      563      36800 SH  -    DEFINED 04              36800         0        0
D CHEMICAL FINANCIAL             COMMON     163731102        6        416 SH  -    DEFINED 05                416         0        0
D CHEMICAL FINANCIAL             COMMON     163731102       26       1730 SH  -    DEFINED 08               1730         0        0
D CHEMTURA CORP                  COMMON     163893209       23       2295 SH  -    OTHER   02                  0      2295        0
D CHEMTURA CORP                  COMMON     163893209        6        570 SH  -    OTHER   02                  0         0      570
D CHEMTURA CORP                  COMMON     163893209       68       6804 SH  -    DEFINED 05               6804         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 198
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CHEMTURA CORP                  COMMON     163893209       57       5716 SH  -    DEFINED 08               5716         0        0
D CHESAPEAKE ENERGY CORP         BOND       165167BW6        2       2000 PRN -    DEFINED 02                  0         0        0
D CHESAPEAKE ENERGY CORP         BOND       165167BW6    18050   20988000 PRN -    DEFINED 09                  0         0        0
D CHESAPEAKE ENERGY CORP         BOND       165167BW6     1877    2182000 PRN -    DEFINED 09                  0         0        0
D CHESAPEAKE ENERGY CORP         BOND       165167BZ9      150     200000 PRN -    DEFINED 02                  0         0        0
D CHESAPEAKE ENERGY CORP         BOND       165167BZ9      244     325000 PRN -    OTHER   02                  0         0        0
D CHESAPEAKE ENERGY CORP         BOND       165167BZ9    22010   29347000 PRN -    DEFINED 09                  0         0        0
D CHESAPEAKE ENERGY CORP         BOND       165167BZ9     4046    5394000 PRN -    DEFINED 09                  0         0        0
D CHESAPEAKE ENERGY              COMMON     165167107      173       6766 SH  -    DEFINED 02                475      6291        0
D CHESAPEAKE ENERGY              COMMON     165167107       10        403 SH  -    DEFINED 02                403         0        0
D CHESAPEAKE ENERGY              COMMON     165167107      208       8134 SH  -    DEFINED 02               7616         0      518
D CHESAPEAKE ENERGY              COMMON     165167107     2367      92660 SH  -    OTHER   02              44312     46203     2024
D CHESAPEAKE ENERGY              COMMON     165167107       24        947 SH  -    OTHER   02                546       154      247
D CHESAPEAKE ENERGY              COMMON     165167107     7542     295195 SH  -    DEFINED 04             276275         0    18920
D CHESAPEAKE ENERGY              COMMON     165167107     2712     106143 SH  -    DEFINED 04             106143         0        0
D CHESAPEAKE ENERGY              COMMON     165167107     2920     114290 SH  -    DEFINED 05             114290         0        0
D CHESAPEAKE ENERGY              COMMON     165167107      198       7760 SH  -    DEFINED 06               7760         0        0
D CHESAPEAKE ENERGY              COMMON     165167107     4601     180093 SH  -    DEFINED 08             180093         0        0
D CHESAPEAKE ENERGY              COMMON     165167107      603      23600 SH  -    OTHER   09                  0     23600        0
D CHESAPEAKE ENERGY              COMMON     165167107        4        152 SH  -    OTHER   01                  0       152        0
D CHESAPEAKE ENERGY              COMMON     165167107    12010     470054 SH  -    OTHER   10                  0         0   470054
D CHESAPEAKE MIDSTREAM PARTNERS  COMMON     16524K108    10841     403928 SH  -    DEFINED 10             403928         0        0
D CHESAPEAKE MIDSTREAM PARTNERS  COMMON     16524K108      358      13329 SH  -    OTHER   10                  0         0    13329
D CHESAPEAKE LODGING TR          COMMON     165240102        4        319 SH  -    OTHER   02                  0       319        0
D CHESAPEAKE LODGING TR          COMMON     165240102        6        462 SH  -    DEFINED 05                462         0        0
D CHESAPEAKE LODGING TR          COMMON     165240102       12        979 SH  -    DEFINED 06                979         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 199
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CHESAPEAKE LODGING TR          COMMON     165240102     2123     175913 SH  -    OTHER   10                  0         0   175913
D CHESAPEAKE UTILS CORP          COMMON     165303108       11        266 SH  -    OTHER   02                  0       266        0
D CHESAPEAKE UTILS CORP          COMMON     165303108     1972      49170 SH  -    DEFINED 04              42670         0     6500
D CHESAPEAKE UTILS CORP          COMMON     165303108        6        145 SH  -    DEFINED 05                145         0        0
D CHESAPEAKE UTILS CORP          COMMON     165303108       23        563 SH  -    DEFINED 08                563         0        0
D CHEVRONTEXACO CORP             COMMON     166764100    80941     874182 SH  -    DEFINED 02             803276      2285    68621
D CHEVRONTEXACO CORP             COMMON     166764100    36766     397082 SH  -    DEFINED 02             388831         0     8251
D CHEVRONTEXACO CORP             COMMON     166764100     3262      35234 SH  -    DEFINED 02              35234         0        0
D CHEVRONTEXACO CORP             COMMON     166764100     4395      47463 SH  -    DEFINED 02              30178         0    17285
D CHEVRONTEXACO CORP             COMMON     166764100    55173     595883 SH  -    OTHER   02             219277    298950    75638
D CHEVRONTEXACO CORP             COMMON     166764100    26542     286666 SH  -    OTHER   02             214597     15302    56767
D CHEVRONTEXACO CORP             COMMON     166764100    10559     114043 SH  -    OTHER   02                  0    114043        0
D CHEVRONTEXACO CORP             COMMON     166764100     4169      45023 SH  -    OTHER   02                  0     45023        0
D CHEVRONTEXACO CORP             COMMON     166764100     4748      51285 SH  -    OTHER   02                  0     51285        0
D CHEVRONTEXACO CORP             COMMON     166764100       45        489 SH  -    OTHER   02                  0       489        0
D CHEVRONTEXACO CORP             COMMON     166764100  1057238   11418486 SH  -    DEFINED 04            8846218         0  2572268
D CHEVRONTEXACO CORP             COMMON     166764100    68434     739103 SH  -    DEFINED 04             739103         0        0
D CHEVRONTEXACO CORP             COMMON     166764100    82732     893533 SH  -    DEFINED 04             893533         0        0
D CHEVRONTEXACO CORP             COMMON     166764100      667       7202 SH  -    DEFINED 04               7202         0        0
D CHEVRONTEXACO CORP             COMMON     166764100    12804     138290 SH  -    DEFINED 04             138290         0        0
D CHEVRONTEXACO CORP             COMMON     166764100    79908     863034 SH  -    DEFINED 04             796394         0    52055
D CHEVRONTEXACO CORP             COMMON     166764100      928      10022 SH  -    DEFINED 04                  0         0    10022
D CHEVRONTEXACO CORP             COMMON     166764100       16        175 SH  -    OTHER   04                  0       175        0
D CHEVRONTEXACO CORP             COMMON     166764100     4779      51617 SH  -    OTHER   04                  0     51617        0
D CHEVRONTEXACO CORP             COMMON     166764100    67490     728915 SH  -    DEFINED 05             728915         0        0
D CHEVRONTEXACO CORP             COMMON     166764100     2462      26594 SH  -    DEFINED 06              26594         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 200
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CHEVRONTEXACO CORP             COMMON     166764100   179419    1937782 SH  -    DEFINED 09            1800499     29557    11903
D CHEVRONTEXACO CORP             COMMON     166764100     3112      33614 SH  -    DEFINED 09              33614         0        0
D CHEVRONTEXACO CORP             COMMON     166764100    27434     296299 SH  -    DEFINED 09             296299         0        0
D CHEVRONTEXACO CORP             COMMON     166764100     2110      22791 SH  -    DEFINED 09              22791         0        0
D CHEVRONTEXACO CORP             COMMON     166764100    15066     162722 SH  -    OTHER   09                  0    162722        0
D CHEVRONTEXACO CORP             COMMON     166764100   144067    1555969 SH  -    DEFINED 01            1555744         0      225
D CHEVRONTEXACO CORP             COMMON     166764100     2000      21606 SH  -    OTHER   01               6000     15221      385
D CHEVRONTEXACO CORP             COMMON     166764100    10914     117874 SH  -    OTHER   10                  0         0   117874
D CHEVRONTEXACO CORP             OPTION     166764902    20231     218500 SH  C    DEFINED 05             218500         0        0
D CHEVRONTEXACO CORP             OPTION     166764902    31221     337200 SH  C    DEFINED 08             337200         0        0
D CHEVRONTEXACO CORP             OPTION     166764951     9824     106100 SH  P    DEFINED 05             106100         0        0
D CHEVRONTEXACO CORP             OPTION     166764951    53443     577200 SH  P    DEFINED 08             577200         0        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109        5        173 SH  -    DEFINED 02                  0       173        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109      352      12302 SH  -    OTHER   02                294     12008        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109       20        688 SH  -    OTHER   02                  0         0      688
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109     1548      54076 SH  -    DEFINED 04              54076         0        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109     1125      39300 SH  -    DEFINED 04              39300         0        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109      113       3956 SH  -    DEFINED 04               3956         0        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109     2720      95010 SH  -    DEFINED 04              53648         0    41362
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109      345      12046 SH  -    OTHER   04                  0     12046        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109      286       9998 SH  -    DEFINED 05               9998         0        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109    10558     368790 SH  -    DEFINED 09             343003     25787        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109      691      24126 SH  -    DEFINED 09              24126         0        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109     5081     177471 SH  -    DEFINED 09             177471         0        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109      124       4324 SH  -    OTHER   09                  0      4324        0
D CHICAGO BRIDGE & IRON CO N V   COMMON     167250109     2805      97962 SH  -    OTHER   10                  0         0    97962

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 201
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CHICO'S FAS INC                COMMON     168615102      180      15740 SH  -    OTHER   02               3500     12240        0
D CHICO'S FAS INC                COMMON     168615102        9        800 SH  -    OTHER   02                  0         0      800
D CHICO'S FAS INC                COMMON     168615102    23894    2090424 SH  -    DEFINED 04            1949688         0   140736
D CHICO'S FAS INC                COMMON     168615102      975      85295 SH  -    DEFINED 04              85295         0        0
D CHICO'S FAS INC                COMMON     168615102       33       2930 SH  -    DEFINED 05               2930         0        0
D CHICO'S FAS INC                COMMON     168615102       19       1705 SH  -    DEFINED 08               1705         0        0
D CHICO'S FAS INC                COMMON     168615102      117      10230 SH  -    OTHER   01                  0     10230        0
D CHICO'S FAS INC                COMMON     168615102        0          4 SH  -    OTHER   10                  0         0        4
D CHICO'S FAS INC                OPTION     168615904        2        200 SH  C    DEFINED 05                200         0        0
D CHINA KANGHUI HLDGS            ADR        16890V100      346      17730 SH  -    DEFINED 06              17730         0        0
D CHILDRENS PL RETAIL STORES INC COMMON     168905107       10        216 SH  -    OTHER   02                  0       216        0
D CHILDRENS PL RETAIL STORES INC COMMON     168905107      685      14713 SH  -    DEFINED 05              14713         0        0
D CHILDRENS PL RETAIL STORES INC OPTION     168905909        5        100 SH  C    DEFINED 05                100         0        0
D CHIMERA INVT CORP              COMMON     16934Q109     3802    1372733 SH  -    DEFINED 04            1339333         0    33400
D CHIMERA INVT CORP              COMMON     16934Q109      147      53100 SH  -    DEFINED 04              53100         0        0
D CHIMERA INVT CORP              COMMON     16934Q109        3        912 SH  -    OTHER   04                  0       912        0
D CHIMERA INVT CORP              COMMON     16934Q109       65      23515 SH  -    DEFINED 05              23515         0        0
D CHIMERA INVT CORP              COMMON     16934Q109      225      81133 SH  -    DEFINED 08              81133         0        0
D CHIMERA INVT CORP              COMMON     16934Q109     2314     835418 SH  -    OTHER   10                  0         0   835418
D CHINA LIFE INS CO LTD          ADR        16939P106        1         25 SH  -    OTHER   02                 25         0        0
D CHINA LIFE INS CO LTD          ADR        16939P106       35        983 SH  -    DEFINED 04                983         0        0
D CHINA LIFE INS CO LTD          ADR        16939P106        4        105 SH  -    OTHER   04                  0       105        0
D CHINA LIFE INS CO LTD          ADR        16939P106        2         48 SH  -    OTHER   04                  0        48        0
D CHINA LIFE INS CO LTD          ADR        16939P106     1596      44945 SH  -    DEFINED 05              44945         0        0
D CHINA LIFE INS CO LTD          ADR        16939P106       80       2263 SH  -    DEFINED 08               2263         0        0
D CHINA LIFE INS CO LTD          OPTION     16939P908      831      23400 SH  C    DEFINED 05              23400         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 202
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CHINA MOBILE LIMITED           ADR        16941M109        3         53 SH  -    DEFINED 02                 53         0        0
D CHINA MOBILE LIMITED           ADR        16941M109        2         45 SH  -    DEFINED 02                 45         0        0
D CHINA MOBILE LIMITED           ADR        16941M109      267       5490 SH  -    OTHER   02                  0      4425     1065
D CHINA MOBILE LIMITED           ADR        16941M109        8        160 SH  -    OTHER   02                  0         0      160
D CHINA MOBILE LIMITED           ADR        16941M109      923      18942 SH  -    DEFINED 04                  0         0    18942
D CHINA MOBILE LIMITED           ADR        16941M109        2         45 SH  -    OTHER   04                  0        45        0
D CHINA MOBILE LIMITED           ADR        16941M109     1316      27021 SH  -    DEFINED 05              27021         0        0
D CHINA MOBILE LIMITED           ADR        16941M109     2808      57652 SH  -    DEFINED 09              57652         0        0
D CHINA MOBILE LIMITED           ADR        16941M109       32        654 SH  -    DEFINED 09                654         0        0
D CHINA MOBILE LIMITED           ADR        16941M109       44        900 SH  -    OTHER   01                  0       900        0
D CHINA MOBILE LIMITED           ADR        16941M109     1729      35486 SH  -    OTHER   10                  0         0    35486
D CHINA MOBILE LIMITED           OPTION     16941M901     2484      51000 SH  C    DEFINED 05              51000         0        0
D CHINA MOBILE LIMITED           OPTION     16941M950      170       3500 SH  P    DEFINED 08               3500         0        0
D CHINA SHEN ZHOU MNG & RES INC  COMMON     16942H109      572     400000 SH  -    DEFINED 05             400000         0        0
D CHINDEX INTL INC               COMMON     169467107    16253    1844826 SH  -    DEFINED 02            1844826         0        0
D CHINDEX INTL INC               COMMON     169467107        4        411 SH  -    OTHER   02                  0       411        0
D CHINDEX INTL INC               COMMON     169467107      351      39860 SH  -    DEFINED 05              39860         0        0
D CHINDEX INTL INC               COMMON     169467107        8        907 SH  -    DEFINED 08                907         0        0
D CHIPOTLE MEXICAN GRILL INC     COMMON     169656105       38        125 SH  -    DEFINED 02                125         0        0
D CHIPOTLE MEXICAN GRILL INC     COMMON     169656105      115        378 SH  -    DEFINED 02                361         0       17
D CHIPOTLE MEXICAN GRILL INC     COMMON     169656105      219        724 SH  -    OTHER   02                  0       189      525
D CHIPOTLE MEXICAN GRILL INC     COMMON     169656105     1690       5580 SH  -    DEFINED 04               4683         0      897
D CHIPOTLE MEXICAN GRILL INC     COMMON     169656105     1519       5013 SH  -    DEFINED 04               5013         0        0
D CHIPOTLE MEXICAN GRILL INC     COMMON     169656105      265        875 SH  -    DEFINED 05                875         0        0
D CHIPOTLE MEXICAN GRILL INC     COMMON     169656105      307       1012 SH  -    OTHER   01               1000        12        0
D CHIPOTLE MEXICAN GRILL INC     COMMON     169656105     1428       4712 SH  -    OTHER   10                  0         0     4712

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 203
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CHIPOTLE MEXICAN GRILL INC     OPTION     169656907     2090       6900 SH  C    DEFINED 05               6900         0        0
D CHIPOTLE MEXICAN GRILL INC     OPTION     169656956     2181       7200 SH  P    DEFINED 05               7200         0        0
D CHOICE HOTELS INTL INC         COMMON     169905106       20        668 SH  -    OTHER   02                  0       668        0
D CHOICE HOTELS INTL INC         COMMON     169905106        1         17 SH  -    OTHER   02                  5         7        5
D CHOICE HOTELS INTL INC         COMMON     169905106      333      11200 SH  -    DEFINED 04              11200         0        0
D CHOICE HOTELS INTL INC         COMMON     169905106       13        453 SH  -    DEFINED 05                453         0        0
D CHIQUITA BRANDS INTL INC       BOND       170032AT3    12460   14000000 PRN -    DEFINED 09                  0         0        0
D CHIQUITA BRANDS INTL INC       COMMON     170032809       24       2900 SH  -    DEFINED 02               2900         0        0
D CHIQUITA BRANDS INTL INC       COMMON     170032809       10       1209 SH  -    OTHER   02                  0         0     1209
D CHIQUITA BRANDS INTL INC       COMMON     170032809        5        576 SH  -    OTHER   02                  0         0      576
D CHIQUITA BRANDS INTL INC       COMMON     170032809     2441     292700 SH  -    DEFINED 04             222600         0    70100
D CHIQUITA BRANDS INTL INC       COMMON     170032809        6        687 SH  -    DEFINED 05                687         0        0
D CHIQUITA BRANDS INTL INC       COMMON     170032809       92      11041 SH  -    DEFINED 08              11041         0        0
D CHRISTOPHER & BANKS CORP       COMMON     171046105       88      25063 SH  -    DEFINED 04              25063         0        0
D CHRISTOPHER & BANKS CORP       COMMON     171046105       59      16712 SH  -    DEFINED 05              16712         0        0
D CHUBB CORP                     COMMON     171232101      608      10139 SH  -    DEFINED 02              10139         0        0
D CHUBB CORP                     COMMON     171232101     2323      38725 SH  -    DEFINED 02              38449         0      276
D CHUBB CORP                     COMMON     171232101      212       3533 SH  -    DEFINED 02               3295         0      238
D CHUBB CORP                     COMMON     171232101     5204      86743 SH  -    OTHER   02              62089      9259    15349
D CHUBB CORP                     COMMON     171232101     2010      33513 SH  -    OTHER   02              22146       391    10976
D CHUBB CORP                     COMMON     171232101   107212    1787165 SH  -    DEFINED 04            1694864         0    92301
D CHUBB CORP                     COMMON     171232101     8959     149343 SH  -    DEFINED 04             149343         0        0
D CHUBB CORP                     COMMON     171232101     1644      27400 SH  -    DEFINED 04              27400         0        0
D CHUBB CORP                     COMMON     171232101      730      12173 SH  -    OTHER   04                  0     12173        0
D CHUBB CORP                     COMMON     171232101     3915      65254 SH  -    OTHER   04                  0     65254        0
D CHUBB CORP                     COMMON     171232101    18463     307767 SH  -    DEFINED 05             307767         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 204
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CHUBB CORP                     COMMON     171232101       36        603 SH  -    DEFINED 06                603         0        0
D CHUBB CORP                     COMMON     171232101     4339      72321 SH  -    DEFINED 08              72321         0        0
D CHUBB CORP                     COMMON     171232101      564       9396 SH  -    DEFINED 01               9297         0       99
D CHUBB CORP                     COMMON     171232101      349       5819 SH  -    OTHER   01               5200       234      385
D CHUBB CORP                     COMMON     171232101      276       4603 SH  -    OTHER   10                  0         0     4603
D CHUBB CORP                     OPTION     171232903    18189     303200 SH  C    DEFINED 05             303200         0        0
D CHUNGHWA TELECOM CO LTD        ADR        17133Q502     9167     277800 SH  -    DEFINED 02             277800         0        0
D CHUNGHWA TELECOM CO LTD        ADR        17133Q502     1560      47260 SH  -    DEFINED 04              20800         0    26460
D CHUNGHWA TELECOM CO LTD        ADR        17133Q502     9800     296960 SH  -    DEFINED 04             296960         0        0
D CHUNGHWA TELECOM CO LTD        ADR        17133Q502     2457      74456 SH  -    DEFINED 09              74456         0        0
D CHUNGHWA TELECOM CO LTD        ADR        17133Q502      278       8428 SH  -    DEFINED 09               8428         0        0
D CHUNGHWA TELECOM CO LTD        ADR        17133Q502    22205     672888 SH  -    OTHER   09                  0    672888        0
D CHUNGHWA TELECOM CO LTD        ADR        17133Q502      353      10700 SH  -    OTHER   01              10700         0        0
D CHUNGHWA TELECOM CO LTD        ADR        17133Q502        2         65 SH  -    OTHER   10                  0         0       65
D CHURCH & DWIGHT INC            COMMON     171340102        3         66 SH  -    DEFINED 02                 66         0        0
D CHURCH & DWIGHT INC            COMMON     171340102      179       4050 SH  -    DEFINED 02               4050         0        0
D CHURCH & DWIGHT INC            COMMON     171340102    18489     418297 SH  -    OTHER   02                  0      1333   416964
D CHURCH & DWIGHT INC            COMMON     171340102       62       1400 SH  -    OTHER   02                  0         0     1400
D CHURCH & DWIGHT INC            COMMON     171340102       55       1240 SH  -    DEFINED 04               1240         0        0
D CHURCH & DWIGHT INC            COMMON     171340102      870      19694 SH  -    DEFINED 04              19694         0        0
D CHURCH & DWIGHT INC            COMMON     171340102      162       3659 SH  -    DEFINED 05               3659         0        0
D CHURCH & DWIGHT INC            COMMON     171340102     1620      36653 SH  -    DEFINED 08              36653         0        0
D CHURCH & DWIGHT INC            COMMON     171340102      858      19410 SH  -    OTHER   10                  0         0    19410
D CHURCHILL DOWNS IN             COMMON     171484108        4        106 SH  -    OTHER   02                  0       106        0
D CHURCHILL DOWNS IN             COMMON     171484108      785      20120 SH  -    OTHER   02              20120         0        0
D CHURCHILL DOWNS IN             COMMON     171484108        6        165 SH  -    DEFINED 05                165         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 205
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CHURCHILL DOWNS IN             COMMON     171484108       32        820 SH  -    DEFINED 08                820         0        0
D CHURCHILL DOWNS IN             COMMON     171484108        1         20 SH  -    OTHER   01                  0        20        0
D CIBER INC                      COMMON     17163B102     1298     428470 SH  -    DEFINED 04             381470         0    47000
D CIBER INC                      COMMON     17163B102      501     165398 SH  -    DEFINED 04             165398         0        0
D CIBER INC                      COMMON     17163B102      102      33561 SH  -    DEFINED 05              33561         0        0
D CIENA CORP                     BOND       171779AE1      365     500000 PRN -    DEFINED 05                  0         0        0
D CIENA CORP                     BOND       171779AE1    19211   26317000 PRN -    DEFINED 09                  0         0        0
D CIENA CORP                     BOND       171779AE1     1683    2306000 PRN -    DEFINED 09                  0         0        0
D CIENA CORP                     COMMON     171779309        1         98 SH  -    DEFINED 02                 98         0        0
D CIENA CORP                     COMMON     171779309       20       1812 SH  -    OTHER   02                  0      1283      529
D CIENA CORP                     COMMON     171779309        7        635 SH  -    OTHER   02                  0         0      635
D CIENA CORP                     COMMON     171779309      446      39777 SH  -    DEFINED 05              39777         0        0
D CIENA CORP                     COMMON     171779309      961      85827 SH  -    DEFINED 08              85827         0        0
D CIMAREX ENERGY CO              COMMON     171798101        6        115 SH  -    DEFINED 02                115         0        0
D CIMAREX ENERGY CO              COMMON     171798101       73       1318 SH  -    OTHER   02                  0      1308        0
D CIMAREX ENERGY CO              COMMON     171798101    28531     512233 SH  -    DEFINED 04             479787         0    32446
D CIMAREX ENERGY CO              COMMON     171798101     5835     104760 SH  -    DEFINED 04             104760         0        0
D CIMAREX ENERGY CO              COMMON     171798101        1         12 SH  -    OTHER   04                  0        12        0
D CIMAREX ENERGY CO              COMMON     171798101      118       2115 SH  -    DEFINED 05               2115         0        0
D CIMAREX ENERGY CO              COMMON     171798101       56       1014 SH  -    DEFINED 06               1014         0        0
D CIMAREX ENERGY CO              COMMON     171798101    14953     268464 SH  -    DEFINED 08             268464         0        0
D CINCINNATI BELL INC NEW        COMMON     171871106       50      16165 SH  -    OTHER   02              14900      1265        0
D CINCINNATI BELL INC NEW        COMMON     171871106        0        154 SH  -    OTHER   02                  0       154        0
D CINCINNATI BELL INC NEW        COMMON     171871106     9575    3098775 SH  -    DEFINED 04            2651575         0   447200
D CINCINNATI BELL INC NEW        COMMON     171871106      427     138308 SH  -    DEFINED 04             138308         0        0
D CINCINNATI BELL INC NEW        COMMON     171871106      286      92703 SH  -    DEFINED 05              92703         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 206
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CINCINNATI BELL INC NEW        COMMON     171871106       68      21895 SH  -    DEFINED 08              21895         0        0
D CINCINNATI FINL CP             COMMON     172062101      172       6544 SH  -    DEFINED 02               6544         0        0
D CINCINNATI FINL CP             COMMON     172062101      737      27981 SH  -    DEFINED 02              27856         0      125
D CINCINNATI FINL CP             COMMON     172062101       53       2029 SH  -    DEFINED 02               1880         0      149
D CINCINNATI FINL CP             COMMON     172062101      199       7548 SH  -    OTHER   02               2320      4744      484
D CINCINNATI FINL CP             COMMON     172062101      287      10906 SH  -    OTHER   02              10533       121      252
D CINCINNATI FINL CP             COMMON     172062101     7057     268014 SH  -    DEFINED 04             218953         0    49061
D CINCINNATI FINL CP             COMMON     172062101     2581      98009 SH  -    DEFINED 04              98009         0        0
D CINCINNATI FINL CP             COMMON     172062101     5871     222977 SH  -    DEFINED 05             222977         0        0
D CINCINNATI FINL CP             COMMON     172062101        8        296 SH  -    DEFINED 06                296         0        0
D CINCINNATI FINL CP             COMMON     172062101     1247      47366 SH  -    DEFINED 08              47366         0        0
D CINCINNATI FINL CP             COMMON     172062101      120       4555 SH  -    DEFINED 01               4500         0       55
D CINCINNATI FINL CP             COMMON     172062101       59       2228 SH  -    OTHER   01               1908       180      140
D CINCINNATI FINL CP             COMMON     172062101        5        185 SH  -    OTHER   10                  0         0      185
D CINCINNATI FINL CP             OPTION     172062903      395      15000 SH  C    DEFINED 05              15000         0        0
D CINEMARK HOLDINGS INC          COMMON     17243V102      331      17537 SH  -    DEFINED 02              17537         0        0
D CINEMARK HOLDINGS INC          COMMON     17243V102     1046      55389 SH  -    DEFINED 02              55049         0      340
D CINEMARK HOLDINGS INC          COMMON     17243V102     2978     157742 SH  -    OTHER   02              15275    142467        0
D CINEMARK HOLDINGS INC          COMMON     17243V102      111       5876 SH  -    OTHER   02               4221       160     1495
D CINEMARK HOLDINGS INC          COMMON     17243V102    34352    1819515 SH  -    DEFINED 04            1608325         0   211190
D CINEMARK HOLDINGS INC          COMMON     17243V102     3283     173900 SH  -    DEFINED 04             173900         0        0
D CINEMARK HOLDINGS INC          COMMON     17243V102      619      32798 SH  -    DEFINED 05              32798         0        0
D CINEMARK HOLDINGS INC          COMMON     17243V102      170       9000 SH  -    DEFINED 08               9000         0        0
D CINEMARK HOLDINGS INC          COMMON     17243V102        5        285 SH  -    DEFINED 01                  0         0      285
D CINEMARK HOLDINGS INC          COMMON     17243V102       16        860 SH  -    OTHER   01                  0       480      380
D CINEMARK HOLDINGS INC          COMMON     17243V102      365      19313 SH  -    OTHER   10                  0         0    19313

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 207
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CIRCOR INTL INC                COMMON     17273K109       16        539 SH  -    OTHER   02                  0       520        0
D CIRCOR INTL INC                COMMON     17273K109        4        120 SH  -    OTHER   02                  0         0      120
D CIRCOR INTL INC                COMMON     17273K109     1642      55900 SH  -    DEFINED 04              42600         0    13300
D CIRCOR INTL INC                COMMON     17273K109      657      22374 SH  -    DEFINED 04              22374         0        0
D CIRCOR INTL INC                COMMON     17273K109      236       8028 SH  -    DEFINED 05               8028         0        0
D CISCO SYSTEMS                  COMMON     17275R102    34934    2253812 SH  -    DEFINED 02            1893379     13251   347182
D CISCO SYSTEMS                  COMMON     17275R102    15499     999943 SH  -    DEFINED 02             960653       954    38336
D CISCO SYSTEMS                  COMMON     17275R102      112       7200 SH  -    DEFINED 02               7200         0        0
D CISCO SYSTEMS                  COMMON     17275R102     2724     175731 SH  -    DEFINED 02              94030         0    81701
D CISCO SYSTEMS                  COMMON     17275R102    23945    1544844 SH  -    OTHER   02             773199    602990   167068
D CISCO SYSTEMS                  COMMON     17275R102     7114     458967 SH  -    OTHER   02             395476     19907    43584
D CISCO SYSTEMS                  COMMON     17275R102      372      23978 SH  -    OTHER   02                  0     23978        0
D CISCO SYSTEMS                  COMMON     17275R102      165      10648 SH  -    OTHER   02                  0     10648        0
D CISCO SYSTEMS                  COMMON     17275R102      423      27298 SH  -    OTHER   02                  0     27298        0
D CISCO SYSTEMS                  COMMON     17275R102   602944   38899585 SH  -    DEFINED 04           31254767         0  7644818
D CISCO SYSTEMS                  COMMON     17275R102    18169    1172210 SH  -    DEFINED 04            1172210         0        0
D CISCO SYSTEMS                  COMMON     17275R102    61528    3969576 SH  -    DEFINED 04            3969576         0        0
D CISCO SYSTEMS                  COMMON     17275R102      106       6817 SH  -    DEFINED 04               6817         0        0
D CISCO SYSTEMS                  COMMON     17275R102    23265    1500969 SH  -    DEFINED 04            1327650         0   173319
D CISCO SYSTEMS                  COMMON     17275R102      515      33201 SH  -    DEFINED 04                  0         0    33201
D CISCO SYSTEMS                  COMMON     17275R102       11        728 SH  -    OTHER   04                  0       728        0
D CISCO SYSTEMS                  COMMON     17275R102    20715    1336441 SH  -    OTHER   04                  0   1336441        0
D CISCO SYSTEMS                  COMMON     17275R102   111223    7175669 SH  -    DEFINED 05            7175669         0        0
D CISCO SYSTEMS                  COMMON     17275R102    50301    3245194 SH  -    DEFINED 08            3245194         0        0
D CISCO SYSTEMS                  COMMON     17275R102    55582    3585941 SH  -    DEFINED 09            3381698    105403    98840
D CISCO SYSTEMS                  COMMON     17275R102     1732     111738 SH  -    DEFINED 09             111738         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 208
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CISCO SYSTEMS                  COMMON     17275R102    11608     748910 SH  -    DEFINED 09             748910         0        0
D CISCO SYSTEMS                  COMMON     17275R102     8417     543000 SH  -    OTHER   09                  0    543000        0
D CISCO SYSTEMS                  COMMON     17275R102    28881    1863282 SH  -    DEFINED 01            1836961      7095    19226
D CISCO SYSTEMS                  COMMON     17275R102     1098      70809 SH  -    OTHER   01              42801     16015    11993
D CISCO SYSTEMS                  COMMON     17275R102     7097     457872 SH  -    OTHER   10                  0         0   457872
D CISCO SYSTEMS                  OPTION     17275R904    16601    1071000 SH  C    DEFINED 05            1071000         0        0
D CISCO SYSTEMS                  OPTION     17275R904    44532    2873000 SH  C    DEFINED 08            2873000         0        0
D CISCO SYSTEMS                  OPTION     17275R953    13752     887200 SH  P    DEFINED 05             887200         0        0
D CISCO SYSTEMS                  OPTION     17275R953    26505    1710000 SH  P    DEFINED 08            1710000         0        0
D CIRRUS LOGIC INC               COMMON     172755100     4088     277313 SH  -    DEFINED 04             216113         0    61200
D CIRRUS LOGIC INC               COMMON     172755100      722      49000 SH  -    DEFINED 04              49000         0        0
D CIRRUS LOGIC INC               COMMON     172755100      448      30404 SH  -    DEFINED 05              30404         0        0
D CIRRUS LOGIC INC               COMMON     172755100      909      61670 SH  -    DEFINED 08              61670         0        0
D CIRRUS LOGIC INC               COMMON     172755100      753      51079 SH  -    OTHER   10                  0         0    51079
D CINTAS CORP                    COMMON     172908105       17        600 SH  -    DEFINED 02                  0       600        0
D CINTAS CORP                    COMMON     172908105      215       7625 SH  -    DEFINED 02               5000      1500     1125
D CINTAS CORP                    COMMON     172908105       38       1338 SH  -    DEFINED 02               1286         0       52
D CINTAS CORP                    COMMON     172908105     8653     307490 SH  -    OTHER   02               2650    302291      700
D CINTAS CORP                    COMMON     172908105      788      28014 SH  -    OTHER   02                300     21807     5907
D CINTAS CORP                    COMMON     172908105      566      20111 SH  -    DEFINED 04              16918         0     3193
D CINTAS CORP                    COMMON     172908105      574      20402 SH  -    DEFINED 04              20402         0        0
D CINTAS CORP                    COMMON     172908105     1353      48066 SH  -    DEFINED 05              48066         0        0
D CINTAS CORP                    COMMON     172908105      233       8278 SH  -    DEFINED 08               8278         0        0
D CINTAS CORP                    COMMON     172908105      475      16865 SH  -    OTHER   01                  0     16865        0
D CITIZENS & NORTHN CORP         COMMON     172922106        3        198 SH  -    OTHER   02                  0       198        0
D CITIZENS & NORTHN CORP         COMMON     172922106     1807     121575 SH  -    DEFINED 04             108675         0    12900

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 209
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CITIZENS & NORTHN CORP         COMMON     172922106        0          1 SH  -    DEFINED 05                  1         0        0
D CITIZENS & NORTHN CORP         COMMON     172922106       11        718 SH  -    DEFINED 08                718         0        0
D CITIGROUP INC                  WARRANT    172967234       87    1081900 SH  -    DEFINED 05            1081900         0        0
D CITIGROUP INC                  UNIT       172967416        2         31 SH  -    DEFINED 02                 31         0        0
D CITIGROUP INC                  UNIT       172967416        3         35 SH  -    DEFINED 02                 35         0        0
D CITIGROUP INC                  UNIT       172967416      478       6000 SH  -    DEFINED 08               6000         0        0
D CITIGROUP INC                  UNIT       172967416     2207      27714 SH  -    DEFINED 09                  0         0    27714
D CITIGROUP INC                  COMMON     172967424    18507     722510 SH  -    DEFINED 02             606161      5802   110547
D CITIGROUP INC                  COMMON     172967424     6090     237762 SH  -    DEFINED 02             225274       207    12281
D CITIGROUP INC                  COMMON     172967424     8465     330479 SH  -    DEFINED 02             330479         0        0
D CITIGROUP INC                  COMMON     172967424     1979      77275 SH  -    DEFINED 02              45311         0    31964
D CITIGROUP INC                  COMMON     172967424    12963     506081 SH  -    OTHER   02             155677    325645    24300
D CITIGROUP INC                  COMMON     172967424     1947      76007 SH  -    OTHER   02              67382      2562     6063
D CITIGROUP INC                  COMMON     172967424      666      26016 SH  -    OTHER   02                  0     26016        0
D CITIGROUP INC                  COMMON     172967424      162       6342 SH  -    OTHER   02                  0      6342        0
D CITIGROUP INC                  COMMON     172967424     1086      42389 SH  -    OTHER   02                  0     42389        0
D CITIGROUP INC                  COMMON     172967424       47       1830 SH  -    OTHER   02                  0      1830        0
D CITIGROUP INC                  COMMON     172967424   522809   20410265 SH  -    DEFINED 04           16224646         0  4185619
D CITIGROUP INC                  COMMON     172967424    24378     951698 SH  -    DEFINED 04             951698         0        0
D CITIGROUP INC                  COMMON     172967424    49186    1920189 SH  -    DEFINED 04            1920189         0        0
D CITIGROUP INC                  COMMON     172967424      295      11516 SH  -    DEFINED 04              11516         0        0
D CITIGROUP INC                  COMMON     172967424     8254     322225 SH  -    DEFINED 04             322225         0        0
D CITIGROUP INC                  COMMON     172967424    56697    2213425 SH  -    DEFINED 04            2031817         0   181608
D CITIGROUP INC                  COMMON     172967424      322      12586 SH  -    DEFINED 04                  0         0    12586
D CITIGROUP INC                  COMMON     172967424        7        260 SH  -    OTHER   04                  0       260        0
D CITIGROUP INC                  COMMON     172967424    14817     578434 SH  -    OTHER   04                  0    578434        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 210
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CITIGROUP INC                  COMMON     172967424   298950   11670897 SH  -    DEFINED 05           11670897         0        0
D CITIGROUP INC                  COMMON     172967424      513      20015 SH  -    DEFINED 06              20015         0        0
D CITIGROUP INC                  COMMON     172967424   360163   14060644 SH  -    DEFINED 08           14060644         0        0
D CITIGROUP INC                  COMMON     172967424   148453    5795561 SH  -    DEFINED 09            5566130    105122    83923
D CITIGROUP INC                  COMMON     172967424     3944     153983 SH  -    DEFINED 09             153983         0        0
D CITIGROUP INC                  COMMON     172967424    31883    1244713 SH  -    DEFINED 09             911787         0        0
D CITIGROUP INC                  COMMON     172967424     7269     283792 SH  -    DEFINED 09              96776         0        0
D CITIGROUP INC                  COMMON     172967424     7158     279453 SH  -    OTHER   09                  0    279453        0
D CITIGROUP INC                  COMMON     172967424      928      36213 SH  -    DEFINED 01              29434      2632     4147
D CITIGROUP INC                  COMMON     172967424      492      19194 SH  -    OTHER   01               7886      7241     4067
D CITIGROUP INC                  COMMON     172967424     2796     109137 SH  -    OTHER   10                  0         0   109137
D CITIZENS REPUBLIC BANCORP INC  COMMON     174420307     1947     281351 SH  -    DEFINED 04             281351         0        0
D CITIZENS REPUBLIC BANCORP INC  COMMON     174420307        4        601 SH  -    DEFINED 05                601         0        0
D CITIZENS REPUBLIC BANCORP INC  COMMON     174420307       79      11435 SH  -    DEFINED 08              11435         0        0
D CITRIX SYSTEMS INC             COMMON     177376100     6649     121927 SH  -    DEFINED 02             111748       928     9251
D CITRIX SYSTEMS INC             COMMON     177376100     2259      41418 SH  -    DEFINED 02              39580        46     1792
D CITRIX SYSTEMS INC             COMMON     177376100      437       8010 SH  -    DEFINED 02               3805         0     4205
D CITRIX SYSTEMS INC             COMMON     177376100     2100      38510 SH  -    OTHER   02              24674      7728     6108
D CITRIX SYSTEMS INC             COMMON     177376100      205       3768 SH  -    OTHER   02               2422       205     1141
D CITRIX SYSTEMS INC             COMMON     177376100       53        963 SH  -    OTHER   02                  0       963        0
D CITRIX SYSTEMS INC             COMMON     177376100       46        848 SH  -    OTHER   02                  0       848        0
D CITRIX SYSTEMS INC             COMMON     177376100      119       2190 SH  -    OTHER   02                  0      2190        0
D CITRIX SYSTEMS INC             COMMON     177376100    92766    1701198 SH  -    DEFINED 04            1067840         0   633358
D CITRIX SYSTEMS INC             COMMON     177376100    16526     303063 SH  -    DEFINED 04             303063         0        0
D CITRIX SYSTEMS INC             COMMON     177376100     9788     179503 SH  -    DEFINED 04             179503         0        0
D CITRIX SYSTEMS INC             COMMON     177376100       78       1425 SH  -    DEFINED 04               1425         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 211
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CITRIX SYSTEMS INC             COMMON     177376100       78       1439 SH  -    DEFINED 04                  0         0     1439
D CITRIX SYSTEMS INC             COMMON     177376100     5944     109013 SH  -    OTHER   04                  0    109013        0
D CITRIX SYSTEMS INC             COMMON     177376100      955      17506 SH  -    DEFINED 05              17506         0        0
D CITRIX SYSTEMS INC             COMMON     177376100    13056     239434 SH  -    DEFINED 08             239434         0        0
D CITRIX SYSTEMS INC             COMMON     177376100      856      15697 SH  -    DEFINED 09              15697         0        0
D CITRIX SYSTEMS INC             COMMON     177376100      370       6786 SH  -    DEFINED 01               5861       585      340
D CITRIX SYSTEMS INC             COMMON     177376100      133       2438 SH  -    OTHER   01               1007       566      865
D CITRIX SYSTEMS INC             COMMON     177376100       38        702 SH  -    OTHER   10                  0         0      702
D CITRIX SYSTEMS INC             OPTION     177376902       11        200 SH  C    DEFINED 05                200         0        0
D CITY HOLDING CO                COMMON     177835105      432      16017 SH  -    DEFINED 02               7525         0     8492
D CITY HOLDING CO                COMMON     177835105        5        176 SH  -    OTHER   02                  0       176        0
D CITY HOLDING CO                COMMON     177835105     1563      57902 SH  -    OTHER   02               2750     55152        0
D CITY HOLDING CO                COMMON     177835105     4816     178430 SH  -    DEFINED 04             162730         0    15700
D CITY HOLDING CO                COMMON     177835105     2712     100471 SH  -    DEFINED 04             100471         0        0
D CITY HOLDING CO                COMMON     177835105      191       7088 SH  -    DEFINED 05               7088         0        0
D CITY NATIONAL CORP             COMMON     178566105       20        530 SH  -    DEFINED 02                530         0        0
D CITY NATIONAL CORP             COMMON     178566105       58       1530 SH  -    DEFINED 02               1530         0        0
D CITY NATIONAL CORP             COMMON     178566105       11        290 SH  -    OTHER   02                  0       215       75
D CITY NATIONAL CORP             COMMON     178566105       22        590 SH  -    OTHER   02                555         0       35
D CITY NATIONAL CORP             COMMON     178566105    65695    1739810 SH  -    DEFINED 04            1646160         0    93650
D CITY NATIONAL CORP             COMMON     178566105     4619     122330 SH  -    DEFINED 04             122330         0        0
D CITY NATIONAL CORP             COMMON     178566105      676      17900 SH  -    DEFINED 04              17900         0        0
D CITY NATIONAL CORP             COMMON     178566105     1416      37500 SH  -    DEFINED 04              37500         0        0
D CITY NATIONAL CORP             COMMON     178566105      758      20086 SH  -    OTHER   04                  0     20086        0
D CITY NATIONAL CORP             COMMON     178566105     3858     102168 SH  -    OTHER   04                  0    102168        0
D CITY NATIONAL CORP             COMMON     178566105     1923      50933 SH  -    DEFINED 05              50933         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 212
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CITY NATIONAL CORP             COMMON     178566105      221       5850 SH  -    DEFINED 08               5850         0        0
D CITY NATIONAL CORP             COMMON     178566105       64       1700 SH  -    DEFINED 01               1700         0        0
D CITY NATIONAL CORP             COMMON     178566105       23        622 SH  -    OTHER   10                  0         0      622
D CLARCOR INC                    COMMON     179895107        7        166 SH  -    OTHER   02                  0       166        0
D CLARCOR INC                    COMMON     179895107       86       2086 SH  -    OTHER   02                  0         3     2083
D CLARCOR INC                    COMMON     179895107     1744      42144 SH  -    DEFINED 04              42144         0        0
D CLARCOR INC                    COMMON     179895107      979      23659 SH  -    DEFINED 05              23659         0        0
D CLAYMORE EXCHANGE TRD FD TR    COMMON     18383M621      517     160000 SH  -    DEFINED 05             160000         0        0
D CLAYMORE EXCHANGE TRD FD TR    COMMON     18383M621        5       1647 SH  -    OTHER   10                  0         0     1647
D CLAYMORE EXCHANGE TRD FD TR 2  COMMON     18383Q853      272      15000 SH  -    DEFINED 05              15000         0        0
D CLAYMORE EXCHANGE TRD FD TR 2  COMMON     18383Q853      642      35470 SH  -    OTHER   10                  0         0    35470
D CLEAN HARBOR INC               COMMON     184496107       53       1036 SH  -    OTHER   02                  0      1036        0
D CLEAN HARBOR INC               COMMON     184496107     4176      81400 SH  -    DEFINED 04              58400         0    23000
D CLEAN HARBOR INC               COMMON     184496107      778      15174 SH  -    DEFINED 04              15174         0        0
D CLEAN HARBOR INC               COMMON     184496107      662      12900 SH  -    DEFINED 04              12900         0        0
D CLEAN HARBOR INC               COMMON     184496107       65       1264 SH  -    DEFINED 05               1264         0        0
D CLEAN HARBOR INC               COMMON     184496107      206       4010 SH  -    DEFINED 08               4010         0        0
D CLEAN HARBOR INC               COMMON     184496107      480       9366 SH  -    OTHER   10                  0         0     9366
D CLEAN ENERGY FUELS CORP        COMMON     184499101       11        955 SH  -    OTHER   02                  0       955        0
D CLEAN ENERGY FUELS CORP        COMMON     184499101        1         90 SH  -    OTHER   02                 14        54       22
D CLEAN ENERGY FUELS CORP        COMMON     184499101       17       1562 SH  -    DEFINED 05               1562         0        0
D CLEAN ENERGY FUELS CORP        COMMON     184499101      511      45965 SH  -    DEFINED 08              45965         0        0
D CLEAN ENERGY FUELS CORP        COMMON     184499101        3        300 SH  -    OTHER   10                  0         0      300
D CLEAR CHANNEL OUTDOOR HLDGS IN COMMON     18451C109       12       1299 SH  -    DEFINED 02               1299         0        0
D CLEAR CHANNEL OUTDOOR HLDGS IN COMMON     18451C109       23       2406 SH  -    OTHER   02                  0        54     2352
D CLEAR CHANNEL OUTDOOR HLDGS IN COMMON     18451C109    33756    3606421 SH  -    DEFINED 04            3461375         0   145046

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 213
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CLEAR CHANNEL OUTDOOR HLDGS IN COMMON     18451C109       12       1287 SH  -    DEFINED 04               1287         0        0
D CLEAR CHANNEL OUTDOOR HLDGS IN COMMON     18451C109      679      72526 SH  -    DEFINED 04              72526         0        0
D CLEAR CHANNEL OUTDOOR HLDGS IN COMMON     18451C109      402      43001 SH  -    OTHER   04                  0     43001        0
D CLEAR CHANNEL OUTDOOR HLDGS IN COMMON     18451C109     2481     265055 SH  -    OTHER   04                  0    265055        0
D CLEAR CHANNEL OUTDOOR HLDGS IN COMMON     18451C109        9        988 SH  -    DEFINED 05                988         0        0
D CLEAR CHANNEL OUTDOOR HLDGS IN COMMON     18451C109        0         50 SH  -    OTHER   10                  0         0       50
D CLEARBRIDGE ENERGY MLP OPP FD  COMMON     18469P100      747      45000 SH  -    OTHER   02              45000         0        0
D CLEARBRIDGE ENERGY MLP FD INC  COMMON     184692101     1092      55900 SH  -    OTHER   02              53000         0     2900
D CLEARWIRE CORP NEW             COMMON     18538Q105        8       3238 SH  -    OTHER   02                422      2448        0
D CLEARWIRE CORP NEW             COMMON     18538Q105        5       2304 SH  -    OTHER   02                  0         0     2304
D CLEARWIRE CORP NEW             COMMON     18538Q105      587     251975 SH  -    DEFINED 04             251975         0        0
D CLEARWIRE CORP NEW             COMMON     18538Q105      266     114000 SH  -    DEFINED 04             114000         0        0
D CLEARWIRE CORP NEW             COMMON     18538Q105        0        131 SH  -    DEFINED 05                131         0        0
D CLEARWIRE CORP NEW             OPTION     18538Q907      329     141000 SH  C    DEFINED 08             141000         0        0
D CLEARWATER PAPER CORP          COMMON     18538R103        5        154 SH  -    OTHER   02                  0       154        0
D CLEARWATER PAPER CORP          COMMON     18538R103       49       1428 SH  -    OTHER   02               1428         0        0
D CLEARWATER PAPER CORP          COMMON     18538R103      634      18647 SH  -    DEFINED 04              18647         0        0
D CLEARWATER PAPER CORP          COMMON     18538R103      365      10756 SH  -    DEFINED 05              10756         0        0
D CLEVELAND BIOLABS INC          COMMON     185860103        1        311 SH  -    OTHER   02                  0       311        0
D CLEVELAND BIOLABS INC          COMMON     185860103        4       1657 SH  -    DEFINED 08               1657         0        0
D CLEVELAND BIOLABS INC          COMMON     185860103       25      10000 SH  -    OTHER   10                  0         0    10000
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101       26        508 SH  -    DEFINED 02                398         0      110
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101      250       4888 SH  -    DEFINED 02               4888         0        0
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101       92       1793 SH  -    DEFINED 02               1683         0      110
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101      121       2365 SH  -    OTHER   02                 30      1483      852
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101       11        208 SH  -    OTHER   02                192        16        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 214
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101     6504     127101 SH  -    DEFINED 04             120971         0     6130
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101     4131      80729 SH  -    DEFINED 04              80729         0        0
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101        3         63 SH  -    OTHER   04                  0        63        0
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101      414       8098 SH  -    DEFINED 05               8098         0        0
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101       99       1928 SH  -    DEFINED 06               1928         0        0
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101     2684      52443 SH  -    DEFINED 08              52443         0        0
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101       92       1792 SH  -    DEFINED 09               1792         0        0
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101      441       8611 SH  -    OTHER   09                  0      8611        0
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101        1         15 SH  -    OTHER   01                  0        15        0
D CLIFFS NATURAL RESOURCES INC   COMMON     18683K101     1557      30423 SH  -    OTHER   10                  0         0    30423
D CLIFFS NATURAL RESOURCES INC   OPTION     18683K903       26        500 SH  C    DEFINED 05                500         0        0
D CLIFFS NATURAL RESOURCES INC   OPTION     18683K952     3449      67400 SH  P    DEFINED 08              67400         0        0
D CLOROX CO DEL                  COMMON     189054109      315       4750 SH  -    DEFINED 02               4750         0        0
D CLOROX CO DEL                  COMMON     189054109      119       1795 SH  -    DEFINED 02               1795         0        0
D CLOROX CO DEL                  COMMON     189054109      106       1600 SH  -    DEFINED 02               1515         0       85
D CLOROX CO DEL                  COMMON     189054109      715      10785 SH  -    OTHER   02               6221      4564        0
D CLOROX CO DEL                  COMMON     189054109      716      10795 SH  -    OTHER   02               6401       704     3690
D CLOROX CO DEL                  COMMON     189054109     2130      32118 SH  -    DEFINED 04              28354         0     3764
D CLOROX CO DEL                  COMMON     189054109     1473      22212 SH  -    DEFINED 04              22212         0        0
D CLOROX CO DEL                  COMMON     189054109     4151      62577 SH  -    DEFINED 05              62577         0        0
D CLOROX CO DEL                  COMMON     189054109    12508     188571 SH  -    DEFINED 08             188571         0        0
D CLOROX CO DEL                  COMMON     189054109     1373      20696 SH  -    DEFINED 09              20696         0        0
D CLOROX CO DEL                  COMMON     189054109        6         89 SH  -    OTHER   01                  0        89        0
D CLOROX CO DEL                  COMMON     189054109      972      14648 SH  -    OTHER   10                  0         0    14648
D CLOROX CO DEL                  OPTION     189054901     1333      20100 SH  C    DEFINED 05              20100         0        0
D CLOROX CO DEL                  OPTION     189054950      119       1800 SH  P    DEFINED 05               1800         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 215
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CLOUD PEAK ENERGY INC          COMMON     18911Q102       31       1807 SH  -    OTHER   02                  0      1807        0
D CLOUD PEAK ENERGY INC          COMMON     18911Q102     4888     288377 SH  -    DEFINED 04             268577         0    19800
D CLOUD PEAK ENERGY INC          COMMON     18911Q102     2036     120100 SH  -    DEFINED 04             120100         0        0
D CLOUD PEAK ENERGY INC          COMMON     18911Q102      777      45822 SH  -    DEFINED 05              45822         0        0
D CLOUD PEAK ENERGY INC          COMMON     18911Q102      143       8466 SH  -    DEFINED 08               8466         0        0
D COACH INC                      COMMON     189754104    10632     205133 SH  -    DEFINED 02             171977      2892    30264
D COACH INC                      COMMON     189754104     3342      64487 SH  -    DEFINED 02              61957        48     2482
D COACH INC                      COMMON     189754104      475       9155 SH  -    DEFINED 02               5185         0     3970
D COACH INC                      COMMON     189754104     5013      96718 SH  -    OTHER   02              38339     53751     4618
D COACH INC                      COMMON     189754104      922      17797 SH  -    OTHER   02               6603      1211     9983
D COACH INC                      COMMON     189754104       63       1209 SH  -    OTHER   02                  0      1209        0
D COACH INC                      COMMON     189754104       50        957 SH  -    OTHER   02                  0       957        0
D COACH INC                      COMMON     189754104      127       2448 SH  -    OTHER   02                  0      2448        0
D COACH INC                      COMMON     189754104    96053    1853239 SH  -    DEFINED 04            1020835         0   832404
D COACH INC                      COMMON     189754104    38302     738988 SH  -    DEFINED 04             738988         0        0
D COACH INC                      COMMON     189754104     6728     129803 SH  -    DEFINED 04             129803         0        0
D COACH INC                      COMMON     189754104      104       2000 SH  -    DEFINED 04               2000         0        0
D COACH INC                      COMMON     189754104       61       1175 SH  -    DEFINED 04                  0         0     1175
D COACH INC                      COMMON     189754104     6737     129988 SH  -    OTHER   04                  0    129988        0
D COACH INC                      COMMON     189754104      479       9233 SH  -    DEFINED 05               9233         0        0
D COACH INC                      COMMON     189754104     1255      24215 SH  -    DEFINED 09              24215         0        0
D COACH INC                      COMMON     189754104      562      10849 SH  -    DEFINED 01               9344       640      865
D COACH INC                      COMMON     189754104     1132      21848 SH  -    OTHER   01              14326      6321     1042
D COACH INC                      COMMON     189754104      181       3485 SH  -    OTHER   10                  0         0     3485
D COACH INC                      OPTION     189754906        5        100 SH  C    DEFINED 05                100         0        0
D CNINSURE INC                   ADR        18976M103      299      42673 SH  -    OTHER   10                  0         0    42673

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 216
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COBIZ FINANCIAL INC            COMMON     190897108      615     137475 SH  -    DEFINED 04             134275         0     3200
D COBIZ FINANCIAL INC            COMMON     190897108        2        505 SH  -    DEFINED 05                505         0        0
D COBIZ FINANCIAL INC            COMMON     190897108        9       1956 SH  -    DEFINED 08               1956         0        0
D COCA-COLA BOTTLING             COMMON     191098102      849      15300 SH  -    DEFINED 04              11600         0     3700
D COCA-COLA BOTTLING             COMMON     191098102        4         77 SH  -    DEFINED 05                 77         0        0
D COCA-COLA BOTTLING             COMMON     191098102       16        287 SH  -    DEFINED 08                287         0        0
D COCA-COLA CO                   COMMON     191216100    23578     348994 SH  -    DEFINED 02             223467       160   125367
D COCA-COLA CO                   COMMON     191216100    19636     290652 SH  -    DEFINED 02             270767         0    19885
D COCA-COLA CO                   COMMON     191216100     1248      18479 SH  -    DEFINED 02              18479         0        0
D COCA-COLA CO                   COMMON     191216100     3977      58868 SH  -    DEFINED 02              35508         0    23360
D COCA-COLA CO                   COMMON     191216100    65835     974465 SH  -    OTHER   02             458632    313046   199364
D COCA-COLA CO                   COMMON     191216100    25172     372593 SH  -    OTHER   02             298493     31731    42369
D COCA-COLA CO                   COMMON     191216100      635       9400 SH  -    OTHER   02                  0      9400        0
D COCA-COLA CO                   COMMON     191216100       77       1138 SH  -    OTHER   02                  0      1138        0
D COCA-COLA CO                   COMMON     191216100     1242      18379 SH  -    OTHER   02                  0     18379        0
D COCA-COLA CO                   COMMON     191216100       72       1070 SH  -    OTHER   02                  0      1070        0
D COCA-COLA CO                   COMMON     191216100   832475   12322004 SH  -    DEFINED 04            8789062         0  3532942
D COCA-COLA CO                   COMMON     191216100    63928     946234 SH  -    DEFINED 04             946234         0        0
D COCA-COLA CO                   COMMON     191216100    80669    1194039 SH  -    DEFINED 04            1194039         0        0
D COCA-COLA CO                   COMMON     191216100    11315     167478 SH  -    DEFINED 04             167478         0        0
D COCA-COLA CO                   COMMON     191216100    24098     356688 SH  -    DEFINED 04             273169         0    50824
D COCA-COLA CO                   COMMON     191216100      753      11146 SH  -    DEFINED 04                  0         0    11146
D COCA-COLA CO                   COMMON     191216100       72       1071 SH  -    OTHER   04                  0      1071        0
D COCA-COLA CO                   COMMON     191216100   107756    1594971 SH  -    DEFINED 05            1594971         0        0
D COCA-COLA CO                   COMMON     191216100    64982     961838 SH  -    DEFINED 09             930682     31156        0
D COCA-COLA CO                   COMMON     191216100     2219      32846 SH  -    DEFINED 09              32846         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 217
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COCA-COLA CO                   COMMON     191216100    14590     215954 SH  -    DEFINED 09             215954         0        0
D COCA-COLA CO                   COMMON     191216100      467       6911 SH  -    OTHER   09                  0      6911        0
D COCA-COLA CO                   COMMON     191216100     1542      22821 SH  -    DEFINED 01              16091         0     6730
D COCA-COLA CO                   COMMON     191216100     1258      18619 SH  -    OTHER   01              12894      5595      130
D COCA-COLA CO                   COMMON     191216100    14904     220607 SH  -    OTHER   10                  0         0   220607
D COCA-COLA CO                   OPTION     191216902    15701     232400 SH  C    DEFINED 05             232400         0        0
D COCA-COLA CO                   OPTION     191216902    12985     192200 SH  C    DEFINED 08             192200         0        0
D COCA-COLA CO                   OPTION     191216951    13066     193400 SH  P    DEFINED 05             193400         0        0
D COCA-COLA CO                   OPTION     191216951      845      12500 SH  P    DEFINED 08              12500         0        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109       12        501 SH  -    DEFINED 02                501         0        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109      125       5033 SH  -    DEFINED 02               5033         0        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109       98       3941 SH  -    DEFINED 02               3676         0      265
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109      552      22170 SH  -    OTHER   02                165     19785     2220
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109       24        953 SH  -    OTHER   02                900        23       30
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109      621      24975 SH  -    OTHER   02                  0     24975        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109    40052    1609825 SH  -    DEFINED 04            1066993         0   542832
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109     2908     116893 SH  -    DEFINED 04             116893         0        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109     3592     144354 SH  -    DEFINED 04              86998         0    57356
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109        6        246 SH  -    OTHER   04                  0       246        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109      153       6157 SH  -    DEFINED 05               6157         0        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109    14838     596384 SH  -    DEFINED 09             558479     37905        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109      908      36483 SH  -    DEFINED 09              36483         0        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109     6743     271002 SH  -    DEFINED 09             271002         0        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109     1768      71068 SH  -    OTHER   09                  0     71068        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109        1         52 SH  -    OTHER   01                  0        52        0
D COCA COLA ENTERPRISES INC NEW  COMMON     19122T109     1191      47879 SH  -    OTHER   10                  0         0    47879

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 218
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COCA COLA FEMSA S A B DE C V   ADR        191241108      204       2300 SH  -    DEFINED 02               2300         0        0
D COCA COLA FEMSA S A B DE C V   ADR        191241108       60        672 SH  -    DEFINED 05                672         0        0
D COCA COLA FEMSA S A B DE C V   ADR        191241108       14        156 SH  -    DEFINED 08                156         0        0
D CODEXIS INC                    COMMON     192005106      151      33010 SH  -    DEFINED 05              33010         0        0
D CODEXIS INC                    COMMON     192005106        7       1460 SH  -    DEFINED 08               1460         0        0
D COEUR D ALENE MINES CORP IDAHO COMMON     192108504       34       1566 SH  -    OTHER   02                  0      1566        0
D COEUR D ALENE MINES CORP IDAHO COMMON     192108504     8480     395545 SH  -    DEFINED 04             360045         0    35500
D COEUR D ALENE MINES CORP IDAHO COMMON     192108504       33       1544 SH  -    DEFINED 05               1544         0        0
D COEUR D ALENE MINES CORP IDAHO COMMON     192108504      248      11566 SH  -    DEFINED 08              11566         0        0
D COEUR D ALENE MINES CORP IDAHO COMMON     192108504    40882    1906800 SH  -    DEFINED 09            1906800         0        0
D COEUR D ALENE MINES CORP IDAHO COMMON     192108504     1726      80500 SH  -    DEFINED 09              80500         0        0
D COEUR D ALENE MINES CORP IDAHO COMMON     192108504        3        150 SH  -    OTHER   10                  0         0      150
D COGENT COMM GROUP INC          COMMON     19239V302      100       7437 SH  -    OTHER   02                  0       398     7039
D COGENT COMM GROUP INC          COMMON     19239V302      285      21176 SH  -    OTHER   02                  0       904    20272
D COGENT COMM GROUP INC          COMMON     19239V302        9        661 SH  -    DEFINED 05                661         0        0
D COGENT COMM GROUP INC          COMMON     19239V302       37       2735 SH  -    DEFINED 08               2735         0        0
D COGNEX CORP                    COMMON     192422103       43       1572 SH  -    OTHER   02                900       292      380
D COGNEX CORP                    COMMON     192422103      450      16600 SH  -    DEFINED 04              16600         0        0
D COGNEX CORP                    COMMON     192422103     2206      81400 SH  -    DEFINED 04              81400         0        0
D COGNEX CORP                    COMMON     192422103      531      19595 SH  -    DEFINED 05              19595         0        0
D COGNEX CORP                    COMMON     192422103       81       3000 SH  -    OTHER   10                  0         0     3000
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102    23538     375409 SH  -    DEFINED 02             321257      2554    51598
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102     7005     111726 SH  -    DEFINED 02             107641       118     3967
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102     2092      33364 SH  -    DEFINED 02              33364         0        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102      924      14744 SH  -    DEFINED 02               6690         0     8054
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102     9343     149014 SH  -    OTHER   02              68544     69820    10629

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 219
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102     1636      26099 SH  -    OTHER   02              15681      1840     8578
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102      436       6960 SH  -    OTHER   02                  0      6960        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102      186       2972 SH  -    OTHER   02                  0      2972        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102      933      14877 SH  -    OTHER   02                  0     14877        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102       33        533 SH  -    OTHER   02                  0       533        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102   334929    5341769 SH  -    DEFINED 04            3772543         0  1569226
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102    47292     754251 SH  -    DEFINED 04             754251         0        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102    38578     615286 SH  -    DEFINED 04             615286         0        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102     4654      74232 SH  -    DEFINED 04              74232         0        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102    22123     352844 SH  -    DEFINED 04             323238         0    29606
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102      191       3044 SH  -    DEFINED 04                  0         0     3044
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102    17819     284198 SH  -    OTHER   04                  0    284198        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102    74843    1193664 SH  -    DEFINED 05            1193664         0        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102    49843     794941 SH  -    DEFINED 09             758841     19164     7236
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102     1036      16528 SH  -    DEFINED 09              16528         0        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102     9879     157565 SH  -    DEFINED 09             157565         0        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102     1499      23908 SH  -    DEFINED 09              23908         0        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102      188       2995 SH  -    OTHER   09                  0      2995        0
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102     1257      20053 SH  -    DEFINED 01              17062      1545     1446
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102     1222      19494 SH  -    OTHER   01               8375      8424     2476
D COGNIZANT TECHNOLOGY SOLUTIONS COMMON     192446102      498       7950 SH  -    OTHER   10                  0         0     7950
D CNS                            COMMON     19247A100     5799     201710 SH  -    DEFINED 04             144810         0    56900
D CNS                            COMMON     19247A100     3867     134500 SH  -    DEFINED 04             134500         0        0
D CNS                            COMMON     19247A100      914      31800 SH  -    DEFINED 04              31800         0        0
D CNS                            COMMON     19247A100        8        294 SH  -    DEFINED 05                294         0        0
D CNS                            COMMON     19247A100       31       1077 SH  -    DEFINED 08               1077         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 220
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COHERENT INC                   COMMON     192479103        6        146 SH  -    OTHER   02                  0       146        0
D COHERENT INC                   COMMON     192479103     1654      38500 SH  -    OTHER   02              33500         0     5000
D COHERENT INC                   COMMON     192479103     2828      65825 SH  -    DEFINED 04              60725         0     5100
D COHERENT INC                   COMMON     192479103     5185     120684 SH  -    DEFINED 04             120684         0        0
D COHERENT INC                   COMMON     192479103       16        380 SH  -    DEFINED 05                380         0        0
D COHERENT INC                   COMMON     192479103       64       1485 SH  -    DEFINED 08               1485         0        0
D COHERENT INC                   COMMON     192479103        2         46 SH  -    OTHER   10                  0         0       46
D COHEN & STEERS INFRASTRUCTURE  COMMON     19248A109       39       2510 SH  -    DEFINED 02               2510         0        0
D COHEN & STEERS INFRASTRUCTURE  COMMON     19248A109       47       3000 SH  -    OTHER   02               3000         0        0
D COHEN & STEERS INFRASTRUCTURE  COMMON     19248A109    14614     938595 SH  -    DEFINED 04             879426         0    59169
D COHEN & STEERS INFRASTRUCTURE  COMMON     19248A109       45       2897 SH  -    DEFINED 04               2897         0        0
D COHEN & STEERS INFRASTRUCTURE  COMMON     19248A109       14        889 SH  -    OTHER   04                  0       889        0
D COHU INC                       COMMON     192576106        1         85 SH  -    OTHER   02                  0        85        0
D COHU INC                       COMMON     192576106      170      17244 SH  -    DEFINED 04              17244         0        0
D COHU INC                       COMMON     192576106      111      11252 SH  -    DEFINED 05              11252         0        0
D COINSTAR INC                   COMMON     19259P300        3         70 SH  -    DEFINED 02                  0        70        0
D COINSTAR INC                   COMMON     19259P300      171       4287 SH  -    OTHER   02                  0      4287        0
D COINSTAR INC                   COMMON     19259P300        6        149 SH  -    OTHER   02                  0         0      149
D COINSTAR INC                   COMMON     19259P300      755      18863 SH  -    DEFINED 04              18863         0        0
D COINSTAR INC                   COMMON     19259P300     5448     136199 SH  -    DEFINED 04             136199         0        0
D COINSTAR INC                   COMMON     19259P300      626      15638 SH  -    DEFINED 05              15638         0        0
D COINSTAR INC                   COMMON     19259P300      180       4500 SH  -    OTHER   10                  0         0     4500
D COLDWATER CREEK                COMMON     193068103      306     244687 SH  -    OTHER   02                  0    244687        0
D COLDWATER CREEK                COMMON     193068103      127     101299 SH  -    DEFINED 04              91199         0    10100
D COLDWATER CREEK                COMMON     193068103       53      42079 SH  -    DEFINED 04              42079         0        0
D COLDWATER CREEK                COMMON     193068103       36      28612 SH  -    DEFINED 05              28612         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 221
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COLFAX CORP                    COMMON     194014106        5        249 SH  -    DEFINED 02                  0       249        0
D COLFAX CORP                    COMMON     194014106      294      14496 SH  -    OTHER   02                  0     14496        0
D COLFAX CORP                    COMMON     194014106       11        520 SH  -    OTHER   02                  0         0      520
D COLFAX CORP                    COMMON     194014106       30       1502 SH  -    DEFINED 08               1502         0        0
D COLGATE-PALMOLIVE              COMMON     194162103    89644    1010875 SH  -    DEFINED 02             966263      1101    43511
D COLGATE-PALMOLIVE              COMMON     194162103    26698     301057 SH  -    DEFINED 02             298011        83     2963
D COLGATE-PALMOLIVE              COMMON     194162103      221       2496 SH  -    DEFINED 02               2496         0        0
D COLGATE-PALMOLIVE              COMMON     194162103     1324      14927 SH  -    DEFINED 02               8142         0     6785
D COLGATE-PALMOLIVE              COMMON     194162103    16296     183757 SH  -    OTHER   02             101815     46586    35288
D COLGATE-PALMOLIVE              COMMON     194162103     6414      72325 SH  -    OTHER   02              55058     12110     5157
D COLGATE-PALMOLIVE              COMMON     194162103     9902     111659 SH  -    OTHER   02                  0    111659        0
D COLGATE-PALMOLIVE              COMMON     194162103     4466      50364 SH  -    OTHER   02                  0     50364        0
D COLGATE-PALMOLIVE              COMMON     194162103     4440      50063 SH  -    OTHER   02                  0     50063        0
D COLGATE-PALMOLIVE              COMMON     194162103   398609    4494916 SH  -    DEFINED 04            3508219         0   986697
D COLGATE-PALMOLIVE              COMMON     194162103    10925     123201 SH  -    DEFINED 04             123201         0        0
D COLGATE-PALMOLIVE              COMMON     194162103    37665     424724 SH  -    DEFINED 04             424724         0        0
D COLGATE-PALMOLIVE              COMMON     194162103      110       1238 SH  -    DEFINED 04               1238         0        0
D COLGATE-PALMOLIVE              COMMON     194162103      162       1825 SH  -    DEFINED 04               1825         0        0
D COLGATE-PALMOLIVE              COMMON     194162103      170       1915 SH  -    DEFINED 04                  0         0     1915
D COLGATE-PALMOLIVE              COMMON     194162103    20529     231490 SH  -    OTHER   04                  0    231490        0
D COLGATE-PALMOLIVE              COMMON     194162103    31874     359426 SH  -    DEFINED 05             359426         0        0
D COLGATE-PALMOLIVE              COMMON     194162103   491495    5542343 SH  -    DEFINED 08            5542343         0        0
D COLGATE-PALMOLIVE              COMMON     194162103     1889      21306 SH  -    DEFINED 09              21306         0        0
D COLGATE-PALMOLIVE              COMMON     194162103     1738      19600 SH  -    OTHER   09                  0     19600        0
D COLGATE-PALMOLIVE              COMMON     194162103     2152      24264 SH  -    DEFINED 01              22170      1073     1021
D COLGATE-PALMOLIVE              COMMON     194162103      800       9017 SH  -    OTHER   01               5703      1567     1747

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 222
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COLGATE-PALMOLIVE              COMMON     194162103      407       4595 SH  -    OTHER   10                  0         0     4595
D COLGATE-PALMOLIVE              OPTION     194162905     6545      73800 SH  C    DEFINED 05              73800         0        0
D COLGATE-PALMOLIVE              OPTION     194162905     6651      75000 SH  C    DEFINED 08              75000         0        0
D COLGATE-PALMOLIVE              OPTION     194162954      851       9600 SH  P    DEFINED 05               9600         0        0
D COLLECTIVE BRANDS INC          COMMON     19421W100        2        172 SH  -    OTHER   02                  0       172        0
D COLLECTIVE BRANDS INC          COMMON     19421W100        0         23 SH  -    OTHER   02                  0        23        0
D COLLECTIVE BRANDS INC          COMMON     19421W100      515      39767 SH  -    DEFINED 04              30467         0     9300
D COLLECTIVE BRANDS INC          COMMON     19421W100      824      63544 SH  -    DEFINED 04              63544         0        0
D COLLECTIVE BRANDS INC          COMMON     19421W100       12        931 SH  -    DEFINED 05                931         0        0
D COLLECTIVE BRANDS INC          COMMON     19421W100      177      13681 SH  -    DEFINED 08              13681         0        0
D COLONIAL PROPS TST             COMMON     195872106     4354     239752 SH  -    DEFINED 04             140137         0    99615
D COLONIAL PROPS TST             COMMON     195872106     1417      78008 SH  -    DEFINED 04              78008         0        0
D COLONIAL PROPS TST             COMMON     195872106      781      43017 SH  -    DEFINED 05              43017         0        0
D COLONIAL PROPS TST             COMMON     195872106       17        954 SH  -    DEFINED 06                954         0        0
D COLONIAL PROPS TST             COMMON     195872106        6        311 SH  -    OTHER   10                  0         0      311
D COLUMBIA BKG SYS INC           COMMON     197236102       96       6700 SH  -    OTHER   02                  0      2250     4450
D COLUMBIA BKG SYS INC           COMMON     197236102       35       2450 SH  -    OTHER   02                  0      2450        0
D COLUMBIA BKG SYS INC           COMMON     197236102      592      41322 SH  -    DEFINED 04              41322         0        0
D COLUMBIA BKG SYS INC           COMMON     197236102      399      27880 SH  -    DEFINED 04              27880         0        0
D COLUMBIA BKG SYS INC           COMMON     197236102      264      18439 SH  -    DEFINED 05              18439         0        0
D COLUMBIA LABS INC              COMMON     197779101        3       1461 SH  -    OTHER   02                  0      1461        0
D COLUMBIA LABS INC              COMMON     197779101       20      10000 SH  -    OTHER   02                  0     10000        0
D COLUMBIA LABS INC              COMMON     197779101        0          1 SH  -    DEFINED 05                  1         0        0
D COLUMBIA LABS INC              COMMON     197779101        8       3883 SH  -    DEFINED 08               3883         0        0
D COLUMBIA SPORTSWEA             COMMON     198516106        4         96 SH  -    OTHER   02                  0        96        0
D COLUMBIA SPORTSWEA             COMMON     198516106        0          6 SH  -    OTHER   02                  0         6        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 223
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COLUMBIA SPORTSWEA             COMMON     198516106      626      13496 SH  -    DEFINED 05              13496         0        0
D COLUMBIA SPORTSWEA             COMMON     198516106        1         12 SH  -    OTHER   10                  0         0       12
D COLUMBUS MCKINNON              COMMON     199333105        0         27 SH  -    OTHER   02                  0        27        0
D COLUMBUS MCKINNON              COMMON     199333105      313      28600 SH  -    DEFINED 04              22000         0     6600
D COLUMBUS MCKINNON              COMMON     199333105        3        278 SH  -    DEFINED 05                278         0        0
D COLUMBUS MCKINNON              COMMON     199333105       13       1163 SH  -    DEFINED 08               1163         0        0
D COMFORT SYS USA INC            COMMON     199908104        1         98 SH  -    OTHER   02                  0        98        0
D COMFORT SYS USA INC            COMMON     199908104    17857    2146252 SH  -    DEFINED 04            2008769         0   137483
D COMFORT SYS USA INC            COMMON     199908104      221      26592 SH  -    DEFINED 04              26592         0        0
D COMFORT SYS USA INC            COMMON     199908104      147      17637 SH  -    DEFINED 05              17637         0        0
D COMCAST CORP NEW               COMMON     20030N101    15962     763001 SH  -    DEFINED 02             668498      3453    91050
D COMCAST CORP NEW               COMMON     20030N101     6062     289751 SH  -    DEFINED 02             265312       230    24209
D COMCAST CORP NEW               COMMON     20030N101     1757      83976 SH  -    DEFINED 02              83976         0        0
D COMCAST CORP NEW               COMMON     20030N101     1571      75112 SH  -    DEFINED 02              42352         0    32760
D COMCAST CORP NEW               COMMON     20030N101    11555     552361 SH  -    OTHER   02             317477    213590    21007
D COMCAST CORP NEW               COMMON     20030N101     1835      87738 SH  -    OTHER   02              78890      1262     7586
D COMCAST CORP NEW               COMMON     20030N101      362      17293 SH  -    OTHER   02                  0     17293        0
D COMCAST CORP NEW               COMMON     20030N101      136       6513 SH  -    OTHER   02                  0      6513        0
D COMCAST CORP NEW               COMMON     20030N101      851      40658 SH  -    OTHER   02                  0     40658        0
D COMCAST CORP NEW               COMMON     20030N101       36       1710 SH  -    OTHER   02                  0      1710        0
D COMCAST CORP NEW               COMMON     20030N101   417768   19969809 SH  -    DEFINED 04           16318963         0  3650846
D COMCAST CORP NEW               COMMON     20030N101     9921     474223 SH  -    DEFINED 04             474223         0        0
D COMCAST CORP NEW               COMMON     20030N101    41714    1993959 SH  -    DEFINED 04            1993959         0        0
D COMCAST CORP NEW               COMMON     20030N101      116       5538 SH  -    DEFINED 04               5538         0        0
D COMCAST CORP NEW               COMMON     20030N101     7230     345615 SH  -    DEFINED 04             345615         0        0
D COMCAST CORP NEW               COMMON     20030N101    39732    1899241 SH  -    DEFINED 04            1832664         0    66577

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 224
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COMCAST CORP NEW               COMMON     20030N101      230      10979 SH  -    DEFINED 04                  0         0    10979
D COMCAST CORP NEW               COMMON     20030N101       12        596 SH  -    OTHER   04                  0       596        0
D COMCAST CORP NEW               COMMON     20030N101    11612     555081 SH  -    OTHER   04                  0    555081        0
D COMCAST CORP NEW               COMMON     20030N101    16243     776444 SH  -    DEFINED 05             776444         0        0
D COMCAST CORP NEW               COMMON     20030N101    66699    3188294 SH  -    DEFINED 09            3024263     39076    98134
D COMCAST CORP NEW               COMMON     20030N101      864      41319 SH  -    DEFINED 09              41319         0        0
D COMCAST CORP NEW               COMMON     20030N101     8539     408192 SH  -    DEFINED 09             408192         0        0
D COMCAST CORP NEW               COMMON     20030N101     1509      72138 SH  -    DEFINED 09              72138         0        0
D COMCAST CORP NEW               COMMON     20030N101     8063     385437 SH  -    OTHER   09                  0    385437        0
D COMCAST CORP NEW               COMMON     20030N101      821      39266 SH  -    DEFINED 01              33686      3000     2580
D COMCAST CORP NEW               COMMON     20030N101      404      19329 SH  -    OTHER   01               6993      7431     4905
D COMCAST CORP NEW               COMMON     20030N101     1945      92990 SH  -    OTHER   10                  0         0    92990
D COMCAST CORPORATIO             COMMON     20030N200      714      34461 SH  -    DEFINED 02              30411         0     4050
D COMCAST CORPORATIO             COMMON     20030N200      169       8165 SH  -    DEFINED 02               7065         0     1100
D COMCAST CORPORATIO             COMMON     20030N200     2707     130649 SH  -    OTHER   02              26225    100824     3600
D COMCAST CORPORATIO             COMMON     20030N200     1899      91632 SH  -    OTHER   02              90820         0      812
D COMCAST CORPORATIO             COMMON     20030N200       82       3945 SH  -    DEFINED 04               3945         0        0
D COMCAST CORPORATIO             COMMON     20030N200      290      13978 SH  -    OTHER   04                  0     13978        0
D COMCAST CORPORATIO             COMMON     20030N200      316      15242 SH  -    DEFINED 05              15242         0        0
D COMCAST CORPORATIO             COMMON     20030N200    18987     916372 SH  -    DEFINED 08             916372         0        0
D COMCAST CORPORATIO             COMMON     20030N200      765      36899 SH  -    OTHER   10                  0         0    36899
D COMCAST CORPORATIO             OPTION     20030N903     3138     150000 SH  C    DEFINED 05             150000         0        0
D COMCAST CORPORATIO             OPTION     20030N903     6575     314298 SH  C    DEFINED 08             314298         0        0
D COMCAST CORPORATIO             OPTION     20030N952      479      22900 SH  P    DEFINED 05              22900         0        0
D COMCAST CORPORATIO             OPTION     20030N952     6276     300000 SH  P    DEFINED 08             300000         0        0
D COMERICA INC                   COMMON     200340107       24       1040 SH  -    DEFINED 02                440       600        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 225
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COMERICA INC                   COMMON     200340107      432      18812 SH  -    DEFINED 02              16237      1475     1100
D COMERICA INC                   COMMON     200340107       69       3000 SH  -    DEFINED 02               3000         0        0
D COMERICA INC                   COMMON     200340107       55       2401 SH  -    DEFINED 02               2316         0       85
D COMERICA INC                   COMMON     200340107     7091     308704 SH  -    OTHER   02               5875    300454      675
D COMERICA INC                   COMMON     200340107      787      34274 SH  -    OTHER   02               7601     21574     5099
D COMERICA INC                   COMMON     200340107     2656     115639 SH  -    DEFINED 04              74585         0    41054
D COMERICA INC                   COMMON     200340107     9270     403550 SH  -    DEFINED 04             403550         0        0
D COMERICA INC                   COMMON     200340107     2326     101249 SH  -    DEFINED 05             101249         0        0
D COMERICA INC                   COMMON     200340107        8        338 SH  -    DEFINED 06                338         0        0
D COMERICA INC                   COMMON     200340107     2304     100323 SH  -    DEFINED 08             100323         0        0
D COMERICA INC                   COMMON     200340107      240      10456 SH  -    OTHER   09                  0     10456        0
D COMERICA INC                   COMMON     200340107      381      16580 SH  -    OTHER   01                  0     16580        0
D COMERICA INC                   COMMON     200340107        0          9 SH  -    OTHER   10                  0         0        9
D COMERICA INC                   OPTION     200340909     1619      70500 SH  C    DEFINED 05              70500         0        0
D COMMERCE BANCSHS               COMMON     200525103        6        174 SH  -    OTHER   02                 54        98       22
D COMMERCE BANCSHS               COMMON     200525103      617      17768 SH  -    DEFINED 04              17768         0        0
D COMMERCE BANCSHS               COMMON     200525103     3014      86740 SH  -    DEFINED 04              86740         0        0
D COMMERCE BANCSHS               COMMON     200525103     2145      61720 SH  -    DEFINED 05              61720         0        0
D COMMERCE BANCSHS               COMMON     200525103      200       5748 SH  -    DEFINED 08               5748         0        0
D COMMERCIAL METALS              COMMON     201723103       10       1060 SH  -    OTHER   02                  0      1060        0
D COMMERCIAL METALS              COMMON     201723103     1580     166150 SH  -    DEFINED 04             119430         0    46720
D COMMERCIAL METALS              COMMON     201723103     3560     374374 SH  -    DEFINED 04             374374         0        0
D COMMERCIAL METALS              COMMON     201723103      250      26270 SH  -    DEFINED 04              26270         0        0
D COMMERCIAL METALS              COMMON     201723103       81       8551 SH  -    DEFINED 05               8551         0        0
D COMMERCIAL METALS              COMMON     201723103      105      11053 SH  -    DEFINED 08              11053         0        0
D COMMERCIAL METALS              COMMON     201723103        3        345 SH  -    OTHER   01                  0       345        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 226
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COMMERCIAL METALS              COMMON     201723103       44       4629 SH  -    OTHER   10                  0         0     4629
D COMMONWEALTH REIT              COMMON     203233101     3809     200771 SH  -    DEFINED 04              53521         0   147250
D COMMONWEALTH REIT              COMMON     203233101     1060      55875 SH  -    DEFINED 04              55875         0        0
D COMMONWEALTH REIT              COMMON     203233101       24       1242 SH  -    DEFINED 05               1242         0        0
D COMMONWEALTH REIT              COMMON     203233101       17        895 SH  -    DEFINED 06                895         0        0
D COMMONWEALTH REIT              COMMON     203233101        2        108 SH  -    DEFINED 08                108         0        0
D COMMONWEALTH REIT              PREF CONV  203233408     1694      83000 SH  -    DEFINED 04                  0         0        0
D COMMUNITY BK SYS INC           COMMON     203607106       99       4360 SH  -    OTHER   02                  0      1460     2900
D COMMUNITY BK SYS INC           COMMON     203607106     2567     113150 SH  -    DEFINED 04              98850         0    14300
D COMMUNITY BK SYS INC           COMMON     203607106     2119      93369 SH  -    DEFINED 04              93369         0        0
D COMMUNITY BK SYS INC           COMMON     203607106      389      17154 SH  -    DEFINED 05              17154         0        0
D COMMUNITY HEALTH SYS INC NEWCO COMMON     203668108        2        117 SH  -    DEFINED 02                  0         0      117
D COMMUNITY HEALTH SYS INC NEWCO COMMON     203668108       15        901 SH  -    DEFINED 02                246       655        0
D COMMUNITY HEALTH SYS INC NEWCO COMMON     203668108     1036      62244 SH  -    OTHER   02                756     55026     6462
D COMMUNITY HEALTH SYS INC NEWCO COMMON     203668108      430      25831 SH  -    OTHER   02                410      2862    22559
D COMMUNITY HEALTH SYS INC NEWCO COMMON     203668108      964      57905 SH  -    DEFINED 04              57905         0        0
D COMMUNITY HEALTH SYS INC NEWCO COMMON     203668108     2802     168370 SH  -    DEFINED 04             168370         0        0
D COMMUNITY HEALTH SYS INC NEWCO COMMON     203668108     1336      80310 SH  -    DEFINED 05              80310         0        0
D COMMUNITY HEALTH SYS INC NEWCO COMMON     203668108     2661     159921 SH  -    DEFINED 08             159921         0        0
D COMMUNITY HEALTH SYS INC NEWCO COMMON     203668108        6        377 SH  -    OTHER   10                  0         0      377
D COMMUNITY TR BANCORP INC       COMMON     204149108        3        116 SH  -    OTHER   02                  0       116        0
D COMMUNITY TR BANCORP INC       COMMON     204149108     2146      92145 SH  -    DEFINED 04              87875         0     4270
D COMMUNITY TR BANCORP INC       COMMON     204149108     1321      56700 SH  -    DEFINED 04              56700         0        0
D COMMUNITY TR BANCORP INC       COMMON     204149108        5        199 SH  -    DEFINED 05                199         0        0
D COMMUNITY TR BANCORP INC       COMMON     204149108       19        819 SH  -    DEFINED 08                819         0        0
D COMMVAULT SYSTEMS INC          COMMON     204166102        3         80 SH  -    DEFINED 02                  0        80        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 227
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COMMVAULT SYSTEMS INC          COMMON     204166102      218       5891 SH  -    OTHER   02                  0      4491     1400
D COMMVAULT SYSTEMS INC          COMMON     204166102        6        160 SH  -    OTHER   02                  0         0      160
D COMMVAULT SYSTEMS INC          COMMON     204166102      418      11287 SH  -    DEFINED 04              11287         0        0
D COMMVAULT SYSTEMS INC          COMMON     204166102      791      21343 SH  -    DEFINED 05              21343         0        0
D COMMVAULT SYSTEMS INC          COMMON     204166102      185       5000 SH  -    OTHER   10                  0         0     5000
D CGG VERITAS                    ADR        204386106       18       1016 SH  -    OTHER   02                  0      1016        0
D CGG VERITAS                    ADR        204386106      303      17181 SH  -    DEFINED 06              17181         0        0
D COMPANHIA BRASILEIRA DE DISTRB PREF ADR   20440T201        0          1 SH  -    DEFINED 05                  1         0        0
D COMPANHIA BRASILEIRA DE DISTRB PREF ADR   20440T201      459      14916 SH  -    DEFINED 08              14916         0        0
D COMPANHIA SIDERURGICA NACIONAL ADR        20440W105      628      79130 SH  -    DEFINED 05              79130         0        0
D COMPANHIA SIDERURGICA NACIONAL ADR        20440W105       62       7793 SH  -    DEFINED 06               7793         0        0
D COMPANHIA SIDERURGICA NACIONAL ADR        20440W105     3076     387461 SH  -    DEFINED 08             387461         0        0
D COMPANHIA SIDERURGICA NACIONAL ADR        20440W105      143      18000 SH  -    OTHER   01              18000         0        0
D COMPANHIA SIDERURGICA NACIONAL ADR        20440W105      427      53720 SH  -    OTHER   10                  0         0    53720
D COMPANHIA SIDERURGICA NACIONAL OPTION     20440W956      196      24700 SH  P    DEFINED 08              24700         0        0
D CEMIG CIA ENERG MG             PREF ADR   204409601     1848     124537 SH  -    DEFINED 02             124537         0        0
D CEMIG CIA ENERG MG             PREF ADR   204409601     1162      78270 SH  -    DEFINED 04              55200         0    23070
D CEMIG CIA ENERG MG             PREF ADR   204409601    13268     894051 SH  -    DEFINED 04             894051         0        0
D CEMIG CIA ENERG MG             PREF ADR   204409601        1         56 SH  -    DEFINED 05                 56         0        0
D CEMIG CIA ENERG MG             PREF ADR   204409601      268      18047 SH  -    DEFINED 06              18047         0        0
D CEMIG CIA ENERG MG             PREF ADR   204409601     5959     401560 SH  -    DEFINED 09             346644     54916        0
D CEMIG CIA ENERG MG             PREF ADR   204409601      320      21530 SH  -    DEFINED 09              21530         0        0
D CEMIG CIA ENERG MG             PREF ADR   204409601      105       7100 SH  -    DEFINED 09               7100         0        0
D CEMIG CIA ENERG MG             PREF ADR   204409601     1544     104027 SH  -    OTHER   09                  0    104027        0
D COMPANHIA DE SANEAMENTO BASICO ADR        20441A102        4         80 SH  -    DEFINED 05                 80         0        0
D COMPANHIA DE SANEAMENTO BASICO ADR        20441A102     1363      29400 SH  -    DEFINED 08              29400         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 228
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COMPANHIA DE SANEAMENTO BASICO ADR        20441A102     1349      29100 SH  -    DEFINED 09              29100         0        0
D COMPANHIA DE SANEAMENTO BASICO ADR        20441A102      231       4986 SH  -    OTHER   10                  0         0     4986
D COPEL PARANA ENERG             PREF ADR   20441B407      220      12071 SH  -    DEFINED 06              12071         0        0
D COPEL PARANA ENERG             PREF ADR   20441B407     1063      58398 SH  -    DEFINED 08              58398         0        0
D COMPANHIA DE BEBIDAS DAS AMERS ADR        20441W104     7566     309055 SH  -    DEFINED 04             309055         0        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203       41       1335 SH  -    DEFINED 02                  0      1335        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203    73878    2410385 SH  -    DEFINED 02            2410385         0        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203     1267      41325 SH  -    OTHER   02                  0     41325        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203      147       4785 SH  -    OTHER   02               2000         0     2785
D AMBEV CIA DE BEBID             PREF ADR   20441W203    29293     955712 SH  -    DEFINED 04             429780         0   525932
D AMBEV CIA DE BEBID             PREF ADR   20441W203    14090     459700 SH  -    DEFINED 04             459700         0        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203     4885     159380 SH  -    DEFINED 04             159380         0        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203    64997    2120620 SH  -    DEFINED 04            2120620         0        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203     3160     103100 SH  -    DEFINED 04              61600         0    41500
D AMBEV CIA DE BEBID             PREF ADR   20441W203   160048    5221786 SH  -    DEFINED 04            4427151         0   794635
D AMBEV CIA DE BEBID             PREF ADR   20441W203       20        660 SH  -    OTHER   04                  0       660        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203     2875      93800 SH  -    DEFINED 05              93800         0        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203    18524     604373 SH  -    DEFINED 08             604373         0        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203   294333    9603021 SH  -    DEFINED 09            9513143     30928    58950
D AMBEV CIA DE BEBID             PREF ADR   20441W203    28525     930670 SH  -    DEFINED 09             930670         0        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203    25083     818360 SH  -    DEFINED 09             818360         0        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203     5620     183370 SH  -    DEFINED 09              13270         0        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203    11432     372984 SH  -    OTHER   09                  0    372984        0
D AMBEV CIA DE BEBID             PREF ADR   20441W203      506      16500 SH  -    OTHER   01              16500         0        0
D CERVECERIAS UNIDAS             ADR        204429104       37        720 SH  -    DEFINED 05                720         0        0
D CERVECERIAS UNIDAS             ADR        204429104      186       3600 SH  -    OTHER   01               3600         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 229
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COMPANIA DE MINAS BUENAVENTURA ADR        204448104       12        316 SH  -    DEFINED 05                316         0        0
D COMPANIA DE MINAS BUENAVENTURA ADR        204448104       50       1326 SH  -    DEFINED 06               1326         0        0
D COMPANIA DE MINAS BUENAVENTURA ADR        204448104    16623     440469 SH  -    DEFINED 08             440469         0        0
D COMPANIA DE MINAS BUENAVENTURA ADR        204448104      228       6047 SH  -    OTHER   10                  0         0     6047
D COMPASS MINERALS INTL INC      COMMON     20451N101       35        520 SH  -    OTHER   02                  0       520        0
D COMPASS MINERALS INTL INC      COMMON     20451N101        5         80 SH  -    OTHER   02                  0         0       80
D COMPASS MINERALS INTL INC      COMMON     20451N101    18813     281710 SH  -    DEFINED 04             260350         0    21360
D COMPASS MINERALS INTL INC      COMMON     20451N101      136       2042 SH  -    DEFINED 05               2042         0        0
D COMPLETE PRODUCTION SERVICES   COMMON     20453E109        9        466 SH  -    OTHER   02                  0       466        0
D COMPLETE PRODUCTION SERVICES   COMMON     20453E109     5146     272978 SH  -    DEFINED 04             233078         0    39900
D COMPLETE PRODUCTION SERVICES   COMMON     20453E109     2789     147963 SH  -    DEFINED 04             147963         0        0
D COMPLETE PRODUCTION SERVICES   COMMON     20453E109       49       2603 SH  -    DEFINED 05               2603         0        0
D COMPLETE PRODUCTION SERVICES   COMMON     20453E109       90       4767 SH  -    DEFINED 08               4767         0        0
D COMPLETE PRODUCTION SERVICES   COMMON     20453E109        3        142 SH  -    OTHER   10                  0         0      142
D COMPLETE GENOMICS INC          COMMON     20454K104       88      14953 SH  -    DEFINED 05              14953         0        0
D COMPLETE GENOMICS INC          COMMON     20454K104        4        717 SH  -    DEFINED 08                717         0        0
D COMPUCREDIT HLDGS CORP         BOND       20478NAB6       47      50000 PRN -    DEFINED 05                  0         0        0
D COMPUCREDIT HLDGS CORP         BOND       20478NAD2     1226    3000000 PRN -    DEFINED 08                  0         0        0
D COMPUCREDIT HLDGS CORP         COMMON     20478T107      243      86994 SH  -    DEFINED 04              86994         0        0
D COMPUCREDIT HLDGS CORP         COMMON     20478T107        0          1 SH  -    DEFINED 05                  1         0        0
D COMPUTER PROGRAMS & SYS INC    COMMON     205306103       40        600 SH  -    DEFINED 02                600         0        0
D COMPUTER PROGRAMS & SYS INC    COMMON     205306103        1         20 SH  -    OTHER   02                  0        20        0
D COMPUTER PROGRAMS & SYS INC    COMMON     205306103      525       7941 SH  -    DEFINED 04               7941         0        0
D COMPUTER PROGRAMS & SYS INC    COMMON     205306103      362       5473 SH  -    DEFINED 05               5473         0        0
D COMPUTER PROGRAMS & SYS INC    COMMON     205306103      570       8624 SH  -    DEFINED 08               8624         0        0
D COMPUTER SCIENCES              COMMON     205363104      106       3954 SH  -    DEFINED 02                  0      3954        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 230
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COMPUTER SCIENCES              COMMON     205363104       51       1907 SH  -    DEFINED 02               1787         0      120
D COMPUTER SCIENCES              COMMON     205363104      706      26278 SH  -    OTHER   02               3869     19369     3040
D COMPUTER SCIENCES              COMMON     205363104        1         38 SH  -    OTHER   02                  0        38        0
D COMPUTER SCIENCES              COMMON     205363104      741      27601 SH  -    DEFINED 04              23162         0     4439
D COMPUTER SCIENCES              COMMON     205363104     2815     104852 SH  -    DEFINED 04             104852         0        0
D COMPUTER SCIENCES              COMMON     205363104        0         17 SH  -    OTHER   04                  0        17        0
D COMPUTER SCIENCES              COMMON     205363104     3117     116080 SH  -    DEFINED 05             116080         0        0
D COMPUTER SCIENCES              OPTION     205363906      234       8700 SH  C    DEFINED 05               8700         0        0
D COMPUTER SCIENCES              OPTION     205363955      137       5100 SH  P    DEFINED 05               5100         0        0
D COMPUWARE CORP                 COMMON     205638109       20       2618 SH  -    DEFINED 02               2520         0       98
D COMPUWARE CORP                 COMMON     205638109     2808     366552 SH  -    OTHER   02                  0    366552        0
D COMPUWARE CORP                 COMMON     205638109        1         74 SH  -    OTHER   02                 14        31       29
D COMPUWARE CORP                 COMMON     205638109     1507     196695 SH  -    DEFINED 04             190437         0     6258
D COMPUWARE CORP                 COMMON     205638109      270      35308 SH  -    DEFINED 04              35308         0        0
D COMPUWARE CORP                 COMMON     205638109       30       3945 SH  -    DEFINED 05               3945         0        0
D COMSCORE INC                   COMMON     20564W105        3        174 SH  -    OTHER   02                  0       174        0
D COMSCORE INC                   COMMON     20564W105      297      17634 SH  -    DEFINED 04              17634         0        0
D COMSCORE INC                   COMMON     20564W105      249      14763 SH  -    DEFINED 05              14763         0        0
D COMSTOCK RES INC               COMMON     205768203        4        291 SH  -    DEFINED 02                  0       291        0
D COMSTOCK RES INC               COMMON     205768203      263      16992 SH  -    OTHER   02                  0     16992        0
D COMSTOCK RES INC               COMMON     205768203       13        871 SH  -    OTHER   02                  0         0      871
D COMSTOCK RES INC               COMMON     205768203       18       1194 SH  -    DEFINED 05               1194         0        0
D COMSTOCK RES INC               COMMON     205768203       65       4184 SH  -    DEFINED 08               4184         0        0
D COMSTOCK RES INC               COMMON     205768203       19       1250 SH  -    OTHER   10                  0         0     1250
D COMTECH TELE CORP              COMMON     205826209        1         51 SH  -    OTHER   02                  0        51        0
D COMTECH TELE CORP              COMMON     205826209     4919     175100 SH  -    DEFINED 04             160000         0    15100

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 231
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COMTECH TELE CORP              COMMON     205826209     1252      44573 SH  -    DEFINED 04              44573         0        0
D COMTECH TELE CORP              COMMON     205826209      373      13291 SH  -    DEFINED 05              13291         0        0
D COMTECH TELE CORP              COMMON     205826209       18        632 SH  -    DEFINED 08                632         0        0
D CONAGRA FOODS INC              COMMON     205887102       78       3210 SH  -    DEFINED 02                  0         0     3210
D CONAGRA FOODS INC              COMMON     205887102      117       4812 SH  -    DEFINED 02               4812         0        0
D CONAGRA FOODS INC              COMMON     205887102      110       4561 SH  -    DEFINED 02               4561         0        0
D CONAGRA FOODS INC              COMMON     205887102      124       5115 SH  -    DEFINED 02               4778         0      337
D CONAGRA FOODS INC              COMMON     205887102     4640     191589 SH  -    OTHER   02               1032    107131    83426
D CONAGRA FOODS INC              COMMON     205887102      337      13912 SH  -    OTHER   02               3389      5600     4923
D CONAGRA FOODS INC              COMMON     205887102    45892    1894791 SH  -    DEFINED 04             903821         0   990970
D CONAGRA FOODS INC              COMMON     205887102     2360      97446 SH  -    DEFINED 04              97446         0        0
D CONAGRA FOODS INC              COMMON     205887102       34       1400 SH  -    DEFINED 04               1400         0        0
D CONAGRA FOODS INC              COMMON     205887102      183       7550 SH  -    DEFINED 04               7550         0        0
D CONAGRA FOODS INC              COMMON     205887102       22        926 SH  -    DEFINED 04                  0         0      926
D CONAGRA FOODS INC              COMMON     205887102      639      26378 SH  -    DEFINED 05              26378         0        0
D CONAGRA FOODS INC              COMMON     205887102      971      40100 SH  -    DEFINED 09              40100         0        0
D CONAGRA FOODS INC              COMMON     205887102      434      17900 SH  -    OTHER   01              10600      6550        0
D CONAGRA FOODS INC              COMMON     205887102      404      16679 SH  -    OTHER   10                  0         0    16679
D CONAGRA FOODS INC              OPTION     205887904     6886     284300 SH  C    DEFINED 05             284300         0        0
D CONAGRA FOODS INC              OPTION     205887953        2        100 SH  P    DEFINED 05                100         0        0
D CON-WAY INC                    COMMON     205944101       25       1113 SH  -    OTHER   02                  0      1113        0
D CON-WAY INC                    COMMON     205944101      746      33725 SH  -    DEFINED 04              31325         0     2400
D CON-WAY INC                    COMMON     205944101     1184      53506 SH  -    DEFINED 04              53506         0        0
D CON-WAY INC                    COMMON     205944101       40       1798 SH  -    DEFINED 05               1798         0        0
D CON-WAY INC                    COMMON     205944101      143       6443 SH  -    DEFINED 08               6443         0        0
D CONCHO RES INC                 COMMON     20605P101      191       2685 SH  -    DEFINED 02               2685         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 232
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CONCHO RES INC                 COMMON     20605P101      217       3049 SH  -    DEFINED 02               3049         0        0
D CONCHO RES INC                 COMMON     20605P101    21476     301881 SH  -    OTHER   02                  0    301881        0
D CONCHO RES INC                 COMMON     20605P101    93657    1316519 SH  -    DEFINED 04             677569         0   638950
D CONCHO RES INC                 COMMON     20605P101    52067     731890 SH  -    DEFINED 04             731890         0        0
D CONCHO RES INC                 COMMON     20605P101     5404      75960 SH  -    DEFINED 04              75960         0        0
D CONCHO RES INC                 COMMON     20605P101      134       1887 SH  -    OTHER   04                  0      1887        0
D CONCHO RES INC                 COMMON     20605P101      141       1989 SH  -    DEFINED 05               1989         0        0
D CONCHO RES INC                 COMMON     20605P101       83       1161 SH  -    DEFINED 06               1161         0        0
D CONCHO RES INC                 COMMON     20605P101      790      11108 SH  -    DEFINED 08              11108         0        0
D CONCHO RES INC                 COMMON     20605P101       38        535 SH  -    OTHER   01                  0       535        0
D CONCHO RES INC                 COMMON     20605P101        2         35 SH  -    OTHER   10                  0         0       35
D CONCUR TECHNOLOGIE             COMMON     206708109       61       1650 SH  -    DEFINED 02               1650         0        0
D CONCUR TECHNOLOGIE             COMMON     206708109      554      14883 SH  -    OTHER   02                  0     14883        0
D CONCUR TECHNOLOGIE             COMMON     206708109    14608     392364 SH  -    DEFINED 04             220550         0   171814
D CONCUR TECHNOLOGIE             COMMON     206708109    15328     411707 SH  -    DEFINED 04             411707         0        0
D CONCUR TECHNOLOGIE             COMMON     206708109      968      26000 SH  -    DEFINED 04              26000         0        0
D CONCUR TECHNOLOGIE             COMMON     206708109       69       1841 SH  -    DEFINED 05               1841         0        0
D CONCUR TECHNOLOGIE             COMMON     206708109     4957     133139 SH  -    DEFINED 08             133139         0        0
D CONCUR TECHNOLOGIE             COMMON     206708109       62       1670 SH  -    OTHER   01                  0      1670        0
D CONMED CORP                    COMMON     207410101     1241      53942 SH  -    DEFINED 04              48742         0     5200
D CONMED CORP                    COMMON     207410101      466      20233 SH  -    DEFINED 04              20233         0        0
D CONMED CORP                    COMMON     207410101      307      13332 SH  -    DEFINED 05              13332         0        0
D CONNS INC                      COMMON     208242107        6        839 SH  -    OTHER   02                  0       839        0
D CONNS INC                      COMMON     208242107     8679    1208842 SH  -    DEFINED 04            1108642         0   100200
D CONNS INC                      COMMON     208242107     2942     409804 SH  -    DEFINED 04             409804         0        0
D CONNS INC                      COMMON     208242107        6        831 SH  -    DEFINED 08                831         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 233
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CONOCOPHILLIPS                 COMMON     20825C104   105120    1660143 SH  -    DEFINED 02            1536535      4947   118661
D CONOCOPHILLIPS                 COMMON     20825C104    35259     556838 SH  -    DEFINED 02             547234       201     9403
D CONOCOPHILLIPS                 COMMON     20825C104     2395      37826 SH  -    DEFINED 02              21603         0    16223
D CONOCOPHILLIPS                 COMMON     20825C104    43466     686455 SH  -    OTHER   02             327165    289784    67969
D CONOCOPHILLIPS                 COMMON     20825C104     7399     116851 SH  -    OTHER   02              88249     11488    17114
D CONOCOPHILLIPS                 COMMON     20825C104     8727     137822 SH  -    OTHER   02                  0    137822        0
D CONOCOPHILLIPS                 COMMON     20825C104     3986      62949 SH  -    OTHER   02                  0     62949        0
D CONOCOPHILLIPS                 COMMON     20825C104     6973     110117 SH  -    OTHER   02                  0    110117        0
D CONOCOPHILLIPS                 COMMON     20825C104   667825   10546830 SH  -    DEFINED 04            8236260         0  2310570
D CONOCOPHILLIPS                 COMMON     20825C104    36261     572658 SH  -    DEFINED 04             572658         0        0
D CONOCOPHILLIPS                 COMMON     20825C104    57145     902475 SH  -    DEFINED 04             902475         0        0
D CONOCOPHILLIPS                 COMMON     20825C104      217       3423 SH  -    DEFINED 04               3423         0        0
D CONOCOPHILLIPS                 COMMON     20825C104     8594     135722 SH  -    DEFINED 04             118432         0        0
D CONOCOPHILLIPS                 COMMON     20825C104      499       7888 SH  -    DEFINED 04                  0         0     7888
D CONOCOPHILLIPS                 COMMON     20825C104    32276     509726 SH  -    OTHER   04                  0    509726        0
D CONOCOPHILLIPS                 COMMON     20825C104    49634     783864 SH  -    DEFINED 05             783864         0        0
D CONOCOPHILLIPS                 COMMON     20825C104     1413      22322 SH  -    DEFINED 06              22322         0        0
D CONOCOPHILLIPS                 COMMON     20825C104    50444     796653 SH  -    DEFINED 09             796653         0        0
D CONOCOPHILLIPS                 COMMON     20825C104     4309      68056 SH  -    OTHER   09                  0     68056        0
D CONOCOPHILLIPS                 COMMON     20825C104     3403      53739 SH  -    DEFINED 01              48664      2533     2542
D CONOCOPHILLIPS                 COMMON     20825C104     2290      36168 SH  -    OTHER   01              14399     17524     4245
D CONOCOPHILLIPS                 COMMON     20825C104     4763      75222 SH  -    OTHER   10                  0         0    75222
D CONOCOPHILLIPS                 OPTION     20825C906    30356     479400 SH  C    DEFINED 05             479400         0        0
D CONOCOPHILLIPS                 OPTION     20825C906    35269     557000 SH  C    DEFINED 08             557000         0        0
D CONOCOPHILLIPS                 OPTION     20825C955    21073     332800 SH  P    DEFINED 05             332800         0        0
D CONOCOPHILLIPS                 OPTION     20825C955    40537     640200 SH  P    DEFINED 08             640200         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 234
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CONSOL ENERGY INC              COMMON     20854P109       98       2885 SH  -    DEFINED 02                 42      2843        0
D CONSOL ENERGY INC              COMMON     20854P109       94       2766 SH  -    DEFINED 02               2613         0      153
D CONSOL ENERGY INC              COMMON     20854P109      674      19871 SH  -    OTHER   02               3232      7669     8970
D CONSOL ENERGY INC              COMMON     20854P109        1         28 SH  -    OTHER   02                  0        17       11
D CONSOL ENERGY INC              COMMON     20854P109     5268     155272 SH  -    DEFINED 04             103980         0    51292
D CONSOL ENERGY INC              COMMON     20854P109     1239      36515 SH  -    DEFINED 04              36515         0        0
D CONSOL ENERGY INC              COMMON     20854P109       24        700 SH  -    DEFINED 04                700         0        0
D CONSOL ENERGY INC              COMMON     20854P109       16        466 SH  -    DEFINED 04                  0         0      466
D CONSOL ENERGY INC              COMMON     20854P109     1598      47091 SH  -    DEFINED 05              47091         0        0
D CONSOL ENERGY INC              COMMON     20854P109      124       3641 SH  -    DEFINED 06               3641         0        0
D CONSOL ENERGY INC              COMMON     20854P109    28797     848723 SH  -    DEFINED 08             848723         0        0
D CONSOL ENERGY INC              COMMON     20854P109        2         50 SH  -    OTHER   01                  0        50        0
D CONSOL ENERGY INC              COMMON     20854P109     2087      61497 SH  -    OTHER   10                  0         0    61497
D CONSOL ENERGY INC              OPTION     20854P950      791      23300 SH  P    DEFINED 05              23300         0        0
D CONSOL ENERGY INC              OPTION     20854P950      316       9300 SH  P    DEFINED 08               9300         0        0
D CONSOLIDATED COMM HLDGS INC    COMMON     209034107       31       1745 SH  -    OTHER   02                  0      1678        0
D CONSOLIDATED COMM HLDGS INC    COMMON     209034107        9        500 SH  -    OTHER   02                500         0        0
D CONSOLIDATED COMM HLDGS INC    COMMON     209034107     7146     395886 SH  -    DEFINED 04             368886         0    27000
D CONSOLIDATED COMM HLDGS INC    COMMON     209034107      753      41725 SH  -    DEFINED 04              41725         0        0
D CONSOLIDATED COMM HLDGS INC    COMMON     209034107        7        408 SH  -    DEFINED 05                408         0        0
D CONSOLIDATED COMM HLDGS INC    COMMON     209034107       29       1616 SH  -    DEFINED 08               1616         0        0
D CONSOLIDATED COMM HLDGS INC    COMMON     209034107        2        120 SH  -    OTHER   01                  0       120        0
D CONSD EDISON INC               COMMON     209115104      333       5835 SH  -    DEFINED 02               3692         0     2143
D CONSD EDISON INC               COMMON     209115104      707      12404 SH  -    DEFINED 02              12404         0        0
D CONSD EDISON INC               COMMON     209115104      206       3607 SH  -    DEFINED 02               3375         0      232
D CONSD EDISON INC               COMMON     209115104     1131      19829 SH  -    OTHER   02               8060      6343     5426

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 235
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CONSD EDISON INC               COMMON     209115104     2344      41108 SH  -    OTHER   02              18169     10207    12732
D CONSD EDISON INC               COMMON     209115104     6543     114747 SH  -    DEFINED 04             106362         0     8385
D CONSD EDISON INC               COMMON     209115104     2687      47126 SH  -    DEFINED 04              47126         0        0
D CONSD EDISON INC               COMMON     209115104     4198      73616 SH  -    DEFINED 05              73616         0        0
D CONSD EDISON INC               COMMON     209115104     1637      28703 SH  -    DEFINED 08              28703         0        0
D CONSD EDISON INC               COMMON     209115104      860      15084 SH  -    DEFINED 09              15084         0        0
D CONSD EDISON INC               COMMON     209115104      372       6522 SH  -    OTHER   01               6500        22        0
D CONSD EDISON INC               COMMON     209115104       82       1441 SH  -    OTHER   10                  0         0     1441
D CONSD EDISON INC               OPTION     209115906     3718      65200 SH  C    DEFINED 05              65200         0        0
D CONSOLIDATED GRAPHICS INC      COMMON     209341106        1         31 SH  -    OTHER   02                 31         0        0
D CONSOLIDATED GRAPHICS INC      COMMON     209341106      271       7417 SH  -    DEFINED 04               7417         0        0
D CONSOLIDATED GRAPHICS INC      COMMON     209341106      162       4435 SH  -    DEFINED 05               4435         0        0
D CONSTELLATION BRANDS INC       COMMON     21036P108       30       1663 SH  -    DEFINED 02               1663         0        0
D CONSTELLATION BRANDS INC       COMMON     21036P108       40       2210 SH  -    DEFINED 02               2126         0       84
D CONSTELLATION BRANDS INC       COMMON     21036P108       79       4406 SH  -    OTHER   02                  0      4406        0
D CONSTELLATION BRANDS INC       COMMON     21036P108       31       1732 SH  -    OTHER   02                  0         7     1725
D CONSTELLATION BRANDS INC       COMMON     21036P108    24425    1356963 SH  -    DEFINED 04            1238483         0   118480
D CONSTELLATION BRANDS INC       COMMON     21036P108     6930     385001 SH  -    DEFINED 04             385001         0        0
D CONSTELLATION BRANDS INC       COMMON     21036P108       26       1440 SH  -    DEFINED 04               1440         0        0
D CONSTELLATION BRANDS INC       COMMON     21036P108      118       6579 SH  -    DEFINED 04               6579         0        0
D CONSTELLATION BRANDS INC       COMMON     21036P108       17        947 SH  -    DEFINED 04                  0         0      947
D CONSTELLATION BRANDS INC       COMMON     21036P108      772      42871 SH  -    OTHER   04                  0     42871        0
D CONSTELLATION BRANDS INC       COMMON     21036P108      121       6708 SH  -    DEFINED 05               6708         0        0
D CONSTELLATION BRANDS INC       COMMON     21036P108      101       5587 SH  -    DEFINED 09               5587         0        0
D CONSTELLATION BRANDS INC       COMMON     21036P108        1         63 SH  -    OTHER   01                  0        63        0
D CONSTELLATION BRANDS INC       COMMON     21036P108       43       2406 SH  -    OTHER   10                  0         0     2406

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 236
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CONSTELLATION ENERGY GROUP INC COMMON     210371100      672      17660 SH  -    DEFINED 02               8680       200     8780
D CONSTELLATION ENERGY GROUP INC COMMON     210371100      121       3178 SH  -    DEFINED 02               3128         0       50
D CONSTELLATION ENERGY GROUP INC COMMON     210371100       93       2435 SH  -    DEFINED 02               2320         0      115
D CONSTELLATION ENERGY GROUP INC COMMON     210371100      455      11957 SH  -    OTHER   02               4823      7134        0
D CONSTELLATION ENERGY GROUP INC COMMON     210371100       21        551 SH  -    OTHER   02                540         5        6
D CONSTELLATION ENERGY GROUP INC COMMON     210371100     6836     179605 SH  -    DEFINED 04             163141         0    16464
D CONSTELLATION ENERGY GROUP INC COMMON     210371100     2012      52876 SH  -    DEFINED 04              52876         0        0
D CONSTELLATION ENERGY GROUP INC COMMON     210371100      592      15546 SH  -    DEFINED 04              15546         0        0
D CONSTELLATION ENERGY GROUP INC COMMON     210371100      487      12802 SH  -    OTHER   04                  0     12802        0
D CONSTELLATION ENERGY GROUP INC COMMON     210371100   115860    3044145 SH  -    DEFINED 05            3044145         0        0
D CONSTELLATION ENERGY GROUP INC COMMON     210371100      650      17084 SH  -    DEFINED 08              17084         0        0
D CONSTELLATION ENERGY GROUP INC COMMON     210371100    14515     381379 SH  -    DEFINED 09             224059         0        0
D CONSTELLATION ENERGY GROUP INC COMMON     210371100        7        190 SH  -    DEFINED 01                190         0        0
D CONSTELLATION ENERGY GROUP INC COMMON     210371100       49       1300 SH  -    OTHER   01                  0         0     1300
D CONSTELLATION ENERGY GROUP INC OPTION     210371902      194       5100 SH  C    DEFINED 05               5100         0        0
D CONSTELLATION ENERGY GROUP INC OPTION     210371951     2478      65100 SH  P    DEFINED 08              65100         0        0
D CONTANGO OIL & GAS COMPANY     COMMON     21075N204     1646      30080 SH  -    DEFINED 02              30000        80        0
D CONTANGO OIL & GAS COMPANY     COMMON     21075N204      310       5661 SH  -    OTHER   02                  0      5661        0
D CONTANGO OIL & GAS COMPANY     COMMON     21075N204        9        170 SH  -    OTHER   02                  0         0      170
D CONTANGO OIL & GAS COMPANY     COMMON     21075N204      362       6625 SH  -    DEFINED 04               5925         0      700
D CONTANGO OIL & GAS COMPANY     COMMON     21075N204      490       8951 SH  -    DEFINED 04               8951         0        0
D CONTANGO OIL & GAS COMPANY     COMMON     21075N204      343       6273 SH  -    DEFINED 05               6273         0        0
D CONTANGO OIL & GAS COMPANY     COMMON     21075N204      131       2392 SH  -    DEFINED 08               2392         0        0
D CONTINENTAL AIRLS INC          BOND       210795PU8      495     396000 PRN -    DEFINED 05                  0         0        0
D CONTINENTAL RESOURCES INC      COMMON     212015101       19        395 SH  -    DEFINED 02                395         0        0
D CONTINENTAL RESOURCES INC      COMMON     212015101       61       1267 SH  -    OTHER   02                118       764      385

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 237
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CONTINENTAL RESOURCES INC      COMMON     212015101      600      12399 SH  -    DEFINED 05              12399         0        0
D CONTINENTAL RESOURCES INC      COMMON     212015101       26        533 SH  -    DEFINED 06                533         0        0
D CONTINENTAL RESOURCES INC      COMMON     212015101     5824     120411 SH  -    DEFINED 08             120411         0        0
D CONTINENTAL RESOURCES INC      COMMON     212015101       93       1928 SH  -    DEFINED 09               1928         0        0
D CONTINENTAL RESOURCES INC      COMMON     212015101    30329     627023 SH  -    OTHER   10                  0         0   627023
D CONTINUCARE CORP               COMMON     212172100        3        505 SH  -    DEFINED 05                505         0        0
D CONTINUCARE CORP               COMMON     212172100       11       1789 SH  -    DEFINED 08               1789         0        0
D CONTINUCARE CORP               COMMON     212172100     2915     456870 SH  -    DEFINED 09             456870         0        0
D CONVERGYS CORP                 BOND       212485AE6      451     391000 PRN -    DEFINED 05                  0         0        0
D CONVERGYS CORP                 COMMON     212485106        0         40 SH  -    DEFINED 02                 40         0        0
D CONVERGYS CORP                 COMMON     212485106       18       1888 SH  -    OTHER   02                  0      1888        0
D CONVERGYS CORP                 COMMON     212485106        1         63 SH  -    OTHER   02                 12        40       11
D CONVERGYS CORP                 COMMON     212485106      520      55400 SH  -    DEFINED 04              19000         0    36400
D CONVERGYS CORP                 COMMON     212485106     3092     329604 SH  -    DEFINED 04             329604         0        0
D CONVERGYS CORP                 COMMON     212485106       17       1835 SH  -    DEFINED 05               1835         0        0
D CONVERGYS CORP                 COMMON     212485106      164      17487 SH  -    DEFINED 08              17487         0        0
D COOPER COS INC                 COMMON     216648402      174       2200 SH  -    DEFINED 02                  0         0     2200
D COOPER COS INC                 COMMON     216648402       46        580 SH  -    OTHER   02                  0       505       75
D COOPER COS INC                 COMMON     216648402     4475      56542 SH  -    DEFINED 04              56542         0        0
D COOPER COS INC                 COMMON     216648402    17821     225151 SH  -    DEFINED 04             225151         0        0
D COOPER COS INC                 COMMON     216648402      153       1928 SH  -    DEFINED 04               1928         0        0
D COOPER COS INC                 COMMON     216648402     3435      43403 SH  -    DEFINED 04              24531         0    18872
D COOPER COS INC                 COMMON     216648402      468       5910 SH  -    OTHER   04                  0      5910        0
D COOPER COS INC                 COMMON     216648402       83       1052 SH  -    DEFINED 05               1052         0        0
D COOPER COS INC                 COMMON     216648402    13388     169142 SH  -    DEFINED 09             157605     11537        0
D COOPER COS INC                 COMMON     216648402      882      11143 SH  -    DEFINED 09              11143         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 238
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COOPER COS INC                 COMMON     216648402     6477      81830 SH  -    DEFINED 09              81830         0        0
D COOPER COS INC                 COMMON     216648402      181       2286 SH  -    OTHER   09                  0      2286        0
D COOPER TIRE & RUBR CO          COMMON     216831107        7        665 SH  -    DEFINED 02                665         0        0
D COOPER TIRE & RUBR CO          COMMON     216831107        3        300 SH  -    DEFINED 02                300         0        0
D COOPER TIRE & RUBR CO          COMMON     216831107     1063      97600 SH  -    DEFINED 04              74400         0    23200
D COOPER TIRE & RUBR CO          COMMON     216831107      810      74378 SH  -    DEFINED 04              74378         0        0
D COOPER TIRE & RUBR CO          COMMON     216831107      596      54692 SH  -    DEFINED 05              54692         0        0
D COOPER TIRE & RUBR CO          COMMON     216831107       91       8372 SH  -    DEFINED 08               8372         0        0
D COOPER TIRE & RUBR CO          COMMON     216831107      109      10000 SH  -    OTHER   10                  0         0    10000
D COPANO ENERGY L L C            COMMON     217202100       21        700 SH  -    OTHER   02                700         0        0
D COPANO ENERGY L L C            COMMON     217202100        1         34 SH  -    DEFINED 04                 34         0        0
D COPANO ENERGY L L C            COMMON     217202100    32359    1085522 SH  -    DEFINED 10            1085522         0        0
D COPANO ENERGY L L C            COMMON     217202100     2521      84570 SH  -    OTHER   10                  0         0    84570
D COPART INC                     COMMON     217204106       16        406 SH  -    OTHER   02                  0       372        0
D COPART INC                     COMMON     217204106      102       2614 SH  -    DEFINED 04               2614         0        0
D COPART INC                     COMMON     217204106     1498      38283 SH  -    DEFINED 04              38283         0        0
D COPART INC                     COMMON     217204106       35        903 SH  -    DEFINED 05                903         0        0
D COPART INC                     COMMON     217204106        1         16 SH  -    OTHER   10                  0         0       16
D CORE MARK HOLDING CO INC       COMMON     218681104      139       4560 SH  -    OTHER   02                  0      4560        0
D CORE MARK HOLDING CO INC       COMMON     218681104     1376      45000 SH  -    DEFINED 04              45000         0        0
D CORE MARK HOLDING CO INC       COMMON     218681104       29        948 SH  -    DEFINED 05                948         0        0
D CORE MARK HOLDING CO INC       COMMON     218681104       90       2947 SH  -    DEFINED 08               2947         0        0
D CORE MARK HOLDING CO INC       COMMON     218681104      106       3450 SH  -    OTHER   01                  0      3450        0
D CORELOGIC INC                  COMMON     21871D103      778      72937 SH  -    DEFINED 02              72937         0        0
D CORELOGIC INC                  COMMON     21871D103        2        233 SH  -    OTHER   02                  0       233        0
D CORELOGIC INC                  COMMON     21871D103       34       3150 SH  -    DEFINED 04               3150         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 239
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CORELOGIC INC                  COMMON     21871D103       24       2227 SH  -    DEFINED 05               2227         0        0
D CORELOGIC INC                  COMMON     21871D103      104       9753 SH  -    DEFINED 08               9753         0        0
D CORINTHIAN COLLEGES INC        COMMON     218868107        1        950 SH  -    OTHER   02                  0       950        0
D CORINTHIAN COLLEGES INC        COMMON     218868107       63      40637 SH  -    DEFINED 04              40637         0        0
D CORINTHIAN COLLEGES INC        COMMON     218868107       62      39951 SH  -    DEFINED 05              39951         0        0
D CORN PRODUCTS INTL             COMMON     219023108       13        335 SH  -    DEFINED 02                335         0        0
D CORN PRODUCTS INTL             COMMON     219023108       73       1870 SH  -    OTHER   02                430       160     1280
D CORN PRODUCTS INTL             COMMON     219023108       16        400 SH  -    OTHER   02                400         0        0
D CORN PRODUCTS INTL             COMMON     219023108     5274     134405 SH  -    DEFINED 04              64605         0    69800
D CORN PRODUCTS INTL             COMMON     219023108    13688     348838 SH  -    DEFINED 04             348838         0        0
D CORN PRODUCTS INTL             COMMON     219023108      588      14992 SH  -    DEFINED 05              14992         0        0
D CORN PRODUCTS INTL             COMMON     219023108        2         50 SH  -    OTHER   10                  0         0       50
D CORNERSTONE ONDEMAND INC       COMMON     21925Y103     6257     498928 SH  -    DEFINED 04             390828         0   108100
D CORNERSTONE ONDEMAND INC       COMMON     21925Y103     3134     249900 SH  -    DEFINED 04             249900         0        0
D CORNERSTONE ONDEMAND INC       COMMON     21925Y103      765      61000 SH  -    DEFINED 04              61000         0        0
D CORNERSTONE ONDEMAND INC       COMMON     21925Y103        9        684 SH  -    DEFINED 08                684         0        0
D CORNING INC                    COMMON     219350105     4649     376146 SH  -    DEFINED 02             265616      7080   103450
D CORNING INC                    COMMON     219350105     1294     104689 SH  -    DEFINED 02             102961      1288      440
D CORNING INC                    COMMON     219350105      134      10828 SH  -    DEFINED 02              10828         0        0
D CORNING INC                    COMMON     219350105      237      19209 SH  -    DEFINED 02              18106         0     1103
D CORNING INC                    COMMON     219350105    11560     935295 SH  -    OTHER   02             183063    628982   122866
D CORNING INC                    COMMON     219350105     1392     112592 SH  -    OTHER   02              35947     10166    66479
D CORNING INC                    COMMON     219350105      187      15159 SH  -    OTHER   02                  0     15159        0
D CORNING INC                    COMMON     219350105      226      18256 SH  -    OTHER   02                  0     18256        0
D CORNING INC                    COMMON     219350105       15       1218 SH  -    OTHER   02                  0      1218        0
D CORNING INC                    COMMON     219350105    33872    2740485 SH  -    DEFINED 04            1186695         0  1553790

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 240
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CORNING INC                    COMMON     219350105     5730     463628 SH  -    DEFINED 04             463628         0        0
D CORNING INC                    COMMON     219350105      171      13825 SH  -    DEFINED 04              13825         0        0
D CORNING INC                    COMMON     219350105    10269     830859 SH  -    DEFINED 05             830859         0        0
D CORNING INC                    COMMON     219350105    16915    1368565 SH  -    DEFINED 08            1368565         0        0
D CORNING INC                    COMMON     219350105      900      72809 SH  -    DEFINED 09              72809         0        0
D CORNING INC                    COMMON     219350105      116       9359 SH  -    OTHER   09                  0      9359        0
D CORNING INC                    COMMON     219350105    10388     840443 SH  -    DEFINED 01             840443         0        0
D CORNING INC                    COMMON     219350105       37       2966 SH  -    OTHER   01                226      2740        0
D CORNING INC                    COMMON     219350105       64       5140 SH  -    OTHER   10                  0         0     5140
D CORNING INC                    OPTION     219350907      299      24200 SH  C    DEFINED 05              24200         0        0
D CORNING INC                    OPTION     219350907     4635     375000 SH  C    DEFINED 08             375000         0        0
D CORNING INC                    OPTION     219350956      227      18400 SH  P    DEFINED 05              18400         0        0
D CORNING INC                    OPTION     219350956      459      37100 SH  P    DEFINED 08              37100         0        0
D CORPORATE EXEC CO              COMMON     21988R102        5        180 SH  -    DEFINED 02                  0       180        0
D CORPORATE EXEC CO              COMMON     21988R102      349      11719 SH  -    OTHER   02                  0     10551     1168
D CORPORATE EXEC CO              COMMON     21988R102       12        387 SH  -    OTHER   02                  0         0      387
D CORPORATE EXEC CO              COMMON     21988R102      312      10485 SH  -    DEFINED 04              10485         0        0
D CORPORATE EXEC CO              COMMON     21988R102     4756     159588 SH  -    DEFINED 04             159588         0        0
D CORPORATE EXEC CO              COMMON     21988R102       16        523 SH  -    DEFINED 05                523         0        0
D CORPORATE EXEC CO              COMMON     21988R102       87       2922 SH  -    DEFINED 08               2922         0        0
D CORPORATE OFFICE PPTYS TR      COMMON     22002T108     1089      50016 SH  -    DEFINED 04                666         0    49350
D CORPORATE OFFICE PPTYS TR      COMMON     22002T108     1059      48629 SH  -    DEFINED 04              48629         0        0
D CORPORATE OFFICE PPTYS TR      COMMON     22002T108       67       3063 SH  -    DEFINED 05               3063         0        0
D CORPORATE OFFICE PPTYS TR      COMMON     22002T108       17        760 SH  -    DEFINED 06                760         0        0
D CORPORATE OFFICE PPTYS TR      COMMON     22002T108       19        869 SH  -    OTHER   10                  0         0      869
D CORRECTIONS CORP AMER NEW      COMMON     22025Y407        4        187 SH  -    DEFINED 02                187         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 241
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CORRECTIONS CORP AMER NEW      COMMON     22025Y407       95       4191 SH  -    OTHER   02               3800       391        0
D CORRECTIONS CORP AMER NEW      COMMON     22025Y407      844      37181 SH  -    DEFINED 04              37181         0        0
D CORRECTIONS CORP AMER NEW      COMMON     22025Y407       58       2558 SH  -    DEFINED 05               2558         0        0
D CORRECTIONS CORP AMER NEW      COMMON     22025Y407       49       2144 SH  -    DEFINED 08               2144         0        0
D CORVEL CORP                    COMMON     221006109        2         54 SH  -    OTHER   02                  0        54        0
D CORVEL CORP                    COMMON     221006109      205       4821 SH  -    DEFINED 04               4821         0        0
D CORVEL CORP                    COMMON     221006109      129       3046 SH  -    DEFINED 05               3046         0        0
D COSTCO WHOLESALE               COMMON     22160K105      453       5512 SH  -    DEFINED 02               5512         0        0
D COSTCO WHOLESALE               COMMON     22160K105      278       3385 SH  -    DEFINED 02               3385         0        0
D COSTCO WHOLESALE               COMMON     22160K105      438       5332 SH  -    DEFINED 02               5045         0      287
D COSTCO WHOLESALE               COMMON     22160K105     5564      67743 SH  -    OTHER   02              17572     47691     2471
D COSTCO WHOLESALE               COMMON     22160K105      323       3932 SH  -    OTHER   02               2943        89      900
D COSTCO WHOLESALE               COMMON     22160K105     8580     104472 SH  -    DEFINED 04              91937         0    12535
D COSTCO WHOLESALE               COMMON     22160K105     5787      70456 SH  -    DEFINED 04              70456         0        0
D COSTCO WHOLESALE               COMMON     22160K105     7931      96567 SH  -    DEFINED 05              96567         0        0
D COSTCO WHOLESALE               COMMON     22160K105       18        216 SH  -    DEFINED 01                145         0       71
D COSTCO WHOLESALE               COMMON     22160K105      354       4315 SH  -    OTHER   01               4100       215        0
D COSTCO WHOLESALE               COMMON     22160K105     2236      27222 SH  -    OTHER   10                  0         0    27222
D COSTCO WHOLESALE               OPTION     22160K907     3384      41200 SH  C    DEFINED 05              41200         0        0
D COSTCO WHOLESALE               OPTION     22160K956     2513      30600 SH  P    DEFINED 05              30600         0        0
D COSTAR GROUP INC               COMMON     22160N109      292       5614 SH  -    OTHER   02                  0      5614        0
D COSTAR GROUP INC               COMMON     22160N109       19        375 SH  -    DEFINED 05                375         0        0
D COSTAR GROUP INC               COMMON     22160N109       77       1483 SH  -    DEFINED 08               1483         0        0
D COSTAR GROUP INC               COMMON     22160N109       32        622 SH  -    OTHER   01                  0       622        0
D COUSINS PROPERTIES             COMMON     222795106     6158    1052721 SH  -    DEFINED 04             986375         0    66346
D COUSINS PROPERTIES             COMMON     222795106      352      60177 SH  -    DEFINED 04              60177         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 242
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COUSINS PROPERTIES             COMMON     222795106       19       3309 SH  -    DEFINED 04               3309         0        0
D COUSINS PROPERTIES             COMMON     222795106        6       1055 SH  -    OTHER   04                  0      1055        0
D COUSINS PROPERTIES             COMMON     222795106        8       1411 SH  -    DEFINED 05               1411         0        0
D COVANCE INC                    COMMON     222816100        6        130 SH  -    DEFINED 02                130         0        0
D COVANCE INC                    COMMON     222816100      326       7165 SH  -    OTHER   02               4000       566     2599
D COVANCE INC                    COMMON     222816100      224       4923 SH  -    OTHER   02                  0         0     4923
D COVANCE INC                    COMMON     222816100      102       2244 SH  -    DEFINED 04               2244         0        0
D COVANCE INC                    COMMON     222816100     1482      32612 SH  -    DEFINED 04              32612         0        0
D COVANCE INC                    COMMON     222816100      284       6238 SH  -    DEFINED 05               6238         0        0
D COVANCE INC                    COMMON     222816100      481      10592 SH  -    DEFINED 08              10592         0        0
D COVANCE INC                    COMMON     222816100        1         24 SH  -    OTHER   01                  0        24        0
D COVANTA HLDG CORP              BOND       22282EAC6      198     182000 PRN -    DEFINED 05                  0         0        0
D COVANTA HLDG CORP              COMMON     22282E102     2605     171483 SH  -    OTHER   02              52637    118846        0
D COVANTA HLDG CORP              COMMON     22282E102      112       7400 SH  -    OTHER   02                  0      7400        0
D COVANTA HLDG CORP              COMMON     22282E102      270      17780 SH  -    DEFINED 04              17780         0        0
D COVANTA HLDG CORP              COMMON     22282E102       53       3498 SH  -    DEFINED 05               3498         0        0
D COVANTA HLDG CORP              COMMON     22282E102      153      10045 SH  -    DEFINED 06              10045         0        0
D COVANTA HLDG CORP              COMMON     22282E102    17175    1130701 SH  -    DEFINED 08            1130701         0        0
D COVANTA HLDG CORP              COMMON     22282E102      158      10400 SH  -    OTHER   01                  0      9500        0
D COVENTRY HEALTHCAR             COMMON     222862104       22        750 SH  -    DEFINED 02                750         0        0
D COVENTRY HEALTHCAR             COMMON     222862104      147       5089 SH  -    DEFINED 02               5089         0        0
D COVENTRY HEALTHCAR             COMMON     222862104       52       1809 SH  -    DEFINED 02               1712         0       97
D COVENTRY HEALTHCAR             COMMON     222862104      194       6730 SH  -    OTHER   02                  0      6730        0
D COVENTRY HEALTHCAR             COMMON     222862104       10        363 SH  -    OTHER   02                  0        37      326
D COVENTRY HEALTHCAR             COMMON     222862104   139837    4853759 SH  -    DEFINED 04            4359461         0   494298
D COVENTRY HEALTHCAR             COMMON     222862104    23603     819259 SH  -    DEFINED 04             819259         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 243
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D COVENTRY HEALTHCAR             COMMON     222862104     1390      48230 SH  -    DEFINED 04              48230         0        0
D COVENTRY HEALTHCAR             COMMON     222862104      826      28669 SH  -    OTHER   04                  0     28669        0
D COVENTRY HEALTHCAR             COMMON     222862104     4226     146674 SH  -    OTHER   04                  0    146674        0
D COVENTRY HEALTHCAR             COMMON     222862104      531      18447 SH  -    DEFINED 05              18447         0        0
D COVENTRY HEALTHCAR             COMMON     222862104      141       4904 SH  -    DEFINED 08               4904         0        0
D COVENTRY HEALTHCAR             COMMON     222862104        1         46 SH  -    OTHER   01                  0        46        0
D COVENTRY HEALTHCAR             COMMON     222862104       12        432 SH  -    OTHER   10                  0         0      432
D COVENTRY HEALTHCAR             OPTION     222862906       23        800 SH  C    DEFINED 05                800         0        0
D COVER-ALL TECHNOLOGIES INC     COMMON     222892101     2401    1238273 SH  -    DEFINED 04            1238273         0        0
D COWEN GROUP INC NEW            COMMON     223622101     2172     801463 SH  -    DEFINED 04             801463         0        0
D COWEN GROUP INC NEW            COMMON     223622101        3       1146 SH  -    DEFINED 05               1146         0        0
D COWEN GROUP INC NEW            COMMON     223622101       10       3680 SH  -    DEFINED 08               3680         0        0
D CRACKER BARREL OLD CTRY STORE  COMMON     22410J106        1         27 SH  -    OTHER   02                 27         0        0
D CRACKER BARREL OLD CTRY STORE  COMMON     22410J106       20        500 SH  -    OTHER   02                  0         0      500
D CRACKER BARREL OLD CTRY STORE  COMMON     22410J106    29097     726878 SH  -    DEFINED 04             673293         0    53585
D CRACKER BARREL OLD CTRY STORE  COMMON     22410J106     4085     102040 SH  -    DEFINED 04             102040         0        0
D CRACKER BARREL OLD CTRY STORE  COMMON     22410J106      429      10724 SH  -    DEFINED 05              10724         0        0
D CRACKER BARREL OLD CTRY STORE  COMMON     22410J106       24        605 SH  -    DEFINED 08                605         0        0
D CRANE CO                       COMMON     224399105       23        655 SH  -    OTHER   02                  0        64      591
D CRANE CO                       COMMON     224399105     1049      29400 SH  -    DEFINED 04              29400         0        0
D CRANE CO                       COMMON     224399105     1084      30370 SH  -    DEFINED 04              30370         0        0
D CRANE CO                       COMMON     224399105       25        706 SH  -    DEFINED 05                706         0        0
D CRANE CO                       COMMON     224399105      143       3994 SH  -    DEFINED 08               3994         0        0
D CRANE CO                       COMMON     224399105      111       3118 SH  -    DEFINED 09               3118         0        0
D CREDIT ACCEPTANCE              COMMON     225310101     1556      24183 SH  -    DEFINED 04              21983         0     2200
D CREDIT ACCEPTANCE              COMMON     225310101      743      11551 SH  -    DEFINED 04              11551         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 244
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CREDIT ACCEPTANCE              COMMON     225310101       10        156 SH  -    DEFINED 05                156         0        0
D CREDIT ACCEPTANCE              COMMON     225310101       20        316 SH  -    DEFINED 08                316         0        0
D CREDIT SUISSE GROUP            ADR        225401108        5        175 SH  -    DEFINED 02                175         0        0
D CREDIT SUISSE GROUP            ADR        225401108       63       2396 SH  -    OTHER   02                  0      2396        0
D CREDIT SUISSE GROUP            ADR        225401108        1         55 SH  -    OTHER   02                 55         0        0
D CREDIT SUISSE GROUP            ADR        225401108     1042      39723 SH  -    DEFINED 04              39723         0        0
D CREDIT SUISSE GROUP            ADR        225401108     2920     111295 SH  -    OTHER   04                  0    111295        0
D CREDIT SUISSE GROUP            ADR        225401108     6562     250076 SH  -    OTHER   04                  0    250076        0
D CREDIT SUISSE GROUP            ADR        225401108      933      35543 SH  -    DEFINED 05              35543         0        0
D CREDIT SUISSE GROUP            ADR        225401108    12278     467901 SH  -    DEFINED 06             467901         0        0
D CREDIT SUISSE GROUP            ADR        225401108       19        739 SH  -    OTHER   01                462         0        0
D CREDIT SUISSE GROUP            ADR        225401108      189       7209 SH  -    DEFINED 10               7209         0        0
D CREDIT SUISSE GROUP            ADR        225401108       12        439 SH  -    OTHER   10                  0         0      439
D CREE INC                       COMMON     225447101       92       3525 SH  -    DEFINED 02               3525         0        0
D CREE INC                       COMMON     225447101       47       1796 SH  -    OTHER   02                  0      1274      447
D CREE INC                       COMMON     225447101       30       1153 SH  -    OTHER   02                506        30      617
D CREE INC                       COMMON     225447101     1090      41973 SH  -    DEFINED 04              41973         0        0
D CREE INC                       COMMON     225447101      300      11554 SH  -    DEFINED 05              11554         0        0
D CREE INC                       COMMON     225447101     4018     154651 SH  -    DEFINED 08             154651         0        0
D CREE INC                       COMMON     225447101       24        915 SH  -    OTHER   10                  0         0      915
D CRESTWOOD MIDSTREAM PRTNERS LP COMMON     226372100     5721     222445 SH  -    DEFINED 10             222445         0        0
D CREXUS INVT CORP               COMMON     226553105     7147     804795 SH  -    DEFINED 04             737500         0    67295
D CREXUS INVT CORP               COMMON     226553105       28       3199 SH  -    DEFINED 04               3199         0        0
D CREXUS INVT CORP               COMMON     226553105        9       1036 SH  -    OTHER   04                  0      1036        0
D CREXUS INVT CORP               COMMON     226553105        0          1 SH  -    DEFINED 05                  1         0        0
D CREXUS INVT CORP               COMMON     226553105    10939    1231908 SH  -    DEFINED 08            1231908         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 245
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CROCS INC                      COMMON     227046109       30       1284 SH  -    OTHER   02                  0      1284        0
D CROCS INC                      COMMON     227046109     4352     183776 SH  -    DEFINED 04             137376         0    46400
D CROCS INC                      COMMON     227046109     4950     209036 SH  -    DEFINED 04             209036         0        0
D CROCS INC                      COMMON     227046109      613      25900 SH  -    DEFINED 04              25900         0        0
D CROCS INC                      COMMON     227046109     1009      42596 SH  -    DEFINED 05              42596         0        0
D CROCS INC                      COMMON     227046109      302      12750 SH  -    DEFINED 08              12750         0        0
D CROCS INC                      COMMON     227046109       21        899 SH  -    OTHER   10                  0         0      899
D CROSS CTRY HEALTHCARE INC      COMMON     227483104        4        968 SH  -    OTHER   02                  0       823        0
D CROSS CTRY HEALTHCARE INC      COMMON     227483104     1422     340225 SH  -    DEFINED 04             309125         0    31100
D CROSS CTRY HEALTHCARE INC      COMMON     227483104     1033     247089 SH  -    DEFINED 04             247089         0        0
D CROSS CTRY HEALTHCARE INC      COMMON     227483104       61      14527 SH  -    DEFINED 05              14527         0        0
D CROSSHAIR EXPL & MNG CORP      COMMON     22763R408        8      20250 SH  -    DEFINED 02                  0         0    20250
D CROSSTEX ENERGY L P            COMMON     22765U102     8950     551777 SH  -    DEFINED 10             551777         0        0
D CROSSTEX ENERGY L P            COMMON     22765U102     1666     102713 SH  -    OTHER   10                  0         0   102713
D CROSSTEX ENERGY INC            COMMON     22765Y104      161      11942 SH  -    DEFINED 05              11942         0        0
D CROSSTEX ENERGY INC            COMMON     22765Y104       33       2456 SH  -    DEFINED 08               2456         0        0
D CROSSTEX ENERGY INC            COMMON     22765Y104      140      10351 SH  -    OTHER   10                  0         0    10351
D CROWN CASTLE INTL CORP         COMMON     228227104      588      14465 SH  -    DEFINED 02                195         0    14270
D CROWN CASTLE INTL CORP         COMMON     228227104        3         70 SH  -    DEFINED 02                 70         0        0
D CROWN CASTLE INTL CORP         COMMON     228227104      298       7318 SH  -    OTHER   02               2776      3977      506
D CROWN CASTLE INTL CORP         COMMON     228227104       53       1312 SH  -    OTHER   02               1227        85        0
D CROWN CASTLE INTL CORP         COMMON     228227104     4954     121814 SH  -    DEFINED 04              98314         0    23500
D CROWN CASTLE INTL CORP         COMMON     228227104       76       1875 SH  -    DEFINED 04               1875         0        0
D CROWN CASTLE INTL CORP         COMMON     228227104    59844    1471463 SH  -    DEFINED 05            1471463         0        0
D CROWN CASTLE INTL CORP         COMMON     228227104       93       2282 SH  -    DEFINED 08               2282         0        0
D CROWN CASTLE INTL CORP         COMMON     228227104      382       9392 SH  -    DEFINED 09               9392         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 246
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CROWN CASTLE INTL CORP         COMMON     228227104        4         93 SH  -    OTHER   01                  0        93        0
D CROWN CASTLE INTL CORP         OPTION     228227906      390       9600 SH  C    DEFINED 05               9600         0        0
D CROWN CASTLE INTL CORP         OPTION     228227906    94741    2329500 SH  C    DEFINED 08            2329500         0        0
D CROWN HOLDINGS INC             COMMON     228368106      191       6250 SH  -    DEFINED 02               6250         0        0
D CROWN HOLDINGS INC             COMMON     228368106        2         75 SH  -    DEFINED 02                 75         0        0
D CROWN HOLDINGS INC             COMMON     228368106     5846     190980 SH  -    OTHER   02                  0    190980        0
D CROWN HOLDINGS INC             COMMON     228368106    88092    2877899 SH  -    DEFINED 04            2046702         0   831197
D CROWN HOLDINGS INC             COMMON     228368106     4339     141745 SH  -    DEFINED 04             141745         0        0
D CROWN HOLDINGS INC             COMMON     228368106     6523     213110 SH  -    DEFINED 04             213110         0        0
D CROWN HOLDINGS INC             COMMON     228368106       87       2850 SH  -    DEFINED 04               2850         0        0
D CROWN HOLDINGS INC             COMMON     228368106     1501      49042 SH  -    DEFINED 05              49042         0        0
D CROWN HOLDINGS INC             COMMON     228368106       69       2242 SH  -    DEFINED 06               2242         0        0
D CROWN HOLDINGS INC             COMMON     228368106     2537      82877 SH  -    DEFINED 08              82877         0        0
D CROWN HOLDINGS INC             COMMON     228368106      459      15004 SH  -    DEFINED 09              15004         0        0
D CROWN HOLDINGS INC             COMMON     228368106     1306      42673 SH  -    OTHER   10                  0         0    42673
D CROWN HOLDINGS INC             OPTION     228368908      612      20000 SH  C    DEFINED 05              20000         0        0
D CROWN MEDIA HLDGS              COMMON     228411104        1        441 SH  -    OTHER   02                  0         0        0
D CROWN MEDIA HLDGS              COMMON     228411104     3025    2115207 SH  -    DEFINED 03            2108817         0     6390
D CROWN MEDIA HLDGS              COMMON     228411104       15      10600 SH  -    DEFINED 04              10600         0        0
D CROWN MEDIA HLDGS              COMMON     228411104       73      51200 SH  -    DEFINED 04              51200         0        0
D CROWN MEDIA HLDGS              COMMON     228411104        4       2495 SH  -    DEFINED 08               2495         0        0
D CRYOLIFE INC                   COMMON     228903100       88      19610 SH  -    DEFINED 04              19610         0        0
D CRYOLIFE INC                   COMMON     228903100       59      13096 SH  -    DEFINED 05              13096         0        0
D CTRIP COM INTL LTD             ADR        22943F100        6        197 SH  -    DEFINED 02                197         0        0
D CTRIP COM INTL LTD             ADR        22943F100       77       2380 SH  -    OTHER   02                  0         0     2380
D CTRIP COM INTL LTD             ADR        22943F100     1774      55161 SH  -    DEFINED 05              55161         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 247
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CTRIP COM INTL LTD             ADR        22943F100      755      23470 SH  -    DEFINED 08              23470         0        0
D CTRIP COM INTL LTD             ADR        22943F100        0          7 SH  -    OTHER   10                  0         0        7
D CUBIC CORP                     COMMON     229669106        8        192 SH  -    OTHER   02                  0       192        0
D CUBIC CORP                     COMMON     229669106     4063     104000 SH  -    DEFINED 04              95600         0     8400
D CUBIC CORP                     COMMON     229669106     3970     101614 SH  -    DEFINED 04             101614         0        0
D CUBIC CORP                     COMMON     229669106      288       7369 SH  -    DEFINED 05               7369         0        0
D CUBIST PHARMACEUTICALS INC     BOND       229678AD9     6018    4409000 PRN -    DEFINED 05                  0         0        0
D CUBIST PHARMACEUTICALS INC     BOND       229678AD9     2730    2000000 PRN -    DEFINED 09                  0         0        0
D CUBIST PHARMACEUTI             COMMON     229678107       14        400 SH  -    OTHER   02                 35       365        0
D CUBIST PHARMACEUTI             COMMON     229678107        0         13 SH  -    OTHER   02                  0         6        7
D CUBIST PHARMACEUTI             COMMON     229678107    10076     285280 SH  -    DEFINED 04             204870         0    80410
D CUBIST PHARMACEUTI             COMMON     229678107     7845     222115 SH  -    DEFINED 04             222115         0        0
D CUBIST PHARMACEUTI             COMMON     229678107     1595      45160 SH  -    DEFINED 04              45160         0        0
D CUBIST PHARMACEUTI             COMMON     229678107     4447     125900 SH  -    DEFINED 05             125900         0        0
D CULLEN FROST BANKERS INC       COMMON     229899109     1050      22887 SH  -    DEFINED 02              22887         0        0
D CULLEN FROST BANKERS INC       COMMON     229899109       46       1000 SH  -    DEFINED 02               1000         0        0
D CULLEN FROST BANKERS INC       COMMON     229899109       84       1834 SH  -    OTHER   02                 90       214     1530
D CULLEN FROST BANKERS INC       COMMON     229899109       50       1100 SH  -    OTHER   02                  0         0     1100
D CULLEN FROST BANKERS INC       COMMON     229899109    62316    1358824 SH  -    DEFINED 04            1308324         0    50500
D CULLEN FROST BANKERS INC       COMMON     229899109     3555      77511 SH  -    DEFINED 04              77511         0        0
D CULLEN FROST BANKERS INC       COMMON     229899109     1412      30800 SH  -    DEFINED 04              30800         0        0
D CULLEN FROST BANKERS INC       COMMON     229899109      729      15900 SH  -    OTHER   04                  0     15900        0
D CULLEN FROST BANKERS INC       COMMON     229899109     3700      80685 SH  -    OTHER   04                  0     80685        0
D CULLEN FROST BANKERS INC       COMMON     229899109     2260      49284 SH  -    DEFINED 05              49284         0        0
D CULLEN FROST BANKERS INC       COMMON     229899109      243       5304 SH  -    DEFINED 08               5304         0        0
D CULLEN FROST BANKERS INC       COMMON     229899109       61       1329 SH  -    OTHER   10                  0         0     1329

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 248
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CUMBERLAND PHARMACEUTICALS INC COMMON     230770109        1        243 SH  -    OTHER   02                  0       243        0
D CUMBERLAND PHARMACEUTICALS INC COMMON     230770109        4        712 SH  -    OTHER   02                  0         0      712
D CUMBERLAND PHARMACEUTICALS INC COMMON     230770109     6950    1245489 SH  -    DEFINED 04            1153899         0    91590
D CUMBERLAND PHARMACEUTICALS INC COMMON     230770109       10       1707 SH  -    DEFINED 08               1707         0        0
D CUMMINS INC                    COMMON     231021106       28        346 SH  -    DEFINED 02                346         0        0
D CUMMINS INC                    COMMON     231021106      129       1585 SH  -    DEFINED 02               1585         0        0
D CUMMINS INC                    COMMON     231021106      194       2373 SH  -    DEFINED 02               2244         0      129
D CUMMINS INC                    COMMON     231021106      713       8732 SH  -    OTHER   02               1100      4332     3300
D CUMMINS INC                    COMMON     231021106     1161      14212 SH  -    OTHER   02              12870        48     1294
D CUMMINS INC                    COMMON     231021106   147966    1811973 SH  -    DEFINED 04            1028718         0   783255
D CUMMINS INC                    COMMON     231021106    54723     670128 SH  -    DEFINED 04             670128         0        0
D CUMMINS INC                    COMMON     231021106     7674      93980 SH  -    DEFINED 04              93980         0        0
D CUMMINS INC                    COMMON     231021106       53        643 SH  -    DEFINED 04                643         0        0
D CUMMINS INC                    COMMON     231021106     3393      41548 SH  -    DEFINED 04              26614         0    14934
D CUMMINS INC                    COMMON     231021106      277       3393 SH  -    OTHER   04                  0      3393        0
D CUMMINS INC                    COMMON     231021106     1795      21978 SH  -    DEFINED 05              21978         0        0
D CUMMINS INC                    COMMON     231021106     1301      15927 SH  -    DEFINED 08              15927         0        0
D CUMMINS INC                    COMMON     231021106    16031     196309 SH  -    DEFINED 09             184581     11728        0
D CUMMINS INC                    COMMON     231021106      904      11069 SH  -    DEFINED 09              11069         0        0
D CUMMINS INC                    COMMON     231021106     6492      79497 SH  -    DEFINED 09              79497         0        0
D CUMMINS INC                    COMMON     231021106     1598      19572 SH  -    OTHER   09                  0     19572        0
D CUMMINS INC                    COMMON     231021106        3         37 SH  -    OTHER   01                  0        37        0
D CUMMINS INC                    COMMON     231021106     3158      38671 SH  -    OTHER   10                  0         0    38671
D CUMMINS INC                    OPTION     231021908        8        100 SH  C    DEFINED 05                100         0        0
D CUMMINS INC                    OPTION     231021957     1715      21000 SH  P    DEFINED 05              21000         0        0
D CUMULUS MEDIA INC              COMMON     231082108     7585    2670606 SH  -    DEFINED 02            2670606         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 249
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CUMULUS MEDIA INC              COMMON     231082108        1        320 SH  -    OTHER   02                  0       320        0
D CUMULUS MEDIA INC              COMMON     231082108      598     210552 SH  -    DEFINED 05             210552         0        0
D CUMULUS MEDIA INC              COMMON     231082108        3       1187 SH  -    DEFINED 08               1187         0        0
D CURIS INC                      COMMON     231269101      291      92155 SH  -    DEFINED 05              92155         0        0
D CURIS INC                      COMMON     231269101       13       4012 SH  -    DEFINED 08               4012         0        0
D CURRENCYSHARES AUSTRALIAN DLR  COMMON     23129U101      128       1320 SH  -    OTHER   02               1320         0        0
D CURRENCYSHARES AUSTRALIAN DLR  COMMON     23129U101       81        830 SH  -    OTHER   10                  0         0      830
D CURRENCYSHARES SWISS FRANC TR  COMMON     23129V109      109       1000 SH  -    DEFINED 02               1000         0        0
D CURRENCYSHARES SWISS FRANC TR  COMMON     23129V109    16358     150000 SH  -    DEFINED 05             150000         0        0
D CURRENCYSHARES SWISS FRANC TR  COMMON     23129V109      174       1594 SH  -    OTHER   10                  0         0     1594
D CURRENCYSHARES CDN DLR TR      COMMON     23129X105       95       1000 SH  -    DEFINED 02               1000         0        0
D CURRENCYSHARES CDN DLR TR      COMMON     23129X105      119       1250 SH  -    OTHER   02               1250         0        0
D CURRENCYSHARES CDN DLR TR      COMMON     23129X105       73        767 SH  -    OTHER   10                  0         0      767
D CURRENCYSHS JAPANESE YEN TR    COMMON     23130A102    25560     200000 SH  -    DEFINED 05             200000         0        0
D CURRENCYSHS JAPANESE YEN TR    COMMON     23130A102      744       5822 SH  -    OTHER   10                  0         0     5822
D CURRENCYSHARES EURO TR         COMMON     23130C108   121608     911125 SH  -    DEFINED 05             911125         0        0
D CURRENCYSHARES EURO TR         COMMON     23130C108        9         68 SH  -    OTHER   10                  0         0       68
D CURRENCYSHARES EURO TR         OPTION     23130C900       80        600 SH  C    DEFINED 05                600         0        0
D CURRENCYSHARES EURO TR         OPTION     23130C959      427       3200 SH  P    DEFINED 05               3200         0        0
D CURTISS WRIGHT CORP            COMMON     231561101        2         76 SH  -    OTHER   02                  0        76        0
D CURTISS WRIGHT CORP            COMMON     231561101     1678      58220 SH  -    DEFINED 04              54720         0     3500
D CURTISS WRIGHT CORP            COMMON     231561101      709      24601 SH  -    DEFINED 04              24601         0        0
D CURTISS WRIGHT CORP            COMMON     231561101      655      22718 SH  -    DEFINED 05              22718         0        0
D CYBERONICS INC                 COMMON     23251P102        3        112 SH  -    OTHER   02                  0       112        0
D CYBERONICS INC                 COMMON     23251P102      497      17546 SH  -    DEFINED 04              17546         0        0
D CYBERONICS INC                 COMMON     23251P102      352      12432 SH  -    DEFINED 05              12432         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 250
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CYMER INC                      COMMON     232572107     7863     211650 SH  -    DEFINED 04             156740         0    54910
D CYMER INC                      COMMON     232572107     5337     143661 SH  -    DEFINED 04             143661         0        0
D CYMER INC                      COMMON     232572107     1088      29300 SH  -    DEFINED 04              29300         0        0
D CYMER INC                      COMMON     232572107      529      14236 SH  -    DEFINED 05              14236         0        0
D CYPRESS SEMICON CP             COMMON     232806109        2        136 SH  -    DEFINED 02                136         0        0
D CYPRESS SEMICON CP             COMMON     232806109       15       1022 SH  -    OTHER   02                  0       792      230
D CYPRESS SEMICON CP             COMMON     232806109       30       2000 SH  -    OTHER   02                  0         0     2000
D CYPRESS SEMICON CP             COMMON     232806109      911      60850 SH  -    DEFINED 04              60850         0        0
D CYPRESS SEMICON CP             COMMON     232806109     1457      97297 SH  -    DEFINED 04              97297         0        0
D CYPRESS SEMICON CP             COMMON     232806109       97       6462 SH  -    DEFINED 05               6462         0        0
D CYPRESS SEMICON CP             COMMON     232806109    28679    1915775 SH  -    OTHER   10                  0         0  1915775
D CYTOKINETICS INC               COMMON     23282W100       15      13044 SH  -    DEFINED 05              13044         0        0
D CYTOKINETICS INC               COMMON     23282W100        9       7319 SH  -    DEFINED 08               7319         0        0
D CYTOKINETICS INC               COMMON     23282W100      245     209175 SH  -    DEFINED 09             209175         0        0
D CYTEC INDS INC                 COMMON     232820100        3         84 SH  -    DEFINED 02                 84         0        0
D CYTEC INDS INC                 COMMON     232820100      130       3710 SH  -    OTHER   02               3480       164       66
D CYTEC INDS INC                 COMMON     232820100      681      19374 SH  -    DEFINED 04              19374         0        0
D CYTEC INDS INC                 COMMON     232820100     4296     122253 SH  -    DEFINED 04             122253         0        0
D CYTEC INDS INC                 COMMON     232820100       26        739 SH  -    DEFINED 05                739         0        0
D CYTEC INDS INC                 COMMON     232820100      157       4455 SH  -    DEFINED 08               4455         0        0
D CYTORI THERAPEUTICS INC        COMMON     23283K105      183      62040 SH  -    DEFINED 05              62040         0        0
D CYTORI THERAPEUTICS INC        COMMON     23283K105       14       4736 SH  -    DEFINED 08               4736         0        0
D DCP MIDSTREAM PARTNERS LP      COMMON     23311P100      318       7950 SH  -    OTHER   02                  0         0     7950
D DCP MIDSTREAM PARTNERS LP      COMMON     23311P100       80       2000 SH  -    OTHER   02               2000         0        0
D DCP MIDSTREAM PARTNERS LP      COMMON     23311P100    21619     540200 SH  -    DEFINED 10             540200         0        0
D DCP MIDSTREAM PARTNERS LP      COMMON     23311P100       97       2430 SH  -    OTHER   10                  0         0     2430

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 251
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DCT INDUSTRIAL TRUST INC       COMMON     233153105      367      83600 SH  -    DEFINED 02              83600         0        0
D DCT INDUSTRIAL TRUST INC       COMMON     233153105    13688    3117938 SH  -    DEFINED 04            2764772         0   353166
D DCT INDUSTRIAL TRUST INC       COMMON     233153105     4403    1002900 SH  -    DEFINED 04            1002900         0        0
D DCT INDUSTRIAL TRUST INC       COMMON     233153105      129      29400 SH  -    DEFINED 04              29400         0        0
D DCT INDUSTRIAL TRUST INC       COMMON     233153105       43       9900 SH  -    DEFINED 04               9900         0        0
D DCT INDUSTRIAL TRUST INC       COMMON     233153105     2700     615000 SH  -    DEFINED 04             571900         0        0
D DCT INDUSTRIAL TRUST INC       COMMON     233153105       16       3716 SH  -    DEFINED 05               3716         0        0
D DCT INDUSTRIAL TRUST INC       COMMON     233153105        5       1194 SH  -    DEFINED 06               1194         0        0
D DCT INDUSTRIAL TRUST INC       COMMON     233153105      148      33600 SH  -    DEFINED 09              33600         0        0
D DCT INDUSTRIAL TRUST INC       COMMON     233153105      261      59500 SH  -    OTHER   09                  0     59500        0
D DDI CORP                       COMMON     233162502       81      11160 SH  -    OTHER   02                  0      3740     7420
D DDI CORP                       COMMON     233162502      624      86159 SH  -    DEFINED 04              73659         0    12500
D DDI CORP                       COMMON     233162502        0          1 SH  -    DEFINED 05                  1         0        0
D DDI CORP                       COMMON     233162502        7        958 SH  -    DEFINED 08                958         0        0
D DDR CORP                       COMMON     23317H102     5244     481067 SH  -    DEFINED 04             422834         0    58233
D DDR CORP                       COMMON     23317H102       81       7402 SH  -    DEFINED 05               7402         0        0
D DDR CORP                       COMMON     23317H102        6        507 SH  -    DEFINED 06                507         0        0
D DDR CORP                       COMMON     23317H102      162      14817 SH  -    DEFINED 08              14817         0        0
D DDR CORP                       COMMON     23317H102      218      19982 SH  -    OTHER   10                  0         0    19982
D DFC GLOBAL CORP                COMMON     23324T107        1         65 SH  -    OTHER   02                  0        65        0
D DFC GLOBAL CORP                COMMON     23324T107    11832     542273 SH  -    DEFINED 04             475881         0    66392
D DFC GLOBAL CORP                COMMON     23324T107      760      34825 SH  -    DEFINED 05              34825         0        0
D DFC GLOBAL CORP                COMMON     23324T107       62       2854 SH  -    DEFINED 08               2854         0        0
D DG FASTCHANNEL INC             COMMON     23326R109        0         29 SH  -    OTHER   02                  0        29        0
D DG FASTCHANNEL INC             COMMON     23326R109      286      16855 SH  -    DEFINED 04              16855         0        0
D DG FASTCHANNEL INC             COMMON     23326R109      216      12759 SH  -    DEFINED 05              12759         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 252
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DG FASTCHANNEL INC             COMMON     23326R109        3        157 SH  -    OTHER   10                  0         0      157
D DPL INC                        COMMON     233293109      148       4925 SH  -    DEFINED 02               4925         0        0
D DPL INC                        COMMON     233293109       25        817 SH  -    OTHER   02                  0       817        0
D DPL INC                        COMMON     233293109      119       3953 SH  -    OTHER   02               3700         0      253
D DPL INC                        COMMON     233293109     4950     164229 SH  -    DEFINED 04              85829         0    78400
D DPL INC                        COMMON     233293109     5741     190474 SH  -    DEFINED 04             190474         0        0
D DPL INC                        COMMON     233293109      521      17300 SH  -    DEFINED 04              17300         0        0
D DPL INC                        COMMON     233293109    25297     839309 SH  -    DEFINED 05             839309         0        0
D DPL INC                        COMMON     233293109    34032    1129131 SH  -    DEFINED 08            1129131         0        0
D DPL INC                        COMMON     233293109    12900     428019 SH  -    DEFINED 09             253119         0        0
D DPL INC                        COMMON     233293109        7        221 SH  -    OTHER   01                  0       221        0
D D R HORTON INC                 BOND       23331ABB4     1378    1311000 PRN -    DEFINED 05                  0         0        0
D D R HORTON INC                 BOND       23331ABB4     9988    9500000 PRN -    DEFINED 08                  0         0        0
D D R HORTON INC                 BOND       23331ABB4     6946    6606000 PRN -    DEFINED 09                  0         0        0
D D R HORTON INC                 BOND       23331ABB4     1138    1082000 PRN -    DEFINED 09                  0         0        0
D D R HORTON INC                 COMMON     23331A109        7        820 SH  -    DEFINED 02                700       120        0
D D R HORTON INC                 COMMON     23331A109        2        205 SH  -    DEFINED 02                185         0       20
D D R HORTON INC                 COMMON     23331A109       30       3353 SH  -    DEFINED 02               3205         0      148
D D R HORTON INC                 COMMON     23331A109      318      35192 SH  -    OTHER   02                  0     25292     9900
D D R HORTON INC                 COMMON     23331A109       32       3516 SH  -    OTHER   02                455       813     2248
D D R HORTON INC                 COMMON     23331A109     1135     125577 SH  -    DEFINED 04             117615         0     7962
D D R HORTON INC                 COMMON     23331A109      579      64057 SH  -    DEFINED 04              64057         0        0
D D R HORTON INC                 COMMON     23331A109        8        900 SH  -    DEFINED 04                900         0        0
D D R HORTON INC                 COMMON     23331A109        5        607 SH  -    DEFINED 04                  0         0      607
D D R HORTON INC                 COMMON     23331A109     2306     255066 SH  -    DEFINED 05             255066         0        0
D D R HORTON INC                 COMMON     23331A109      283      31359 SH  -    DEFINED 08              31359         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 253
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D D R HORTON INC                 COMMON     23331A109        7        813 SH  -    OTHER   01                  0       813        0
D D R HORTON INC                 COMMON     23331A109        0          1 SH  -    OTHER   10                  0         0        1
D DSP GROUP INC                  COMMON     23332B106        4        632 SH  -    OTHER   02                  0       632        0
D DSP GROUP INC                  COMMON     23332B106      635     107689 SH  -    DEFINED 04             105489         0     2200
D DSP GROUP INC                  COMMON     23332B106      438      74297 SH  -    DEFINED 04              74297         0        0
D DSP GROUP INC                  COMMON     23332B106       65      10983 SH  -    DEFINED 05              10983         0        0
D DST SYS INC DEL                COMMON     233326107       20        462 SH  -    OTHER   02                  0       362      100
D DST SYS INC DEL                COMMON     233326107       72       1650 SH  -    OTHER   02                  0         0     1650
D DST SYS INC DEL                COMMON     233326107      691      15775 SH  -    DEFINED 04              15775         0        0
D DST SYS INC DEL                COMMON     233326107     5504     125575 SH  -    DEFINED 04             125575         0        0
D DST SYS INC DEL                COMMON     233326107       25        562 SH  -    DEFINED 05                562         0        0
D DST SYS INC DEL                COMMON     233326107      939      21418 SH  -    DEFINED 08              21418         0        0
D DTE ENERGY CO                  COMMON     233331107      192       3918 SH  -    DEFINED 02               3918         0        0
D DTE ENERGY CO                  COMMON     233331107      240       4887 SH  -    DEFINED 02               4837        50        0
D DTE ENERGY CO                  COMMON     233331107      103       2100 SH  -    DEFINED 02               1952         0      148
D DTE ENERGY CO                  COMMON     233331107      709      14456 SH  -    OTHER   02               4059      6125     4272
D DTE ENERGY CO                  COMMON     233331107      185       3766 SH  -    OTHER   02               3738        11       17
D DTE ENERGY CO                  COMMON     233331107    11518     234974 SH  -    DEFINED 04             126026         0   108948
D DTE ENERGY CO                  COMMON     233331107     2145      43749 SH  -    DEFINED 04              43749         0        0
D DTE ENERGY CO                  COMMON     233331107       40        810 SH  -    DEFINED 04                810         0        0
D DTE ENERGY CO                  COMMON     233331107       25        500 SH  -    DEFINED 04                500         0        0
D DTE ENERGY CO                  COMMON     233331107       26        537 SH  -    DEFINED 04                  0         0      537
D DTE ENERGY CO                  COMMON     233331107     1851      37766 SH  -    DEFINED 05              37766         0        0
D DTE ENERGY CO                  COMMON     233331107      137       2800 SH  -    DEFINED 09               2800         0        0
D DTE ENERGY CO                  COMMON     233331107        5         96 SH  -    OTHER   10                  0         0       96
D DSW INC                        COMMON     23334L102        6        139 SH  -    OTHER   02                  0       139        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 254
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DSW INC                        COMMON     23334L102      698      15107 SH  -    DEFINED 04              15107         0        0
D DSW INC                        COMMON     23334L102       18        396 SH  -    DEFINED 05                396         0        0
D DSW INC                        COMMON     23334L102        4         76 SH  -    OTHER   10                  0         0       76
D DTS INC                        COMMON     23335C101      303      12194 SH  -    DEFINED 04              12194         0        0
D DTS INC                        COMMON     23335C101      199       8017 SH  -    DEFINED 05               8017         0        0
D DAKTRONIC INC                  COMMON     234264109        2        193 SH  -    OTHER   02                128        65        0
D DAKTRONIC INC                  COMMON     234264109      956     111400 SH  -    DEFINED 04             100000         0    11400
D DAKTRONIC INC                  COMMON     234264109      211      24607 SH  -    DEFINED 04              24607         0        0
D DAKTRONIC INC                  COMMON     234264109      147      17117 SH  -    DEFINED 05              17117         0        0
D DANA HLDG CORP                 COMMON     235825205       18       1679 SH  -    OTHER   02                  0      1600        0
D DANA HLDG CORP                 COMMON     235825205        5        430 SH  -    OTHER   02                  0         0      430
D DANA HLDG CORP                 COMMON     235825205      370      35250 SH  -    DEFINED 04              31750         0     3500
D DANA HLDG CORP                 COMMON     235825205      437      41636 SH  -    DEFINED 04              41636         0        0
D DANA HLDG CORP                 COMMON     235825205      345      32864 SH  -    DEFINED 05              32864         0        0
D DANA HLDG CORP                 COMMON     235825205      162      15450 SH  -    DEFINED 08              15450         0        0
D DANAHER CORP DEL               BOND       235851AF9        2       2000 PRN -    DEFINED 02                  0         0        0
D DANAHER CORP DEL               BOND       235851AF9      116      95000 PRN -    DEFINED 05                  0         0        0
D DANAHER CORP                   COMMON     235851102      540      12883 SH  -    DEFINED 02              10330       605     1948
D DANAHER CORP                   COMMON     235851102      184       4399 SH  -    DEFINED 02               4399         0        0
D DANAHER CORP                   COMMON     235851102      291       6947 SH  -    DEFINED 02               6558         0      389
D DANAHER CORP                   COMMON     235851102     3208      76483 SH  -    OTHER   02               2370     70593     3520
D DANAHER CORP                   COMMON     235851102      421      10034 SH  -    OTHER   02               3270       629     6135
D DANAHER CORP                   COMMON     235851102     4248     101296 SH  -    DEFINED 04              85005         0    16291
D DANAHER CORP                   COMMON     235851102     3659      87243 SH  -    DEFINED 04              87243         0        0
D DANAHER CORP                   COMMON     235851102     2736      65234 SH  -    DEFINED 04              36841         0    28393
D DANAHER CORP                   COMMON     235851102     1717      40947 SH  -    DEFINED 05              40947         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 255
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DANAHER CORP                   COMMON     235851102    11309     269656 SH  -    DEFINED 09             252162     17494        0
D DANAHER CORP                   COMMON     235851102      712      16978 SH  -    DEFINED 09              16978         0        0
D DANAHER CORP                   COMMON     235851102     5112     121890 SH  -    DEFINED 09             121890         0        0
D DANAHER CORP                   COMMON     235851102      191       4564 SH  -    OTHER   09                  0      4564        0
D DANAHER CORP                   COMMON     235851102      153       3650 SH  -    DEFINED 01               3650         0        0
D DANAHER CORP                   COMMON     235851102       99       2370 SH  -    OTHER   01                650      1720        0
D DANAHER CORP                   COMMON     235851102       61       1451 SH  -    OTHER   10                  0         0     1451
D DARDEN RESTAURANTS INC         COMMON     237194105      661      15463 SH  -    DEFINED 02               8063         0     7400
D DARDEN RESTAURANTS INC         COMMON     237194105      963      22527 SH  -    DEFINED 02              22404         0      123
D DARDEN RESTAURANTS INC         COMMON     237194105       95       2223 SH  -    DEFINED 02               1646         0      577
D DARDEN RESTAURANTS INC         COMMON     237194105     2644      61853 SH  -    OTHER   02               7294     52009     2550
D DARDEN RESTAURANTS INC         COMMON     237194105      214       5009 SH  -    OTHER   02               1955      2556      498
D DARDEN RESTAURANTS INC         COMMON     237194105   137140    3207963 SH  -    DEFINED 04            2869424         0   338539
D DARDEN RESTAURANTS INC         COMMON     237194105     1207      28229 SH  -    DEFINED 04              28229         0        0
D DARDEN RESTAURANTS INC         COMMON     237194105     2129      49803 SH  -    DEFINED 04              49803         0        0
D DARDEN RESTAURANTS INC         COMMON     237194105     2211      51714 SH  -    DEFINED 04              51714         0        0
D DARDEN RESTAURANTS INC         COMMON     237194105     1048      24525 SH  -    OTHER   04                  0     24525        0
D DARDEN RESTAURANTS INC         COMMON     237194105     5272     123325 SH  -    OTHER   04                  0    123325        0
D DARDEN RESTAURANTS INC         COMMON     237194105     2569      60096 SH  -    DEFINED 05              60096         0        0
D DARDEN RESTAURANTS INC         COMMON     237194105      839      19630 SH  -    DEFINED 09              19630         0        0
D DARDEN RESTAURANTS INC         COMMON     237194105       90       2115 SH  -    DEFINED 01               2000         0      115
D DARDEN RESTAURANTS INC         COMMON     237194105      154       3612 SH  -    OTHER   01                  0      3175      137
D DARDEN RESTAURANTS INC         COMMON     237194105     1810      42334 SH  -    OTHER   10                  0         0    42334
D DARLING INTL INC               COMMON     237266101        4        282 SH  -    OTHER   02                  0       282        0
D DARLING INTL INC               COMMON     237266101        0         30 SH  -    OTHER   02                 15        15        0
D DARLING INTL INC               COMMON     237266101     3090     245424 SH  -    DEFINED 04             227124         0    18300

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 256
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DARLING INTL INC               COMMON     237266101       54       4255 SH  -    DEFINED 04               4255         0        0
D DARLING INTL INC               COMMON     237266101      160      12748 SH  -    OTHER   04                  0     12748        0
D DARLING INTL INC               COMMON     237266101      710      56402 SH  -    DEFINED 05              56402         0        0
D DAVITA INC                     COMMON     23918K108        6         89 SH  -    DEFINED 02                 89         0        0
D DAVITA INC                     COMMON     23918K108       14        225 SH  -    DEFINED 02                225         0        0
D DAVITA INC                     COMMON     23918K108       71       1126 SH  -    DEFINED 02               1077         0       49
D DAVITA INC                     COMMON     23918K108      622       9926 SH  -    OTHER   02                 20      9855        0
D DAVITA INC                     COMMON     23918K108       93       1487 SH  -    OTHER   02                  0        13     1474
D DAVITA INC                     COMMON     23918K108     1115      17794 SH  -    DEFINED 04              15120         0     2674
D DAVITA INC                     COMMON     23918K108    20642     329373 SH  -    DEFINED 04             329373         0        0
D DAVITA INC                     COMMON     23918K108      974      15547 SH  -    DEFINED 05              15547         0        0
D DAVITA INC                     COMMON     23918K108     1594      25436 SH  -    DEFINED 08              25436         0        0
D DAVITA INC                     COMMON     23918K108      142       2268 SH  -    OTHER   09                  0      2268        0
D DAVITA INC                     COMMON     23918K108       28        450 SH  -    OTHER   01                  0       450        0
D DEALERTRACK HLDGS INC          COMMON     242309102      579      36969 SH  -    OTHER   02                  0     36969        0
D DEALERTRACK HLDGS INC          COMMON     242309102     7585     484038 SH  -    DEFINED 04             347768         0   136270
D DEALERTRACK HLDGS INC          COMMON     242309102     5526     352627 SH  -    DEFINED 04             352627         0        0
D DEALERTRACK HLDGS INC          COMMON     242309102     1196      76310 SH  -    DEFINED 04              76310         0        0
D DEALERTRACK HLDGS INC          COMMON     242309102      303      19327 SH  -    DEFINED 05              19327         0        0
D DEALERTRACK HLDGS INC          COMMON     242309102       64       4101 SH  -    OTHER   01                  0      4101        0
D DEAN FOODS CO NEW              COMMON     242370104      192      21617 SH  -    DEFINED 02                  0     21617        0
D DEAN FOODS CO NEW              COMMON     242370104       19       2180 SH  -    DEFINED 02               2116         0       64
D DEAN FOODS CO NEW              COMMON     242370104      556      62723 SH  -    OTHER   02              23255     38898      570
D DEAN FOODS CO NEW              COMMON     242370104        1        127 SH  -    OTHER   02                  0       127        0
D DEAN FOODS CO NEW              COMMON     242370104     2338     263618 SH  -    DEFINED 04             148060         0   115558
D DEAN FOODS CO NEW              COMMON     242370104     1372     154721 SH  -    DEFINED 04             154721         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 257
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DEAN FOODS CO NEW              COMMON     242370104      209      23549 SH  -    DEFINED 05              23549         0        0
D DEAN FOODS CO NEW              COMMON     242370104       18       2000 SH  -    OTHER   10                  0         0     2000
D DEAN FOODS CO NEW              OPTION     242370906        2        200 SH  C    DEFINED 05                200         0        0
D DECKERS OUTDOOR CORP           COMMON     243537107      102       1100 SH  -    DEFINED 02               1100         0        0
D DECKERS OUTDOOR CORP           COMMON     243537107      206       2207 SH  -    OTHER   02                  0       342     1865
D DECKERS OUTDOOR CORP           COMMON     243537107        2         26 SH  -    OTHER   02                  0        20        6
D DECKERS OUTDOOR CORP           COMMON     243537107    60182     646012 SH  -    DEFINED 04             413960         0   232052
D DECKERS OUTDOOR CORP           COMMON     243537107    31533     338478 SH  -    DEFINED 04             338478         0        0
D DECKERS OUTDOOR CORP           COMMON     243537107     1782      19130 SH  -    DEFINED 04              19130         0        0
D DECKERS OUTDOOR CORP           COMMON     243537107       76        813 SH  -    OTHER   04                  0       813        0
D DECKERS OUTDOOR CORP           COMMON     243537107      251       2694 SH  -    DEFINED 05               2694         0        0
D DECKERS OUTDOOR CORP           COMMON     243537107    10037     107736 SH  -    DEFINED 08             107736         0        0
D DECKERS OUTDOOR CORP           COMMON     243537107      128       1379 SH  -    DEFINED 09               1379         0        0
D DECKERS OUTDOOR CORP           COMMON     243537107      131       1402 SH  -    OTHER   10                  0         0     1402
D DEERE & CO                     COMMON     244199105     3610      55914 SH  -    DEFINED 02              34424       500    20990
D DEERE & CO                     COMMON     244199105     2741      42454 SH  -    DEFINED 02              42319         0      135
D DEERE & CO                     COMMON     244199105      327       5072 SH  -    DEFINED 02               4770         0      302
D DEERE & CO                     COMMON     244199105     4770      73870 SH  -    OTHER   02              31466     25827    16569
D DEERE & CO                     COMMON     244199105     2064      31962 SH  -    OTHER   02              25374      1075     5513
D DEERE & CO                     COMMON     244199105    53953     835570 SH  -    DEFINED 04             506903         0   328667
D DEERE & CO                     COMMON     244199105    25225     390668 SH  -    DEFINED 04             390668         0        0
D DEERE & CO                     COMMON     244199105     2968      45960 SH  -    DEFINED 04              45960         0        0
D DEERE & CO                     COMMON     244199105       97       1495 SH  -    OTHER   04                  0      1495        0
D DEERE & CO                     COMMON     244199105     2462      38123 SH  -    DEFINED 05              38123         0        0
D DEERE & CO                     COMMON     244199105      936      14497 SH  -    DEFINED 09              14497         0        0
D DEERE & CO                     COMMON     244199105     1349      20895 SH  -    DEFINED 01              20875         0       20

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 258
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DEERE & CO                     COMMON     244199105       72       1120 SH  -    OTHER   01                  0       115     1005
D DEERE & CO                     COMMON     244199105    29544     457550 SH  -    OTHER   10                  0         0   457550
D DEERE & CO                     OPTION     244199907      969      15000 SH  C    DEFINED 05              15000         0        0
D DEERE & CO                     OPTION     244199956     8394     130000 SH  P    DEFINED 05             130000         0        0
D DEERE & CO                     OPTION     244199956    20404     316000 SH  P    DEFINED 08             316000         0        0
D DELEK US HLDGS INC             COMMON     246647101        1        112 SH  -    OTHER   02                  0       112        0
D DELEK US HLDGS INC             COMMON     246647101     1941     172250 SH  -    DEFINED 04             148750         0    23500
D DELEK US HLDGS INC             COMMON     246647101       38       3337 SH  -    DEFINED 05               3337         0        0
D DELEK US HLDGS INC             COMMON     246647101      438      38851 SH  -    DEFINED 08              38851         0        0
D DELL INC                       COMMON     24702R101      326      23056 SH  -    DEFINED 02              13076         0     9980
D DELL INC                       COMMON     24702R101      210      14876 SH  -    DEFINED 02              11745      3131        0
D DELL INC                       COMMON     24702R101      268      18948 SH  -    DEFINED 02              17871         0     1077
D DELL INC                       COMMON     24702R101     6227     440407 SH  -    OTHER   02              77714    311808    50885
D DELL INC                       COMMON     24702R101     2114     149518 SH  -    OTHER   02              11519     15695   122304
D DELL INC                       COMMON     24702R101    17818    1260142 SH  -    DEFINED 04            1089244         0   170898
D DELL INC                       COMMON     24702R101     5978     422773 SH  -    DEFINED 04             422773         0        0
D DELL INC                       COMMON     24702R101       18       1271 SH  -    DEFINED 04               1271         0        0
D DELL INC                       COMMON     24702R101     3112     220074 SH  -    DEFINED 04             124271         0    95803
D DELL INC                       COMMON     24702R101      688      48657 SH  -    OTHER   04                  0     48657        0
D DELL INC                       COMMON     24702R101    21831    1543893 SH  -    DEFINED 05            1543893         0        0
D DELL INC                       COMMON     24702R101    14429    1020414 SH  -    DEFINED 08            1020414         0        0
D DELL INC                       COMMON     24702R101    12706     898603 SH  -    DEFINED 09             840555     58048        0
D DELL INC                       COMMON     24702R101      805      56960 SH  -    DEFINED 09              56960         0        0
D DELL INC                       COMMON     24702R101     5814     411192 SH  -    DEFINED 09             411192         0        0
D DELL INC                       COMMON     24702R101      141       9988 SH  -    OTHER   09                  0      9988        0
D DELL INC                       COMMON     24702R101      179      12694 SH  -    DEFINED 01              12694         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 259
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DELL INC                       COMMON     24702R101      100       7101 SH  -    OTHER   01               6900       201        0
D DELL INC                       COMMON     24702R101     9537     674498 SH  -    OTHER   10                  0         0   674498
D DELL INC                       OPTION     24702R903     2845     201200 SH  C    DEFINED 05             201200         0        0
D DELL INC                       OPTION     24702R952     4516     319400 SH  P    DEFINED 05             319400         0        0
D DELPHI FINL GROUP INC          COMMON     247131105        6        273 SH  -    DEFINED 02                273         0        0
D DELPHI FINL GROUP INC          COMMON     247131105      103       4800 SH  -    OTHER   02                  0         0     4800
D DELPHI FINL GROUP INC          COMMON     247131105     5991     278395 SH  -    DEFINED 04             256895         0    21500
D DELPHI FINL GROUP INC          COMMON     247131105     4965     230696 SH  -    DEFINED 04             230696         0        0
D DELPHI FINL GROUP INC          COMMON     247131105      551      25594 SH  -    DEFINED 05              25594         0        0
D DELTA AIR LINES INC DEL        COMMON     247361702       17       2300 SH  -    DEFINED 02               2300         0        0
D DELTA AIR LINES INC DEL        COMMON     247361702       63       8337 SH  -    OTHER   02                  0      8114        0
D DELTA AIR LINES INC DEL        COMMON     247361702    11107    1480989 SH  -    DEFINED 04            1352874         0   128115
D DELTA AIR LINES INC DEL        COMMON     247361702    12469    1662500 SH  -    DEFINED 04            1662500         0        0
D DELTA AIR LINES INC DEL        COMMON     247361702       42       5666 SH  -    DEFINED 04               5666         0        0
D DELTA AIR LINES INC DEL        COMMON     247361702       31       4100 SH  -    DEFINED 04               4100         0        0
D DELTA AIR LINES INC DEL        COMMON     247361702      255      33980 SH  -    OTHER   04                  0     33980        0
D DELTA AIR LINES INC DEL        COMMON     247361702       99      13251 SH  -    DEFINED 05              13251         0        0
D DELTA AIR LINES INC DEL        COMMON     247361702      504      67186 SH  -    DEFINED 08              67186         0        0
D DELTA AIR LINES INC DEL        COMMON     247361702      162      21570 SH  -    DEFINED 09              21570         0        0
D DELTA AIR LINES INC DEL        COMMON     247361702        6        816 SH  -    OTHER   10                  0         0      816
D DELTIC TIMBER CORP             COMMON     247850100      263       4406 SH  -    OTHER   02                  0      4406        0
D DELTIC TIMBER CORP             COMMON     247850100        5         90 SH  -    OTHER   02                  0         0       90
D DELTIC TIMBER CORP             COMMON     247850100      445       7458 SH  -    DEFINED 04               7458         0        0
D DELTIC TIMBER CORP             COMMON     247850100      303       5083 SH  -    DEFINED 05               5083         0        0
D DELTIC TIMBER CORP             COMMON     247850100      196       3290 SH  -    OTHER   01                  0      3290        0
D DELTIC TIMBER CORP             COMMON     247850100        0          1 SH  -    OTHER   10                  0         0        1

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 260
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DENBURY RES INC                COMMON     247916208        6        479 SH  -    DEFINED 02                479         0        0
D DENBURY RES INC                COMMON     247916208       57       4967 SH  -    DEFINED 02               4636         0      331
D DENBURY RES INC                COMMON     247916208      907      78830 SH  -    OTHER   02              15584     63156       90
D DENBURY RES INC                COMMON     247916208      152      13252 SH  -    OTHER   02                  0        14    13238
D DENBURY RES INC                COMMON     247916208      989      86010 SH  -    DEFINED 04              74491         0    11519
D DENBURY RES INC                COMMON     247916208     1670     145223 SH  -    DEFINED 04             145223         0        0
D DENBURY RES INC                COMMON     247916208      132      11454 SH  -    DEFINED 05              11454         0        0
D DENBURY RES INC                COMMON     247916208       55       4743 SH  -    DEFINED 06               4743         0        0
D DENBURY RES INC                COMMON     247916208       78       6790 SH  -    OTHER   01                  0      6790        0
D DENBURY RES INC                COMMON     247916208     1227     106712 SH  -    OTHER   10                  0         0   106712
D DELUXE CORP                    COMMON     248019101       50       2704 SH  -    OTHER   02               2000       672        0
D DELUXE CORP                    COMMON     248019101        0         18 SH  -    OTHER   02                  6         6        6
D DELUXE CORP                    COMMON     248019101    12128     652053 SH  -    DEFINED 04             576753         0    75300
D DELUXE CORP                    COMMON     248019101     2174     116875 SH  -    DEFINED 04             116875         0        0
D DELUXE CORP                    COMMON     248019101      145       7790 SH  -    DEFINED 05               7790         0        0
D DELUXE CORP                    COMMON     248019101      176       9488 SH  -    DEFINED 08               9488         0        0
D DELUXE CORP                    COMMON     248019101      410      22050 SH  -    OTHER   01              22000        50        0
D DEMAND MEDIA INC               COMMON     24802N109        0         54 SH  -    OTHER   02                  0        54        0
D DEMAND MEDIA INC               COMMON     24802N109      454      56775 SH  -    DEFINED 04              50175         0     6600
D DEMAND MEDIA INC               COMMON     24802N109      116      14500 SH  -    DEFINED 04              14500         0        0
D DEMAND MEDIA INC               COMMON     24802N109        3        397 SH  -    OTHER   01                  0       397        0
D DEMANDTEC INC                  COMMON     24802R506        2        294 SH  -    DEFINED 02                  0       294        0
D DEMANDTEC INC                  COMMON     24802R506      111      17033 SH  -    OTHER   02                  0     17033        0
D DEMANDTEC INC                  COMMON     24802R506        4        615 SH  -    OTHER   02                  0         0      615
D DEMANDTEC INC                  COMMON     24802R506     7091    1084241 SH  -    DEFINED 04            1006411         0    77830
D DEMANDTEC INC                  COMMON     24802R506        3        488 SH  -    DEFINED 05                488         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 261
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DEMANDTEC INC                  COMMON     24802R506       13       1998 SH  -    DEFINED 08               1998         0        0
D DENDREON CORP                  BOND       24823QAC1     2727    3800000 PRN -    DEFINED 05                  0         0        0
D DENDREON CORP                  BOND       24823QAC1    24076   33556000 PRN -    DEFINED 09                  0         0        0
D DENDREON CORP                  BOND       24823QAC1     3618    5043000 PRN -    DEFINED 09                  0         0        0
D DENDREON CORP                  COMMON     24823Q107     2735     303857 SH  -    DEFINED 02             270295      1825    31737
D DENDREON CORP                  COMMON     24823Q107      888      98616 SH  -    DEFINED 02              90963       103     7550
D DENDREON CORP                  COMMON     24823Q107       18       2005 SH  -    DEFINED 02                305         0     1700
D DENDREON CORP                  COMMON     24823Q107      750      83352 SH  -    OTHER   02              55040     15229    13083
D DENDREON CORP                  COMMON     24823Q107       63       6968 SH  -    OTHER   02               5872       552      544
D DENDREON CORP                  COMMON     24823Q107       20       2257 SH  -    OTHER   02                  0      2257        0
D DENDREON CORP                  COMMON     24823Q107       18       1977 SH  -    OTHER   02                  0      1977        0
D DENDREON CORP                  COMMON     24823Q107       43       4745 SH  -    OTHER   02                  0      4745        0
D DENDREON CORP                  COMMON     24823Q107    31971    3552359 SH  -    DEFINED 04            2676889         0   875470
D DENDREON CORP                  COMMON     24823Q107     5083     564724 SH  -    DEFINED 04             564724         0        0
D DENDREON CORP                  COMMON     24823Q107     3730     414395 SH  -    DEFINED 04             414395         0        0
D DENDREON CORP                  COMMON     24823Q107       26       2937 SH  -    DEFINED 04               2937         0        0
D DENDREON CORP                  COMMON     24823Q107       21       2359 SH  -    DEFINED 04                  0         0     2359
D DENDREON CORP                  COMMON     24823Q107     2209     245398 SH  -    OTHER   04                  0    245398        0
D DENDREON CORP                  COMMON     24823Q107      477      52988 SH  -    DEFINED 05              52988         0        0
D DENDREON CORP                  COMMON     24823Q107     2431     270078 SH  -    DEFINED 09             270078         0        0
D DENDREON CORP                  COMMON     24823Q107      192      21278 SH  -    DEFINED 01              18618      1400     1260
D DENDREON CORP                  COMMON     24823Q107       52       5754 SH  -    OTHER   01               2314      1305     2135
D DENDREON CORP                  COMMON     24823Q107      824      91505 SH  -    OTHER   10                  0         0    91505
D DENNYS CORP                    COMMON     24869P104        9       2680 SH  -    OTHER   02                  0      2680        0
D DENNYS CORP                    COMMON     24869P104        2        700 SH  -    OTHER   02                  0         0      700
D DENNYS CORP                    COMMON     24869P104        5       1422 SH  -    DEFINED 05               1422         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 262
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DENNYS CORP                    COMMON     24869P104       19       5582 SH  -    DEFINED 08               5582         0        0
D DENTSPLY INTL INC              COMMON     249030107        0         13 SH  -    DEFINED 02                 13         0        0
D DENTSPLY INTL INC              COMMON     249030107       53       1711 SH  -    DEFINED 02               1628         0       83
D DENTSPLY INTL INC              COMMON     249030107     1188      38719 SH  -    OTHER   02              35350      2369     1000
D DENTSPLY INTL INC              COMMON     249030107       99       3219 SH  -    OTHER   02                  0         6     3213
D DENTSPLY INTL INC              COMMON     249030107      772      25160 SH  -    DEFINED 04              21114         0     4046
D DENTSPLY INTL INC              COMMON     249030107      704      22943 SH  -    DEFINED 04              22943         0        0
D DENTSPLY INTL INC              COMMON     249030107     1247      40626 SH  -    DEFINED 05              40626         0        0
D DENTSPLY INTL INC              COMMON     249030107       85       2776 SH  -    OTHER   10                  0         0     2776
D DEPOMED INC                    COMMON     249908104        1        132 SH  -    OTHER   02                  0       132        0
D DEPOMED INC                    COMMON     249908104      238      44148 SH  -    DEFINED 05              44148         0        0
D DEPOMED INC                    COMMON     249908104       17       3175 SH  -    DEFINED 08               3175         0        0
D DEVELOPERS DIVERSIFIED RLTY CO BOND       251591AX1     5954    6480000 PRN -    DEFINED 09                  0         0        0
D DEVELOPERS DIVERSIFIED RLTY CO BOND       251591AX1     1897    2065000 PRN -    DEFINED 09                  0         0        0
D DEVON ENERGY(NEW)              COMMON     25179M103     9378     169153 SH  -    DEFINED 02             140182      1745    27226
D DEVON ENERGY(NEW)              COMMON     25179M103     3345      60332 SH  -    DEFINED 02              56216      1188     2928
D DEVON ENERGY(NEW)              COMMON     25179M103      188       3384 SH  -    DEFINED 02               3384         0        0
D DEVON ENERGY(NEW)              COMMON     25179M103      505       9114 SH  -    DEFINED 02               5976         0     3138
D DEVON ENERGY(NEW)              COMMON     25179M103    22075     398187 SH  -    OTHER   02              45104    339267    12481
D DEVON ENERGY(NEW)              COMMON     25179M103     2091      37714 SH  -    OTHER   02              13698     17866     6150
D DEVON ENERGY(NEW)              COMMON     25179M103       51        914 SH  -    OTHER   02                  0       914        0
D DEVON ENERGY(NEW)              COMMON     25179M103       40        729 SH  -    OTHER   02                  0       729        0
D DEVON ENERGY(NEW)              COMMON     25179M103      103       1860 SH  -    OTHER   02                  0      1860        0
D DEVON ENERGY(NEW)              COMMON     25179M103   314269    5668640 SH  -    DEFINED 04            4793788         0   874852
D DEVON ENERGY(NEW)              COMMON     25179M103     9549     172248 SH  -    DEFINED 04             172248         0        0
D DEVON ENERGY(NEW)              COMMON     25179M103    15299     275962 SH  -    DEFINED 04             275962         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 263
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DEVON ENERGY(NEW)              COMMON     25179M103      106       1913 SH  -    DEFINED 04               1913         0        0
D DEVON ENERGY(NEW)              COMMON     25179M103     2445      44105 SH  -    DEFINED 04              44105         0        0
D DEVON ENERGY(NEW)              COMMON     25179M103       88       1579 SH  -    DEFINED 04                  0         0     1579
D DEVON ENERGY(NEW)              COMMON     25179M103     1240      22369 SH  -    OTHER   04                  0     22369        0
D DEVON ENERGY(NEW)              COMMON     25179M103    11424     206061 SH  -    OTHER   04                  0    206061        0
D DEVON ENERGY(NEW)              COMMON     25179M103    36749     662867 SH  -    DEFINED 05             662867         0        0
D DEVON ENERGY(NEW)              COMMON     25179M103      266       4801 SH  -    DEFINED 06               4801         0        0
D DEVON ENERGY(NEW)              COMMON     25179M103     7856     141694 SH  -    DEFINED 08             141694         0        0
D DEVON ENERGY(NEW)              COMMON     25179M103      826      14900 SH  -    DEFINED 09              14900         0        0
D DEVON ENERGY(NEW)              COMMON     25179M103      406       7320 SH  -    OTHER   09                  0      7320        0
D DEVON ENERGY(NEW)              COMMON     25179M103     1906      34383 SH  -    DEFINED 01              33421       495      467
D DEVON ENERGY(NEW)              COMMON     25179M103     1109      20003 SH  -    OTHER   01               3453     15382     1168
D DEVON ENERGY(NEW)              COMMON     25179M103    15036     271210 SH  -    OTHER   10                  0         0   271210
D DEVON ENERGY(NEW)              OPTION     25179M905    11892     214500 SH  C    DEFINED 05             214500         0        0
D DEVRY INC DEL                  COMMON     251893103       38       1025 SH  -    DEFINED 02               1025         0        0
D DEVRY INC DEL                  COMMON     251893103       27        739 SH  -    DEFINED 02                710         0       29
D DEVRY INC DEL                  COMMON     251893103       37        990 SH  -    OTHER   02                  0       990        0
D DEVRY INC DEL                  COMMON     251893103        0          8 SH  -    OTHER   02                  5         3        0
D DEVRY INC DEL                  COMMON     251893103     1368      37010 SH  -    DEFINED 04              35247         0     1763
D DEVRY INC DEL                  COMMON     251893103     7789     210745 SH  -    DEFINED 04             210745         0        0
D DEVRY INC DEL                  COMMON     251893103      332       8981 SH  -    DEFINED 05               8981         0        0
D DEVRY INC DEL                  OPTION     251893905      185       5000 SH  C    DEFINED 05               5000         0        0
D DEX ONE CORP                   COMMON     25212W100      146     260495 SH  -    DEFINED 04             139977         0   120518
D DEX ONE CORP                   COMMON     25212W100       56     100100 SH  -    DEFINED 04             100100         0        0
D DEX ONE CORP                   COMMON     25212W100      344     614883 SH  -    DEFINED 05             614883         0        0
D DEX ONE CORP                   COMMON     25212W100        7      12269 SH  -    DEFINED 08              12269         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 264
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DIAGEO                         ADR        25243Q205      262       3445 SH  -    DEFINED 02               1200      2245        0
D DIAGEO                         ADR        25243Q205      203       2675 SH  -    DEFINED 02               1425       700      550
D DIAGEO                         ADR        25243Q205    29920     394051 SH  -    OTHER   02              29533    325968    37505
D DIAGEO                         ADR        25243Q205     3939      51874 SH  -    OTHER   02              14949     17210    19715
D DIAGEO                         ADR        25243Q205     9705     127816 SH  -    DEFINED 04             119630         0     8186
D DIAGEO                         ADR        25243Q205     1752      23073 SH  -    DEFINED 04              23073         0        0
D DIAGEO                         ADR        25243Q205     4598      60562 SH  -    OTHER   04                  0     60562        0
D DIAGEO                         ADR        25243Q205     1331      17525 SH  -    OTHER   04                  0     17525        0
D DIAGEO                         ADR        25243Q205    55211     727129 SH  -    DEFINED 06             727129         0        0
D DIAGEO                         ADR        25243Q205     1827      24062 SH  -    OTHER   01               5500     18531        0
D DIAGEO                         ADR        25243Q205     1738      22890 SH  -    OTHER   10                  0         0    22890
D DIAMOND FOODS INC              COMMON     252603105       65        820 SH  -    OTHER   02                  0         0      820
D DIAMOND FOODS INC              COMMON     252603105      826      10346 SH  -    DEFINED 05              10346         0        0
D DIAMOND FOODS INC              COMMON     252603105      127       1588 SH  -    OTHER   10                  0         0     1588
D DIAMOND HILL INVESTMENT GROUP  COMMON     25264R207    12206     175900 SH  -    DEFINED 04             164900         0    11000
D DIAMOND HILL INVESTMENT GROUP  COMMON     25264R207       11        160 SH  -    DEFINED 08                160         0        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102       55       1000 SH  -    DEFINED 02               1000         0        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102       17        315 SH  -    DEFINED 02                315         0        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102       44        801 SH  -    DEFINED 02                801         0        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102       60       1105 SH  -    OTHER   02                  0      1105        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102       23        423 SH  -    OTHER   02                400        16        7
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102    19351     353505 SH  -    DEFINED 04             330315         0    23190
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102     2768      50574 SH  -    DEFINED 04              50574         0        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102       62       1140 SH  -    DEFINED 04               1140         0        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102      423       7736 SH  -    OTHER   04                  0      7736        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102      169       3090 SH  -    DEFINED 05               3090         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 265
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102       45        825 SH  -    DEFINED 06                825         0        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102      728      13300 SH  -    OTHER   09                  0     13300        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102      426       7776 SH  -    OTHER   01               7700        76        0
D DIAMOND OFFSHORE DRILLING INC  COMMON     25271C102      209       3825 SH  -    OTHER   10                  0         0     3825
D DIAMOND OFFSHORE DRILLING INC  OPTION     25271C904     1264      23100 SH  C    DEFINED 05              23100         0        0
D DIAMONDROCK HOSPITALITY CO     COMMON     252784301      419      59900 SH  -    DEFINED 02              59900         0        0
D DIAMONDROCK HOSPITALITY CO     COMMON     252784301     8787    1257045 SH  -    DEFINED 04            1149155         0   107890
D DIAMONDROCK HOSPITALITY CO     COMMON     252784301     1983     283747 SH  -    DEFINED 04             283747         0        0
D DIAMONDROCK HOSPITALITY CO     COMMON     252784301      144      20600 SH  -    DEFINED 04              20600         0        0
D DIAMONDROCK HOSPITALITY CO     COMMON     252784301       31       4500 SH  -    DEFINED 04               4500         0        0
D DIAMONDROCK HOSPITALITY CO     COMMON     252784301      921     131700 SH  -    DEFINED 04             101100         0        0
D DIAMONDROCK HOSPITALITY CO     COMMON     252784301      546      78137 SH  -    DEFINED 05              78137         0        0
D DIAMONDROCK HOSPITALITY CO     COMMON     252784301        6        861 SH  -    DEFINED 06                861         0        0
D DICE HLDGS INC                 COMMON     253017107        1        117 SH  -    OTHER   02                117         0        0
D DICE HLDGS INC                 COMMON     253017107    11184    1430119 SH  -    DEFINED 04            1331458         0    98661
D DICE HLDGS INC                 COMMON     253017107        6        706 SH  -    DEFINED 05                706         0        0
D DICE HLDGS INC                 COMMON     253017107       21       2739 SH  -    DEFINED 08               2739         0        0
D DICKS SPORTING GOODS INC       COMMON     253393102       62       1865 SH  -    DEFINED 02               1865         0        0
D DICKS SPORTING GOODS INC       COMMON     253393102      315       9413 SH  -    DEFINED 02               6168         0     3245
D DICKS SPORTING GOODS INC       COMMON     253393102      386      11550 SH  -    DEFINED 02               3795         0     7755
D DICKS SPORTING GOODS INC       COMMON     253393102     1021      30527 SH  -    OTHER   02                  0     25987     4540
D DICKS SPORTING GOODS INC       COMMON     253393102       63       1880 SH  -    OTHER   02                580       360      940
D DICKS SPORTING GOODS INC       COMMON     253393102    50767    1517252 SH  -    DEFINED 04            1257598         0   259654
D DICKS SPORTING GOODS INC       COMMON     253393102    22618     675970 SH  -    DEFINED 04             675970         0        0
D DICKS SPORTING GOODS INC       COMMON     253393102       81       2420 SH  -    DEFINED 04                  0         0     2420
D DICKS SPORTING GOODS INC       COMMON     253393102      894      26726 SH  -    DEFINED 05              26726         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 266
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DICKS SPORTING GOODS INC       COMMON     253393102       27        800 SH  -    OTHER   01                  0       800        0
D DICKS SPORTING GOODS INC       OPTION     253393904      669      20000 SH  C    DEFINED 05              20000         0        0
D DIEBOLD INC                    COMMON     253651103       14        500 SH  -    DEFINED 02                500         0        0
D DIEBOLD INC                    COMMON     253651103       48       1738 SH  -    OTHER   02                893       845        0
D DIEBOLD INC                    COMMON     253651103       22        800 SH  -    OTHER   02                800         0        0
D DIEBOLD INC                    COMMON     253651103      663      24116 SH  -    DEFINED 04              24116         0        0
D DIEBOLD INC                    COMMON     253651103     4367     158733 SH  -    DEFINED 04             158733         0        0
D DIEBOLD INC                    COMMON     253651103       48       1742 SH  -    DEFINED 05               1742         0        0
D DIEBOLD INC                    COMMON     253651103      200       7257 SH  -    DEFINED 08               7257         0        0
D DIGI INTL INC                  COMMON     253798102       12       1059 SH  -    OTHER   02                  0      1059        0
D DIGI INTL INC                  COMMON     253798102      766      69600 SH  -    DEFINED 04              69600         0        0
D DIGI INTL INC                  COMMON     253798102      192      17475 SH  -    DEFINED 04              17475         0        0
D DIGI INTL INC                  COMMON     253798102      131      11920 SH  -    DEFINED 05              11920         0        0
D DIGITAL RLTY TR INC            COMMON     253868103      822      14900 SH  -    DEFINED 02              14900         0        0
D DIGITAL RLTY TR INC            COMMON     253868103    35454     642755 SH  -    DEFINED 04             486698         0   156057
D DIGITAL RLTY TR INC            COMMON     253868103     1898      34400 SH  -    DEFINED 04              34400         0        0
D DIGITAL RLTY TR INC            COMMON     253868103      102       1850 SH  -    DEFINED 04               1850         0        0
D DIGITAL RLTY TR INC            COMMON     253868103      303       5500 SH  -    DEFINED 04               5500         0        0
D DIGITAL RLTY TR INC            COMMON     253868103       66       1200 SH  -    DEFINED 04               1200         0        0
D DIGITAL RLTY TR INC            COMMON     253868103     1845      33450 SH  -    DEFINED 04              25750         0        0
D DIGITAL RLTY TR INC            COMMON     253868103       68       1230 SH  -    DEFINED 04                  0         0     1230
D DIGITAL RLTY TR INC            COMMON     253868103      190       3436 SH  -    DEFINED 05               3436         0        0
D DIGITAL RLTY TR INC            COMMON     253868103       54        971 SH  -    DEFINED 06                971         0        0
D DIGITAL RLTY TR INC            COMMON     253868103       25        446 SH  -    DEFINED 08                446         0        0
D DIGITAL RLTY TR INC            COMMON     253868103      513       9300 SH  -    DEFINED 09               9300         0        0
D DIGITAL RLTY TR INC            COMMON     253868103       94       1700 SH  -    OTHER   09                  0      1700        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 267
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DIGITAL RLTY TR INC            COMMON     253868103      912      16530 SH  -    OTHER   10                  0         0    16530
D DIGITAL RIVER                  COMMON     25388B104        5        223 SH  -    DEFINED 02                223         0        0
D DIGITAL RIVER                  COMMON     25388B104      591      28530 SH  -    DEFINED 04              28530         0        0
D DIGITAL RIVER                  COMMON     25388B104       13        615 SH  -    DEFINED 05                615         0        0
D DIGITAL RIVER                  COMMON     25388B104       72       3473 SH  -    DEFINED 08               3473         0        0
D DIGITALGLOBE INC               COMMON     25389M877     2111     108660 SH  -    OTHER   02                  0    108660        0
D DIGITALGLOBE INC               COMMON     25389M877     7619     392150 SH  -    DEFINED 04             281720         0   110430
D DIGITALGLOBE INC               COMMON     25389M877     5093     262100 SH  -    DEFINED 04             262100         0        0
D DIGITALGLOBE INC               COMMON     25389M877     1204      61980 SH  -    DEFINED 04              61980         0        0
D DIGITALGLOBE INC               COMMON     25389M877       11        560 SH  -    DEFINED 05                560         0        0
D DIGITALGLOBE INC               COMMON     25389M877       40       2042 SH  -    DEFINED 08               2042         0        0
D DIME COMMTY BANCSH             COMMON     253922108        5        445 SH  -    OTHER   02                  0       445        0
D DIME COMMTY BANCSH             COMMON     253922108       22       2150 SH  -    OTHER   02                  0      2150        0
D DIME COMMTY BANCSH             COMMON     253922108      829      81805 SH  -    DEFINED 04              73205         0     8600
D DIME COMMTY BANCSH             COMMON     253922108      187      18448 SH  -    DEFINED 04              18448         0        0
D DIME COMMTY BANCSH             COMMON     253922108      133      13096 SH  -    DEFINED 05              13096         0        0
D DIME COMMTY BANCSH             COMMON     253922108      462      45625 SH  -    OTHER   10                  0         0    45625
D DILLARDS INC                   COMMON     254067101       47       1089 SH  -    OTHER   02                  0      1089        0
D DILLARDS INC                   COMMON     254067101       34        771 SH  -    OTHER   02                  0         0      771
D DILLARDS INC                   COMMON     254067101    12524     288036 SH  -    DEFINED 04             246136         0    41900
D DILLARDS INC                   COMMON     254067101     6096     140200 SH  -    DEFINED 04             140200         0        0
D DILLARDS INC                   COMMON     254067101      626      14389 SH  -    DEFINED 05              14389         0        0
D DILLARDS INC                   COMMON     254067101      157       3602 SH  -    DEFINED 08               3602         0        0
D DILLARDS INC                   COMMON     254067101      100       2304 SH  -    DEFINED 09               2304         0        0
D DILLARDS INC                   COMMON     254067101        3         69 SH  -    OTHER   10                  0         0       69
D DINEEQUITY INC                 COMMON     254423106       23        607 SH  -    OTHER   02                  0       607        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 268
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DINEEQUITY INC                 COMMON     254423106        7        170 SH  -    OTHER   02                  0         0      170
D DINEEQUITY INC                 COMMON     254423106     2380      61825 SH  -    DEFINED 04              48425         0    13400
D DINEEQUITY INC                 COMMON     254423106      427      11105 SH  -    DEFINED 04              11105         0        0
D DINEEQUITY INC                 COMMON     254423106      287       7448 SH  -    DEFINED 05               7448         0        0
D DINEEQUITY INC                 COMMON     254423106        0          1 SH  -    OTHER   10                  0         0        1
D DIODES INC                     COMMON     254543101        5        256 SH  -    OTHER   02                  0       256        0
D DIODES INC                     COMMON     254543101       99       5500 SH  -    OTHER   02               5500         0        0
D DIODES INC                     COMMON     254543101      207      11564 SH  -    DEFINED 04              11564         0        0
D DIODES INC                     COMMON     254543101      319      17790 SH  -    DEFINED 05              17790         0        0
D DIREXION SHS ETF TR            COMMON     25459W144     3299      50000 SH  -    DEFINED 05              50000         0        0
D DIREXION SHS ETF TR            COMMON     25459W300     2311     173523 SH  -    DEFINED 08             173523         0        0
D DIREXION SHS ETF TR            COMMON     25459W516       13       1200 SH  -    DEFINED 05               1200         0        0
D DIREXION SHS ETF TR            COMMON     25459W516      980      92271 SH  -    DEFINED 08              92271         0        0
D DISNEY WALT CO                 COMMON     254687106    10364     343649 SH  -    DEFINED 02             182750      9580   151319
D DISNEY WALT CO                 COMMON     254687106     2902      96232 SH  -    DEFINED 02              89395         0     6837
D DISNEY WALT CO                 COMMON     254687106      329      10919 SH  -    DEFINED 02              10919         0        0
D DISNEY WALT CO                 COMMON     254687106     1242      41167 SH  -    DEFINED 02              27395         0    13772
D DISNEY WALT CO                 COMMON     254687106    24510     812674 SH  -    OTHER   02             323818    384747   103895
D DISNEY WALT CO                 COMMON     254687106     5265     174565 SH  -    OTHER   02             146597      4879    23089
D DISNEY WALT CO                 COMMON     254687106      463      15342 SH  -    OTHER   02                  0     15342        0
D DISNEY WALT CO                 COMMON     254687106       52       1720 SH  -    OTHER   02                  0      1720        0
D DISNEY WALT CO                 COMMON     254687106      616      20418 SH  -    OTHER   02                  0     20418        0
D DISNEY WALT CO                 COMMON     254687106       35       1173 SH  -    OTHER   02                  0      1173        0
D DISNEY WALT CO                 COMMON     254687106   142414    4721946 SH  -    DEFINED 04            2775477         0  1946469
D DISNEY WALT CO                 COMMON     254687106    18310     607089 SH  -    DEFINED 04             607089         0        0
D DISNEY WALT CO                 COMMON     254687106     1110      36791 SH  -    DEFINED 04              36791         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 269
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DISNEY WALT CO                 COMMON     254687106      273       9050 SH  -    DEFINED 04               9050         0        0
D DISNEY WALT CO                 COMMON     254687106      341      11308 SH  -    DEFINED 04                  0         0    11308
D DISNEY WALT CO                 COMMON     254687106      408      13529 SH  -    OTHER   04                  0     13529        0
D DISNEY WALT CO                 COMMON     254687106    35450    1175392 SH  -    DEFINED 05            1175392         0        0
D DISNEY WALT CO                 COMMON     254687106     1893      62755 SH  -    DEFINED 09              62755         0        0
D DISNEY WALT CO                 COMMON     254687106    34357    1139148 SH  -    DEFINED 01            1136148         0     3000
D DISNEY WALT CO                 COMMON     254687106      592      19624 SH  -    OTHER   01              15175      3749      700
D DISNEY WALT CO                 COMMON     254687106     4648     154119 SH  -    OTHER   10                  0         0   154119
D DISNEY WALT CO                 OPTION     254687908    12848     426000 SH  C    DEFINED 05             426000         0        0
D DISNEY WALT CO                 OPTION     254687908    27111     898900 SH  C    DEFINED 08             898900         0        0
D DISNEY WALT CO                 OPTION     254687957     6400     212200 SH  P    DEFINED 05             212200         0        0
D DISNEY WALT CO                 OPTION     254687957     2714      90000 SH  P    DEFINED 08              90000         0        0
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104       11        292 SH  -    DEFINED 02                 72       220        0
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104        5        120 SH  -    DEFINED 02                  0         0      120
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104      125       3325 SH  -    DEFINED 02               3154         0      171
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104     1726      45877 SH  -    OTHER   02               1128     39713     4990
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104      293       7786 SH  -    OTHER   02               4835      1220     1731
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104    17621     468406 SH  -    DEFINED 04             300570         0   167836
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104     1710      45446 SH  -    DEFINED 04              45446         0        0
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104       46       1216 SH  -    DEFINED 04               1216         0        0
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104     2605      69243 SH  -    DEFINED 05              69243         0        0
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104      241       6412 SH  -    DEFINED 09               6412         0        0
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104       40       1060 SH  -    OTHER   01                  0      1060        0
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F104        5        125 SH  -    OTHER   10                  0         0      125
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F302        0         11 SH  -    DEFINED 02                 11         0        0
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F302      814      23167 SH  -    OTHER   02               1100      4652    17415

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 270
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F302      180       5128 SH  -    OTHER   02                  0         0     5128
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F302       92       2623 SH  -    DEFINED 05               2623         0        0
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F302     3120      88769 SH  -    DEFINED 08              88769         0        0
D DISCOVERY COMMUNICATNS NEW     COMMON     25470F302        3         92 SH  -    OTHER   10                  0         0       92
D DISH NETWORK CORP              COMMON     25470M109       95       3780 SH  -    DEFINED 02               3780         0        0
D DISH NETWORK CORP              COMMON     25470M109       39       1557 SH  -    DEFINED 02               1557         0        0
D DISH NETWORK CORP              COMMON     25470M109       27       1095 SH  -    DEFINED 02                165         0      930
D DISH NETWORK CORP              COMMON     25470M109       86       3443 SH  -    OTHER   02                  0      3367        0
D DISH NETWORK CORP              COMMON     25470M109       15        611 SH  -    OTHER   02                611         0        0
D DISH NETWORK CORP              COMMON     25470M109    97546    3894066 SH  -    DEFINED 04            3497479         0   396587
D DISH NETWORK CORP              COMMON     25470M109     2882     115067 SH  -    DEFINED 04             115067         0        0
D DISH NETWORK CORP              COMMON     25470M109     3391     135367 SH  -    DEFINED 04             135367         0        0
D DISH NETWORK CORP              COMMON     25470M109     4112     164140 SH  -    DEFINED 04             115590         0    48550
D DISH NETWORK CORP              COMMON     25470M109      721      28777 SH  -    OTHER   04                  0     28777        0
D DISH NETWORK CORP              COMMON     25470M109     3724     148682 SH  -    OTHER   04                  0    148682        0
D DISH NETWORK CORP              COMMON     25470M109      116       4631 SH  -    DEFINED 05               4631         0        0
D DISH NETWORK CORP              COMMON     25470M109     1045      41698 SH  -    DEFINED 08              41698         0        0
D DISH NETWORK CORP              COMMON     25470M109    11421     455940 SH  -    DEFINED 09             426220     29720        0
D DISH NETWORK CORP              COMMON     25470M109      727      29040 SH  -    DEFINED 09              29040         0        0
D DISH NETWORK CORP              COMMON     25470M109     5249     209530 SH  -    DEFINED 09             209530         0        0
D DISH NETWORK CORP              COMMON     25470M109      135       5374 SH  -    OTHER   09                  0      5374        0
D DISH NETWORK CORP              COMMON     25470M109     1675      66859 SH  -    OTHER   10                  0         0    66859
D DISCOVER FINL SVCS             COMMON     254709108       12        525 SH  -    DEFINED 02                155       370        0
D DISCOVER FINL SVCS             COMMON     254709108       41       1787 SH  -    DEFINED 02               1557         0      230
D DISCOVER FINL SVCS             COMMON     254709108      153       6678 SH  -    DEFINED 02               6288         0      390
D DISCOVER FINL SVCS             COMMON     254709108     3488     152032 SH  -    OTHER   02               8128    131698    12087

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 271
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DISCOVER FINL SVCS             COMMON     254709108      227       9893 SH  -    OTHER   02               2385      2497     5011
D DISCOVER FINL SVCS             COMMON     254709108    79813    3479201 SH  -    DEFINED 04            3008479         0   470722
D DISCOVER FINL SVCS             COMMON     254709108     8199     357392 SH  -    DEFINED 04             357392         0        0
D DISCOVER FINL SVCS             COMMON     254709108     2909     126822 SH  -    DEFINED 04              72744         0    54078
D DISCOVER FINL SVCS             COMMON     254709108     1127      49125 SH  -    OTHER   04                  0     49125        0
D DISCOVER FINL SVCS             COMMON     254709108     4094     178476 SH  -    DEFINED 05             178476         0        0
D DISCOVER FINL SVCS             COMMON     254709108       24       1042 SH  -    DEFINED 06               1042         0        0
D DISCOVER FINL SVCS             COMMON     254709108      305      13286 SH  -    DEFINED 08              13286         0        0
D DISCOVER FINL SVCS             COMMON     254709108    11877     517731 SH  -    DEFINED 09             486026     31705        0
D DISCOVER FINL SVCS             COMMON     254709108      735      32049 SH  -    DEFINED 09              32049         0        0
D DISCOVER FINL SVCS             COMMON     254709108     5378     234456 SH  -    DEFINED 09             234456         0        0
D DISCOVER FINL SVCS             COMMON     254709108      156       6794 SH  -    OTHER   09                  0      6794        0
D DISCOVER FINL SVCS             COMMON     254709108       25       1092 SH  -    DEFINED 01                  0         0     1092
D DISCOVER FINL SVCS             COMMON     254709108       46       1985 SH  -    OTHER   01                  0      1985        0
D DISCOVER FINL SVCS             COMMON     254709108      119       5193 SH  -    OTHER   10                  0         0     5193
D DIRECTV                        COMMON     25490A101      941      22267 SH  -    DEFINED 02               6537       480    15250
D DIRECTV                        COMMON     25490A101      158       3740 SH  -    DEFINED 02               3740         0        0
D DIRECTV                        COMMON     25490A101      380       8978 SH  -    DEFINED 02               8508         0      470
D DIRECTV                        COMMON     25490A101     3426      81061 SH  -    OTHER   02              43966     33880     3215
D DIRECTV                        COMMON     25490A101      192       4537 SH  -    OTHER   02               1000        69     3468
D DIRECTV                        COMMON     25490A101   149471    3536104 SH  -    DEFINED 04            1970300         0  1565804
D DIRECTV                        COMMON     25490A101    37656     890846 SH  -    DEFINED 04             890846         0        0
D DIRECTV                        COMMON     25490A101    14352     339520 SH  -    DEFINED 04             339520         0        0
D DIRECTV                        COMMON     25490A101     2661      62950 SH  -    DEFINED 04              37470         0    25480
D DIRECTV                        COMMON     25490A101       23        533 SH  -    DEFINED 04                  0         0      533
D DIRECTV                        COMMON     25490A101      151       3572 SH  -    OTHER   04                  0      3572        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 272
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DIRECTV                        COMMON     25490A101     2750      65053 SH  -    DEFINED 05              65053         0        0
D DIRECTV                        COMMON     25490A101    11027     260865 SH  -    DEFINED 09             245355     15510        0
D DIRECTV                        COMMON     25490A101      639      15110 SH  -    DEFINED 09              15110         0        0
D DIRECTV                        COMMON     25490A101     4654     110100 SH  -    DEFINED 09             110100         0        0
D DIRECTV                        COMMON     25490A101     2111      49951 SH  -    OTHER   09                  0     49951        0
D DIRECTV                        COMMON     25490A101      573      13556 SH  -    OTHER   01              13500        56        0
D DIRECTV                        COMMON     25490A101     4044      95678 SH  -    OTHER   10                  0         0    95678
D DIRECTV                        OPTION     25490A903     4908     116100 SH  C    DEFINED 05             116100         0        0
D DR REDDYS LABS LTD             ADR        256135203        9        304 SH  -    DEFINED 02                304         0        0
D DR REDDYS LABS LTD             ADR        256135203      462      15500 SH  -    DEFINED 02              15500         0        0
D DR REDDYS LABS LTD             ADR        256135203    13835     464269 SH  -    DEFINED 04             268969         0   195300
D DR REDDYS LABS LTD             ADR        256135203      617      20717 SH  -    DEFINED 05              20717         0        0
D DR REDDYS LABS LTD             ADR        256135203      970      32567 SH  -    DEFINED 08              32567         0        0
D DR REDDYS LABS LTD             ADR        256135203    10644     357176 SH  -    DEFINED 09             182855    174321        0
D DOLAN CO                       COMMON     25659P402        8        860 SH  -    OTHER   02                  0         0      860
D DOLAN CO                       COMMON     25659P402      631      70200 SH  -    DEFINED 04              70200         0        0
D DOLAN CO                       COMMON     25659P402      195      21737 SH  -    DEFINED 04              21737         0        0
D DOLAN CO                       COMMON     25659P402      126      14052 SH  -    DEFINED 05              14052         0        0
D DOLBY LABORATORIES INC         COMMON     25659T107       68       2477 SH  -    DEFINED 02               2477         0        0
D DOLBY LABORATORIES INC         COMMON     25659T107      107       3903 SH  -    OTHER   02                900      3003        0
D DOLBY LABORATORIES INC         COMMON     25659T107       81       2944 SH  -    DEFINED 04               2944         0        0
D DOLBY LABORATORIES INC         COMMON     25659T107       53       1922 SH  -    DEFINED 05               1922         0        0
D DOLBY LABORATORIES INC         COMMON     25659T107        5        180 SH  -    OTHER   01                180         0        0
D DOLBY LABORATORIES INC         COMMON     25659T107        5        185 SH  -    OTHER   10                  0         0      185
D DOLE FOOD CO INC NEW           COMMON     256603101       16       1576 SH  -    OTHER   02                  0       276     1300
D DOLE FOOD CO INC NEW           COMMON     256603101     1693     169300 SH  -    DEFINED 04             128900         0    40400

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 273
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DOLE FOOD CO INC NEW           COMMON     256603101     1164     116400 SH  -    DEFINED 04             116400         0        0
D DOLE FOOD CO INC NEW           COMMON     256603101        6        603 SH  -    DEFINED 05                603         0        0
D DOLE FOOD CO INC NEW           COMMON     256603101      128      12781 SH  -    DEFINED 08              12781         0        0
D DOLLAR GEN CORP NEW            COMMON     256677105        1         17 SH  -    DEFINED 02                 17         0        0
D DOLLAR GEN CORP NEW            COMMON     256677105       60       1584 SH  -    OTHER   02                  0      1479        0
D DOLLAR GEN CORP NEW            COMMON     256677105       99       2629 SH  -    DEFINED 05               2629         0        0
D DOLLAR GEN CORP NEW            COMMON     256677105        7        181 SH  -    OTHER   01                  0       181        0
D DOLLAR GEN CORP NEW            COMMON     256677105     2164      57297 SH  -    OTHER   10                  0         0    57297
D DOLLAR THRIFTY AUTOMOTIVE GP   COMMON     256743105        1         19 SH  -    OTHER   02                  0        19        0
D DOLLAR THRIFTY AUTOMOTIVE GP   COMMON     256743105      935      16600 SH  -    DEFINED 04              12600         0     4000
D DOLLAR THRIFTY AUTOMOTIVE GP   COMMON     256743105    17630     313137 SH  -    DEFINED 05             313137         0        0
D DOLLAR THRIFTY AUTOMOTIVE GP   COMMON     256743105      321       5705 SH  -    DEFINED 08               5705         0        0
D DOLLAR THRIFTY AUTOMOTIVE GP   COMMON     256743105     1886      33499 SH  -    DEFINED 09              33499         0        0
D DOLLAR TREE INC                COMMON     256746108      147       1951 SH  -    DEFINED 02               1951         0        0
D DOLLAR TREE INC                COMMON     256746108        7         93 SH  -    DEFINED 02                 93         0        0
D DOLLAR TREE INC                COMMON     256746108     1373      18275 SH  -    OTHER   02              12603      2407     3233
D DOLLAR TREE INC                COMMON     256746108       68        900 SH  -    OTHER   02                  0         0      900
D DOLLAR TREE INC                COMMON     256746108    45598     606836 SH  -    DEFINED 04             275967         0   330869
D DOLLAR TREE INC                COMMON     256746108    30633     407673 SH  -    DEFINED 04             407673         0        0
D DOLLAR TREE INC                COMMON     256746108     7196      95770 SH  -    DEFINED 04              95770         0        0
D DOLLAR TREE INC                COMMON     256746108       32        420 SH  -    OTHER   04                  0       420        0
D DOLLAR TREE INC                COMMON     256746108     2774      36920 SH  -    DEFINED 05              36920         0        0
D DOLLAR TREE INC                COMMON     256746108      156       2079 SH  -    OTHER   10                  0         0     2079
D DOLLAR TREE INC                OPTION     256746900      496       6600 SH  C    DEFINED 05               6600         0        0
D DOMINION RES(VIR)              COMMON     25746U109      915      18019 SH  -    DEFINED 02              14949      2500      570
D DOMINION RES(VIR)              COMMON     25746U109     2582      50866 SH  -    DEFINED 02              49668         0     1198

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 274
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DOMINION RES(VIR)              COMMON     25746U109      168       3304 SH  -    DEFINED 02               3304         0        0
D DOMINION RES(VIR)              COMMON     25746U109      681      13405 SH  -    DEFINED 02               8190         0     5215
D DOMINION RES(VIR)              COMMON     25746U109    17150     337797 SH  -    OTHER   02              97640    222461    17241
D DOMINION RES(VIR)              COMMON     25746U109     5871     115632 SH  -    OTHER   02              92059     12126    11447
D DOMINION RES(VIR)              COMMON     25746U109      338       6656 SH  -    OTHER   02                  0      6656        0
D DOMINION RES(VIR)              COMMON     25746U109       54       1061 SH  -    OTHER   02                  0      1061        0
D DOMINION RES(VIR)              COMMON     25746U109      734      14454 SH  -    OTHER   02                  0     14454        0
D DOMINION RES(VIR)              COMMON     25746U109       36        700 SH  -    OTHER   02                  0       700        0
D DOMINION RES(VIR)              COMMON     25746U109   157244    3097190 SH  -    DEFINED 04            2548325         0   548865
D DOMINION RES(VIR)              COMMON     25746U109     4760      93750 SH  -    DEFINED 04              93750         0        0
D DOMINION RES(VIR)              COMMON     25746U109    21176     417101 SH  -    DEFINED 04             417101         0        0
D DOMINION RES(VIR)              COMMON     25746U109      110       2160 SH  -    DEFINED 04                  0         0     2160
D DOMINION RES(VIR)              COMMON     25746U109     2166      42668 SH  -    DEFINED 05              42668         0        0
D DOMINION RES(VIR)              COMMON     25746U109      187       3685 SH  -    DEFINED 08               3685         0        0
D DOMINION RES(VIR)              COMMON     25746U109      899      17700 SH  -    DEFINED 09              17700         0        0
D DOMINION RES(VIR)              COMMON     25746U109      162       3200 SH  -    DEFINED 01               3200         0        0
D DOMINION RES(VIR)              COMMON     25746U109     1164      22936 SH  -    OTHER   01               7200     15736        0
D DOMINION RES(VIR)              COMMON     25746U109      324       6377 SH  -    OTHER   10                  0         0     6377
D DOMINOS PIZZA INC              COMMON     25754A201       13        485 SH  -    OTHER   02                  0         0      485
D DOMINOS PIZZA INC              COMMON     25754A201    12456     457100 SH  -    DEFINED 04             412700         0    44400
D DOMINOS PIZZA INC              COMMON     25754A201       20        746 SH  -    DEFINED 05                746         0        0
D DOMINOS PIZZA INC              COMMON     25754A201      551      20236 SH  -    DEFINED 08              20236         0        0
D DOMINOS PIZZA INC              COMMON     25754A201       12        438 SH  -    OTHER   10                  0         0      438
D DOMTAR CORP                    COMMON     257559203       13        187 SH  -    DEFINED 02                187         0        0
D DOMTAR CORP                    COMMON     257559203       61        894 SH  -    OTHER   02                  0       868        0
D DOMTAR CORP                    COMMON     257559203        1          8 SH  -    OTHER   02                  5         3        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 275
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DOMTAR CORP                    COMMON     257559203     4678      68625 SH  -    DEFINED 04              67625         0     1000
D DOMTAR CORP                    COMMON     257559203     6754      99082 SH  -    DEFINED 04              99082         0        0
D DOMTAR CORP                    COMMON     257559203       66        965 SH  -    DEFINED 05                965         0        0
D DOMTAR CORP                    COMMON     257559203     1270      18633 SH  -    DEFINED 08              18633         0        0
D DOMTAR CORP                    COMMON     257559203        3         37 SH  -    OTHER   01                  0        37        0
D DOMTAR CORP                    COMMON     257559203      130       1905 SH  -    OTHER   10                  0         0     1905
D DONALDSON INC                  COMMON     257651109       27        485 SH  -    DEFINED 02                485         0        0
D DONALDSON INC                  COMMON     257651109      361       6592 SH  -    OTHER   02                 21      6150      385
D DONALDSON INC                  COMMON     257651109      220       4016 SH  -    OTHER   02                  5        49     3962
D DONALDSON INC                  COMMON     257651109      115       2096 SH  -    DEFINED 05               2096         0        0
D DONNELLEY(R.R) & S             COMMON     257867101       14       1000 SH  -    DEFINED 02               1000         0        0
D DONNELLEY(R.R) & S             COMMON     257867101        1         41 SH  -    DEFINED 02                 41         0        0
D DONNELLEY(R.R) & S             COMMON     257867101       33       2318 SH  -    DEFINED 02               2164         0      154
D DONNELLEY(R.R) & S             COMMON     257867101       48       3420 SH  -    OTHER   02                  0      2239     1181
D DONNELLEY(R.R) & S             COMMON     257867101      271      19207 SH  -    OTHER   02              18207         0     1000
D DONNELLEY(R.R) & S             COMMON     257867101      490      34708 SH  -    DEFINED 04              29331         0     5377
D DONNELLEY(R.R) & S             COMMON     257867101     2852     201988 SH  -    DEFINED 04             201988         0        0
D DONNELLEY(R.R) & S             COMMON     257867101       36       2520 SH  -    DEFINED 04               2520         0        0
D DONNELLEY(R.R) & S             COMMON     257867101      108       7666 SH  -    OTHER   04                  0      7666        0
D DONNELLEY(R.R) & S             COMMON     257867101     1466     103840 SH  -    DEFINED 05             103840         0        0
D DONNELLEY(R.R) & S             COMMON     257867101    57378    4063578 SH  -    DEFINED 08            4063578         0        0
D DONNELLEY(R.R) & S             COMMON     257867101      283      20032 SH  -    OTHER   10                  0         0    20032
D DORAL FINL CORP                COMMON     25811P886      182     166657 SH  -    DEFINED 04             130682         0    35975
D DORAL FINL CORP                COMMON     25811P886       94      86300 SH  -    DEFINED 04              86300         0        0
D DORAL FINL CORP                COMMON     25811P886        0          1 SH  -    DEFINED 05                  1         0        0
D DORAL FINL CORP                COMMON     25811P886        8       7168 SH  -    DEFINED 08               7168         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 276
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DORCHESTER MINERALS LP         COMMON     25820R105      309      13000 SH  -    OTHER   02              13000         0        0
D DORCHESTER MINERALS LP         COMMON     25820R105      418      17580 SH  -    OTHER   10                  0         0    17580
D DOT HILL SYSTEMS               COMMON     25848T109       37      24373 SH  -    DEFINED 04              22573         0     1800
D DOT HILL SYSTEMS               COMMON     25848T109        0          1 SH  -    DEFINED 05                  1         0        0
D DOT HILL SYSTEMS               COMMON     25848T109        5       3322 SH  -    DEFINED 08               3322         0        0
D DOUGLAS EMMETT INC             COMMON     25960P109    15037     879353 SH  -    DEFINED 04             749533         0   129820
D DOUGLAS EMMETT INC             COMMON     25960P109      912      53357 SH  -    DEFINED 04              53357         0        0
D DOUGLAS EMMETT INC             COMMON     25960P109      742      43400 SH  -    DEFINED 04              43400         0        0
D DOUGLAS EMMETT INC             COMMON     25960P109       75       4363 SH  -    DEFINED 05               4363         0        0
D DOUGLAS EMMETT INC             COMMON     25960P109       37       2163 SH  -    DEFINED 06               2163         0        0
D DOUGLAS EMMETT INC             COMMON     25960P109       41       2425 SH  -    DEFINED 08               2425         0        0
D DOUGLAS DYNAMICS INC           COMMON     25960R105        0         20 SH  -    OTHER   02                  0        20        0
D DOUGLAS DYNAMICS INC           COMMON     25960R105    21277    1664890 SH  -    DEFINED 04            1556300         0   108590
D DOUGLAS DYNAMICS INC           COMMON     25960R105        3        267 SH  -    DEFINED 05                267         0        0
D DOUGLAS DYNAMICS INC           COMMON     25960R105       14       1116 SH  -    DEFINED 08               1116         0        0
D DOVER CORP                     COMMON     260003108     2803      60157 SH  -    DEFINED 02              54645       640     4872
D DOVER CORP                     COMMON     260003108      654      14038 SH  -    DEFINED 02              14038         0        0
D DOVER CORP                     COMMON     260003108      105       2260 SH  -    DEFINED 02               2144         0      116
D DOVER CORP                     COMMON     260003108     5088     109193 SH  -    OTHER   02              86115     21778     1300
D DOVER CORP                     COMMON     260003108     1412      30291 SH  -    OTHER   02              25409        12     4870
D DOVER CORP                     COMMON     260003108     6961     149386 SH  -    DEFINED 04             143997         0     5389
D DOVER CORP                     COMMON     260003108     2413      51773 SH  -    DEFINED 04              51773         0        0
D DOVER CORP                     COMMON     260003108     1845      39592 SH  -    DEFINED 05              39592         0        0
D DOVER CORP                     COMMON     260003108      575      12346 SH  -    DEFINED 09              12346         0        0
D DOVER CORP                     COMMON     260003108        5         99 SH  -    DEFINED 01                  0         0       99
D DOVER CORP                     COMMON     260003108        6        121 SH  -    OTHER   01                 66        55        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 277
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DOVER CORP                     COMMON     260003108        4         80 SH  -    OTHER   10                  0         0       80
D DOW CHEM CO                    COMMON     260543103     3566     158753 SH  -    DEFINED 02             104113      2000    52640
D DOW CHEM CO                    COMMON     260543103     2405     107079 SH  -    DEFINED 02             102892         0     4187
D DOW CHEM CO                    COMMON     260543103      412      18357 SH  -    DEFINED 02              14648         0     3709
D DOW CHEM CO                    COMMON     260543103     6677     297288 SH  -    OTHER   02             158999     38043   100236
D DOW CHEM CO                    COMMON     260543103     1557      69317 SH  -    OTHER   02              59355      1853     8109
D DOW CHEM CO                    COMMON     260543103    73720    3282281 SH  -    DEFINED 04            2112947         0  1169334
D DOW CHEM CO                    COMMON     260543103     8383     373245 SH  -    DEFINED 04             373245         0        0
D DOW CHEM CO                    COMMON     260543103     4274     190286 SH  -    DEFINED 04             190286         0        0
D DOW CHEM CO                    COMMON     260543103       56       2503 SH  -    DEFINED 04               2503         0        0
D DOW CHEM CO                    COMMON     260543103     9952     443114 SH  -    DEFINED 04             399259         0    43855
D DOW CHEM CO                    COMMON     260543103       53       2382 SH  -    DEFINED 04                  0         0     2382
D DOW CHEM CO                    COMMON     260543103        6        265 SH  -    OTHER   04                  0       265        0
D DOW CHEM CO                    COMMON     260543103      129       5730 SH  -    OTHER   04                  0      5730        0
D DOW CHEM CO                    COMMON     260543103     4447     197988 SH  -    DEFINED 05             197988         0        0
D DOW CHEM CO                    COMMON     260543103      365      16267 SH  -    DEFINED 06              16267         0        0
D DOW CHEM CO                    COMMON     260543103     2745     122227 SH  -    DEFINED 08             122227         0        0
D DOW CHEM CO                    COMMON     260543103    21825     971712 SH  -    DEFINED 09             906866     27204    37642
D DOW CHEM CO                    COMMON     260543103      639      28450 SH  -    DEFINED 09              28450         0        0
D DOW CHEM CO                    COMMON     260543103     3882     172845 SH  -    DEFINED 09             172845         0        0
D DOW CHEM CO                    COMMON     260543103     4574     203642 SH  -    OTHER   09                  0    203642        0
D DOW CHEM CO                    COMMON     260543103     1136      50580 SH  -    DEFINED 01              50580         0        0
D DOW CHEM CO                    COMMON     260543103      155       6910 SH  -    OTHER   01               5910         0     1000
D DOW CHEM CO                    COMMON     260543103     3439     153105 SH  -    OTHER   10                  0         0   153105
D DOW CHEM CO                    OPTION     260543905      119       5300 SH  C    DEFINED 05               5300         0        0
D DOW CHEM CO                    OPTION     260543954      184       8200 SH  P    DEFINED 05               8200         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 278
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DOW CHEM CO                    OPTION     260543954     6716     299000 SH  P    DEFINED 08             299000         0        0
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109      340       8780 SH  -    DEFINED 02               5040         0     3740
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109      548      14135 SH  -    DEFINED 02              14050         0       85
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109      104       2675 SH  -    DEFINED 02               2500         0      175
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109      175       4509 SH  -    OTHER   02               1750      2759        0
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109      289       7461 SH  -    OTHER   02               7187        54      220
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109   145363    3748394 SH  -    DEFINED 04            3095244         0   653150
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109     5667     146138 SH  -    DEFINED 04             146138         0        0
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109       95       2460 SH  -    DEFINED 04               2460         0        0
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109     1678      43275 SH  -    DEFINED 04              43275         0        0
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109       63       1636 SH  -    DEFINED 04                  0         0     1636
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109      881      22715 SH  -    OTHER   04                  0     22715        0
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109     4411     113747 SH  -    OTHER   04                  0    113747        0
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109      205       5293 SH  -    DEFINED 05               5293         0        0
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109       85       2191 SH  -    DEFINED 06               2191         0        0
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109      555      14300 SH  -    DEFINED 09              14300         0        0
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109      164       4240 SH  -    DEFINED 01               4200         0       40
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109      430      11081 SH  -    OTHER   01              10800       181      100
D DR PEPPER SNAPPLE GROUP INC    COMMON     26138E109        1         25 SH  -    OTHER   10                  0         0       25
D DREAMWORKS ANIMATION SKG INC   COMMON     26153C103        0         12 SH  -    DEFINED 02                 12         0        0
D DREAMWORKS ANIMATION SKG INC   COMMON     26153C103      428      23536 SH  -    OTHER   02              13405     10131        0
D DREAMWORKS ANIMATION SKG INC   COMMON     26153C103       31       1700 SH  -    OTHER   02                  0         0     1700
D DREAMWORKS ANIMATION SKG INC   COMMON     26153C103      252      13875 SH  -    DEFINED 04              13875         0        0
D DREAMWORKS ANIMATION SKG INC   COMMON     26153C103     3624     199318 SH  -    DEFINED 05             199318         0        0
D DREAMWORKS ANIMATION SKG INC   COMMON     26153C103        5        300 SH  -    OTHER   01                  0       300        0
D DRESSER-RAND GROUP INC         COMMON     261608103       12        305 SH  -    DEFINED 02                305         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 279
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DRESSER-RAND GROUP INC         COMMON     261608103        4         95 SH  -    DEFINED 02                 95         0        0
D DRESSER-RAND GROUP INC         COMMON     261608103      118       2919 SH  -    OTHER   02               1382      1537        0
D DRESSER-RAND GROUP INC         COMMON     261608103       82       2020 SH  -    OTHER   02               1900         0      120
D DRESSER-RAND GROUP INC         COMMON     261608103     2041      50350 SH  -    DEFINED 04              47950         0     2400
D DRESSER-RAND GROUP INC         COMMON     261608103     3010      74262 SH  -    DEFINED 04              74262         0        0
D DRESSER-RAND GROUP INC         COMMON     261608103       49       1206 SH  -    DEFINED 05               1206         0        0
D DRESSER-RAND GROUP INC         COMMON     261608103     1325      32688 SH  -    OTHER   10                  0         0    32688
D DREW INDS INC                  COMMON     26168L205       77       3868 SH  -    OTHER   02                 58      1280     2530
D DREW INDS INC                  COMMON     26168L205    15184     759949 SH  -    DEFINED 04             712600         0    47349
D DREW INDS INC                  COMMON     26168L205      269      13466 SH  -    DEFINED 04              13466         0        0
D DREW INDS INC                  COMMON     26168L205      177       8881 SH  -    DEFINED 05               8881         0        0
D DREYFUS HIGH YIELD STRATEGIES  COMMON     26200S101     1167     274000 SH  -    DEFINED 04             274000         0        0
D DRIL-QUIP INC                  COMMON     262037104      570      10568 SH  -    OTHER   02                  0     10568        0
D DRIL-QUIP INC                  COMMON     262037104       37        685 SH  -    OTHER   02                  0         0      685
D DRIL-QUIP INC                  COMMON     262037104     9488     176000 SH  -    DEFINED 04             126310         0    49690
D DRIL-QUIP INC                  COMMON     262037104     6329     117400 SH  -    DEFINED 04             117400         0        0
D DRIL-QUIP INC                  COMMON     262037104     1494      27720 SH  -    DEFINED 04              27720         0        0
D DRIL-QUIP INC                  COMMON     262037104       26        485 SH  -    DEFINED 05                485         0        0
D DRIL-QUIP INC                  COMMON     262037104      310       5753 SH  -    DEFINED 08               5753         0        0
D DRIL-QUIP INC                  COMMON     262037104       25        470 SH  -    OTHER   01                  0       470        0
D DRIL-QUIP INC                  COMMON     262037104        1         10 SH  -    OTHER   10                  0         0       10
D DRYSHIPS INC.                  BOND       262498AB4     4495    7294000 PRN -    DEFINED 04                  0         0        0
D DRYSHIPS INC.                  BOND       262498AB4     5889    9556000 PRN -    DEFINED 09                  0         0        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    47517    1188810 SH  -    DEFINED 02            1035380     12950   140480
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    18992     475150 SH  -    DEFINED 02             463348       313    11489
D DU PONT E I DE NEMOURS & CO    COMMON     263534109     1772      44345 SH  -    DEFINED 02              44345         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 280
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DU PONT E I DE NEMOURS & CO    COMMON     263534109     1492      37326 SH  -    DEFINED 02              18542         0    18784
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    34992     875455 SH  -    OTHER   02             385024    363024   126973
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    10010     250428 SH  -    OTHER   02             161054     50947    38427
D DU PONT E I DE NEMOURS & CO    COMMON     263534109      790      19760 SH  -    OTHER   02                  0     19760        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109      448      11208 SH  -    OTHER   02                  0     11208        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109     1417      35449 SH  -    OTHER   02                  0     35449        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109       47       1186 SH  -    OTHER   02                  0      1186        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109   428116   10710934 SH  -    DEFINED 04            8230326         0  2480608
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    19913     498194 SH  -    DEFINED 04             498194         0        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    35444     886758 SH  -    DEFINED 04             886758         0        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109       73       1818 SH  -    DEFINED 04               1818         0        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109     4802     120149 SH  -    DEFINED 04             120149         0        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    28184     705135 SH  -    DEFINED 04             660585         0     2185
D DU PONT E I DE NEMOURS & CO    COMMON     263534109      414      10362 SH  -    DEFINED 04                  0         0    10362
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    30508     763270 SH  -    OTHER   04                  0    763270        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    34986     875313 SH  -    DEFINED 05             875313         0        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109      513      12825 SH  -    DEFINED 06              12825         0        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    41427    1036450 SH  -    DEFINED 09            1015447         0     9116
D DU PONT E I DE NEMOURS & CO    COMMON     263534109     1879      47002 SH  -    DEFINED 09              47002         0        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109     1162      29079 SH  -    DEFINED 09              29079         0        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109     2072      51830 SH  -    OTHER   09                  0     51830        0
D DU PONT E I DE NEMOURS & CO    COMMON     263534109     2937      73473 SH  -    DEFINED 01              55571      3965    13937
D DU PONT E I DE NEMOURS & CO    COMMON     263534109     1766      44187 SH  -    OTHER   01              16260     20065     7862
D DU PONT E I DE NEMOURS & CO    COMMON     263534109    49501    1238462 SH  -    OTHER   10                  0         0  1238462
D DU PONT E I DE NEMOURS & CO    OPTION     263534901    12547     313900 SH  C    DEFINED 05             313900         0        0
D DU PONT E I DE NEMOURS & CO    OPTION     263534901     2878      72000 SH  C    DEFINED 08              72000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 281
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DU PONT E I DE NEMOURS & CO    OPTION     263534950      296       7400 SH  P    DEFINED 05               7400         0        0
D DUCOMMUN INC DEL               COMMON     264147109        4        247 SH  -    OTHER   02                  0       247        0
D DUCOMMUN INC DEL               COMMON     264147109     1069      71390 SH  -    DEFINED 04              71390         0        0
D DUCOMMUN INC DEL               COMMON     264147109        2        152 SH  -    DEFINED 05                152         0        0
D DUCOMMUN INC DEL               COMMON     264147109        9        617 SH  -    DEFINED 08                617         0        0
D DUKE ENERGY CORP NEW           COMMON     26441C105      115       5742 SH  -    DEFINED 02               5492         0      250
D DUKE ENERGY CORP NEW           COMMON     26441C105      449      22453 SH  -    DEFINED 02              22453         0        0
D DUKE ENERGY CORP NEW           COMMON     26441C105      329      16449 SH  -    DEFINED 02              15348         0     1101
D DUKE ENERGY CORP NEW           COMMON     26441C105     2959     148043 SH  -    OTHER   02              52201     65031    30519
D DUKE ENERGY CORP NEW           COMMON     26441C105     2449     122503 SH  -    OTHER   02             113637       599     8267
D DUKE ENERGY CORP NEW           COMMON     26441C105    18791     940045 SH  -    DEFINED 04             525416         0   414629
D DUKE ENERGY CORP NEW           COMMON     26441C105     6029     301585 SH  -    DEFINED 04             301585         0        0
D DUKE ENERGY CORP NEW           COMMON     26441C105     2825     141315 SH  -    DEFINED 05             141315         0        0
D DUKE ENERGY CORP NEW           COMMON     26441C105      174       8700 SH  -    OTHER   01               8700         0        0
D DUKE ENERGY CORP NEW           COMMON     26441C105      476      23787 SH  -    OTHER   10                  0         0    23787
D DUKE ENERGY CORP NEW           OPTION     26441C907     1299      65000 SH  C    DEFINED 08              65000         0        0
D DUKE ENERGY CORP NEW           OPTION     26441C956       40       2000 SH  P    DEFINED 05               2000         0        0
D DUKE REALTY CORP               COMMON     264411505      583      55500 SH  -    DEFINED 02              55500         0        0
D DUKE REALTY CORP               COMMON     264411505    34443    3280242 SH  -    DEFINED 04            2159742         0  1120500
D DUKE REALTY CORP               COMMON     264411505     5597     533031 SH  -    DEFINED 04             533031         0        0
D DUKE REALTY CORP               COMMON     264411505       56       5340 SH  -    DEFINED 04               5340         0        0
D DUKE REALTY CORP               COMMON     264411505      204      19400 SH  -    DEFINED 04              19400         0        0
D DUKE REALTY CORP               COMMON     264411505      116      11000 SH  -    DEFINED 04              11000         0        0
D DUKE REALTY CORP               COMMON     264411505     5122     487800 SH  -    DEFINED 04             459400         0        0
D DUKE REALTY CORP               COMMON     264411505       37       3545 SH  -    DEFINED 04                  0         0     3545
D DUKE REALTY CORP               COMMON     264411505       71       6801 SH  -    DEFINED 05               6801         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 282
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DUKE REALTY CORP               COMMON     264411505       18       1722 SH  -    DEFINED 06               1722         0        0
D DUKE REALTY CORP               COMMON     264411505      872      83025 SH  -    DEFINED 08              83025         0        0
D DUKE REALTY CORP               COMMON     264411505      309      29470 SH  -    DEFINED 09              29470         0        0
D DUKE REALTY CORP               COMMON     264411505      300      28600 SH  -    OTHER   09                  0     28600        0
D DUN & BRADSTREET C             COMMON     26483E100       36        591 SH  -    DEFINED 02                566         0       25
D DUN & BRADSTREET C             COMMON     26483E100      107       1739 SH  -    OTHER   02                  0      1693        0
D DUN & BRADSTREET C             COMMON     26483E100    17556     286589 SH  -    DEFINED 04             261381         0    25208
D DUN & BRADSTREET C             COMMON     26483E100      491       8022 SH  -    DEFINED 04               8022         0        0
D DUN & BRADSTREET C             COMMON     26483E100      354       5784 SH  -    OTHER   04                  0      5784        0
D DUN & BRADSTREET C             COMMON     26483E100     2625      42857 SH  -    DEFINED 05              42857         0        0
D DUNKIN BRANDS GROUP INC        COMMON     265504100     1452      52405 SH  -    DEFINED 04              46805         0     5600
D DUNKIN BRANDS GROUP INC        COMMON     265504100      896      32335 SH  -    DEFINED 05              32335         0        0
D DUNKIN BRANDS GROUP INC        COMMON     265504100        7        250 SH  -    OTHER   10                  0         0      250
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106      589      29900 SH  -    DEFINED 02              29900         0        0
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106    28367    1440667 SH  -    DEFINED 04             927136         0   513531
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106      441      22400 SH  -    DEFINED 04              22400         0        0
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106        6        300 SH  -    DEFINED 04                300         0        0
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106      199      10100 SH  -    DEFINED 04              10100         0        0
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106       45       2300 SH  -    DEFINED 04               2300         0        0
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106     1269      64450 SH  -    DEFINED 04              49150         0        0
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106        4        203 SH  -    DEFINED 04                  0         0      203
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106       18        923 SH  -    DEFINED 05                923         0        0
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106        7        375 SH  -    DEFINED 06                375         0        0
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106       24       1200 SH  -    DEFINED 09               1200         0        0
D DUPONT FABROS TECHNOLOGY INC   COMMON     26613Q106        1         46 SH  -    OTHER   10                  0         0       46
D DYAX CORP                      COMMON     26746E103      178     140915 SH  -    DEFINED 05             140915         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 283
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D DYAX CORP                      COMMON     26746E103        7       5636 SH  -    DEFINED 08               5636         0        0
D DYCOM INDUSTRIES               COMMON     267475101      395      25827 SH  -    DEFINED 04              25827         0        0
D DYCOM INDUSTRIES               COMMON     267475101      239      15645 SH  -    DEFINED 05              15645         0        0
D DYNAVAX TECHNOLOGIES CORP      COMMON     268158102        1        416 SH  -    OTHER   02                  0       416        0
D DYNAVAX TECHNOLOGIES CORP      COMMON     268158102        5       2421 SH  -    OTHER   02                  0         0     2421
D DYNAVAX TECHNOLOGIES CORP      COMMON     268158102     1969    1058825 SH  -    DEFINED 04             848025         0   210800
D DYNAVAX TECHNOLOGIES CORP      COMMON     268158102      370     198658 SH  -    DEFINED 05             198658         0        0
D DYNAVAX TECHNOLOGIES CORP      COMMON     268158102       15       7916 SH  -    DEFINED 08               7916         0        0
D DYNAVOX INC                    COMMON     26817F104        6       1683 SH  -    OTHER   02                  0      1683        0
D DYNAVOX INC                    COMMON     26817F104     4534    1259460 SH  -    DEFINED 04             941055         0   318405
D DYNAVOX INC                    COMMON     26817F104     2460     683401 SH  -    DEFINED 04             683401         0        0
D DYNAVOX INC                    COMMON     26817F104      582     161600 SH  -    DEFINED 04             161600         0        0
D DYNAVOX INC                    COMMON     26817F104        0          1 SH  -    DEFINED 05                  1         0        0
D DYNAVOX INC                    COMMON     26817F104        2        568 SH  -    DEFINED 08                568         0        0
D DYNEGY INC DEL                 COMMON     26817G300        8       1930 SH  -    DEFINED 05               1930         0        0
D DYNEGY INC DEL                 COMMON     26817G300      155      37619 SH  -    DEFINED 08              37619         0        0
D DYNEGY INC DEL                 COMMON     26817G300        1        323 SH  -    DEFINED 09                323         0        0
D E-COMMERCE CHINA DANGDANG INC  ADR        26833A105      494     100000 SH  -    DEFINED 05             100000         0        0
D E-COMMERCE CHINA DANGDANG INC  ADR        26833A105       20       4100 SH  -    DEFINED 08               4100         0        0
D E-COMMERCE CHINA DANGDANG INC  ADR        26833A105        3        600 SH  -    OTHER   10                  0         0      600
D EGA EMERGING GLOBAL SHS TR     COMMON     268461779      283      14250 SH  -    OTHER   10                  0         0    14250
D EGA EMERGING GLOBAL SHS TR     COMMON     268461811      255      17400 SH  -    OTHER   10                  0         0    17400
D E HOUSE CHINA HLDGS LTD        ADR        26852W103      207      35800 SH  -    DEFINED 02              35800         0        0
D E HOUSE CHINA HLDGS LTD        ADR        26852W103     1981     342200 SH  -    DEFINED 04             342200         0        0
D E HOUSE CHINA HLDGS LTD        ADR        26852W103     1928     333000 SH  -    DEFINED 09                  0    333000        0
D E M C CORP MASS                BOND       268648AM4        8       6000 PRN -    DEFINED 02                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 284
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D E M C CORP MASS                BOND       268648AM4     2117    1500000 PRN -    DEFINED 05                  0         0        0
D E M C CORP MASS                BOND       268648AM4     5998    4250000 PRN -    DEFINED 08                  0         0        0
D E M C CORP MASS                BOND       268648AM4     6077    4306000 PRN -    DEFINED 09                  0         0        0
D E M C CORP MASS                BOND       268648AM4     3353    2376000 PRN -    DEFINED 09                  0         0        0
D EMC CORP(MASSACHUS             COMMON     268648102    14176     675377 SH  -    DEFINED 02             611042      7975    56360
D EMC CORP(MASSACHUS             COMMON     268648102     4404     209838 SH  -    DEFINED 02             206253       200     3385
D EMC CORP(MASSACHUS             COMMON     268648102     1826      86998 SH  -    DEFINED 02              86998         0        0
D EMC CORP(MASSACHUS             COMMON     268648102      708      33709 SH  -    DEFINED 02              25807         0     7902
D EMC CORP(MASSACHUS             COMMON     268648102    11822     563231 SH  -    OTHER   02             245427    244091    73410
D EMC CORP(MASSACHUS             COMMON     268648102     1005      47895 SH  -    OTHER   02              28961      5393    13541
D EMC CORP(MASSACHUS             COMMON     268648102      522      24859 SH  -    OTHER   02                  0     24859        0
D EMC CORP(MASSACHUS             COMMON     268648102      150       7129 SH  -    OTHER   02                  0      7129        0
D EMC CORP(MASSACHUS             COMMON     268648102     1077      51317 SH  -    OTHER   02                  0     51317        0
D EMC CORP(MASSACHUS             COMMON     268648102       51       2448 SH  -    OTHER   02                  0      2448        0
D EMC CORP(MASSACHUS             COMMON     268648102   211224   10063093 SH  -    DEFINED 04            6787868         0  3275225
D EMC CORP(MASSACHUS             COMMON     268648102    20298     967026 SH  -    DEFINED 04             967026         0        0
D EMC CORP(MASSACHUS             COMMON     268648102    11129     530201 SH  -    DEFINED 04             530201         0        0
D EMC CORP(MASSACHUS             COMMON     268648102      125       5979 SH  -    DEFINED 04               5979         0        0
D EMC CORP(MASSACHUS             COMMON     268648102    19436     925973 SH  -    DEFINED 04             850240         0    75733
D EMC CORP(MASSACHUS             COMMON     268648102      116       5516 SH  -    DEFINED 04                  0         0     5516
D EMC CORP(MASSACHUS             COMMON     268648102    10927     520579 SH  -    OTHER   04                  0    520579        0
D EMC CORP(MASSACHUS             COMMON     268648102    31865    1518120 SH  -    DEFINED 05            1518120         0        0
D EMC CORP(MASSACHUS             COMMON     268648102   133460    6358281 SH  -    DEFINED 08            6358281         0        0
D EMC CORP(MASSACHUS             COMMON     268648102    69028    3288637 SH  -    DEFINED 09            2477784     43647    13636
D EMC CORP(MASSACHUS             COMMON     268648102      892      42486 SH  -    DEFINED 09              42486         0        0
D EMC CORP(MASSACHUS             COMMON     268648102     8339     397267 SH  -    DEFINED 09             397267         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 285
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EMC CORP(MASSACHUS             COMMON     268648102     1140      54312 SH  -    DEFINED 09              54312         0        0
D EMC CORP(MASSACHUS             COMMON     268648102     2840     135293 SH  -    OTHER   09                  0    135293        0
D EMC CORP(MASSACHUS             COMMON     268648102      737      35114 SH  -    DEFINED 01              29789      2700     2625
D EMC CORP(MASSACHUS             COMMON     268648102      323      15367 SH  -    OTHER   01               5238      5179     4950
D EMC CORP(MASSACHUS             COMMON     268648102     2472     117748 SH  -    OTHER   10                  0         0   117748
D ENI S P A                      ADR        26874R108        2         54 SH  -    DEFINED 02                  0        54        0
D ENI S P A                      ADR        26874R108       18        502 SH  -    DEFINED 02                502         0        0
D ENI S P A                      ADR        26874R108      248       7071 SH  -    OTHER   02               2700      4371        0
D ENI S P A                      ADR        26874R108       63       1787 SH  -    OTHER   01                  0      1765        0
D ENI S P A                      ADR        26874R108      110       3136 SH  -    OTHER   10                  0         0     3136
D EOG RES INC                    COMMON     26875P101    12599     177429 SH  -    DEFINED 02             152933      1304    23192
D EOG RES INC                    COMMON     26875P101     4036      56840 SH  -    DEFINED 02              54461        52     2327
D EOG RES INC                    COMMON     26875P101      728      10255 SH  -    DEFINED 02               5220         0     5035
D EOG RES INC                    COMMON     26875P101     8088     113902 SH  -    OTHER   02              54765     53573     5553
D EOG RES INC                    COMMON     26875P101      468       6591 SH  -    OTHER   02               5333       275      983
D EOG RES INC                    COMMON     26875P101       87       1229 SH  -    OTHER   02                  0      1229        0
D EOG RES INC                    COMMON     26875P101       71        995 SH  -    OTHER   02                  0       995        0
D EOG RES INC                    COMMON     26875P101      182       2565 SH  -    OTHER   02                  0      2565        0
D EOG RES INC                    COMMON     26875P101    97968    1379639 SH  -    DEFINED 04            1099882         0   279757
D EOG RES INC                    COMMON     26875P101     6791      95628 SH  -    DEFINED 04              95628         0        0
D EOG RES INC                    COMMON     26875P101    10417     146703 SH  -    DEFINED 04             146703         0        0
D EOG RES INC                    COMMON     26875P101     1429      20123 SH  -    DEFINED 04              20123         0        0
D EOG RES INC                    COMMON     26875P101      154       2175 SH  -    DEFINED 04               2175         0        0
D EOG RES INC                    COMMON     26875P101       83       1165 SH  -    DEFINED 04                  0         0     1165
D EOG RES INC                    COMMON     26875P101     8583     120865 SH  -    OTHER   04                  0    120865        0
D EOG RES INC                    COMMON     26875P101     7608     107142 SH  -    DEFINED 05             107142         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 286
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EOG RES INC                    COMMON     26875P101      216       3044 SH  -    DEFINED 06               3044         0        0
D EOG RES INC                    COMMON     26875P101    15212     214218 SH  -    DEFINED 08             214218         0        0
D EOG RES INC                    COMMON     26875P101     1529      21529 SH  -    DEFINED 09              21529         0        0
D EOG RES INC                    COMMON     26875P101      697       9817 SH  -    DEFINED 01               8600       622      595
D EOG RES INC                    COMMON     26875P101      266       3746 SH  -    OTHER   01               1475      1153     1118
D EOG RES INC                    COMMON     26875P101    27892     392786 SH  -    OTHER   10                  0         0   392786
D EOG RES INC                    OPTION     26875P903     2130      30000 SH  C    DEFINED 05              30000         0        0
D EOG RES INC                    OPTION     26875P903     3174      44700 SH  C    DEFINED 08              44700         0        0
D EPIQ SYS INC                   COMMON     26882D109        3        258 SH  -    OTHER   02                  0       258        0
D EPIQ SYS INC                   COMMON     26882D109     1198      95650 SH  -    DEFINED 04              92850         0     2800
D EPIQ SYS INC                   COMMON     26882D109      981      78326 SH  -    DEFINED 04              78326         0        0
D EPIQ SYS INC                   COMMON     26882D109      186      14834 SH  -    DEFINED 05              14834         0        0
D ESB FINL CORP                  COMMON     26884F102       28       2560 SH  -    DEFINED 04               2560         0        0
D ESB FINL CORP                  COMMON     26884F102      137      12480 SH  -    DEFINED 04              12480         0        0
D ESB FINL CORP                  COMMON     26884F102        0          1 SH  -    DEFINED 05                  1         0        0
D ESB FINL CORP                  COMMON     26884F102        9        804 SH  -    DEFINED 08                804         0        0
D EQT CORP                       COMMON     26884L109      338       6325 SH  -    DEFINED 02               6325         0        0
D EQT CORP                       COMMON     26884L109      704      13189 SH  -    DEFINED 02              13107         0       82
D EQT CORP                       COMMON     26884L109       99       1853 SH  -    DEFINED 02               1722         0      131
D EQT CORP                       COMMON     26884L109      658      12326 SH  -    OTHER   02               1560      7171     3550
D EQT CORP                       COMMON     26884L109      158       2959 SH  -    OTHER   02               2626       105      228
D EQT CORP                       COMMON     26884L109    79152    1483358 SH  -    DEFINED 04            1404729         0    78629
D EQT CORP                       COMMON     26884L109     5746     107676 SH  -    DEFINED 04             107676         0        0
D EQT CORP                       COMMON     26884L109     1595      29900 SH  -    DEFINED 04              29900         0        0
D EQT CORP                       COMMON     26884L109      860      16120 SH  -    OTHER   04                  0     16120        0
D EQT CORP                       COMMON     26884L109     4396      82381 SH  -    OTHER   04                  0     82381        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 287
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EQT CORP                       COMMON     26884L109     1306      24481 SH  -    DEFINED 05              24481         0        0
D EQT CORP                       COMMON     26884L109       90       1680 SH  -    DEFINED 06               1680         0        0
D EQT CORP                       COMMON     26884L109      750      14060 SH  -    DEFINED 08              14060         0        0
D EQT CORP                       COMMON     26884L109      317       5936 SH  -    DEFINED 01               5900         0       36
D EQT CORP                       COMMON     26884L109       33        614 SH  -    OTHER   01                408       116       90
D EQT CORP                       COMMON     26884L109        4         80 SH  -    OTHER   10                  0         0       80
D ETFS PRECIOUS METALS BASKET TR COMMON     26922W109      750       8285 SH  -    OTHER   10                  0         0     8285
D ETFS SILVER TR                 COMMON     26922X107      365      12357 SH  -    OTHER   10                  0         0    12357
D ETFS GOLD TR                   COMMON     26922Y105     7324      45475 SH  -    DEFINED 10              45475         0        0
D ETFS GOLD TR                   COMMON     26922Y105      462       2868 SH  -    OTHER   10                  0         0     2868
D ETFS PALLADIUM TR              COMMON     26923A106      240       4000 SH  -    DEFINED 05               4000         0        0
D ETFS PALLADIUM TR              COMMON     26923A106      734      12241 SH  -    DEFINED 10              12241         0        0
D ETFS WHITE METALS BASKET TR    COMMON     26923B104     4950     100000 SH  -    DEFINED 10             100000         0        0
D ETFS ASIAN GOLD TR             COMMON     26923C102    56586     350000 SH  -    DEFINED 10             350000         0        0
D E TRADE FINANCIAL CORP         COMMON     269246401        0         40 SH  -    DEFINED 02                 40         0        0
D E TRADE FINANCIAL CORP         COMMON     269246401       27       3009 SH  -    DEFINED 02               2925         0       84
D E TRADE FINANCIAL CORP         COMMON     269246401       40       4368 SH  -    OTHER   02                  0      4368        0
D E TRADE FINANCIAL CORP         COMMON     269246401        5        573 SH  -    OTHER   02                  0        91      482
D E TRADE FINANCIAL CORP         COMMON     269246401      412      45189 SH  -    DEFINED 04              37922         0     7267
D E TRADE FINANCIAL CORP         COMMON     269246401      411      45133 SH  -    DEFINED 04              45133         0        0
D E TRADE FINANCIAL CORP         COMMON     269246401      904      99245 SH  -    DEFINED 05              99245         0        0
D E TRADE FINANCIAL CORP         COMMON     269246401     1237     135827 SH  -    DEFINED 08             135827         0        0
D E TRADE FINANCIAL CORP         COMMON     269246401        5        568 SH  -    OTHER   01                  0       568        0
D E TRADE FINANCIAL CORP         COMMON     269246401      200      22000 SH  -    OTHER   10                  0         0    22000
D EV ENERGY PARTNERS LP          COMMON     26926V107      176       2460 SH  -    OTHER   02                  0      2460        0
D EV ENERGY PARTNERS LP          COMMON     26926V107      162       2260 SH  -    OTHER   01                  0      2260        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 288
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EV ENERGY PARTNERS LP          COMMON     26926V107    61740     861333 SH  -    DEFINED 10             861333         0        0
D EV ENERGY PARTNERS LP          COMMON     26926V107     1418      19780 SH  -    OTHER   10                  0         0    19780
D EXCO RESOURCES INC             COMMON     269279402       42       3950 SH  -    DEFINED 02               3950         0        0
D EXCO RESOURCES INC             COMMON     269279402      110      10261 SH  -    OTHER   02                  0     10185        0
D EXCO RESOURCES INC             COMMON     269279402     2542     237150 SH  -    DEFINED 04             203450         0    33700
D EXCO RESOURCES INC             COMMON     269279402       71       6600 SH  -    DEFINED 05               6600         0        0
D EXCO RESOURCES INC             COMMON     269279402      968      90258 SH  -    DEFINED 08              90258         0        0
D EXCO RESOURCES INC             COMMON     269279402     1168     108975 SH  -    OTHER   10                  0         0   108975
D EAGLE MATERIALS INC            COMMON     26969P108       79       4750 SH  -    DEFINED 02               4750         0        0
D EAGLE MATERIALS INC            COMMON     26969P108       20       1200 SH  -    OTHER   02                  0      1200        0
D EAGLE MATERIALS INC            COMMON     26969P108      434      26087 SH  -    DEFINED 05              26087         0        0
D EAGLE ROCK ENERGY PARTNERS LP  COMMON     26985R104     2233     230000 SH  -    DEFINED 10             230000         0        0
D EAGLE ROCK ENERGY PARTNERS LP  COMMON     26985R104      242      24940 SH  -    OTHER   10                  0         0    24940
D EARTHLINK INC                  COMMON     270321102        2        331 SH  -    OTHER   02                  0       331        0
D EARTHLINK INC                  COMMON     270321102       44       6663 SH  -    DEFINED 05               6663         0        0
D EARTHLINK INC                  COMMON     270321102       93      14304 SH  -    DEFINED 08              14304         0        0
D EARTHLINK INC                  COMMON     270321102        2        332 SH  -    OTHER   10                  0         0      332
D EAST WEST BANCORP              COMMON     27579R104        5        330 SH  -    DEFINED 02                  0       330        0
D EAST WEST BANCORP              COMMON     27579R104      357      23955 SH  -    OTHER   02               1600     21430      925
D EAST WEST BANCORP              COMMON     27579R104       10        703 SH  -    OTHER   02                  0         0      703
D EAST WEST BANCORP              COMMON     27579R104     3086     207003 SH  -    DEFINED 04             196703         0    10300
D EAST WEST BANCORP              COMMON     27579R104     1550     103929 SH  -    DEFINED 04             103929         0        0
D EAST WEST BANCORP              COMMON     27579R104      784      52602 SH  -    DEFINED 04              37830         0    14772
D EAST WEST BANCORP              COMMON     27579R104       36       2440 SH  -    DEFINED 05               2440         0        0
D EAST WEST BANCORP              COMMON     27579R104      258      17284 SH  -    DEFINED 08              17284         0        0
D EAST WEST BANCORP              COMMON     27579R104     1957     131227 SH  -    DEFINED 09             122191      9036        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 289
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EAST WEST BANCORP              COMMON     27579R104      129       8670 SH  -    DEFINED 09               8670         0        0
D EAST WEST BANCORP              COMMON     27579R104      941      63079 SH  -    DEFINED 09              63079         0        0
D EAST WEST BANCORP              COMMON     27579R104      114       7653 SH  -    OTHER   09                  0      7653        0
D EAST WEST BANCORP              COMMON     27579R104        5        306 SH  -    OTHER   10                  0         0      306
D EASTGROUP PPTY INC             COMMON     277276101    37396     980481 SH  -    DEFINED 04             904190         0    76291
D EASTGROUP PPTY INC             COMMON     277276101     1238      32454 SH  -    DEFINED 04              32454         0        0
D EASTGROUP PPTY INC             COMMON     277276101     1865      48900 SH  -    DEFINED 04              48900         0        0
D EASTGROUP PPTY INC             COMMON     277276101      478      12528 SH  -    DEFINED 05              12528         0        0
D EASTGROUP PPTY INC             COMMON     277276101        5        134 SH  -    DEFINED 06                134         0        0
D EASTGROUP PPTY INC             COMMON     277276101       50       1300 SH  -    DEFINED 09               1300         0        0
D EASTGROUP PPTY INC             COMMON     277276101      271       7100 SH  -    OTHER   09                  0      7100        0
D EASTMAN CHEMICAL C             COMMON     277432100       42        618 SH  -    DEFINED 02                618         0        0
D EASTMAN CHEMICAL C             COMMON     277432100       48        701 SH  -    DEFINED 02                701         0        0
D EASTMAN CHEMICAL C             COMMON     277432100       55        809 SH  -    DEFINED 02                809         0        0
D EASTMAN CHEMICAL C             COMMON     277432100      291       4248 SH  -    OTHER   02                327      1545     2376
D EASTMAN CHEMICAL C             COMMON     277432100      336       4897 SH  -    OTHER   02               1248        52     3597
D EASTMAN CHEMICAL C             COMMON     277432100     3421      49913 SH  -    DEFINED 04              47903         0     2010
D EASTMAN CHEMICAL C             COMMON     277432100     3336      48685 SH  -    DEFINED 04              48685         0        0
D EASTMAN CHEMICAL C             COMMON     277432100       33        476 SH  -    DEFINED 04                476         0        0
D EASTMAN CHEMICAL C             COMMON     277432100      108       1579 SH  -    OTHER   04                  0      1579        0
D EASTMAN CHEMICAL C             COMMON     277432100     1010      14733 SH  -    DEFINED 05              14733         0        0
D EASTMAN CHEMICAL C             COMMON     277432100       70       1016 SH  -    DEFINED 06               1016         0        0
D EASTMAN CHEMICAL C             COMMON     277432100      583       8507 SH  -    DEFINED 09               8507         0        0
D EASTMAN CHEMICAL C             COMMON     277432100       55        800 SH  -    OTHER   10                  0         0      800
D EASTMAN CHEMICAL C             OPTION     277432902      685      10000 SH  C    DEFINED 05              10000         0        0
D EASTMAN CHEMICAL C             OPTION     277432951     1069      15600 SH  P    DEFINED 05              15600         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 290
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EASTMAN KODAK CO               BOND       277461BJ7        4      17000 PRN -    DEFINED 05                  0         0        0
D EASTMAN KODAK CO               COMMON     277461109        9      11682 SH  -    DEFINED 02              11682         0        0
D EASTMAN KODAK CO               COMMON     277461109       13      16889 SH  -    OTHER   02              11149      4633     1107
D EASTMAN KODAK CO               COMMON     277461109        1       1631 SH  -    OTHER   02               1394        37      200
D EASTMAN KODAK CO               COMMON     277461109      405     519074 SH  -    DEFINED 05             519074         0        0
D EASTMAN KODAK CO               COMMON     277461109      462     592377 SH  -    DEFINED 08             592377         0        0
D EASTMAN KODAK CO               COMMON     277461109        4       5005 SH  -    OTHER   10                  0         0     5005
D EATON CORP                     COMMON     278058102     1232      34704 SH  -    DEFINED 02               6444         0    28260
D EATON CORP                     COMMON     278058102      882      24836 SH  -    DEFINED 02              24836         0        0
D EATON CORP                     COMMON     278058102      148       4173 SH  -    DEFINED 02               3931         0      242
D EATON CORP                     COMMON     278058102      931      26237 SH  -    OTHER   02              16814      7769     1608
D EATON CORP                     COMMON     278058102      886      24944 SH  -    OTHER   02              24926        18        0
D EATON CORP                     COMMON     278058102    11148     314020 SH  -    DEFINED 04             236887         0    77133
D EATON CORP                     COMMON     278058102     5291     149043 SH  -    DEFINED 04             149043         0        0
D EATON CORP                     COMMON     278058102      299       8432 SH  -    DEFINED 04               8432         0        0
D EATON CORP                     COMMON     278058102      899      25332 SH  -    OTHER   04                  0     25332        0
D EATON CORP                     COMMON     278058102     2055      57875 SH  -    DEFINED 05              57875         0        0
D EATON CORP                     COMMON     278058102      564      15886 SH  -    DEFINED 09              15886         0        0
D EATON CORP                     COMMON     278058102      539      15181 SH  -    DEFINED 09              15181         0        0
D EATON CORP                     COMMON     278058102     3066      86365 SH  -    OTHER   10                  0         0    86365
D EATON CORP                     OPTION     278058904      511      14400 SH  C    DEFINED 05              14400         0        0
D EATON VANCE CORP               COMMON     278265103        5        245 SH  -    DEFINED 02                245         0        0
D EATON VANCE CORP               COMMON     278265103        6        256 SH  -    DEFINED 02                256         0        0
D EATON VANCE CORP               COMMON     278265103       89       4000 SH  -    OTHER   02                  0         0     4000
D EATON VANCE CORP               COMMON     278265103       33       1500 SH  -    OTHER   02               1500         0        0
D EATON VANCE CORP               COMMON     278265103    11505     516607 SH  -    DEFINED 04             484143         0    32464

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 291
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EATON VANCE CORP               COMMON     278265103      684      30700 SH  -    DEFINED 04              30700         0        0
D EATON VANCE CORP               COMMON     278265103       70       3143 SH  -    DEFINED 05               3143         0        0
D EATON VANCE CORP               COMMON     278265103        5        226 SH  -    DEFINED 06                226         0        0
D EATON VANCE CORP               COMMON     278265103      578      25936 SH  -    DEFINED 08              25936         0        0
D EBAY INC                       COMMON     278642103      137       4634 SH  -    DEFINED 02               3659       975        0
D EBAY INC                       COMMON     278642103       11        382 SH  -    DEFINED 02                382         0        0
D EBAY INC                       COMMON     278642103      412      13985 SH  -    DEFINED 02              13218         0      767
D EBAY INC                       COMMON     278642103     5386     182633 SH  -    OTHER   02              43932    136356     2187
D EBAY INC                       COMMON     278642103      372      12606 SH  -    OTHER   02               3155      3837     5614
D EBAY INC                       COMMON     278642103    17503     593539 SH  -    DEFINED 04             442301         0   151238
D EBAY INC                       COMMON     278642103     6247     211848 SH  -    DEFINED 04             211848         0        0
D EBAY INC                       COMMON     278642103     3672     124513 SH  -    DEFINED 05             124513         0        0
D EBAY INC                       COMMON     278642103        0          1 SH  -    DEFINED 09                  1         0        0
D EBAY INC                       COMMON     278642103      122       4153 SH  -    OTHER   09                  0      4153        0
D EBAY INC                       COMMON     278642103      191       6487 SH  -    OTHER   01                576      5486        0
D EBAY INC                       COMMON     278642103      496      16803 SH  -    OTHER   10                  0         0    16803
D EBAY INC                       OPTION     278642905     7157     242700 SH  C    DEFINED 05             242700         0        0
D EBAY INC                       OPTION     278642954     2846      96500 SH  P    DEFINED 05              96500         0        0
D EBAY INC                       OPTION     278642954    10189     345500 SH  P    DEFINED 08             345500         0        0
D EBIX INC                       COMMON     278715206     1394      94800 SH  -    DEFINED 04              76300         0    18500
D EBIX INC                       COMMON     278715206      409      27838 SH  -    DEFINED 04              27838         0        0
D EBIX INC                       COMMON     278715206      224      15245 SH  -    DEFINED 05              15245         0        0
D ECHELON CORP                   COMMON     27874N105       90      12849 SH  -    OTHER   02               2000       327    10522
D ECHELON CORP                   COMMON     27874N105      222      31696 SH  -    OTHER   02                 21      1349    30326
D ECHELON CORP                   COMMON     27874N105        3        479 SH  -    DEFINED 05                479         0        0
D ECHELON CORP                   COMMON     27874N105       25       3545 SH  -    DEFINED 08               3545         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 292
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ECHELON CORP                   COMMON     27874N105        8       1095 SH  -    OTHER   10                  0         0     1095
D ECOLAB INC                     COMMON     278865100       51       1040 SH  -    DEFINED 02               1040         0        0
D ECOLAB INC                     COMMON     278865100      201       4105 SH  -    DEFINED 02               4105         0        0
D ECOLAB INC                     COMMON     278865100      138       2825 SH  -    DEFINED 02               2673         0      152
D ECOLAB INC                     COMMON     278865100     5885     120363 SH  -    OTHER   02              28185     87862     4252
D ECOLAB INC                     COMMON     278865100      491      10045 SH  -    OTHER   02               3620      2245     4180
D ECOLAB INC                     COMMON     278865100     2301      47062 SH  -    DEFINED 04              40421         0     6641
D ECOLAB INC                     COMMON     278865100     1836      37554 SH  -    DEFINED 04              37554         0        0
D ECOLAB INC                     COMMON     278865100     3330      68120 SH  -    DEFINED 05              68120         0        0
D ECOLAB INC                     COMMON     278865100      162       3305 SH  -    DEFINED 06               3305         0        0
D ECOLAB INC                     COMMON     278865100      829      16952 SH  -    OTHER   01              10700      5952        0
D ECOLAB INC                     COMMON     278865100       32        650 SH  -    OTHER   10                  0         0      650
D ECOPETROL S A                  ADR        279158109     1148      28500 SH  -    DEFINED 08              28500         0        0
D ECOPETROL S A                  ADR        279158109      346       8600 SH  -    OTHER   01               8600         0        0
D EDELMAN FINL GROUP INC         COMMON     27943Q105      273      42300 SH  -    DEFINED 04              42300         0        0
D EDELMAN FINL GROUP INC         COMMON     27943Q105        0          1 SH  -    DEFINED 05                  1         0        0
D EDELMAN FINL GROUP INC         COMMON     27943Q105        8       1168 SH  -    DEFINED 08               1168         0        0
D EDISON INTERNATIONAL           COMMON     281020107     2515      65752 SH  -    DEFINED 02              35927      1500    28325
D EDISON INTERNATIONAL           COMMON     281020107      376       9830 SH  -    DEFINED 02               9830         0        0
D EDISON INTERNATIONAL           COMMON     281020107      152       3978 SH  -    DEFINED 02               3755         0      223
D EDISON INTERNATIONAL           COMMON     281020107     4430     115814 SH  -    OTHER   02              49654     59451     6709
D EDISON INTERNATIONAL           COMMON     281020107      241       6289 SH  -    OTHER   02               5655       106      528
D EDISON INTERNATIONAL           COMMON     281020107       15        385 SH  -    OTHER   02                  0       385        0
D EDISON INTERNATIONAL           COMMON     281020107    16777     438609 SH  -    DEFINED 04             424081         0    14528
D EDISON INTERNATIONAL           COMMON     281020107     4585     119861 SH  -    DEFINED 04             119861         0        0
D EDISON INTERNATIONAL           COMMON     281020107      541      14142 SH  -    DEFINED 05              14142         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 293
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EDISON INTERNATIONAL           COMMON     281020107     2444      63900 SH  -    OTHER   09                  0     63900        0
D EDISON INTERNATIONAL           COMMON     281020107       61       1600 SH  -    DEFINED 01               1600         0        0
D EDISON INTERNATIONAL           COMMON     281020107       33        874 SH  -    OTHER   01                  0       874        0
D EDISON INTERNATIONAL           COMMON     281020107        2         60 SH  -    OTHER   10                  0         0       60
D EDISON INTERNATIONAL           OPTION     281020909     3492      91300 SH  C    DEFINED 05              91300         0        0
D EDUCATION RLTY TR INC          COMMON     28140H104     2612     304103 SH  -    DEFINED 04             270494         0    33609
D EDUCATION RLTY TR INC          COMMON     28140H104     2665     310300 SH  -    DEFINED 04             310300         0        0
D EDUCATION RLTY TR INC          COMMON     28140H104        9       1093 SH  -    DEFINED 05               1093         0        0
D EDUCATION RLTY TR INC          COMMON     28140H104        3        346 SH  -    DEFINED 06                346         0        0
D EDUCATION MGMT CORP NEW        COMMON     28140M103       20       1359 SH  -    OTHER   02                  0      1069      290
D EDUCATION MGMT CORP NEW        COMMON     28140M103        7        493 SH  -    OTHER   02                  0         0      493
D EDUCATION MGMT CORP NEW        COMMON     28140M103     1500     101097 SH  -    DEFINED 05             101097         0        0
D EDUCATION MGMT CORP NEW        COMMON     28140M103        2        103 SH  -    DEFINED 08                103         0        0
D EDWARDS LIFESCIENC             COMMON     28176E108       15        204 SH  -    DEFINED 02                204         0        0
D EDWARDS LIFESCIENC             COMMON     28176E108       99       1392 SH  -    DEFINED 02               1325         0       67
D EDWARDS LIFESCIENC             COMMON     28176E108      517       7247 SH  -    OTHER   02               5638      1609        0
D EDWARDS LIFESCIENC             COMMON     28176E108       13        186 SH  -    OTHER   02                 10        16      160
D EDWARDS LIFESCIENC             COMMON     28176E108    20870     292783 SH  -    DEFINED 04             143183         0   149600
D EDWARDS LIFESCIENC             COMMON     28176E108    12969     181948 SH  -    DEFINED 04             181948         0        0
D EDWARDS LIFESCIENC             COMMON     28176E108     3329      46710 SH  -    DEFINED 04              46710         0        0
D EDWARDS LIFESCIENC             COMMON     28176E108       15        216 SH  -    OTHER   04                  0       216        0
D EDWARDS LIFESCIENC             COMMON     28176E108      834      11701 SH  -    DEFINED 05              11701         0        0
D EDWARDS LIFESCIENC             COMMON     28176E108        3         43 SH  -    OTHER   01                  0        43        0
D EDWARDS LIFESCIENC             COMMON     28176E108        0          3 SH  -    OTHER   10                  0         0        3
D EHEALTH INC                    COMMON     28238P109    15681    1147916 SH  -    DEFINED 04            1062482         0    85434
D EHEALTH INC                    COMMON     28238P109      217      15872 SH  -    DEFINED 04              15872         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 294
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EHEALTH INC                    COMMON     28238P109      137       9993 SH  -    DEFINED 05               9993         0        0
D EINSTEIN NOAH REST GROUP INC   COMMON     28257U104     1754     136734 SH  -    DEFINED 04             136734         0        0
D EINSTEIN NOAH REST GROUP INC   COMMON     28257U104        0          1 SH  -    DEFINED 05                  1         0        0
D EINSTEIN NOAH REST GROUP INC   COMMON     28257U104        5        371 SH  -    DEFINED 08                371         0        0
D EINSTEIN NOAH REST GROUP INC   COMMON     28257U104      191      14878 SH  -    OTHER   10                  0         0    14878
D EL PASO CORP                   COMMON     28336L109        7        376 SH  -    DEFINED 02                376         0        0
D EL PASO CORP                   COMMON     28336L109       55       3134 SH  -    DEFINED 02               3134         0        0
D EL PASO CORP                   COMMON     28336L109      166       9504 SH  -    DEFINED 02               8877         0      627
D EL PASO CORP                   COMMON     28336L109     3635     207977 SH  -    OTHER   02              39415    138873    29558
D EL PASO CORP                   COMMON     28336L109      239      13671 SH  -    OTHER   02               1700      7150     4821
D EL PASO CORP                   COMMON     28336L109    17336     991782 SH  -    DEFINED 04             942160         0    49622
D EL PASO CORP                   COMMON     28336L109     2159     123528 SH  -    DEFINED 04             123528         0        0
D EL PASO CORP                   COMMON     28336L109       22       1257 SH  -    DEFINED 04               1257         0        0
D EL PASO CORP                   COMMON     28336L109     3455     197683 SH  -    DEFINED 04             112771         0    84912
D EL PASO CORP                   COMMON     28336L109      232      13259 SH  -    OTHER   04                  0     13259        0
D EL PASO CORP                   COMMON     28336L109     8702     497840 SH  -    DEFINED 05             497840         0        0
D EL PASO CORP                   COMMON     28336L109      148       8489 SH  -    DEFINED 06               8489         0        0
D EL PASO CORP                   COMMON     28336L109    13785     788639 SH  -    DEFINED 09             738292     50347        0
D EL PASO CORP                   COMMON     28336L109      895      51189 SH  -    DEFINED 09              51189         0        0
D EL PASO CORP                   COMMON     28336L109     6269     358658 SH  -    DEFINED 09             358658         0        0
D EL PASO CORP                   COMMON     28336L109      159       9085 SH  -    OTHER   09                  0      9085        0
D EL PASO CORP                   COMMON     28336L109       19       1063 SH  -    OTHER   01                726       337        0
D EL PASO CORP                   COMMON     28336L109      205      11704 SH  -    OTHER   10                  0         0    11704
D EL PASO CORP                   OPTION     28336L901      554      31700 SH  C    DEFINED 05              31700         0        0
D EL PASO ELEC CO                COMMON     283677854     1300      40523 SH  -    DEFINED 02              40523         0        0
D EL PASO ELEC CO                COMMON     283677854       30        940 SH  -    OTHER   02                  0       940        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 295
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EL PASO ELEC CO                COMMON     283677854        4        110 SH  -    OTHER   02                  0       110        0
D EL PASO ELEC CO                COMMON     283677854    10731     334403 SH  -    DEFINED 04             298503         0    35900
D EL PASO ELEC CO                COMMON     283677854     7520     234346 SH  -    DEFINED 04             234346         0        0
D EL PASO ELEC CO                COMMON     283677854       69       2163 SH  -    DEFINED 04               2163         0        0
D EL PASO ELEC CO                COMMON     283677854     2794      87057 SH  -    DEFINED 04              49357         0    37700
D EL PASO ELEC CO                COMMON     283677854      208       6488 SH  -    OTHER   04                  0      6488        0
D EL PASO ELEC CO                COMMON     283677854      625      19466 SH  -    DEFINED 05              19466         0        0
D EL PASO ELEC CO                COMMON     283677854    10715     333920 SH  -    DEFINED 09             311190     22730        0
D EL PASO ELEC CO                COMMON     283677854      712      22183 SH  -    DEFINED 09              22183         0        0
D EL PASO ELEC CO                COMMON     283677854     5172     161160 SH  -    DEFINED 09             161160         0        0
D EL PASO ELEC CO                COMMON     283677854      123       3826 SH  -    OTHER   09                  0      3826        0
D EL PASO ELEC CO                COMMON     283677854        3         94 SH  -    OTHER   01                  0        94        0
D EL PASO PIPELINE PARTNERS L P  COMMON     283702108      142       4000 SH  -    DEFINED 02               4000         0        0
D EL PASO PIPELINE PARTNERS L P  COMMON     283702108     3214      90600 SH  -    OTHER   02               6125     75375     9100
D EL PASO PIPELINE PARTNERS L P  COMMON     283702108      491      13850 SH  -    OTHER   02                  0     13850        0
D EL PASO PIPELINE PARTNERS L P  COMMON     283702108      471      13275 SH  -    OTHER   01                  0     13275        0
D EL PASO PIPELINE PARTNERS L P  COMMON     283702108    69704    1965160 SH  -    DEFINED 10            1965160         0        0
D EL PASO PIPELINE PARTNERS L P  COMMON     283702108     1010      28471 SH  -    OTHER   10                  0         0    28471
D ELAN PLC                       ADR        284131208        1         75 SH  -    DEFINED 02                 75         0        0
D ELAN PLC                       ADR        284131208       43       4089 SH  -    OTHER   02                  0      4089        0
D ELAN PLC                       ADR        284131208      243      23089 SH  -    DEFINED 04              23089         0        0
D ELAN PLC                       ADR        284131208      247      23424 SH  -    DEFINED 09              23424         0        0
D ELAN PLC                       ADR        284131208        4        395 SH  -    OTHER   01                  0       330        0
D ELAN PLC                       ADR        284131208       21       2000 SH  -    OTHER   10                  0         0     2000
D ELDORADO GOLD CORP             COMMON     284902103       65       3800 SH  -    OTHER   02                  0      3800        0
D ELDORADO GOLD CORP             COMMON     284902103     1369      79900 SH  -    DEFINED 04              79900         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 296
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ELDORADO GOLD CORP             COMMON     284902103       38       2226 SH  -    DEFINED 05               2226         0        0
D ELDORADO GOLD CORP             COMMON     284902103      781      45592 SH  -    DEFINED 06              45592         0        0
D ELDORADO GOLD CORP             COMMON     284902103    53272    3108050 SH  -    DEFINED 09            3108050         0        0
D ELDORADO GOLD CORP             COMMON     284902103     3116     181800 SH  -    DEFINED 09             181800         0        0
D ELECTRO RENT CORP              COMMON     285218103      504      36500 SH  -    DEFINED 04              36500         0        0
D ELECTRO RENT CORP              COMMON     285218103        4        255 SH  -    DEFINED 05                255         0        0
D ELECTRO RENT CORP              COMMON     285218103       16       1193 SH  -    DEFINED 08               1193         0        0
D ELECTRO RENT CORP              COMMON     285218103        1         80 SH  -    OTHER   01                  0        80        0
D ELECTRO SCI INDS               COMMON     285229100       49       4154 SH  -    OTHER   02                  0       351     3803
D ELECTRO SCI INDS               COMMON     285229100      175      14700 SH  -    OTHER   02                  0      3789    10911
D ELECTRO SCI INDS               COMMON     285229100      216      18204 SH  -    DEFINED 04              18204         0        0
D ELECTRO SCI INDS               COMMON     285229100      135      11334 SH  -    DEFINED 05              11334         0        0
D ELECTRO SCI INDS               COMMON     285229100        2        209 SH  -    OTHER   10                  0         0      209
D ELECTRONIC ARTS                COMMON     285512109        8        380 SH  -    DEFINED 02                380         0        0
D ELECTRONIC ARTS                COMMON     285512109       82       4022 SH  -    DEFINED 02               3852         0      170
D ELECTRONIC ARTS                COMMON     285512109      164       8022 SH  -    OTHER   02                  0      7442      580
D ELECTRONIC ARTS                COMMON     285512109       62       3009 SH  -    OTHER   02                200        51     2758
D ELECTRONIC ARTS                COMMON     285512109     1217      59512 SH  -    DEFINED 04              49941         0     9571
D ELECTRONIC ARTS                COMMON     285512109     1103      53960 SH  -    DEFINED 04              53960         0        0
D ELECTRONIC ARTS                COMMON     285512109     6560     320772 SH  -    DEFINED 05             320772         0        0
D ELECTRONIC ARTS                COMMON     285512109    18068     883542 SH  -    DEFINED 08             883542         0        0
D ELECTRONIC ARTS                COMMON     285512109        8        394 SH  -    OTHER   01                250       144        0
D ELECTRONIC ARTS                COMMON     285512109        2        100 SH  -    OTHER   10                  0         0      100
D ELECTRONIC ARTS                OPTION     285512901     3004     146900 SH  C    DEFINED 05             146900         0        0
D ELECTRONIC ARTS                OPTION     285512950      149       7300 SH  P    DEFINED 05               7300         0        0
D ELECTN FOR IMAGING             COMMON     286082102      226      16775 SH  -    DEFINED 02                  0     16775        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 297
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ELECTN FOR IMAGING             COMMON     286082102      124       9183 SH  -    OTHER   02                  0      4893     4290
D ELECTN FOR IMAGING             COMMON     286082102     2200     163325 SH  -    DEFINED 04             160025         0     3300
D ELECTN FOR IMAGING             COMMON     286082102     2676     198700 SH  -    DEFINED 04             198700         0        0
D ELECTN FOR IMAGING             COMMON     286082102       10        707 SH  -    DEFINED 05                707         0        0
D ELECTN FOR IMAGING             COMMON     286082102       37       2728 SH  -    DEFINED 08               2728         0        0
D ELIZABETH ARDEN INC            COMMON     28660G106       25        883 SH  -    OTHER   02                  0       883        0
D ELIZABETH ARDEN INC            COMMON     28660G106      930      32700 SH  -    DEFINED 04              24900         0     7800
D ELIZABETH ARDEN INC            COMMON     28660G106       11        374 SH  -    DEFINED 05                374         0        0
D ELIZABETH ARDEN INC            COMMON     28660G106       41       1436 SH  -    DEFINED 08               1436         0        0
D ELLIS PERRY INTL INC           COMMON     288853104        2         83 SH  -    OTHER   02                  0        83        0
D ELLIS PERRY INTL INC           COMMON     288853104     6583     350165 SH  -    DEFINED 04             307265         0    42900
D ELLIS PERRY INTL INC           COMMON     288853104      140       7461 SH  -    DEFINED 04               7461         0        0
D ELLIS PERRY INTL INC           COMMON     288853104      114       6074 SH  -    DEFINED 05               6074         0        0
D ELSTER GROUP SE                ADR        290348101      267      17837 SH  -    OTHER   10                  0         0    17837
D EMBRAER S A                    ADR        29082A107        1         44 SH  -    OTHER   02                  0        44        0
D EMBRAER S A                    ADR        29082A107     2854     112500 SH  -    DEFINED 04             112500         0        0
D EMBRAER S A                    ADR        29082A107     3642     143562 SH  -    DEFINED 08             143562         0        0
D EMBRAER S A                    ADR        29082A107     2309      91000 SH  -    DEFINED 09              91000         0        0
D EMBRAER S A                    ADR        29082A107       96       3800 SH  -    DEFINED 09               3800         0        0
D EMBRAER S A                    ADR        29082A107        4        150 SH  -    OTHER   10                  0         0      150
D EMCOR GROUP, INC.              COMMON     29084Q100      810      39844 SH  -    OTHER   02               2185     26466    11162
D EMCOR GROUP, INC.              COMMON     29084Q100       17        827 SH  -    OTHER   02                  6        18      803
D EMCOR GROUP, INC.              COMMON     29084Q100     9891     486510 SH  -    DEFINED 04             444510         0    42000
D EMCOR GROUP, INC.              COMMON     29084Q100     6399     314758 SH  -    DEFINED 04             314758         0        0
D EMCOR GROUP, INC.              COMMON     29084Q100      684      33633 SH  -    DEFINED 05              33633         0        0
D EMCOR GROUP, INC.              COMMON     29084Q100       52       2543 SH  -    DEFINED 08               2543         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 298
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EMCOR GROUP, INC.              COMMON     29084Q100        1         62 SH  -    OTHER   10                  0         0       62
D EMDEON INC                     COMMON     29084T104       40       2113 SH  -    OTHER   02                 58      1777      278
D EMDEON INC                     COMMON     29084T104      666      35455 SH  -    DEFINED 04              35455         0        0
D EMDEON INC                     COMMON     29084T104        9        483 SH  -    DEFINED 05                483         0        0
D EMDEON INC                     COMMON     29084T104     3960     210764 SH  -    DEFINED 09             210764         0        0
D EMERGENT BIOSOLUTIONS INC      COMMON     29089Q105        5        292 SH  -    OTHER   02                  0       292        0
D EMERGENT BIOSOLUTIONS INC      COMMON     29089Q105      600      38890 SH  -    DEFINED 04              38890         0        0
D EMERGENT BIOSOLUTIONS INC      COMMON     29089Q105      231      14978 SH  -    DEFINED 04              14978         0        0
D EMERGENT BIOSOLUTIONS INC      COMMON     29089Q105      774      50140 SH  -    DEFINED 05              50140         0        0
D EMERGENT BIOSOLUTIONS INC      COMMON     29089Q105       15       1000 SH  -    OTHER   10                  0         0     1000
D EMERITUS CORP                  COMMON     291005106        3        214 SH  -    OTHER   02                  0       214        0
D EMERITUS CORP                  COMMON     291005106    15262    1082427 SH  -    DEFINED 04             894187         0   188240
D EMERITUS CORP                  COMMON     291005106     5923     420100 SH  -    DEFINED 04             420100         0        0
D EMERITUS CORP                  COMMON     291005106     1400      99300 SH  -    DEFINED 04              99300         0        0
D EMERITUS CORP                  COMMON     291005106        6        436 SH  -    DEFINED 05                436         0        0
D EMERITUS CORP                  COMMON     291005106       26       1840 SH  -    DEFINED 08               1840         0        0
D EMERITUS CORP                  COMMON     291005106      183      12982 SH  -    DEFINED 09              12982         0        0
D EMERSON ELECTRIC               COMMON     291011104    20707     501256 SH  -    DEFINED 02             445364      1505    54387
D EMERSON ELECTRIC               COMMON     291011104    12716     307822 SH  -    DEFINED 02             303161      1611     3050
D EMERSON ELECTRIC               COMMON     291011104      135       3275 SH  -    DEFINED 02               3275         0        0
D EMERSON ELECTRIC               COMMON     291011104     1136      27505 SH  -    DEFINED 02              13362         0    14143
D EMERSON ELECTRIC               COMMON     291011104    17324     419375 SH  -    OTHER   02             269121    122693    27561
D EMERSON ELECTRIC               COMMON     291011104     8827     213689 SH  -    OTHER   02             183708     17422    12559
D EMERSON ELECTRIC               COMMON     291011104       90       2187 SH  -    OTHER   02                  0      2187        0
D EMERSON ELECTRIC               COMMON     291011104       87       2104 SH  -    OTHER   02                  0      2104        0
D EMERSON ELECTRIC               COMMON     291011104      223       5395 SH  -    OTHER   02                  0      5395        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 299
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EMERSON ELECTRIC               COMMON     291011104   473753   11468248 SH  -    DEFINED 04            9474720         0  1993528
D EMERSON ELECTRIC               COMMON     291011104     7113     172196 SH  -    DEFINED 04             172196         0        0
D EMERSON ELECTRIC               COMMON     291011104    40719     985696 SH  -    DEFINED 04             985696         0        0
D EMERSON ELECTRIC               COMMON     291011104       67       1629 SH  -    DEFINED 04               1629         0        0
D EMERSON ELECTRIC               COMMON     291011104      247       5983 SH  -    DEFINED 04               5983         0        0
D EMERSON ELECTRIC               COMMON     291011104      290       7017 SH  -    DEFINED 04                  0         0     7017
D EMERSON ELECTRIC               COMMON     291011104        7        175 SH  -    OTHER   04                  0       175        0
D EMERSON ELECTRIC               COMMON     291011104    11249     272306 SH  -    OTHER   04                  0    272306        0
D EMERSON ELECTRIC               COMMON     291011104    18572     449584 SH  -    DEFINED 05             449584         0        0
D EMERSON ELECTRIC               COMMON     291011104    11013     266597 SH  -    DEFINED 09             266597         0        0
D EMERSON ELECTRIC               COMMON     291011104     8802     213060 SH  -    OTHER   09                  0    213060        0
D EMERSON ELECTRIC               COMMON     291011104     1060      25663 SH  -    DEFINED 01              22766      1439     1458
D EMERSON ELECTRIC               COMMON     291011104      793      19200 SH  -    OTHER   01              13007      3168     3025
D EMERSON ELECTRIC               COMMON     291011104      411       9941 SH  -    OTHER   10                  0         0     9941
D EMERSON ELECTRIC               OPTION     291011906      310       7500 SH  C    DEFINED 05               7500         0        0
D EMPIRE DIST ELEC CO            COMMON     291641108        8        422 SH  -    OTHER   02                  0       422        0
D EMPIRE DIST ELEC CO            COMMON     291641108      326      16800 SH  -    DEFINED 04              12800         0     4000
D EMPIRE DIST ELEC CO            COMMON     291641108       12        633 SH  -    DEFINED 05                633         0        0
D EMPIRE DIST ELEC CO            COMMON     291641108       49       2513 SH  -    DEFINED 08               2513         0        0
D EMPLOYERS HOLDINGS INC         COMMON     292218104      377      29546 SH  -    DEFINED 04              29546         0        0
D EMPLOYERS HOLDINGS INC         COMMON     292218104      226      17683 SH  -    DEFINED 05              17683         0        0
D EMPRESA NACIONAL DE ELCTRCIDAD ADR        29244T101      169       3905 SH  -    DEFINED 06               3905         0        0
D EMPRESA NACIONAL DE ELCTRCIDAD ADR        29244T101      874      20169 SH  -    DEFINED 08              20169         0        0
D EMULEX CORP                    COMMON     292475209        1         88 SH  -    OTHER   02                  0        88        0
D EMULEX CORP                    COMMON     292475209      206      32200 SH  -    DEFINED 04              32200         0        0
D EMULEX CORP                    COMMON     292475209      218      34105 SH  -    DEFINED 05              34105         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 300
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EMULEX CORP                    COMMON     292475209       33       5152 SH  -    DEFINED 08               5152         0        0
D EMULEX CORP                    OPTION     292475902      326      51000 SH  C    DEFINED 05              51000         0        0
D ENBRIDGE INC                   COMMON     29250N105       37       1172 SH  -    DEFINED 02               1172         0        0
D ENBRIDGE INC                   COMMON     29250N105       26        800 SH  -    OTHER   02                  0       800        0
D ENBRIDGE INC                   COMMON     29250N105     1511      47325 SH  -    DEFINED 04              47325         0        0
D ENBRIDGE INC                   COMMON     29250N105     3817     119533 SH  -    DEFINED 04             119533         0        0
D ENBRIDGE INC                   COMMON     29250N105       37       1152 SH  -    DEFINED 05               1152         0        0
D ENBRIDGE INC                   COMMON     29250N105      925      28957 SH  -    DEFINED 06              28957         0        0
D ENBRIDGE INC                   COMMON     29250N105       78       2450 SH  -    DEFINED 08               2450         0        0
D ENBRIDGE INC                   COMMON     29250N105        6        176 SH  -    DEFINED 01                  0         0      176
D ENBRIDGE INC                   COMMON     29250N105        6        200 SH  -    OTHER   10                  0         0      200
D ENBRIDGE ENERGY PARTNERS L P   COMMON     29250R106        0          2 SH  -    DEFINED 02                  2         0        0
D ENBRIDGE ENERGY PARTNERS L P   COMMON     29250R106      275      10000 SH  -    OTHER   02                  0     10000        0
D ENBRIDGE ENERGY PARTNERS L P   COMMON     29250R106      494      18000 SH  -    OTHER   01              18000         0        0
D ENBRIDGE ENERGY PARTNERS L P   COMMON     29250R106    80911    2945449 SH  -    DEFINED 10            2945449         0        0
D ENBRIDGE ENERGY PARTNERS L P   COMMON     29250R106      331      12035 SH  -    OTHER   10                  0         0    12035
D ENCANA CORP                    COMMON     292505104      168       8770 SH  -    DEFINED 02               3130      5640        0
D ENCANA CORP                    COMMON     292505104       39       2009 SH  -    DEFINED 02               2009         0        0
D ENCANA CORP                    COMMON     292505104     2066     107557 SH  -    OTHER   02                500     98322     8735
D ENCANA CORP                    COMMON     292505104      120       6268 SH  -    OTHER   02               1768         0     4500
D ENCANA CORP                    COMMON     292505104      589      30646 SH  -    DEFINED 04              30646         0        0
D ENCANA CORP                    COMMON     292505104    17895     931537 SH  -    DEFINED 04             644937         0   286600
D ENCANA CORP                    COMMON     292505104        1         44 SH  -    OTHER   04                  0        44        0
D ENCANA CORP                    COMMON     292505104    16064     836209 SH  -    DEFINED 05             836209         0        0
D ENCANA CORP                    COMMON     292505104      558      29060 SH  -    DEFINED 06              29060         0        0
D ENCANA CORP                    COMMON     292505104     4153     216187 SH  -    DEFINED 08             216187         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 301
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ENCANA CORP                    COMMON     292505104       81       4216 SH  -    DEFINED 09               4216         0        0
D ENCANA CORP                    COMMON     292505104      809      42100 SH  -    DEFINED 09              42100         0        0
D ENCANA CORP                    COMMON     292505104      230      11974 SH  -    OTHER   01              10000      1974        0
D ENCANA CORP                    COMMON     292505104      729      37923 SH  -    OTHER   10                  0         0    37923
D ENCORE CAP GROUP INC           COMMON     292554102       79       3625 SH  -    DEFINED 02               3625         0        0
D ENCORE CAP GROUP INC           COMMON     292554102        2        102 SH  -    OTHER   02                  0       102        0
D ENCORE CAP GROUP INC           COMMON     292554102     6579     301100 SH  -    DEFINED 04             246900         0    54200
D ENCORE CAP GROUP INC           COMMON     292554102      154       7053 SH  -    DEFINED 05               7053         0        0
D ENCORE WIRE CORP               COMMON     292562105      689      33461 SH  -    OTHER   02                850     32611        0
D ENCORE WIRE CORP               COMMON     292562105      281      13655 SH  -    DEFINED 04              13655         0        0
D ENCORE WIRE CORP               COMMON     292562105      183       8910 SH  -    DEFINED 05               8910         0        0
D ENCORE WIRE CORP               COMMON     292562105      103       5010 SH  -    OTHER   01                  0      5010        0
D ENCORE ENERGY PARTNERS LP      COMMON     29257A106        9        500 SH  -    OTHER   02                500         0        0
D ENCORE ENERGY PARTNERS LP      COMMON     29257A106     7701     411361 SH  -    DEFINED 10             411361         0        0
D ENDEAVOUR INTL CORP            COMMON     29259G200     3217     403195 SH  -    OTHER   02              20188    379121     3886
D ENDEAVOUR INTL CORP            COMMON     29259G200        4        506 SH  -    DEFINED 05                506         0        0
D ENDEAVOUR INTL CORP            COMMON     29259G200       32       3973 SH  -    DEFINED 08               3973         0        0
D ENDEAVOUR INTL CORP            COMMON     29259G200       40       4960 SH  -    OTHER   01                  0      4960        0
D ENDO PHARMACEUTICALS HLDGS INC BOND       29264FAB2     2702    2394000 PRN -    DEFINED 05                  0         0        0
D ENDO PHARMACEUTICA             COMMON     29264F205       68       2425 SH  -    DEFINED 02               2425         0        0
D ENDO PHARMACEUTICA             COMMON     29264F205       16        557 SH  -    DEFINED 02                557         0        0
D ENDO PHARMACEUTICA             COMMON     29264F205       37       1313 SH  -    OTHER   02                  0      1313        0
D ENDO PHARMACEUTICA             COMMON     29264F205       11        406 SH  -    OTHER   02                  6        18      382
D ENDO PHARMACEUTICA             COMMON     29264F205    18363     656073 SH  -    DEFINED 04             584673         0    71400
D ENDO PHARMACEUTICA             COMMON     29264F205     6553     234110 SH  -    DEFINED 04             234110         0        0
D ENDO PHARMACEUTICA             COMMON     29264F205       75       2679 SH  -    DEFINED 04               2679         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 302
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ENDO PHARMACEUTICA             COMMON     29264F205     2534      90536 SH  -    DEFINED 04              51278         0    39258
D ENDO PHARMACEUTICA             COMMON     29264F205      611      21824 SH  -    OTHER   04                  0     21824        0
D ENDO PHARMACEUTICA             COMMON     29264F205      360      12878 SH  -    DEFINED 05              12878         0        0
D ENDO PHARMACEUTICA             COMMON     29264F205     3384     120908 SH  -    DEFINED 08             120908         0        0
D ENDO PHARMACEUTICA             COMMON     29264F205    10060     359402 SH  -    DEFINED 09             335282     24120        0
D ENDO PHARMACEUTICA             COMMON     29264F205      768      27447 SH  -    DEFINED 09              27447         0        0
D ENDO PHARMACEUTICA             COMMON     29264F205     5316     189928 SH  -    DEFINED 09             189928         0        0
D ENDO PHARMACEUTICA             COMMON     29264F205      118       4221 SH  -    OTHER   09                  0      4221        0
D ENERGEN CORP                   COMMON     29265N108       41       1000 SH  -    DEFINED 02               1000         0        0
D ENERGEN CORP                   COMMON     29265N108       14        345 SH  -    DEFINED 02                345         0        0
D ENERGEN CORP                   COMMON     29265N108      429      10486 SH  -    OTHER   02                 81       777     9628
D ENERGEN CORP                   COMMON     29265N108       30        731 SH  -    OTHER   02                  0         0      731
D ENERGEN CORP                   COMMON     29265N108   172810    4226212 SH  -    DEFINED 04            3777920         0   448292
D ENERGEN CORP                   COMMON     29265N108     6067     148365 SH  -    DEFINED 04             148365         0        0
D ENERGEN CORP                   COMMON     29265N108      191       4679 SH  -    DEFINED 04               4679         0        0
D ENERGEN CORP                   COMMON     29265N108     3192      78057 SH  -    DEFINED 04              78057         0        0
D ENERGEN CORP                   COMMON     29265N108     1666      40755 SH  -    OTHER   04                  0     40755        0
D ENERGEN CORP                   COMMON     29265N108     9138     223469 SH  -    OTHER   04                  0    223469        0
D ENERGEN CORP                   COMMON     29265N108       96       2352 SH  -    DEFINED 05               2352         0        0
D ENERGEN CORP                   COMMON     29265N108       35        854 SH  -    DEFINED 06                854         0        0
D ENERGEN CORP                   COMMON     29265N108      741      18132 SH  -    DEFINED 08              18132         0        0
D ENERGEN CORP                   COMMON     29265N108      779      19054 SH  -    DEFINED 09              19054         0        0
D ENERGEN CORP                   COMMON     29265N108        4         98 SH  -    OTHER   10                  0         0       98
D ENERGY CONV DEVICE             COMMON     292659109        0        100 SH  -    OTHER   02                100         0        0
D ENERGY CONV DEVICE             COMMON     292659109        0          1 SH  -    DEFINED 05                  1         0        0
D ENERGY CONV DEVICE             COMMON     292659109        0        566 SH  -    DEFINED 06                566         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 303
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ENERGY CONV DEVICE             COMMON     292659109        5       9807 SH  -    DEFINED 08               9807         0        0
D ENERGIZER HLDGS IN             COMMON     29266R108       29        440 SH  -    DEFINED 02                440         0        0
D ENERGIZER HLDGS IN             COMMON     29266R108       14        215 SH  -    DEFINED 02                215         0        0
D ENERGIZER HLDGS IN             COMMON     29266R108      842      12678 SH  -    OTHER   02               3294      9349        0
D ENERGIZER HLDGS IN             COMMON     29266R108      230       3469 SH  -    OTHER   02                  0      3169      300
D ENERGIZER HLDGS IN             COMMON     29266R108    83457    1256128 SH  -    DEFINED 04            1195928         0    60200
D ENERGIZER HLDGS IN             COMMON     29266R108     3752      56467 SH  -    DEFINED 04              56467         0        0
D ENERGIZER HLDGS IN             COMMON     29266R108      223       3358 SH  -    DEFINED 04               3358         0        0
D ENERGIZER HLDGS IN             COMMON     29266R108     1570      23625 SH  -    DEFINED 04              23625         0        0
D ENERGIZER HLDGS IN             COMMON     29266R108      901      13565 SH  -    OTHER   04                  0     13565        0
D ENERGIZER HLDGS IN             COMMON     29266R108     5606      84376 SH  -    OTHER   04                  0     84376        0
D ENERGIZER HLDGS IN             COMMON     29266R108      109       1645 SH  -    DEFINED 05               1645         0        0
D ENERGIZER HLDGS IN             COMMON     29266R108     1230      18510 SH  -    DEFINED 08              18510         0        0
D ENERGIZER HLDGS IN             COMMON     29266R108      113       1700 SH  -    DEFINED 09               1700         0        0
D ENERGIZER HLDGS IN             COMMON     29266R108       13        200 SH  -    OTHER   01                  0       200        0
D ENERGIZER HLDGS IN             COMMON     29266R108        1         15 SH  -    OTHER   10                  0         0       15
D ENDOLOGIX INC                  COMMON     29266S106        1        124 SH  -    OTHER   02                  0       124        0
D ENDOLOGIX INC                  COMMON     29266S106        6        601 SH  -    DEFINED 05                601         0        0
D ENDOLOGIX INC                  COMMON     29266S106       29       2884 SH  -    DEFINED 08               2884         0        0
D ENDOLOGIX INC                  COMMON     29266S106      344      34287 SH  -    DEFINED 09              34287         0        0
D ENERGY PARTNERS LTD            COMMON     29270U303        1         49 SH  -    DEFINED 02                 49         0        0
D ENERGY PARTNERS LTD            COMMON     29270U303     2656     239950 SH  -    DEFINED 04             223350         0    16600
D ENERGY PARTNERS LTD            COMMON     29270U303     2660     240300 SH  -    DEFINED 04             240300         0        0
D ENERGY PARTNERS LTD            COMMON     29270U303       11        989 SH  -    DEFINED 05                989         0        0
D ENERGY PARTNERS LTD            COMMON     29270U303       19       1695 SH  -    DEFINED 08               1695         0        0
D ENERGY SVCS OF AMERICA CORP    COMMON     29271Q103      300     146490 SH  -    OTHER   02                  0    146490        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 304
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ENERGY TRANSFER PRTNRS L P     COMMON     29273R109       82       2000 SH  -    DEFINED 02               2000         0        0
D ENERGY TRANSFER PRTNRS L P     COMMON     29273R109      267       6500 SH  -    OTHER   02                  0         0     6500
D ENERGY TRANSFER PRTNRS L P     COMMON     29273R109      281       6840 SH  -    OTHER   02               1700         0     5140
D ENERGY TRANSFER PRTNRS L P     COMMON     29273R109        8        200 SH  -    DEFINED 05                200         0        0
D ENERGY TRANSFER PRTNRS L P     COMMON     29273R109      246       6000 SH  -    OTHER   01               6000         0        0
D ENERGY TRANSFER PRTNRS L P     COMMON     29273R109   108978    2657363 SH  -    DEFINED 10            2657363         0        0
D ENERGY TRANSFER PRTNRS L P     COMMON     29273R109     7113     173448 SH  -    OTHER   10                  0         0   173448
D ENERGY TRANSFER EQUITY L P     COMMON     29273V100      160       4600 SH  -    DEFINED 02               4600         0        0
D ENERGY TRANSFER EQUITY L P     COMMON     29273V100     3155      90700 SH  -    OTHER   02               2100     88600        0
D ENERGY TRANSFER EQUITY L P     COMMON     29273V100      579      16650 SH  -    OTHER   02                600     16050        0
D ENERGY TRANSFER EQUITY L P     COMMON     29273V100     2028      58300 SH  -    DEFINED 04              58300         0        0
D ENERGY TRANSFER EQUITY L P     COMMON     29273V100        0          1 SH  -    DEFINED 05                  1         0        0
D ENERGY TRANSFER EQUITY L P     COMMON     29273V100      575      16525 SH  -    OTHER   01                  0     16525        0
D ENERGY TRANSFER EQUITY L P     COMMON     29273V100    94677    2722159 SH  -    DEFINED 10            2722159         0        0
D ENERGY TRANSFER EQUITY L P     COMMON     29273V100     3828     110060 SH  -    OTHER   10                  0         0   110060
D ENERSIS SA                     ADR        29274F104      445      26318 SH  -    DEFINED 04              26318         0        0
D ENERSIS SA                     ADR        29274F104        1         82 SH  -    DEFINED 05                 82         0        0
D ENERSIS SA                     ADR        29274F104     2230     131870 SH  -    DEFINED 08             131870         0        0
D ENERSYS                        COMMON     29275Y102        6        298 SH  -    DEFINED 02                298         0        0
D ENERSYS                        COMMON     29275Y102       43       2159 SH  -    OTHER   02                  0       769     1390
D ENERSYS                        COMMON     29275Y102       47       2364 SH  -    OTHER   02                  0         0     2364
D ENERSYS                        COMMON     29275Y102    22147    1106265 SH  -    DEFINED 04             758087         0   348178
D ENERSYS                        COMMON     29275Y102     5529     276150 SH  -    DEFINED 04             276150         0        0
D ENERSYS                        COMMON     29275Y102      950      47460 SH  -    DEFINED 04              47460         0        0
D ENERSYS                        COMMON     29275Y102       38       1905 SH  -    OTHER   04                  0      1905        0
D ENERSYS                        COMMON     29275Y102       15        759 SH  -    DEFINED 05                759         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 305
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ENERSYS                        COMMON     29275Y102       93       4646 SH  -    DEFINED 08               4646         0        0
D ENERSYS                        COMMON     29275Y102      570      28450 SH  -    OTHER   01              28450         0        0
D ENERGYSOLUTIONS INC            COMMON     292756202       10       2784 SH  -    OTHER   02                  0      2784        0
D ENERGYSOLUTIONS INC            COMMON     292756202      637     180375 SH  -    DEFINED 04             169175         0    11200
D ENERGYSOLUTIONS INC            COMMON     292756202        4       1209 SH  -    DEFINED 05               1209         0        0
D ENERGYSOLUTIONS INC            COMMON     292756202       15       4387 SH  -    DEFINED 08               4387         0        0
D ENERNOC INC                    COMMON     292764107        1        105 SH  -    OTHER   02                105         0        0
D ENERNOC INC                    COMMON     292764107        3        299 SH  -    DEFINED 05                299         0        0
D ENERNOC INC                    COMMON     292764107       15       1703 SH  -    DEFINED 08               1703         0        0
D ENERNOC INC                    COMMON     292764107      253      28062 SH  -    OTHER   10                  0         0    28062
D ENERPLUS CORP                  COMMON     292766102       49       2000 SH  -    OTHER   02                  0      2000        0
D ENERPLUS CORP                  COMMON     292766102       38       1550 SH  -    OTHER   02                200         0     1350
D ENERPLUS CORP                  COMMON     292766102      173       7067 SH  -    DEFINED 06               7067         0        0
D ENERPLUS CORP                  COMMON     292766102     1294      52750 SH  -    OTHER   10                  0         0    52750
D ENPRO INDS INC                 BOND       29355XAB3      569     508000 PRN -    DEFINED 05                  0         0        0
D ENPRO INDS INC                 COMMON     29355X107       27        925 SH  -    OTHER   02                  0       925        0
D ENPRO INDS INC                 COMMON     29355X107        7        240 SH  -    OTHER   02                  0         0      240
D ENPRO INDS INC                 COMMON     29355X107     9541     321450 SH  -    DEFINED 04             283950         0    37500
D ENPRO INDS INC                 COMMON     29355X107      437      14724 SH  -    DEFINED 04              14724         0        0
D ENPRO INDS INC                 COMMON     29355X107      287       9672 SH  -    DEFINED 05               9672         0        0
D ENSIGN GROUP INC               COMMON     29358P101      192       8308 SH  -    DEFINED 04               8308         0        0
D ENSIGN GROUP INC               COMMON     29358P101      175       7589 SH  -    DEFINED 05               7589         0        0
D ENSCO PLC                      ADR        29358Q109       17        410 SH  -    DEFINED 02                410         0        0
D ENSCO PLC                      ADR        29358Q109        1         27 SH  -    DEFINED 02                 27         0        0
D ENSCO PLC                      ADR        29358Q109      205       5080 SH  -    OTHER   02                 23      5057        0
D ENSCO PLC                      ADR        29358Q109       91       2240 SH  -    OTHER   02               1000         0     1240

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 306
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ENSCO PLC                      ADR        29358Q109     3422      84648 SH  -    DEFINED 05              84648         0        0
D ENSCO PLC                      ADR        29358Q109     4212     104176 SH  -    DEFINED 08             104176         0        0
D ENSCO PLC                      ADR        29358Q109      389       9613 SH  -    OTHER   10                  0         0     9613
D ENSCO PLC                      OPTION     29358Q950       24        600 SH  P    DEFINED 05                600         0        0
D ENTEGRIS INC                   COMMON     29362U104        0         42 SH  -    DEFINED 02                 42         0        0
D ENTEGRIS INC                   COMMON     29362U104        5        760 SH  -    OTHER   02                160       600        0
D ENTEGRIS INC                   COMMON     29362U104     2751     431139 SH  -    DEFINED 04             373909         0    57230
D ENTEGRIS INC                   COMMON     29362U104      236      37032 SH  -    DEFINED 05              37032         0        0
D ENTEGRIS INC                   COMMON     29362U104       52       8198 SH  -    DEFINED 08               8198         0        0
D ENTEGRIS INC                   COMMON     29362U104      191      29903 SH  -    DEFINED 09              29903         0        0
D ENTERCOM COMMUNICA             COMMON     293639100        6       1064 SH  -    OTHER   02                  0      1064        0
D ENTERCOM COMMUNICA             COMMON     293639100     6199    1180681 SH  -    DEFINED 04            1133710         0    46971
D ENTERCOM COMMUNICA             COMMON     293639100       81      15400 SH  -    DEFINED 04              15400         0        0
D ENTERCOM COMMUNICA             COMMON     293639100        9       1805 SH  -    DEFINED 04               1805         0        0
D ENTERCOM COMMUNICA             COMMON     293639100        3        606 SH  -    OTHER   04                  0       606        0
D ENTERCOM COMMUNICA             COMMON     293639100        2        329 SH  -    DEFINED 05                329         0        0
D ENTERCOM COMMUNICA             COMMON     293639100        8       1484 SH  -    DEFINED 08               1484         0        0
D ENTERCOM COMMUNICA             COMMON     293639100        2        461 SH  -    OTHER   01                  0       461        0
D ENTERGY CORP                   COMMON     29364G103     2081      31392 SH  -    DEFINED 02              31392         0        0
D ENTERGY CORP                   COMMON     29364G103      105       1590 SH  -    DEFINED 02               1590         0        0
D ENTERGY CORP                   COMMON     29364G103      144       2176 SH  -    DEFINED 02               2037         0      139
D ENTERGY CORP                   COMMON     29364G103     1200      18108 SH  -    OTHER   02               3900      9787     4421
D ENTERGY CORP                   COMMON     29364G103      630       9502 SH  -    OTHER   02               3087       220     6195
D ENTERGY CORP                   COMMON     29364G103     7134     107623 SH  -    DEFINED 04             101462         0     6161
D ENTERGY CORP                   COMMON     29364G103     3768      56836 SH  -    DEFINED 04              56836         0        0
D ENTERGY CORP                   COMMON     29364G103      100       1514 SH  -    DEFINED 04               1514         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 307
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ENTERGY CORP                   COMMON     29364G103      314       4741 SH  -    OTHER   04                  0      4741        0
D ENTERGY CORP                   COMMON     29364G103     1624      24503 SH  -    DEFINED 05              24503         0        0
D ENTERGY CORP                   COMMON     29364G103      425       6414 SH  -    OTHER   10                  0         0     6414
D ENTERGY CORP                   OPTION     29364G905    19887     300000 SH  C    DEFINED 08             300000         0        0
D ENTERGY CORP                   OPTION     29364G954     6974     105200 SH  P    DEFINED 08             105200         0        0
D ENTERPRISE FINL SVCS CORP      COMMON     293712105      917      67500 SH  -    DEFINED 04              61800         0     5700
D ENTERPRISE FINL SVCS CORP      COMMON     293712105        0          1 SH  -    DEFINED 05                  1         0        0
D ENTERPRISE FINL SVCS CORP      COMMON     293712105       13        992 SH  -    DEFINED 08                992         0        0
D ENTERPRISE PRODS PARTNERS L P  COMMON     293792107      132       3279 SH  -    DEFINED 02               3279         0        0
D ENTERPRISE PRODS PARTNERS L P  COMMON     293792107      223       5564 SH  -    DEFINED 02               5564         0        0
D ENTERPRISE PRODS PARTNERS L P  COMMON     293792107     5652     140775 SH  -    OTHER   02               6450    119120    15205
D ENTERPRISE PRODS PARTNERS L P  COMMON     293792107     1897      47253 SH  -    OTHER   02              28816     13050     5387
D ENTERPRISE PRODS PARTNERS L P  COMMON     293792107      594      14793 SH  -    DEFINED 05              14793         0        0
D ENTERPRISE PRODS PARTNERS L P  COMMON     293792107     1167      29075 SH  -    OTHER   01              17800     11275        0
D ENTERPRISE PRODS PARTNERS L P  COMMON     293792107   365193    9095723 SH  -    DEFINED 10            9095723         0        0
D ENTERPRISE PRODS PARTNERS L P  COMMON     293792107    12787     318477 SH  -    OTHER   10                  0         0   318477
D ENTERTAINMENT PPTYS TR         COMMON     29380T105     4985     127890 SH  -    DEFINED 04             127890         0        0
D ENTERTAINMENT PPTYS TR         COMMON     29380T105     1279      32804 SH  -    DEFINED 04              32804         0        0
D ENTERTAINMENT PPTYS TR         COMMON     29380T105      849      21781 SH  -    DEFINED 05              21781         0        0
D ENTROPIC COMMUNICATIONS INC    COMMON     29384R105        2        445 SH  -    OTHER   02                  0       445        0
D ENTROPIC COMMUNICATIONS INC    COMMON     29384R105      226      54648 SH  -    DEFINED 05              54648         0        0
D ENTROPIC COMMUNICATIONS INC    COMMON     29384R105      840     203445 SH  -    OTHER   10                  0         0   203445
D ENZON PHARMACEUTICALS INC      COMMON     293904108        1        112 SH  -    OTHER   02                  0       112        0
D ENZON PHARMACEUTICALS INC      COMMON     293904108       92      13003 SH  -    DEFINED 05              13003         0        0
D ENZON PHARMACEUTICALS INC      COMMON     293904108       14       1963 SH  -    DEFINED 08               1963         0        0
D ENZON PHARMACEUTICALS INC      COMMON     293904108        3        400 SH  -    OTHER   10                  0         0      400

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 308
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ENVESTNET INC                  COMMON     29404K106        1         78 SH  -    OTHER   02                  0        78        0
D ENVESTNET INC                  COMMON     29404K106     5757     575688 SH  -    DEFINED 04             413470         0   162218
D ENVESTNET INC                  COMMON     29404K106     3844     384400 SH  -    DEFINED 04             384400         0        0
D ENVESTNET INC                  COMMON     29404K106      910      90950 SH  -    DEFINED 04              90950         0        0
D ENVESTNET INC                  COMMON     29404K106        2        239 SH  -    DEFINED 05                239         0        0
D ENVESTNET INC                  COMMON     29404K106       12       1235 SH  -    DEFINED 08               1235         0        0
D ENZO BIOCHEM INC               COMMON     294100102      173      67425 SH  -    DEFINED 04              51225         0    16200
D ENZO BIOCHEM INC               COMMON     294100102       59      22799 SH  -    DEFINED 04              22799         0        0
D ENZO BIOCHEM INC               COMMON     294100102       51      19815 SH  -    DEFINED 05              19815         0        0
D ENZO BIOCHEM INC               COMMON     294100102        0        108 SH  -    OTHER   10                  0         0      108
D EPOCH HOLDING CORP             COMMON     29428R103        0         27 SH  -    OTHER   02                  0        27        0
D EPOCH HOLDING CORP             COMMON     29428R103    17869    1316786 SH  -    DEFINED 04            1227490         0    89296
D EPOCH HOLDING CORP             COMMON     29428R103        3        212 SH  -    DEFINED 05                212         0        0
D EPOCH HOLDING CORP             COMMON     29428R103       13        949 SH  -    DEFINED 08                949         0        0
D EPOCRATES INC                  COMMON     29429D103     1436     159425 SH  -    DEFINED 04             151725         0     7700
D EPOCRATES INC                  COMMON     29429D103      762      84600 SH  -    DEFINED 04              84600         0        0
D EPOCRATES INC                  COMMON     29429D103        1         88 SH  -    DEFINED 05                 88         0        0
D EPOCRATES INC                  COMMON     29429D103       13       1401 SH  -    DEFINED 08               1401         0        0
D EPOCRATES INC                  COMMON     29429D103        4        410 SH  -    OTHER   01                  0       410        0
D EQUIFAX INC                    COMMON     294429105       31       1000 SH  -    DEFINED 02                  0         0     1000
D EQUIFAX INC                    COMMON     294429105        1         23 SH  -    DEFINED 02                 23         0        0
D EQUIFAX INC                    COMMON     294429105       46       1490 SH  -    DEFINED 02               1411         0       79
D EQUIFAX INC                    COMMON     294429105       60       1938 SH  -    OTHER   02                  0      1688      250
D EQUIFAX INC                    COMMON     294429105        0         16 SH  -    OTHER   02                  0        16        0
D EQUIFAX INC                    COMMON     294429105    12436     404569 SH  -    DEFINED 04             377392         0    27177
D EQUIFAX INC                    COMMON     294429105      609      19811 SH  -    DEFINED 04              19811         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 309
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EQUIFAX INC                    COMMON     294429105       35       1131 SH  -    DEFINED 04               1131         0        0
D EQUIFAX INC                    COMMON     294429105       17        555 SH  -    OTHER   04                  0       555        0
D EQUIFAX INC                    COMMON     294429105      301       9808 SH  -    DEFINED 05               9808         0        0
D EQUIFAX INC                    COMMON     294429105     5033     163734 SH  -    OTHER   01             163734         0        0
D EQUIFAX INC                    COMMON     294429105        1         41 SH  -    OTHER   10                  0         0       41
D EQUINIX INC                    BOND       29444UAF3     3570    3500000 PRN -    DEFINED 05                  0         0        0
D EQUINIX INC                    BOND       29444UAG1      291     278000 PRN -    DEFINED 05                  0         0        0
D EQUINIX INC                    BOND       29444UAG1    15409   14728000 PRN -    DEFINED 09                  0         0        0
D EQUINIX INC                    BOND       29444UAG1     2688    2569000 PRN -    DEFINED 09                  0         0        0
D EQUINIX INC                    BOND       29444UAH9      141     110000 PRN -    DEFINED 05                  0         0        0
D EQUINIX INC                    COMMON     29444U502       74        833 SH  -    DEFINED 02                648       185        0
D EQUINIX INC                    COMMON     29444U502      117       1316 SH  -    DEFINED 02               1316         0        0
D EQUINIX INC                    COMMON     29444U502      520       5853 SH  -    OTHER   02                 43      5810        0
D EQUINIX INC                    COMMON     29444U502       54        603 SH  -    OTHER   02                  0         0      603
D EQUINIX INC                    COMMON     29444U502    19354     217877 SH  -    DEFINED 04             117265         0   100612
D EQUINIX INC                    COMMON     29444U502    14146     159249 SH  -    DEFINED 04             159249         0        0
D EQUINIX INC                    COMMON     29444U502      270       3041 SH  -    DEFINED 05               3041         0        0
D EQUINIX INC                    COMMON     29444U502    28047     315743 SH  -    DEFINED 08             315743         0        0
D EQUINIX INC                    COMMON     29444U502       99       1120 SH  -    OTHER   09                  0      1120        0
D EQUINIX INC                    COMMON     29444U502        1         13 SH  -    OTHER   01                  0        13        0
D EQUINIX INC                    COMMON     29444U502        2         21 SH  -    OTHER   10                  0         0       21
D EQUITY LIFESTYLE PPTYS INC     COMMON     29472R108        0          4 SH  -    DEFINED 02                  4         0        0
D EQUITY LIFESTYLE PPTYS INC     COMMON     29472R108       23        364 SH  -    OTHER   02                  0       364        0
D EQUITY LIFESTYLE PPTYS INC     COMMON     29472R108     9159     146078 SH  -    DEFINED 04             106078         0    40000
D EQUITY LIFESTYLE PPTYS INC     COMMON     29472R108       36        570 SH  -    DEFINED 04                570         0        0
D EQUITY LIFESTYLE PPTYS INC     COMMON     29472R108       24        378 SH  -    DEFINED 04                  0         0      378

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 310
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EQUITY LIFESTYLE PPTYS INC     COMMON     29472R108       34        549 SH  -    DEFINED 05                549         0        0
D EQUITY LIFESTYLE PPTYS INC     COMMON     29472R108       47        757 SH  -    DEFINED 06                757         0        0
D EQUITY ONE                     COMMON     294752100      188      11849 SH  -    DEFINED 04              11849         0        0
D EQUITY ONE                     COMMON     294752100      528      33298 SH  -    DEFINED 04              33298         0        0
D EQUITY ONE                     COMMON     294752100       15        954 SH  -    DEFINED 05                954         0        0
D EQUITY ONE                     COMMON     294752100       12        779 SH  -    DEFINED 06                779         0        0
D EQUITY RESIDENTIAL             COMMON     29476L107      188       3628 SH  -    DEFINED 02               3417         0      211
D EQUITY RESIDENTIAL             COMMON     29476L107    41122     792786 SH  -    DEFINED 04             684213         0   108573
D EQUITY RESIDENTIAL             COMMON     29476L107     3758      72450 SH  -    DEFINED 04              72450         0        0
D EQUITY RESIDENTIAL             COMMON     29476L107        4         73 SH  -    OTHER   04                  0        73        0
D EQUITY RESIDENTIAL             COMMON     29476L107     5292     102027 SH  -    DEFINED 05             102027         0        0
D EQUITY RESIDENTIAL             COMMON     29476L107      103       1980 SH  -    DEFINED 06               1980         0        0
D EQUITY RESIDENTIAL             COMMON     29476L107     2180      42036 SH  -    DEFINED 08              42036         0        0
D EQUITY RESIDENTIAL             COMMON     29476L107      337       6499 SH  -    OTHER   10                  0         0     6499
D ERESEARCHTECHNOLOGY INC        COMMON     29481V108       73      16459 SH  -    OTHER   02                  0       323    16136
D ERESEARCHTECHNOLOGY INC        COMMON     29481V108      216      48538 SH  -    OTHER   02                  0      2073    46465
D ERESEARCHTECHNOLOGY INC        COMMON     29481V108      135      30326 SH  -    DEFINED 04              30326         0        0
D ERESEARCHTECHNOLOGY INC        COMMON     29481V108       92      20532 SH  -    DEFINED 05              20532         0        0
D ERICSSON(LM)TEL                ADR        294821608     1280     134027 SH  -    OTHER   02             131194      2833        0
D ERICSSON(LM)TEL                ADR        294821608     6327     662550 SH  -    OTHER   04                  0    662550        0
D ERICSSON(LM)TEL                ADR        294821608        5        540 SH  -    DEFINED 05                540         0        0
D ERICSSON(LM)TEL                ADR        294821608    13693    1433825 SH  -    DEFINED 06            1433825         0        0
D ERICSSON(LM)TEL                ADR        294821608        4        398 SH  -    OTHER   01                  0       157        0
D ERICSSON(LM)TEL                ADR        294821608       20       2139 SH  -    OTHER   10                  0         0     2139
D ERIE INDTY CO                  COMMON     29530P102       44        615 SH  -    OTHER   02                  0       606        0
D ERIE INDTY CO                  COMMON     29530P102        1         18 SH  -    OTHER   02                  4         8        6

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 311
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ERIE INDTY CO                  COMMON     29530P102      376       5289 SH  -    DEFINED 04               5289         0        0
D ERIE INDTY CO                  COMMON     29530P102       32        448 SH  -    DEFINED 05                448         0        0
D ERIE INDTY CO                  COMMON     29530P102       76       1064 SH  -    DEFINED 08               1064         0        0
D ESCO TECHNOLOGIES INC          COMMON     296315104        4        157 SH  -    DEFINED 02                  0       157        0
D ESCO TECHNOLOGIES INC          COMMON     296315104      233       9129 SH  -    OTHER   02                  0      9129        0
D ESCO TECHNOLOGIES INC          COMMON     296315104        8        325 SH  -    OTHER   02                  0         0      325
D ESCO TECHNOLOGIES INC          COMMON     296315104      474      18598 SH  -    DEFINED 04              18598         0        0
D ESCO TECHNOLOGIES INC          COMMON     296315104      317      12425 SH  -    DEFINED 05              12425         0        0
D ESSEX PROP TRUST               COMMON     297178105     5363      44673 SH  -    DEFINED 04              33044         0    11629
D ESSEX PROP TRUST               COMMON     297178105     2797      23299 SH  -    DEFINED 04              23299         0        0
D ESSEX PROP TRUST               COMMON     297178105      151       1261 SH  -    DEFINED 05               1261         0        0
D ESSEX PROP TRUST               COMMON     297178105       39        322 SH  -    DEFINED 06                322         0        0
D ESSEX PROP TRUST               COMMON     297178105      272       2266 SH  -    DEFINED 08               2266         0        0
D ESSEX PROP TRUST               COMMON     297178105     1296      10798 SH  -    OTHER   10                  0         0    10798
D ESTERLINE TECHNOLOGIES CORP    COMMON     297425100        8        155 SH  -    OTHER   02                  0       155        0
D ESTERLINE TECHNOLOGIES CORP    COMMON     297425100     5466     105440 SH  -    DEFINED 04              90340         0    15100
D ESTERLINE TECHNOLOGIES CORP    COMMON     297425100     2200      42431 SH  -    DEFINED 04              42431         0        0
D ESTERLINE TECHNOLOGIES CORP    COMMON     297425100       46        885 SH  -    DEFINED 05                885         0        0
D ESTERLINE TECHNOLOGIES CORP    COMMON     297425100      170       3283 SH  -    DEFINED 08               3283         0        0
D ETHAN ALLEN INTERS             COMMON     297602104      264      19431 SH  -    DEFINED 04              19431         0        0
D ETHAN ALLEN INTERS             COMMON     297602104      165      12105 SH  -    DEFINED 05              12105         0        0
D EURONET WORLDWIDE              COMMON     298736109        4        276 SH  -    OTHER   02                  0       276        0
D EURONET WORLDWIDE              COMMON     298736109      198      12600 SH  -    DEFINED 04              12600         0        0
D EURONET WORLDWIDE              COMMON     298736109      974      61900 SH  -    DEFINED 04              61900         0        0
D EURONET WORLDWIDE              COMMON     298736109       11        697 SH  -    DEFINED 05                697         0        0
D EURONET WORLDWIDE              COMMON     298736109      119       7552 SH  -    DEFINED 08               7552         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 312
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EXACT SCIENCES CORP            COMMON     30063P105       35       5350 SH  -    OTHER   02                  0      5350        0
D EXACT SCIENCES CORP            COMMON     30063P105      413      62229 SH  -    DEFINED 05              62229         0        0
D EXACT SCIENCES CORP            COMMON     30063P105       22       3287 SH  -    DEFINED 08               3287         0        0
D EXAR CORP                      COMMON     300645108        2        300 SH  -    OTHER   02                  0       300        0
D EXAR CORP                      COMMON     300645108       77      13500 SH  -    DEFINED 04              13500         0        0
D EXAR CORP                      COMMON     300645108      183      32070 SH  -    DEFINED 04              32070         0        0
D EXAR CORP                      COMMON     300645108      119      20784 SH  -    DEFINED 05              20784         0        0
D EXCEL TR INC                   COMMON     30068C109      123      12800 SH  -    DEFINED 02              12800         0        0
D EXCEL TR INC                   COMMON     30068C109     9937    1032982 SH  -    DEFINED 04             956830         0    76152
D EXCEL TR INC                   COMMON     30068C109       23       2427 SH  -    DEFINED 04               2427         0        0
D EXCEL TR INC                   COMMON     30068C109       47       4900 SH  -    DEFINED 04               4900         0        0
D EXCEL TR INC                   COMMON     30068C109       13       1300 SH  -    DEFINED 04               1300         0        0
D EXCEL TR INC                   COMMON     30068C109      291      30300 SH  -    DEFINED 04              23500         0        0
D EXCEL TR INC                   COMMON     30068C109        7        743 SH  -    OTHER   04                  0       743        0
D EXCEL TR INC                   COMMON     30068C109       24       2495 SH  -    DEFINED 08               2495         0        0
D EXELON CORP                    COMMON     30161N101      259       6081 SH  -    DEFINED 02               6081         0        0
D EXELON CORP                    COMMON     30161N101     1293      30355 SH  -    DEFINED 02              30355         0        0
D EXELON CORP                    COMMON     30161N101      432      10132 SH  -    DEFINED 02               7832         0     2300
D EXELON CORP                    COMMON     30161N101     2063      48426 SH  -    OTHER   02              14722     29239     4327
D EXELON CORP                    COMMON     30161N101      819      19221 SH  -    OTHER   02              16973       180     2068
D EXELON CORP                    COMMON     30161N101   125853    2953606 SH  -    DEFINED 04            2672283         0   281323
D EXELON CORP                    COMMON     30161N101     5572     130767 SH  -    DEFINED 04             130767         0        0
D EXELON CORP                    COMMON     30161N101     8147     191207 SH  -    DEFINED 04             191207         0        0
D EXELON CORP                    COMMON     30161N101     3128      73415 SH  -    DEFINED 04              41481         0    31934
D EXELON CORP                    COMMON     30161N101       62       1460 SH  -    DEFINED 04                  0         0     1460
D EXELON CORP                    COMMON     30161N101      281       6585 SH  -    OTHER   04                  0      6585        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 313
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EXELON CORP                    COMMON     30161N101    13695     321400 SH  -    DEFINED 05             321400         0        0
D EXELON CORP                    COMMON     30161N101    12499     293344 SH  -    DEFINED 09             274159     19185        0
D EXELON CORP                    COMMON     30161N101      813      19072 SH  -    DEFINED 09              19072         0        0
D EXELON CORP                    COMMON     30161N101     5840     137050 SH  -    DEFINED 09             137050         0        0
D EXELON CORP                    COMMON     30161N101      232       5437 SH  -    OTHER   09                  0      5437        0
D EXELON CORP                    COMMON     30161N101        6        133 SH  -    OTHER   01                  0       133        0
D EXELON CORP                    COMMON     30161N101     1052      24688 SH  -    OTHER   10                  0         0    24688
D EXELON CORP                    OPTION     30161N903     6528     153200 SH  C    DEFINED 05             153200         0        0
D EXELON CORP                    OPTION     30161N903     5539     130000 SH  C    DEFINED 08             130000         0        0
D EXELIXIS INC                   COMMON     30161Q104        4        815 SH  -    OTHER   02                  0         0      815
D EXELIXIS INC                   COMMON     30161Q104      290      53200 SH  -    DEFINED 04              53200         0        0
D EXELIXIS INC                   COMMON     30161Q104      995     182200 SH  -    DEFINED 04             182200         0        0
D EXELIXIS INC                   COMMON     30161Q104     1083     198432 SH  -    DEFINED 05             198432         0        0
D EXELIXIS INC                   COMMON     30161Q104       43       7935 SH  -    DEFINED 08               7935         0        0
D EXETER RES CORP                COMMON     301835104    11026    3037363 SH  -    DEFINED 09            3037363         0        0
D EXIDE TECHNOLOGIES             COMMON     302051206        3        800 SH  -    OTHER   02                  0       800        0
D EXIDE TECHNOLOGIES             COMMON     302051206        4        995 SH  -    DEFINED 05                995         0        0
D EXIDE TECHNOLOGIES             COMMON     302051206       82      20555 SH  -    DEFINED 08              20555         0        0
D EXPEDIA INC DEL                COMMON     30212P105      378      14670 SH  -    DEFINED 02               1020         0    13650
D EXPEDIA INC DEL                COMMON     30212P105        1         57 SH  -    DEFINED 02                 57         0        0
D EXPEDIA INC DEL                COMMON     30212P105       61       2357 SH  -    DEFINED 02               2244         0      113
D EXPEDIA INC DEL                COMMON     30212P105      435      16908 SH  -    OTHER   02                 70     16799        0
D EXPEDIA INC DEL                COMMON     30212P105        2         60 SH  -    OTHER   02                  0        60        0
D EXPEDIA INC DEL                COMMON     30212P105    86442    3356955 SH  -    DEFINED 04            3083599         0   273356
D EXPEDIA INC DEL                COMMON     30212P105     2922     113479 SH  -    DEFINED 04             113479         0        0
D EXPEDIA INC DEL                COMMON     30212P105       15        600 SH  -    DEFINED 04                600         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 314
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EXPEDIA INC DEL                COMMON     30212P105       32       1260 SH  -    DEFINED 04               1260         0        0
D EXPEDIA INC DEL                COMMON     30212P105     1576      61200 SH  -    DEFINED 04              61200         0        0
D EXPEDIA INC DEL                COMMON     30212P105       10        402 SH  -    DEFINED 04                  0         0      402
D EXPEDIA INC DEL                COMMON     30212P105      944      36644 SH  -    OTHER   04                  0     36644        0
D EXPEDIA INC DEL                COMMON     30212P105     4827     187474 SH  -    OTHER   04                  0    187474        0
D EXPEDIA INC DEL                COMMON     30212P105     1658      64396 SH  -    DEFINED 05              64396         0        0
D EXPEDIA INC DEL                COMMON     30212P105      275      10670 SH  -    DEFINED 09              10670         0        0
D EXPEDIA INC DEL                COMMON     30212P105     1004      38973 SH  -    OTHER   10                  0         0    38973
D EXPEDIA INC DEL                OPTION     30212P907      469      18200 SH  C    DEFINED 05              18200         0        0
D EXPEDTRS INTL WASH             COMMON     302130109       31        755 SH  -    DEFINED 02                755         0        0
D EXPEDTRS INTL WASH             COMMON     302130109        0         12 SH  -    DEFINED 02                 12         0        0
D EXPEDTRS INTL WASH             COMMON     302130109      103       2530 SH  -    DEFINED 02               2444         0       86
D EXPEDTRS INTL WASH             COMMON     302130109     3618      89227 SH  -    OTHER   02               2733     76294    10200
D EXPEDTRS INTL WASH             COMMON     302130109      760      18749 SH  -    OTHER   02               2972      1093    14684
D EXPEDTRS INTL WASH             COMMON     302130109     1531      37755 SH  -    DEFINED 04              31683         0     6072
D EXPEDTRS INTL WASH             COMMON     302130109     1389      34250 SH  -    DEFINED 04              34250         0        0
D EXPEDTRS INTL WASH             COMMON     302130109      736      18143 SH  -    DEFINED 05              18143         0        0
D EXPEDTRS INTL WASH             COMMON     302130109      728      17962 SH  -    OTHER   01               7756     10026        0
D EXPEDTRS INTL WASH             COMMON     302130109      442      10891 SH  -    OTHER   10                  0         0    10891
D EXPEDTRS INTL WASH             OPTION     302130901      178       4400 SH  C    DEFINED 05               4400         0        0
D EXPONENT INC                   COMMON     30214U102        3         76 SH  -    OTHER   02                  0        76        0
D EXPONENT INC                   COMMON     30214U102      408       9883 SH  -    DEFINED 04               9883         0        0
D EXPONENT INC                   COMMON     30214U102      265       6420 SH  -    DEFINED 05               6420         0        0
D EXPRESS SCRIPTS IN             COMMON     302182100      385      10386 SH  -    DEFINED 02                721       475     9190
D EXPRESS SCRIPTS IN             COMMON     302182100      285       7682 SH  -    DEFINED 02               4251         0     3431
D EXPRESS SCRIPTS IN             COMMON     302182100      220       5943 SH  -    DEFINED 02               5626         0      317

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 315
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EXPRESS SCRIPTS IN             COMMON     302182100      864      23314 SH  -    OTHER   02                590     19899     2714
D EXPRESS SCRIPTS IN             COMMON     302182100      349       9411 SH  -    OTHER   02               1450        16     7945
D EXPRESS SCRIPTS IN             COMMON     302182100    51469    1388422 SH  -    DEFINED 04             910595         0   477827
D EXPRESS SCRIPTS IN             COMMON     302182100    27929     753406 SH  -    DEFINED 04             753406         0        0
D EXPRESS SCRIPTS IN             COMMON     302182100     5036     135860 SH  -    DEFINED 04             135860         0        0
D EXPRESS SCRIPTS IN             COMMON     302182100       41       1102 SH  -    DEFINED 04                  0         0     1102
D EXPRESS SCRIPTS IN             COMMON     302182100       27        722 SH  -    OTHER   04                  0       722        0
D EXPRESS SCRIPTS IN             COMMON     302182100    21448     578578 SH  -    DEFINED 05             578578         0        0
D EXPRESS SCRIPTS IN             COMMON     302182100       74       2000 SH  -    DEFINED 06               2000         0        0
D EXPRESS SCRIPTS IN             COMMON     302182100      669      18036 SH  -    DEFINED 09              18036         0        0
D EXPRESS SCRIPTS IN             COMMON     302182100      631      17009 SH  -    OTHER   10                  0         0    17009
D EXPRESS SCRIPTS IN             OPTION     302182902       15        400 SH  C    DEFINED 05                400         0        0
D EXPRESS SCRIPTS IN             OPTION     302182902     1854      50000 SH  C    DEFINED 08              50000         0        0
D EXPRESS INC                    COMMON     30219E103    17455     860276 SH  -    DEFINED 02             860276         0        0
D EXPRESS INC                    COMMON     30219E103        3        130 SH  -    OTHER   02                  0       130        0
D EXPRESS INC                    COMMON     30219E103     4235     208700 SH  -    DEFINED 04             158800         0    49900
D EXPRESS INC                    COMMON     30219E103     2835     139709 SH  -    DEFINED 04              80183         0    59526
D EXPRESS INC                    COMMON     30219E103       16        806 SH  -    DEFINED 05                806         0        0
D EXPRESS INC                    COMMON     30219E103       67       3314 SH  -    DEFINED 08               3314         0        0
D EXPRESS INC                    COMMON     30219E103    10812     532877 SH  -    DEFINED 09             496761     36116        0
D EXPRESS INC                    COMMON     30219E103      723      35651 SH  -    DEFINED 09              35651         0        0
D EXPRESS INC                    COMMON     30219E103     5120     252340 SH  -    DEFINED 09             252340         0        0
D EXPRESS INC                    COMMON     30219E103      129       6380 SH  -    OTHER   09                  0      6380        0
D EXTERRAN PARTNERS LP           COMMON     30225N105     8950     408310 SH  -    DEFINED 10             408310         0        0
D EXTERRAN PARTNERS LP           COMMON     30225N105      110       5000 SH  -    OTHER   10                  0         0     5000
D EXTRA SPACE STORAGE INC        COMMON     30225T102        1         27 SH  -    OTHER   02                  0        27        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 316
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EXTRA SPACE STORAGE INC        COMMON     30225T102      956      51330 SH  -    DEFINED 04              51330         0        0
D EXTRA SPACE STORAGE INC        COMMON     30225T102     1205      64707 SH  -    DEFINED 04              64707         0        0
D EXTRA SPACE STORAGE INC        COMMON     30225T102      841      45117 SH  -    DEFINED 05              45117         0        0
D EXTRA SPACE STORAGE INC        COMMON     30225T102       19        996 SH  -    DEFINED 06                996         0        0
D EXTERRAN HLDGS INC             BOND       30225XAA1     2723    3000000 PRN -    DEFINED 05                  0         0        0
D EXTERRAN HLDGS INC             COMMON     30225X103       51       5280 SH  -    OTHER   02                  0       280     5000
D EXTERRAN HLDGS INC             COMMON     30225X103        0         14 SH  -    OTHER   02                 14         0        0
D EXTERRAN HLDGS INC             COMMON     30225X103     9546     982073 SH  -    DEFINED 04             905790         0    76283
D EXTERRAN HLDGS INC             COMMON     30225X103        9        918 SH  -    DEFINED 05                918         0        0
D EXTERRAN HLDGS INC             COMMON     30225X103     1313     135083 SH  -    DEFINED 08             135083         0        0
D EXTORRE GOLD MINES LTD         COMMON     30227B109        1        156 SH  -    DEFINED 08                156         0        0
D EXTORRE GOLD MINES LTD         COMMON     30227B109    21183    3590400 SH  -    DEFINED 09            3590400         0        0
D EZCORP INC                     COMMON     302301106        0         12 SH  -    OTHER   02                  0        12        0
D EZCORP INC                     COMMON     302301106      590      20667 SH  -    DEFINED 04              20667         0        0
D EZCORP INC                     COMMON     302301106     2635      92317 SH  -    DEFINED 04              92317         0        0
D EZCORP INC                     COMMON     302301106      580      20318 SH  -    DEFINED 05              20318         0        0
D EZCORP INC                     COMMON     302301106        1         46 SH  -    OTHER   01                  0        46        0
D EXXON MOBIL CORP               COMMON     30231G102   281381    3874168 SH  -    DEFINED 02            3649526     23635   201007
D EXXON MOBIL CORP               COMMON     30231G102    80002    1101496 SH  -    DEFINED 02            1079103      2774    19619
D EXXON MOBIL CORP               COMMON     30231G102     1036      14258 SH  -    DEFINED 02              14258         0        0
D EXXON MOBIL CORP               COMMON     30231G102     5889      81084 SH  -    DEFINED 02              62109         0    18975
D EXXON MOBIL CORP               COMMON     30231G102   940643   12951169 SH  -    OTHER   02            6586850   6011302   348710
D EXXON MOBIL CORP               COMMON     30231G102   103128    1419907 SH  -    OTHER   02            1191703     48542   179662
D EXXON MOBIL CORP               COMMON     30231G102     1381      19011 SH  -    OTHER   02                  0     19011        0
D EXXON MOBIL CORP               COMMON     30231G102      396       5447 SH  -    OTHER   02                  0      5447        0
D EXXON MOBIL CORP               COMMON     30231G102     2006      27619 SH  -    OTHER   02                  0     27619        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 317
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D EXXON MOBIL CORP               COMMON     30231G102       59        819 SH  -    OTHER   02                  0       819        0
D EXXON MOBIL CORP               COMMON     30231G102  1161948   15998182 SH  -    DEFINED 04           12060985         0  3937197
D EXXON MOBIL CORP               COMMON     30231G102   102388    1409726 SH  -    DEFINED 04            1409726         0        0
D EXXON MOBIL CORP               COMMON     30231G102    59161     814557 SH  -    DEFINED 04             814557         0        0
D EXXON MOBIL CORP               COMMON     30231G102      760      10464 SH  -    DEFINED 04              10464         0        0
D EXXON MOBIL CORP               COMMON     30231G102     6269      86321 SH  -    DEFINED 04              56727         0    29594
D EXXON MOBIL CORP               COMMON     30231G102     1046      14405 SH  -    DEFINED 04                  0         0    14405
D EXXON MOBIL CORP               COMMON     30231G102    41237     567774 SH  -    OTHER   04                  0    567774        0
D EXXON MOBIL CORP               COMMON     30231G102   188025    2588805 SH  -    DEFINED 05            2588805         0        0
D EXXON MOBIL CORP               COMMON     30231G102     4388      60416 SH  -    DEFINED 06              60416         0        0
D EXXON MOBIL CORP               COMMON     30231G102    31231     430000 SH  -    DEFINED 08             430000         0        0
D EXXON MOBIL CORP               COMMON     30231G102    29592     407432 SH  -    DEFINED 09             389117     18315        0
D EXXON MOBIL CORP               COMMON     30231G102     1693      23304 SH  -    DEFINED 09              23304         0        0
D EXXON MOBIL CORP               COMMON     30231G102    10861     149545 SH  -    DEFINED 09             149545         0        0
D EXXON MOBIL CORP               COMMON     30231G102    11567     159255 SH  -    OTHER   09                  0    159255        0
D EXXON MOBIL CORP               COMMON     30231G102   151063    2079904 SH  -    DEFINED 01            2045417      2758    31729
D EXXON MOBIL CORP               COMMON     30231G102     5578      76802 SH  -    OTHER   01              53207     10706    12889
D EXXON MOBIL CORP               COMMON     30231G102    11398     156937 SH  -    OTHER   10                  0         0   156937
D EXXON MOBIL CORP               OPTION     30231G904    55039     757800 SH  C    DEFINED 05             757800         0        0
D EXXON MOBIL CORP               OPTION     30231G904    57102     786200 SH  C    DEFINED 08             786200         0        0
D EXXON MOBIL CORP               OPTION     30231G953    35879     494000 SH  P    DEFINED 05             494000         0        0
D EXXON MOBIL CORP               OPTION     30231G953     9413     129600 SH  P    DEFINED 08             129600         0        0
D FBL FINL GROUP INC             COMMON     30239F106       10        359 SH  -    OTHER   02                  0       359        0
D FBL FINL GROUP INC             COMMON     30239F106     1097      41200 SH  -    DEFINED 04              41200         0        0
D FBL FINL GROUP INC             COMMON     30239F106      314      11800 SH  -    DEFINED 04              11800         0        0
D FBL FINL GROUP INC             COMMON     30239F106        9        346 SH  -    DEFINED 05                346         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 318
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FBL FINL GROUP INC             COMMON     30239F106       19        729 SH  -    DEFINED 08                729         0        0
D FBL FINL GROUP INC             COMMON     30239F106      103       3886 SH  -    DEFINED 09               3886         0        0
D FEI CO                         BOND       30241LAF6      380     319000 PRN -    DEFINED 05                  0         0        0
D FEI CO                         COMMON     30241L109     1920      64075 SH  -    DEFINED 04              59150         0     4925
D FEI CO                         COMMON     30241L109      830      27714 SH  -    DEFINED 04              27714         0        0
D FEI CO                         COMMON     30241L109      547      18273 SH  -    DEFINED 05              18273         0        0
D FEI CO                         COMMON     30241L109      288       9622 SH  -    DEFINED 08               9622         0        0
D FLIR SYS INC                   COMMON     302445101       11        435 SH  -    DEFINED 02                435         0        0
D FLIR SYS INC                   COMMON     302445101       48       1907 SH  -    DEFINED 02               1841         0       66
D FLIR SYS INC                   COMMON     302445101      187       7449 SH  -    OTHER   02                  0      1049     6400
D FLIR SYS INC                   COMMON     302445101        0          6 SH  -    OTHER   02                  0         0        6
D FLIR SYS INC                   COMMON     302445101      712      28436 SH  -    DEFINED 04              23863         0     4573
D FLIR SYS INC                   COMMON     302445101      645      25746 SH  -    DEFINED 04              25746         0        0
D FLIR SYS INC                   COMMON     302445101      857      34218 SH  -    DEFINED 05              34218         0        0
D FLIR SYS INC                   COMMON     302445101        1         55 SH  -    OTHER   10                  0         0       55
D FMC TECHNOLOGIES INC           COMMON     30249U101       38       1000 SH  -    DEFINED 02               1000         0        0
D FMC TECHNOLOGIES INC           COMMON     30249U101       96       2566 SH  -    DEFINED 02               2566         0        0
D FMC TECHNOLOGIES INC           COMMON     30249U101      111       2940 SH  -    DEFINED 02               2768         0      172
D FMC TECHNOLOGIES INC           COMMON     30249U101      265       7037 SH  -    OTHER   02                180      5111     1696
D FMC TECHNOLOGIES INC           COMMON     30249U101       26        694 SH  -    OTHER   02                  0        10      684
D FMC TECHNOLOGIES INC           COMMON     30249U101    25838     687190 SH  -    DEFINED 04             335490         0   351700
D FMC TECHNOLOGIES INC           COMMON     30249U101    16461     437782 SH  -    DEFINED 04             437782         0        0
D FMC TECHNOLOGIES INC           COMMON     30249U101     4082     108570 SH  -    DEFINED 04             108570         0        0
D FMC TECHNOLOGIES INC           COMMON     30249U101       18        486 SH  -    OTHER   04                  0       486        0
D FMC TECHNOLOGIES INC           COMMON     30249U101      443      11781 SH  -    DEFINED 05              11781         0        0
D FMC TECHNOLOGIES INC           COMMON     30249U101        6        152 SH  -    OTHER   01                  0       152        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 319
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FMC TECHNOLOGIES INC           COMMON     30249U101        4        111 SH  -    OTHER   10                  0         0      111
D FMC CORP                       COMMON     302491303     2661      38471 SH  -    DEFINED 02              38471         0        0
D FMC CORP                       COMMON     302491303      159       2300 SH  -    DEFINED 02               2300         0        0
D FMC CORP                       COMMON     302491303       60        871 SH  -    DEFINED 02                825         0       46
D FMC CORP                       COMMON     302491303      267       3864 SH  -    OTHER   02                 49      1775     2025
D FMC CORP                       COMMON     302491303       72       1036 SH  -    OTHER   02                  0        11     1025
D FMC CORP                       COMMON     302491303     2176      31464 SH  -    OTHER   02                  0     31464        0
D FMC CORP                       COMMON     302491303    56435     816000 SH  -    DEFINED 04             444105         0   371895
D FMC CORP                       COMMON     302491303    19139     276739 SH  -    DEFINED 04             276739         0        0
D FMC CORP                       COMMON     302491303      107       1554 SH  -    OTHER   04                  0      1554        0
D FMC CORP                       COMMON     302491303      104       1509 SH  -    DEFINED 05               1509         0        0
D FMC CORP                       COMMON     302491303      302       4365 SH  -    DEFINED 06               4365         0        0
D FNB CORP PA                    COMMON     302520101       32       3766 SH  -    OTHER   02                  0      3766        0
D FNB CORP PA                    COMMON     302520101     4731     552020 SH  -    DEFINED 04             504420         0    47600
D FNB CORP PA                    COMMON     302520101     2776     323866 SH  -    DEFINED 04             323866         0        0
D FNB CORP PA                    COMMON     302520101      860     100341 SH  -    DEFINED 05             100341         0        0
D FPIC INSURANCE GP              COMMON     302563101        9        212 SH  -    OTHER   02                  0         0      212
D FPIC INSURANCE GP              COMMON     302563101       37        879 SH  -    DEFINED 05                879         0        0
D FPIC INSURANCE GP              COMMON     302563101       14        328 SH  -    DEFINED 08                328         0        0
D FPIC INSURANCE GP              COMMON     302563101     3560      85077 SH  -    DEFINED 09              85077         0        0
D FX ENERGY INC                  COMMON     302695101      256      62000 SH  -    OTHER   02                  0         0    62000
D FX ENERGY INC                  COMMON     302695101        3        791 SH  -    DEFINED 05                791         0        0
D FX ENERGY INC                  COMMON     302695101       19       4690 SH  -    DEFINED 08               4690         0        0
D FTI CONSULTING INC             COMMON     302941109       12        328 SH  -    OTHER   02                  0       328        0
D FTI CONSULTING INC             COMMON     302941109       33        900 SH  -    DEFINED 04                900         0        0
D FTI CONSULTING INC             COMMON     302941109     1146      31120 SH  -    DEFINED 04              31120         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 320
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FTI CONSULTING INC             COMMON     302941109       50       1351 SH  -    DEFINED 05               1351         0        0
D FTI CONSULTING INC             COMMON     302941109      202       5489 SH  -    DEFINED 08               5489         0        0
D FTI CONSULTING INC             COMMON     302941109        6        150 SH  -    OTHER   10                  0         0      150
D FACTSET RESH SYS INC           COMMON     303075105        4         41 SH  -    DEFINED 02                 41         0        0
D FACTSET RESH SYS INC           COMMON     303075105       89       1000 SH  -    DEFINED 02               1000         0        0
D FACTSET RESH SYS INC           COMMON     303075105      351       3948 SH  -    OTHER   02               1430       618     1900
D FACTSET RESH SYS INC           COMMON     303075105       83        928 SH  -    OTHER   02                  5         8      915
D FACTSET RESH SYS INC           COMMON     303075105    25497     286580 SH  -    DEFINED 04             132565         0   154015
D FACTSET RESH SYS INC           COMMON     303075105    16470     185116 SH  -    DEFINED 04             185116         0        0
D FACTSET RESH SYS INC           COMMON     303075105     2241      25190 SH  -    DEFINED 04              25190         0        0
D FACTSET RESH SYS INC           COMMON     303075105       11        126 SH  -    OTHER   04                  0       126        0
D FACTSET RESH SYS INC           COMMON     303075105      559       6285 SH  -    DEFINED 05               6285         0        0
D FACTSET RESH SYS INC           COMMON     303075105      152       1709 SH  -    DEFINED 08               1709         0        0
D FACTSET RESH SYS INC           COMMON     303075105        1         11 SH  -    OTHER   10                  0         0       11
D FAIR ISAAC CORP                COMMON     303250104     1161      53164 SH  -    DEFINED 04              50764         0     2400
D FAIR ISAAC CORP                COMMON     303250104     3837     175774 SH  -    DEFINED 04             175774         0        0
D FAIR ISAAC CORP                COMMON     303250104       13        603 SH  -    DEFINED 05                603         0        0
D FAIR ISAAC CORP                COMMON     303250104       73       3351 SH  -    DEFINED 08               3351         0        0
D FAIR ISAAC CORP                COMMON     303250104       92       4200 SH  -    OTHER   10                  0         0     4200
D FAIRCHILD SEMICONDUCTOR INTL   COMMON     303726103        5        461 SH  -    OTHER   02                  0       357        0
D FAIRCHILD SEMICONDUCTOR INTL   COMMON     303726103      803      74320 SH  -    DEFINED 04              74320         0        0
D FAIRCHILD SEMICONDUCTOR INTL   COMMON     303726103     4213     390063 SH  -    DEFINED 04             390063         0        0
D FAIRCHILD SEMICONDUCTOR INTL   COMMON     303726103       43       3937 SH  -    DEFINED 05               3937         0        0
D FAIRCHILD SEMICONDUCTOR INTL   COMMON     303726103      776      71842 SH  -    DEFINED 08              71842         0        0
D FAMILY DOLLAR STRS             COMMON     307000109      419       8245 SH  -    DEFINED 02                325         0     7920
D FAMILY DOLLAR STRS             COMMON     307000109       73       1443 SH  -    DEFINED 02               1386         0       57

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 321
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FAMILY DOLLAR STRS             COMMON     307000109     1767      34742 SH  -    OTHER   02                674     33376      692
D FAMILY DOLLAR STRS             COMMON     307000109        1         15 SH  -    OTHER   02                  0        15        0
D FAMILY DOLLAR STRS             COMMON     307000109    82266    1617506 SH  -    DEFINED 04            1337563         0   279943
D FAMILY DOLLAR STRS             COMMON     307000109     1038      20400 SH  -    DEFINED 04              20400         0        0
D FAMILY DOLLAR STRS             COMMON     307000109      129       2530 SH  -    DEFINED 04               2530         0        0
D FAMILY DOLLAR STRS             COMMON     307000109     1343      26400 SH  -    DEFINED 04              26400         0        0
D FAMILY DOLLAR STRS             COMMON     307000109       77       1510 SH  -    DEFINED 04                  0         0     1510
D FAMILY DOLLAR STRS             COMMON     307000109      699      13749 SH  -    OTHER   04                  0     13749        0
D FAMILY DOLLAR STRS             COMMON     307000109     3441      67660 SH  -    OTHER   04                  0     67660        0
D FAMILY DOLLAR STRS             COMMON     307000109     6284     123555 SH  -    DEFINED 05             123555         0        0
D FAMILY DOLLAR STRS             COMMON     307000109      202       3975 SH  -    DEFINED 08               3975         0        0
D FAMILY DOLLAR STRS             COMMON     307000109     1187      23333 SH  -    DEFINED 09              23333         0        0
D FAMILY DOLLAR STRS             COMMON     307000109       36        700 SH  -    OTHER   10                  0         0      700
D FAMILY DOLLAR STRS             OPTION     307000901       10        200 SH  C    DEFINED 05                200         0        0
D FARO TECHNOLOGIES              COMMON     311642102      366      11612 SH  -    DEFINED 04              11612         0        0
D FARO TECHNOLOGIES              COMMON     311642102      245       7753 SH  -    DEFINED 05               7753         0        0
D FARO TECHNOLOGIES              COMMON     311642102        3         90 SH  -    OTHER   10                  0         0       90
D FASTENAL                       COMMON     311900104        2         58 SH  -    DEFINED 02                 58         0        0
D FASTENAL                       COMMON     311900104       16        467 SH  -    DEFINED 02                467         0        0
D FASTENAL                       COMMON     311900104      119       3584 SH  -    DEFINED 02               3401         0      183
D FASTENAL                       COMMON     311900104    16825     505557 SH  -    OTHER   02              26152    397697    81646
D FASTENAL                       COMMON     311900104      979      29411 SH  -    OTHER   02               6460        29    22922
D FASTENAL                       COMMON     311900104     2618      78653 SH  -    DEFINED 04              70204         0     8449
D FASTENAL                       COMMON     311900104     1584      47590 SH  -    DEFINED 04              47590         0        0
D FASTENAL                       COMMON     311900104      251       7555 SH  -    DEFINED 05               7555         0        0
D FASTENAL                       COMMON     311900104     1113      33442 SH  -    OTHER   01              24600      8842        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 322
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FEDERAL REALTY INVT TR         COMMON     313747206     2774      33657 SH  -    DEFINED 04              29070         0     4587
D FEDERAL REALTY INVT TR         COMMON     313747206     4995      60608 SH  -    DEFINED 04              60608         0        0
D FEDERAL REALTY INVT TR         COMMON     313747206     1379      16732 SH  -    DEFINED 05              16732         0        0
D FEDERAL REALTY INVT TR         COMMON     313747206       38        465 SH  -    DEFINED 06                465         0        0
D FEDERAL REALTY INVT TR         COMMON     313747206     1349      16366 SH  -    DEFINED 08              16366         0        0
D FEDERAL SIGNAL CORP            COMMON     313855108        5       1190 SH  -    OTHER   02                  0      1190        0
D FEDERAL SIGNAL CORP            COMMON     313855108        1        330 SH  -    OTHER   02                  0         0      330
D FEDERAL SIGNAL CORP            COMMON     313855108       95      21500 SH  -    DEFINED 04              21500         0        0
D FEDERAL SIGNAL CORP            COMMON     313855108      125      28190 SH  -    DEFINED 04              28190         0        0
D FEDERAL SIGNAL CORP            COMMON     313855108      128      29029 SH  -    DEFINED 05              29029         0        0
D FEDERATED INVS INC PA          COMMON     314211103       11        600 SH  -    DEFINED 02                600         0        0
D FEDERATED INVS INC PA          COMMON     314211103       19       1087 SH  -    DEFINED 02               1069         0       18
D FEDERATED INVS INC PA          COMMON     314211103      490      27950 SH  -    OTHER   02                  0     27950        0
D FEDERATED INVS INC PA          COMMON     314211103       15        840 SH  -    OTHER   02                  0         0      840
D FEDERATED INVS INC PA          COMMON     314211103     2623     149617 SH  -    DEFINED 04             144260         0     5357
D FEDERATED INVS INC PA          COMMON     314211103      262      14947 SH  -    DEFINED 04              14947         0        0
D FEDERATED INVS INC PA          COMMON     314211103      437      24936 SH  -    DEFINED 05              24936         0        0
D FEDERATED INVS INC PA          COMMON     314211103        3        164 SH  -    OTHER   01                  0       164        0
D FEDEX CORP                     COMMON     31428X106     3497      51669 SH  -    DEFINED 02              43149       100     8420
D FEDEX CORP                     COMMON     31428X106      438       6477 SH  -    DEFINED 02               6367         0      110
D FEDEX CORP                     COMMON     31428X106      261       3850 SH  -    DEFINED 02               3654         0      196
D FEDEX CORP                     COMMON     31428X106     3181      46997 SH  -    OTHER   02              10782     32744     3471
D FEDEX CORP                     COMMON     31428X106      506       7479 SH  -    OTHER   02               4285       637     2557
D FEDEX CORP                     COMMON     31428X106     2359      34848 SH  -    OTHER   02                  0     34848        0
D FEDEX CORP                     COMMON     31428X106     4324      63894 SH  -    DEFINED 04              54818         0     9076
D FEDEX CORP                     COMMON     31428X106     3441      50845 SH  -    DEFINED 04              50845         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 323
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FEDEX CORP                     COMMON     31428X106    44912     663591 SH  -    DEFINED 05             663591         0        0
D FEDEX CORP                     COMMON     31428X106    10484     154900 SH  -    DEFINED 08             154900         0        0
D FEDEX CORP                     COMMON     31428X106       72       1067 SH  -    OTHER   01                  0       967      100
D FEDEX CORP                     COMMON     31428X106     1673      24712 SH  -    OTHER   10                  0         0    24712
D FEDEX CORP                     OPTION     31428X908      393       5800 SH  C    DEFINED 05               5800         0        0
D FEDEX CORP                     OPTION     31428X908     3519      52000 SH  C    DEFINED 08              52000         0        0
D FEDEX CORP                     OPTION     31428X957      250       3700 SH  P    DEFINED 05               3700         0        0
D FEDEX CORP                     OPTION     31428X957     1015      15000 SH  P    DEFINED 08              15000         0        0
D FELCOR LODGING TRS             COMMON     31430F101      390     167250 SH  -    DEFINED 04             167250         0        0
D FELCOR LODGING TRS             COMMON     31430F101      427     183400 SH  -    DEFINED 04             183400         0        0
D FELCOR LODGING TRS             COMMON     31430F101        9       3700 SH  -    DEFINED 04               3700         0        0
D FELCOR LODGING TRS             COMMON     31430F101      560     240532 SH  -    DEFINED 05             240532         0        0
D FELCOR LODGING TRS             COMMON     31430F101        2        856 SH  -    DEFINED 06                856         0        0
D FELCOR LODGING TRS             COMMON     31430F101     3241    1391011 SH  -    DEFINED 08            1391011         0        0
D FERRELLGAS PARTNERS L.P.       COMMON     315293100    14909     751093 SH  -    DEFINED 10             751093         0        0
D FERRELLGAS PARTNERS L.P.       COMMON     315293100        9        450 SH  -    OTHER   10                  0         0      450
D FERRO CORP                     COMMON     315405100        0         54 SH  -    OTHER   02                  0        54        0
D FERRO CORP                     COMMON     315405100      625     101689 SH  -    DEFINED 04             101689         0        0
D FERRO CORP                     COMMON     315405100        7       1171 SH  -    DEFINED 05               1171         0        0
D FERRO CORP                     COMMON     315405100       31       5045 SH  -    DEFINED 08               5045         0        0
D F5 NETWORK INC                 COMMON     315616102       19        264 SH  -    DEFINED 02                264         0        0
D F5 NETWORK INC                 COMMON     315616102      105       1480 SH  -    DEFINED 02               1480         0        0
D F5 NETWORK INC                 COMMON     315616102       69        976 SH  -    DEFINED 02                930         0       46
D F5 NETWORK INC                 COMMON     315616102       27        376 SH  -    OTHER   02                  0       364        0
D F5 NETWORK INC                 COMMON     315616102        1         12 SH  -    OTHER   02                  0        12        0
D F5 NETWORK INC                 COMMON     315616102    26042     366536 SH  -    DEFINED 04             161634         0   204902

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 324
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D F5 NETWORK INC                 COMMON     315616102    16123     226922 SH  -    DEFINED 04             226922         0        0
D F5 NETWORK INC                 COMMON     315616102      954      13430 SH  -    DEFINED 04              13430         0        0
D F5 NETWORK INC                 COMMON     315616102        5         74 SH  -    OTHER   04                  0        74        0
D F5 NETWORK INC                 COMMON     315616102      175       2466 SH  -    DEFINED 05               2466         0        0
D F5 NETWORK INC                 COMMON     315616102       14        204 SH  -    OTHER   01                204         0        0
D F5 NETWORK INC                 COMMON     315616102        2         35 SH  -    OTHER   10                  0         0       35
D FIBRIA CELULOSE S A            ADR        31573A109        4        537 SH  -    OTHER   02                  0         0      537
D FIBRIA CELULOSE S A            ADR        31573A109       23       3086 SH  -    OTHER   02                  0         0     3086
D FIBRIA CELULOSE S A            ADR        31573A109    17281    2282872 SH  -    DEFINED 08            2282872         0        0
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106       32       1313 SH  -    DEFINED 02               1313         0        0
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106        2         81 SH  -    DEFINED 02                 81         0        0
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106       73       3008 SH  -    DEFINED 02               2856         0      152
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106      366      15035 SH  -    OTHER   02               2500     12475        0
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106        7        275 SH  -    OTHER   02                  0       153      122
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106     9428     387655 SH  -    DEFINED 04             369107         0    18548
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106     4217     173391 SH  -    DEFINED 04             173391         0        0
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106        2        100 SH  -    OTHER   04                  0       100        0
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106      166       6827 SH  -    DEFINED 05               6827         0        0
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106       35       1451 SH  -    DEFINED 08               1451         0        0
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106     1992      81925 SH  -    OTHER   01              81867        58        0
D FIDELITY NATL INFORMATION SVCS COMMON     31620M106       15        632 SH  -    OTHER   10                  0         0      632
D FIDELITY NATIONAL FINANCIAL IN COMMON     31620R105      121       8000 SH  -    DEFINED 02               8000         0        0
D FIDELITY NATIONAL FINANCIAL IN COMMON     31620R105       27       1786 SH  -    OTHER   02                  0      1786        0
D FIDELITY NATIONAL FINANCIAL IN COMMON     31620R105      376      24775 SH  -    DEFINED 04              24775         0        0
D FIDELITY NATIONAL FINANCIAL IN COMMON     31620R105     4057     267240 SH  -    DEFINED 04             267240         0        0
D FIDELITY NATIONAL FINANCIAL IN COMMON     31620R105      186      12225 SH  -    DEFINED 05              12225         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 325
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FIDELITY NATIONAL FINANCIAL IN COMMON     31620R105        6        415 SH  -    DEFINED 06                415         0        0
D FIDELITY NATIONAL FINANCIAL IN COMMON     31620R105     1419      93482 SH  -    DEFINED 08              93482         0        0
D 5TH THIRD BANCORP              COMMON     316773100      341      33726 SH  -    DEFINED 02              15406       900    17420
D 5TH THIRD BANCORP              COMMON     316773100     1058     104721 SH  -    DEFINED 02              24101         0    80620
D 5TH THIRD BANCORP              COMMON     316773100      268      26581 SH  -    DEFINED 02              15801         0    10780
D 5TH THIRD BANCORP              COMMON     316773100     1308     129511 SH  -    OTHER   02              27304     99494     2713
D 5TH THIRD BANCORP              COMMON     316773100      107      10586 SH  -    OTHER   02               9600       290      696
D 5TH THIRD BANCORP              COMMON     316773100        7        700 SH  -    OTHER   02                  0       700        0
D 5TH THIRD BANCORP              COMMON     316773100   123096   12187740 SH  -    DEFINED 04           10752578         0  1435162
D 5TH THIRD BANCORP              COMMON     316773100     4881     483259 SH  -    DEFINED 04             483259         0        0
D 5TH THIRD BANCORP              COMMON     316773100     7494     742016 SH  -    DEFINED 04             742016         0        0
D 5TH THIRD BANCORP              COMMON     316773100     1689     167225 SH  -    DEFINED 04             167225         0        0
D 5TH THIRD BANCORP              COMMON     316773100       27       2675 SH  -    DEFINED 04                  0         0     2675
D 5TH THIRD BANCORP              COMMON     316773100      820      81220 SH  -    OTHER   04                  0     81220        0
D 5TH THIRD BANCORP              COMMON     316773100     4180     413878 SH  -    OTHER   04                  0    413878        0
D 5TH THIRD BANCORP              COMMON     316773100    27434    2716283 SH  -    DEFINED 05            2716283         0        0
D 5TH THIRD BANCORP              COMMON     316773100       18       1758 SH  -    DEFINED 06               1758         0        0
D 5TH THIRD BANCORP              COMMON     316773100     1371     135731 SH  -    DEFINED 08             135731         0        0
D 5TH THIRD BANCORP              COMMON     316773100        9        940 SH  -    OTHER   01                  0       740      200
D 5TH THIRD BANCORP              COMMON     316773100        4        371 SH  -    OTHER   10                  0         0      371
D FIFTH THIRD BANCORP            PREF CONV  316773209     4605      36000 SH  -    DEFINED 09                  0         0        0
D FIFTH THIRD BANCORP            PREF CONV  316773209      307       2400 SH  -    DEFINED 09                  0         0        0
D 5TH THIRD BANCORP              OPTION     316773902        2        200 SH  C    DEFINED 05                200         0        0
D 5TH THIRD BANCORP              OPTION     316773951        3        300 SH  P    DEFINED 05                300         0        0
D FINANCIAL ENGINES INC          COMMON     317485100       12        690 SH  -    OTHER   02                  0       690        0
D FINANCIAL ENGINES INC          COMMON     317485100    10363     572251 SH  -    DEFINED 04             469247         0   103004

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 326
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FINANCIAL ENGINES INC          COMMON     317485100     5254     290100 SH  -    DEFINED 04             290100         0        0
D FINANCIAL ENGINES INC          COMMON     317485100     1056      58300 SH  -    DEFINED 04              58300         0        0
D FINANCIAL ENGINES INC          COMMON     317485100      326      18022 SH  -    DEFINED 05              18022         0        0
D FINANCIAL INSTNS INC           COMMON     317585404     7477     524360 SH  -    OTHER   02                  0         0   524360
D FINANCIAL INSTNS INC           COMMON     317585404     2646     185555 SH  -    DEFINED 04             167855         0    17700
D FINANCIAL INSTNS INC           COMMON     317585404     1020      71500 SH  -    DEFINED 04              71500         0        0
D FINANCIAL INSTNS INC           COMMON     317585404        0          1 SH  -    DEFINED 05                  1         0        0
D FINANCIAL INSTNS INC           COMMON     317585404       18       1271 SH  -    DEFINED 08               1271         0        0
D FINISAR CORP                   COMMON     31787A507       24       1357 SH  -    OTHER   02                  0      1357        0
D FINISAR CORP                   COMMON     31787A507     1224      69800 SH  -    DEFINED 04              69800         0        0
D FINISAR CORP                   COMMON     31787A507      392      22359 SH  -    DEFINED 05              22359         0        0
D FINISAR CORP                   COMMON     31787A507       76       4342 SH  -    DEFINED 08               4342         0        0
D FINISAR CORP                   COMMON     31787A507       13        742 SH  -    OTHER   10                  0         0      742
D FINISH LINE INC                COMMON     317923100      607      30352 SH  -    OTHER   02                  0     30352        0
D FINISH LINE INC                COMMON     317923100    10008     500665 SH  -    DEFINED 04             458065         0    42600
D FINISH LINE INC                COMMON     317923100     3079     154036 SH  -    DEFINED 04             154036         0        0
D FINISH LINE INC                COMMON     317923100      502      25103 SH  -    DEFINED 05              25103         0        0
D FIRST AMERN FINL CORP          COMMON     31847R102      220      17200 SH  -    DEFINED 02                  0         0    17200
D FIRST AMERN FINL CORP          COMMON     31847R102        2        125 SH  -    DEFINED 02                125         0        0
D FIRST AMERN FINL CORP          COMMON     31847R102      934      72937 SH  -    DEFINED 02              72937         0        0
D FIRST AMERN FINL CORP          COMMON     31847R102       52       4045 SH  -    OTHER   02                147      2108     1790
D FIRST AMERN FINL CORP          COMMON     31847R102      367      28650 SH  -    OTHER   02               1520      1070    26060
D FIRST AMERN FINL CORP          COMMON     31847R102     8133     635360 SH  -    DEFINED 04             349279         0   286081
D FIRST AMERN FINL CORP          COMMON     31847R102     3102     242360 SH  -    DEFINED 04             242360         0        0
D FIRST AMERN FINL CORP          COMMON     31847R102       20       1590 SH  -    DEFINED 05               1590         0        0
D FIRST AMERN FINL CORP          COMMON     31847R102      109       8481 SH  -    DEFINED 08               8481         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 327
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FIRST AMERN FINL CORP          COMMON     31847R102        4        275 SH  -    OTHER   10                  0         0      275
D FIRST BANCORP P R              COMMON     318672706      118      42205 SH  -    DEFINED 04              42205         0        0
D FIRST BANCORP P R              COMMON     318672706       27       9623 SH  -    DEFINED 05               9623         0        0
D FIRST BANCORP N C              COMMON     318910106       30       2995 SH  -    OTHER   02                  0      1435     1560
D FIRST BANCORP N C              COMMON     318910106      745      74170 SH  -    DEFINED 04              71570         0     2600
D FIRST BANCORP N C              COMMON     318910106        2        230 SH  -    DEFINED 05                230         0        0
D FIRST BANCORP N C              COMMON     318910106        9        890 SH  -    DEFINED 08                890         0        0
D FIRST BUSEY CORP               COMMON     319383105        1        121 SH  -    OTHER   02                  0       121        0
D FIRST BUSEY CORP               COMMON     319383105     1462     336100 SH  -    DEFINED 04             301200         0    34900
D FIRST BUSEY CORP               COMMON     319383105      433      99600 SH  -    DEFINED 04              99600         0        0
D FIRST BUSEY CORP               COMMON     319383105        5       1114 SH  -    DEFINED 05               1114         0        0
D FIRST BUSEY CORP               COMMON     319383105       17       4016 SH  -    DEFINED 08               4016         0        0
D 1ST CASH FIN SVS               COMMON     31942D107        8        185 SH  -    DEFINED 02                185         0        0
D 1ST CASH FIN SVS               COMMON     31942D107        8        185 SH  -    OTHER   02                  0       185        0
D 1ST CASH FIN SVS               COMMON     31942D107      377       8984 SH  -    DEFINED 04               8984         0        0
D 1ST CASH FIN SVS               COMMON     31942D107      935      22289 SH  -    DEFINED 04              22289         0        0
D 1ST CASH FIN SVS               COMMON     31942D107    13596     324100 SH  -    DEFINED 04             324100         0        0
D 1ST CASH FIN SVS               COMMON     31942D107     1355      32300 SH  -    DEFINED 04              32300         0        0
D 1ST CASH FIN SVS               COMMON     31942D107      602      14359 SH  -    DEFINED 05              14359         0        0
D 1ST CASH FIN SVS               COMMON     31942D107      236       5619 SH  -    OTHER   10                  0         0     5619
D FIRST CTZNS BANCSHARES INC N C COMMON     31946M103        9         64 SH  -    OTHER   02                  0        54        0
D FIRST CTZNS BANCSHARES INC N C COMMON     31946M103      130        905 SH  -    DEFINED 04                905         0        0
D FIRST CTZNS BANCSHARES INC N C COMMON     31946M103      560       3900 SH  -    DEFINED 04               3900         0        0
D FIRST CTZNS BANCSHARES INC N C COMMON     31946M103       11         80 SH  -    DEFINED 05                 80         0        0
D FIRST CTZNS BANCSHARES INC N C COMMON     31946M103       61        424 SH  -    DEFINED 08                424         0        0
D FIRST CTZNS BANCSHARES INC N C COMMON     31946M103        6         40 SH  -    OTHER   01                  0        40        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 328
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D 1ST COMMONWLTH FIN             COMMON     319829107     7130    1926950 SH  -    DEFINED 04            1735450         0   191500
D 1ST COMMONWLTH FIN             COMMON     319829107     2754     744194 SH  -    DEFINED 04             744194         0        0
D 1ST COMMONWLTH FIN             COMMON     319829107      181      48946 SH  -    DEFINED 05              48946         0        0
D FIRST CMNTY BANCSHARES INC NEV COMMON     31983A103     1708     167440 SH  -    DEFINED 04             151740         0    15700
D FIRST CMNTY BANCSHARES INC NEV COMMON     31983A103      227      22300 SH  -    DEFINED 04              22300         0        0
D FIRST CMNTY BANCSHARES INC NEV COMMON     31983A103        2        231 SH  -    DEFINED 05                231         0        0
D FIRST CMNTY BANCSHARES INC NEV COMMON     31983A103       10        938 SH  -    DEFINED 08                938         0        0
D FIRST CONN BANCORP INC MD      COMMON     319850103      457      40336 SH  -    DEFINED 05              40336         0        0
D 1ST FINL BANKSHS               COMMON     32020R109       89       3391 SH  -    OTHER   02                 42      1204     2145
D 1ST FINL BANKSHS               COMMON     32020R109      101       3850 SH  -    DEFINED 04               3850         0        0
D 1ST FINL BANKSHS               COMMON     32020R109     1098      41991 SH  -    DEFINED 04              41991         0        0
D 1ST FINL BANKSHS               COMMON     32020R109      384      14679 SH  -    DEFINED 05              14679         0        0
D 1ST FINL BANCORP               COMMON     320209109        9        678 SH  -    OTHER   02                  0       634        0
D 1ST FINL BANCORP               COMMON     320209109    32785    2375729 SH  -    DEFINED 04            2204987         0   170742
D 1ST FINL BANCORP               COMMON     320209109     2318     167946 SH  -    DEFINED 04             167946         0        0
D 1ST FINL BANCORP               COMMON     320209109      406      29440 SH  -    DEFINED 05              29440         0        0
D 1ST FINL BANCORP               COMMON     320209109       78       5619 SH  -    DEFINED 08               5619         0        0
D 1ST FINL CORP IND              COMMON     320218100      600      21800 SH  -    DEFINED 04              21800         0        0
D 1ST FINL CORP IND              COMMON     320218100        4        160 SH  -    DEFINED 05                160         0        0
D 1ST FINL CORP IND              COMMON     320218100       18        660 SH  -    DEFINED 08                660         0        0
D 1ST FINL HLDGS INC             COMMON     320239106        0         77 SH  -    OTHER   02                  0        77        0
D 1ST FINL HLDGS INC             COMMON     320239106       47      11700 SH  -    DEFINED 04              11700         0        0
D 1ST FINL HLDGS INC             COMMON     320239106        1        238 SH  -    DEFINED 05                238         0        0
D 1ST FINL HLDGS INC             COMMON     320239106        4        968 SH  -    DEFINED 08                968         0        0
D FIRST HORIZON NATL CORP        COMMON     320517105       19       3135 SH  -    DEFINED 02               3039         0       96
D FIRST HORIZON NATL CORP        COMMON     320517105      230      38619 SH  -    OTHER   02              21601     17018        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 329
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FIRST HORIZON NATL CORP        COMMON     320517105        6       1027 SH  -    OTHER   02                  0       247      780
D FIRST HORIZON NATL CORP        COMMON     320517105      474      79581 SH  -    DEFINED 04              72031         0     7550
D FIRST HORIZON NATL CORP        COMMON     320517105      253      42508 SH  -    DEFINED 04              42508         0        0
D FIRST HORIZON NATL CORP        COMMON     320517105     5264     883153 SH  -    DEFINED 05             883153         0        0
D FIRST HORIZON NATL CORP        COMMON     320517105     1189     199460 SH  -    DEFINED 08             199460         0        0
D FIRST INDUSTRIAL REALTY TRUST  COMMON     32054K103    10510    1313807 SH  -    DEFINED 04             959332         0   354475
D FIRST INDUSTRIAL REALTY TRUST  COMMON     32054K103      524      65500 SH  -    DEFINED 04              65500         0        0
D FIRST INDUSTRIAL REALTY TRUST  COMMON     32054K103       29       3653 SH  -    DEFINED 04               3653         0        0
D FIRST INDUSTRIAL REALTY TRUST  COMMON     32054K103       89      11080 SH  -    OTHER   04                  0     11080        0
D FIRST INDUSTRIAL REALTY TRUST  COMMON     32054K103       10       1242 SH  -    DEFINED 05               1242         0        0
D FIRST INDUSTRIAL REALTY TRUST  COMMON     32054K103        1         84 SH  -    DEFINED 06                 84         0        0
D FIRST INDUSTRIAL REALTY TRUST  COMMON     32054K103        0          1 SH  -    OTHER   10                  0         0        1
D FIRST INTST BANCSYSTEM INC     COMMON     32055Y201        7        643 SH  -    OTHER   02                  0       643        0
D FIRST INTST BANCSYSTEM INC     COMMON     32055Y201      352      32825 SH  -    DEFINED 04              30625         0     2200
D FIRST INTST BANCSYSTEM INC     COMMON     32055Y201      368      34400 SH  -    DEFINED 04              34400         0        0
D FIRST INTST BANCSYSTEM INC     COMMON     32055Y201        2        233 SH  -    DEFINED 05                233         0        0
D FIRST INTST BANCSYSTEM INC     COMMON     32055Y201       12       1093 SH  -    DEFINED 08               1093         0        0
D FIRST LONG IS CORP             COMMON     320734106     4519     199417 SH  -    DEFINED 04             191830         0     7587
D FIRST LONG IS CORP             COMMON     320734106        0          1 SH  -    DEFINED 05                  1         0        0
D FIRST LONG IS CORP             COMMON     320734106       11        480 SH  -    DEFINED 08                480         0        0
D FIRST MARBLEHEAD CORP          COMMON     320771108        2       1500 SH  -    OTHER   02               1500         0        0
D FIRST MARBLEHEAD CORP          COMMON     320771108        1        919 SH  -    DEFINED 05                919         0        0
D FIRST MARBLEHEAD CORP          COMMON     320771108        3       3134 SH  -    DEFINED 08               3134         0        0
D FIRST MARBLEHEAD CORP          COMMON     320771108       13      13125 SH  -    OTHER   10                  0         0    13125
D FIRST MERCHANTS CORP           COMMON     320817109      186      26345 SH  -    DEFINED 02              26345         0        0
D FIRST MERCHANTS CORP           COMMON     320817109        6        831 SH  -    OTHER   02                  0       831        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 330
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FIRST MERCHANTS CORP           COMMON     320817109       90      12719 SH  -    OTHER   02              12719         0        0
D FIRST MERCHANTS CORP           COMMON     320817109      939     133160 SH  -    DEFINED 04             119460         0    13700
D FIRST MERCHANTS CORP           COMMON     320817109      162      23000 SH  -    DEFINED 04              23000         0        0
D FIRST MERCHANTS CORP           COMMON     320817109        3        389 SH  -    DEFINED 05                389         0        0
D FIRST MERCHANTS CORP           COMMON     320817109       11       1505 SH  -    DEFINED 08               1505         0        0
D FIRST MIDWEST BANCORP DEL      COMMON     320867104        5        734 SH  -    OTHER   02                  0       734        0
D FIRST MIDWEST BANCORP DEL      COMMON     320867104     1020     139400 SH  -    DEFINED 04             139400         0        0
D FIRST MIDWEST BANCORP DEL      COMMON     320867104      395      53970 SH  -    DEFINED 04              53970         0        0
D FIRST MIDWEST BANCORP DEL      COMMON     320867104      255      34768 SH  -    DEFINED 05              34768         0        0
D FIRST NIAGARA FINL GP INC      COMMON     33582V108       32       3500 SH  -    DEFINED 02               3500         0        0
D FIRST NIAGARA FINL GP INC      COMMON     33582V108      181      19765 SH  -    OTHER   02                  0     19765        0
D FIRST NIAGARA FINL GP INC      COMMON     33582V108       49       5371 SH  -    OTHER   02                  0         0     5371
D FIRST NIAGARA FINL GP INC      COMMON     33582V108     2290     250301 SH  -    DEFINED 04             237064         0    13237
D FIRST NIAGARA FINL GP INC      COMMON     33582V108     2002     218772 SH  -    DEFINED 04             218772         0        0
D FIRST NIAGARA FINL GP INC      COMMON     33582V108      151      16484 SH  -    DEFINED 05              16484         0        0
D FIRST NIAGARA FINL GP INC      COMMON     33582V108      310      33833 SH  -    DEFINED 08              33833         0        0
D FIRST NIAGARA FINL GP INC      COMMON     33582V108        2        193 SH  -    OTHER   10                  0         0      193
D FIRST REP BK SAN FRAN CALI NEW COMMON     33616C100     1800      77704 SH  -    OTHER   02                  0     77704        0
D FIRST REP BK SAN FRAN CALI NEW COMMON     33616C100       67       2891 SH  -    OTHER   02                  0         0     2891
D FIRST REP BK SAN FRAN CALI NEW COMMON     33616C100    23907    1032243 SH  -    DEFINED 04             920503         0   111740
D FIRST REP BK SAN FRAN CALI NEW COMMON     33616C100       48       2090 SH  -    DEFINED 04               2090         0        0
D FIRST REP BK SAN FRAN CALI NEW COMMON     33616C100       32       1389 SH  -    DEFINED 04                  0         0     1389
D FIRST REP BK SAN FRAN CALI NEW COMMON     33616C100      132       5703 SH  -    DEFINED 08               5703         0        0
D FIRST REP BK SAN FRAN CALI NEW COMMON     33616C100        5        224 SH  -    OTHER   01                  0       224        0
D FIRST SOLAR INC                COMMON     336433107        9        150 SH  -    DEFINED 02                150         0        0
D FIRST SOLAR INC                COMMON     336433107       44        704 SH  -    DEFINED 02                677         0       27

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 331
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FIRST SOLAR INC                COMMON     336433107     2573      40705 SH  -    OTHER   02               1061     34626     5018
D FIRST SOLAR INC                COMMON     336433107      154       2430 SH  -    OTHER   02                207       161     2062
D FIRST SOLAR INC                COMMON     336433107      706      11168 SH  -    DEFINED 04               9488         0     1680
D FIRST SOLAR INC                COMMON     336433107     1033      16336 SH  -    DEFINED 04              16336         0        0
D FIRST SOLAR INC                COMMON     336433107     5767      91241 SH  -    DEFINED 05              91241         0        0
D FIRST SOLAR INC                COMMON     336433107     1699      26871 SH  -    DEFINED 08              26871         0        0
D FIRST SOLAR INC                COMMON     336433107      113       1791 SH  -    OTHER   01                  0      1753        0
D FIRST SOLAR INC                COMMON     336433107      853      13494 SH  -    OTHER   10                  0         0    13494
D FIRST SOLAR INC                OPTION     336433958       76       1200 SH  P    DEFINED 05               1200         0        0
D FIRST SOLAR INC                OPTION     336433958     1112      17600 SH  P    DEFINED 08              17600         0        0
D FIRST SOUTH BANCORP INC VA     COMMON     33646W100       40      11000 SH  -    DEFINED 04              11000         0        0
D 1ST SOURCE CORP                COMMON     336901103       23       1128 SH  -    DEFINED 02               1128         0        0
D 1ST SOURCE CORP                COMMON     336901103     1032      49555 SH  -    DEFINED 04              47155         0     2400
D 1ST SOURCE CORP                COMMON     336901103     1044      50100 SH  -    DEFINED 04              50100         0        0
D 1ST SOURCE CORP                COMMON     336901103        5        222 SH  -    DEFINED 05                222         0        0
D 1ST SOURCE CORP                COMMON     336901103       19        892 SH  -    DEFINED 08                892         0        0
D FIRST TR MORNINGSTAR DIV LEADR COMMON     336917109      308      19127 SH  -    OTHER   10                  0         0    19127
D FIRST TR ISE WATER INDEX FD    COMMON     33733B100      498      26643 SH  -    OTHER   10                  0         0    26643
D FIRST TR EXCHANGE TRADED FD    COMMON     33733E203     1433      43345 SH  -    OTHER   10                  0         0    43345
D FIRST TR EXCHANGE TRADED FD    COMMON     33733E302     1659      56557 SH  -    OTHER   10                  0         0    56557
D FIRST TR EXCHANGE TRADED FD    COMMON     33733E401      494      24460 SH  -    OTHER   10                  0         0    24460
D FIRST TR S&P REIT INDEX FD     COMMON     33734G108     1831     134865 SH  -    OTHER   10                  0         0   134865
D FIRST TR LRGE CP CORE ALPHA FD COMMON     33734K109       25       1000 SH  -    OTHER   02               1000         0        0
D FIRST TR LRGE CP CORE ALPHA FD COMMON     33734K109     1205      49159 SH  -    OTHER   10                  0         0    49159
D FIRST TR EXCHANGE TRADED FD II COMMON     33734X101     1597      88826 SH  -    OTHER   10                  0         0    88826
D FIRST TR EXCHANGE TRADED FD II COMMON     33734X119      503      22528 SH  -    OTHER   10                  0         0    22528

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 332
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FIRST TR EXCHANGE TRADED FD II COMMON     33734X135      506      43026 SH  -    OTHER   10                  0         0    43026
D FIRST TR EXCHANGE TRADED FD II COMMON     33734X143      824      32171 SH  -    OTHER   10                  0         0    32171
D FIRST TR EXCHANGE TRADED FD II COMMON     33734X150      494      33513 SH  -    OTHER   10                  0         0    33513
D FIRST TR EXCHANGE TRADED FD II COMMON     33734X168     1375      75233 SH  -    OTHER   10                  0         0    75233
D FIRST TR EXCHANGE TRADED FD II COMMON     33734X176      494      27045 SH  -    OTHER   10                  0         0    27045
D FIRST TR EXCHANGE TRADED FD II COMMON     33734X184      823      48974 SH  -    OTHER   10                  0         0    48974
D FIRST TR SML CP CORE ALPHA FD  COMMON     33734Y109      786      30734 SH  -    OTHER   10                  0         0    30734
D FIRST TR NASDAQ100 TECH INDEX  COMMON     337345102     2719     125180 SH  -    DEFINED 05             125180         0        0
D FIRST TR NASDAQ100 TECH INDEX  COMMON     337345102      502      23107 SH  -    OTHER   10                  0         0    23107
D FIRST TR MID CAP CORE ALPHADEX COMMON     33735B108      634      22253 SH  -    OTHER   10                  0         0    22253
D FIRST TR FTSE EPRA/NAREIT DEVL COMMON     33736N101      524      17506 SH  -    OTHER   10                  0         0    17506
D 1ST UNITED BANCORP INC FLA     COMMON     33740N105       55      11240 SH  -    DEFINED 04              11240         0        0
D 1ST UNITED BANCORP INC FLA     COMMON     33740N105      328      66500 SH  -    DEFINED 04              66500         0        0
D 1ST UNITED BANCORP INC FLA     COMMON     33740N105       12       2472 SH  -    DEFINED 08               2472         0        0
D FIRSTSERVICE CORP              COMMON     33761N109    14637     569092 SH  -    DEFINED 04             531570         0    37522
D FIRSTSERVICE CORP              COMMON     33761N109        5        207 SH  -    DEFINED 08                207         0        0
D FISERV INC                     COMMON     337738108       20        385 SH  -    DEFINED 02                385         0        0
D FISERV INC                     COMMON     337738108       87       1722 SH  -    DEFINED 02               1632         0       90
D FISERV INC                     COMMON     337738108     2594      51099 SH  -    OTHER   02                  0     50286      813
D FISERV INC                     COMMON     337738108      333       6565 SH  -    OTHER   02                  0        10     6555
D FISERV INC                     COMMON     337738108     2101      41384 SH  -    DEFINED 04              37331         0     4053
D FISERV INC                     COMMON     337738108     1197      23577 SH  -    DEFINED 04              23577         0        0
D FISERV INC                     COMMON     337738108     6283     123764 SH  -    DEFINED 05             123764         0        0
D FISERV INC                     COMMON     337738108      560      11035 SH  -    OTHER   01              11000        35        0
D FISERV INC                     COMMON     337738108      463       9124 SH  -    OTHER   10                  0         0     9124
D FIRSTMERIT CORP                COMMON     337915102       16       1402 SH  -    OTHER   02                  0      1402        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 333
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FIRSTMERIT CORP                COMMON     337915102       58       5066 SH  -    OTHER   02                  0         0     5066
D FIRSTMERIT CORP                COMMON     337915102     1007      88610 SH  -    DEFINED 04              88610         0        0
D FIRSTMERIT CORP                COMMON     337915102     3255     286553 SH  -    DEFINED 04             286553         0        0
D FIRSTMERIT CORP                COMMON     337915102       79       6917 SH  -    DEFINED 05               6917         0        0
D FIRSTMERIT CORP                COMMON     337915102      158      13919 SH  -    DEFINED 08              13919         0        0
D FIRSTMERIT CORP                COMMON     337915102       54       4733 SH  -    OTHER   10                  0         0     4733
D FLAGSTAR BANCORP INC           COMMON     337930507        2       3351 SH  -    DEFINED 05               3351         0        0
D FLAGSTAR BANCORP INC           COMMON     337930507        6      12430 SH  -    DEFINED 08              12430         0        0
D FIRSTENERGY CORP               COMMON     337932107       36        810 SH  -    DEFINED 02                410         0      400
D FIRSTENERGY CORP               COMMON     337932107      299       6657 SH  -    DEFINED 02               6657         0        0
D FIRSTENERGY CORP               COMMON     337932107      230       5113 SH  -    DEFINED 02               4819         0      294
D FIRSTENERGY CORP               COMMON     337932107      525      11681 SH  -    OTHER   02               5132      6349      200
D FIRSTENERGY CORP               COMMON     337932107      294       6543 SH  -    OTHER   02               5974        12      557
D FIRSTENERGY CORP               COMMON     337932107    26318     586009 SH  -    DEFINED 04             176936         0   409073
D FIRSTENERGY CORP               COMMON     337932107     3431      76399 SH  -    DEFINED 04              76399         0        0
D FIRSTENERGY CORP               COMMON     337932107      137       3050 SH  -    DEFINED 04               3050         0        0
D FIRSTENERGY CORP               COMMON     337932107      262       5823 SH  -    OTHER   04                  0      5823        0
D FIRSTENERGY CORP               COMMON     337932107      995      22150 SH  -    DEFINED 05              22150         0        0
D FIRSTENERGY CORP               COMMON     337932107      753      16768 SH  -    DEFINED 08              16768         0        0
D FIRSTENERGY CORP               COMMON     337932107      717      15970 SH  -    DEFINED 09              15970         0        0
D FIRSTENERGY CORP               COMMON     337932107      395       8800 SH  -    DEFINED 01               8800         0        0
D FIRSTENERGY CORP               COMMON     337932107        1         29 SH  -    OTHER   01                  0        29        0
D FIRSTENERGY CORP               COMMON     337932107       99       2203 SH  -    OTHER   10                  0         0     2203
D FIRSTENERGY CORP               OPTION     337932909     4271      95100 SH  C    DEFINED 05              95100         0        0
D FIVE STAR QUALITY CARE INC     COMMON     33832D106     1983     793075 SH  -    DEFINED 04             747222         0    45853
D FIVE STAR QUALITY CARE INC     COMMON     33832D106        0          1 SH  -    DEFINED 05                  1         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 334
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FIVE STAR QUALITY CARE INC     COMMON     33832D106        6       2391 SH  -    DEFINED 08               2391         0        0
D FLEETCOR TECHNOLOGIES INC      COMMON     339041105       63       2400 SH  -    DEFINED 02               2400         0        0
D FLEETCOR TECHNOLOGIES INC      COMMON     339041105        0         11 SH  -    OTHER   02                  0        11        0
D FLEETCOR TECHNOLOGIES INC      COMMON     339041105     4899     186550 SH  -    DEFINED 04             144850         0    41700
D FLEETCOR TECHNOLOGIES INC      COMMON     339041105     8448     321700 SH  -    DEFINED 04             321700         0        0
D FLEETCOR TECHNOLOGIES INC      COMMON     339041105       35       1334 SH  -    DEFINED 05               1334         0        0
D FLOTEK INDS INC DEL            COMMON     343389102       14       3000 SH  -    OTHER   02               3000         0        0
D FLOTEK INDS INC DEL            COMMON     343389102        3        718 SH  -    DEFINED 05                718         0        0
D FLOTEK INDS INC DEL            COMMON     343389102       86      18500 SH  -    OTHER   10                  0         0    18500
D FLUOR CORP                     COMMON     343412102     1516      32564 SH  -    DEFINED 02              16658       500    15406
D FLUOR CORP                     COMMON     343412102      431       9250 SH  -    DEFINED 02               8969         0      281
D FLUOR CORP                     COMMON     343412102     7356     158019 SH  -    DEFINED 02             158019         0        0
D FLUOR CORP                     COMMON     343412102      657      14106 SH  -    DEFINED 02               5398         0     8708
D FLUOR CORP                     COMMON     343412102     1968      42275 SH  -    OTHER   02               1118     40668      489
D FLUOR CORP                     COMMON     343412102      109       2348 SH  -    OTHER   02               1468         5      875
D FLUOR CORP                     COMMON     343412102       12        250 SH  -    OTHER   02                  0       250        0
D FLUOR CORP                     COMMON     343412102   231281    4968440 SH  -    DEFINED 04            3871844         0  1096596
D FLUOR CORP                     COMMON     343412102     4693     100806 SH  -    DEFINED 04             100806         0        0
D FLUOR CORP                     COMMON     343412102    18047     387699 SH  -    DEFINED 04             387699         0        0
D FLUOR CORP                     COMMON     343412102     6204     133280 SH  -    DEFINED 04             133280         0        0
D FLUOR CORP                     COMMON     343412102    27948     600380 SH  -    DEFINED 04             597007         0     3373
D FLUOR CORP                     COMMON     343412102      201       4308 SH  -    DEFINED 04                  0         0     4308
D FLUOR CORP                     COMMON     343412102       30        638 SH  -    OTHER   04                  0       638        0
D FLUOR CORP                     COMMON     343412102    17482     375563 SH  -    DEFINED 05             375563         0        0
D FLUOR CORP                     COMMON     343412102     1196      25689 SH  -    DEFINED 08              25689         0        0
D FLUOR CORP                     COMMON     343412102    67498    1450020 SH  -    DEFINED 09            1416875         0    14335

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 335
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FLUOR CORP                     COMMON     343412102      907      19491 SH  -    DEFINED 09              19491         0        0
D FLUOR CORP                     COMMON     343412102     3439      73871 SH  -    DEFINED 09              73871         0        0
D FLUOR CORP                     COMMON     343412102     6415     137800 SH  -    DEFINED 09              45190         0        0
D FLUOR CORP                     COMMON     343412102      456       9793 SH  -    OTHER   09                  0      9793        0
D FLUOR CORP                     COMMON     343412102       28        610 SH  -    DEFINED 01                500         0      110
D FLUOR CORP                     COMMON     343412102       12        260 SH  -    OTHER   01                  0       210       50
D FLUOR CORP                     COMMON     343412102      503      10799 SH  -    OTHER   10                  0         0    10799
D FLOWERS FOODS INC              COMMON     343498101      206      10577 SH  -    OTHER   02               2362      4270     3945
D FLOWERS FOODS INC              COMMON     343498101      159       8166 SH  -    OTHER   02                  0        13     8153
D FLOWERS FOODS INC              COMMON     343498101     1035      53209 SH  -    DEFINED 04              53209         0        0
D FLOWERS FOODS INC              COMMON     343498101       34       1740 SH  -    DEFINED 05               1740         0        0
D FLOWERS FOODS INC              COMMON     343498101       15        762 SH  -    OTHER   10                  0         0      762
D FLOWSERVE CORP                 COMMON     34354P105       21        285 SH  -    DEFINED 02                  0       285        0
D FLOWSERVE CORP                 COMMON     34354P105       25        341 SH  -    DEFINED 02                291         0       50
D FLOWSERVE CORP                 COMMON     34354P105       49        658 SH  -    DEFINED 02                642         0       16
D FLOWSERVE CORP                 COMMON     34354P105     1763      23830 SH  -    OTHER   02                  0     22284     1510
D FLOWSERVE CORP                 COMMON     34354P105      161       2170 SH  -    OTHER   02                190       540     1440
D FLOWSERVE CORP                 COMMON     34354P105     2909      39312 SH  -    DEFINED 04              13116         0    26196
D FLOWSERVE CORP                 COMMON     34354P105      666       8995 SH  -    DEFINED 04               8995         0        0
D FLOWSERVE CORP                 COMMON     34354P105       15        200 SH  -    DEFINED 04                200         0        0
D FLOWSERVE CORP                 COMMON     34354P105      227       3073 SH  -    DEFINED 05               3073         0        0
D FLOWSERVE CORP                 COMMON     34354P105       90       1210 SH  -    DEFINED 09               1210         0        0
D FLOWSERVE CORP                 COMMON     34354P105       31        420 SH  -    OTHER   01                  0       420        0
D FLOWSERVE CORP                 COMMON     34354P105       21        290 SH  -    OTHER   10                  0         0      290
D FLOWSERVE CORP                 OPTION     34354P956        7        100 SH  P    DEFINED 05                100         0        0
D FLUIDIGM CORP DEL              COMMON     34385P108        4        292 SH  -    OTHER   02                  0       292        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 336
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FLUIDIGM CORP DEL              COMMON     34385P108     6647     477145 SH  -    DEFINED 04             345060         0   132085
D FLUIDIGM CORP DEL              COMMON     34385P108     3027     217300 SH  -    DEFINED 04             217300         0        0
D FLUIDIGM CORP DEL              COMMON     34385P108     1031      74000 SH  -    DEFINED 04              74000         0        0
D FLUIDIGM CORP DEL              COMMON     34385P108        3        242 SH  -    DEFINED 05                242         0        0
D FLUIDIGM CORP DEL              COMMON     34385P108       22       1547 SH  -    DEFINED 08               1547         0        0
D FLUSHING FINL CORP             COMMON     343873105       16       1500 SH  -    OTHER   02               1500         0        0
D FLUSHING FINL CORP             COMMON     343873105      534      49460 SH  -    DEFINED 04              49460         0        0
D FLUSHING FINL CORP             COMMON     343873105        5        452 SH  -    DEFINED 05                452         0        0
D FLUSHING FINL CORP             COMMON     343873105       20       1864 SH  -    DEFINED 08               1864         0        0
D FLUSHING FINL CORP             COMMON     343873105    12289    1137852 SH  -    OTHER   01                  0         0  1137852
D FLY LEASING LTD                ADR        34407D109      261      23000 SH  -    OTHER   01              23000         0        0
D FOCUS MEDIA HLDG LTD           ADR        34415V109        1         75 SH  -    DEFINED 02                 75         0        0
D FOCUS MEDIA HLDG LTD           ADR        34415V109      132       7865 SH  -    OTHER   02                  0      7425      440
D FOCUS MEDIA HLDG LTD           ADR        34415V109        5        280 SH  -    OTHER   02                  0         0      280
D FOCUS MEDIA HLDG LTD           ADR        34415V109       67       3965 SH  -    DEFINED 05               3965         0        0
D FOCUS MEDIA HLDG LTD           ADR        34415V109        1         54 SH  -    DEFINED 08                 54         0        0
D FOCUS MEDIA HLDG LTD           ADR        34415V109       32       1900 SH  -    OTHER   01                  0      1900        0
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106        5         75 SH  -    DEFINED 02                 75         0        0
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106      744      11471 SH  -    DEFINED 02              11471         0        0
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106      368       5675 SH  -    OTHER   02                  0      5290      385
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106       16        240 SH  -    OTHER   02                  0         0      240
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106      501       7728 SH  -    OTHER   02                  0      7728        0
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106    32130     495673 SH  -    DEFINED 04             495673         0        0
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106    19341     298378 SH  -    DEFINED 04             149289         0   149089
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106     5432      83799 SH  -    DEFINED 08              83799         0        0
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106    13333     205685 SH  -    DEFINED 09             188670     17015        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 337
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106      806      12433 SH  -    DEFINED 09              12433         0        0
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106     5989      92393 SH  -    DEFINED 09              92393         0        0
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106      147       2262 SH  -    OTHER   09                  0      2262        0
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106       89       1375 SH  -    OTHER   01                  0      1375        0
D FOMENTO ECONOMICO MEXICANO SAB ADR        344419106        5         74 SH  -    OTHER   10                  0         0       74
D FOOT LOCKER INC                COMMON     344849104     1301      64743 SH  -    OTHER   02               1960     60768     2015
D FOOT LOCKER INC                COMMON     344849104        1         51 SH  -    OTHER   02                 14        37        0
D FOOT LOCKER INC                COMMON     344849104     5865     291916 SH  -    DEFINED 04             244516         0    47400
D FOOT LOCKER INC                COMMON     344849104     6282     312699 SH  -    DEFINED 04             312699         0        0
D FOOT LOCKER INC                COMMON     344849104      179       8902 SH  -    OTHER   04                  0      8902        0
D FOOT LOCKER INC                COMMON     344849104       71       3557 SH  -    DEFINED 05               3557         0        0
D FOOT LOCKER INC                COMMON     344849104      391      19466 SH  -    DEFINED 08              19466         0        0
D FOOT LOCKER INC                COMMON     344849104      796      39640 SH  -    DEFINED 09              39640         0        0
D FOOT LOCKER INC                COMMON     344849104      342      17030 SH  -    OTHER   01              10500      6530        0
D FORCE PROTECTION INC           COMMON     345203202      765     198800 SH  -    DEFINED 04             151300         0    47500
D FORCE PROTECTION INC           COMMON     345203202        4       1075 SH  -    DEFINED 05               1075         0        0
D FORCE PROTECTION INC           COMMON     345203202       16       4106 SH  -    DEFINED 08               4106         0        0
D FORD MTR CO DEL                BOND       345370CN8        5       4000 PRN -    DEFINED 02                  0         0        0
D FORD MTR CO DEL                BOND       345370CN8     4621    3558000 PRN -    DEFINED 05                  0         0        0
D FORD MOTOR CO                  COMMON     345370860     2356     243689 SH  -    DEFINED 02             243689         0        0
D FORD MOTOR CO                  COMMON     345370860      229      23633 SH  -    DEFINED 02              23633         0        0
D FORD MOTOR CO                  COMMON     345370860      448      46357 SH  -    DEFINED 02              43791         0     2566
D FORD MOTOR CO                  COMMON     345370860     1151     118980 SH  -    OTHER   02              49515     60766     8366
D FORD MOTOR CO                  COMMON     345370860      116      12002 SH  -    OTHER   02               8114       222     3666
D FORD MOTOR CO                  COMMON     345370860    34386    3555921 SH  -    DEFINED 04            3257233         0   298688
D FORD MOTOR CO                  COMMON     345370860     7619     787888 SH  -    DEFINED 04             787888         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 338
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FORD MOTOR CO                  COMMON     345370860      178      18423 SH  -    OTHER   04                  0     18423        0
D FORD MOTOR CO                  COMMON     345370860    40333    4170992 SH  -    DEFINED 05            4170992         0        0
D FORD MOTOR CO                  COMMON     345370860        7        708 SH  -    OTHER   01                  0       708        0
D FORD MOTOR CO                  COMMON     345370860     4700     486013 SH  -    OTHER   10                  0         0   486013
D FOREST CITY ENTERPRISES INC    BOND       345550AM9      131     123000 PRN -    DEFINED 05                  0         0        0
D FOREST CITY ENTERPRISES INC    COMMON     345550107       60       5584 SH  -    DEFINED 02                 84      5500        0
D FOREST CITY ENTERPRISES INC    COMMON     345550107      879      82414 SH  -    OTHER   02              78790      3624        0
D FOREST CITY ENTERPRISES INC    COMMON     345550107        1         72 SH  -    OTHER   02                  0        72        0
D FOREST CITY ENTERPRISES INC    COMMON     345550107      538      50500 SH  -    DEFINED 04              50500         0        0
D FOREST CITY ENTERPRISES INC    COMMON     345550107      284      26600 SH  -    DEFINED 04              26600         0        0
D FOREST CITY ENTERPRISES INC    COMMON     345550107       65       6063 SH  -    DEFINED 05               6063         0        0
D FOREST CITY ENTERPRISES INC    COMMON     345550107        7        676 SH  -    DEFINED 06                676         0        0
D FOREST CITY ENTERPRISES INC    COMMON     345550107        2        159 SH  -    OTHER   10                  0         0      159
D FOREST LABS INC                COMMON     345838106      337      10945 SH  -    DEFINED 02               7157      3788        0
D FOREST LABS INC                COMMON     345838106        7        243 SH  -    DEFINED 02                243         0        0
D FOREST LABS INC                COMMON     345838106      110       3572 SH  -    DEFINED 02               3164         0      408
D FOREST LABS INC                COMMON     345838106      536      17396 SH  -    OTHER   02               3784     12667      860
D FOREST LABS INC                COMMON     345838106       58       1875 SH  -    OTHER   02               1825        37       13
D FOREST LABS INC                COMMON     345838106     4601     149438 SH  -    DEFINED 04             141577         0     7861
D FOREST LABS INC                COMMON     345838106     3503     113781 SH  -    DEFINED 04             113781         0        0
D FOREST LABS INC                COMMON     345838106     2053      66688 SH  -    DEFINED 05              66688         0        0
D FOREST LABS INC                COMMON     345838106      624      20272 SH  -    DEFINED 08              20272         0        0
D FOREST LABS INC                COMMON     345838106        2         61 SH  -    OTHER   01                  0        61        0
D FOREST LABS INC                COMMON     345838106       34       1100 SH  -    OTHER   10                  0         0     1100
D FOREST LABS INC                OPTION     345838908      179       5800 SH  C    DEFINED 05               5800         0        0
D FOREST OIL CORP                COMMON     346091705        2        133 SH  -    DEFINED 02                133         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 339
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FOREST OIL CORP                COMMON     346091705      114       7945 SH  -    OTHER   02                  0      7386      509
D FOREST OIL CORP                COMMON     346091705      337      23400 SH  -    DEFINED 04              23400         0        0
D FOREST OIL CORP                COMMON     346091705    12280     852770 SH  -    DEFINED 04             852770         0        0
D FOREST OIL CORP                COMMON     346091705      236      16400 SH  -    DEFINED 05              16400         0        0
D FOREST OIL CORP                COMMON     346091705      780      54162 SH  -    OTHER   10                  0         0    54162
D FORESTAR GROUP INC             COMMON     346233109       22       2009 SH  -    OTHER   02                  0      2009        0
D FORESTAR GROUP INC             COMMON     346233109        3        290 SH  -    OTHER   02                  0         0      290
D FORESTAR GROUP INC             COMMON     346233109      916      84005 SH  -    DEFINED 04              84005         0        0
D FORESTAR GROUP INC             COMMON     346233109      181      16568 SH  -    DEFINED 05              16568         0        0
D FORRESTER RESEARCH             COMMON     346563109      344      10585 SH  -    DEFINED 04              10585         0        0
D FORRESTER RESEARCH             COMMON     346563109      226       6947 SH  -    DEFINED 05               6947         0        0
D FORTEGRA FINL CORP             COMMON     34954W104        0         79 SH  -    OTHER   02                  0        79        0
D FORTEGRA FINL CORP             COMMON     34954W104     1461     278277 SH  -    DEFINED 04             278277         0        0
D FORTEGRA FINL CORP             COMMON     34954W104        8       1440 SH  -    DEFINED 08               1440         0        0
D FORTINET INC                   COMMON     34959E109       52       3100 SH  -    DEFINED 02               3100         0        0
D FORTINET INC                   COMMON     34959E109       96       5723 SH  -    OTHER   02                  0       974     4749
D FORTINET INC                   COMMON     34959E109        5        286 SH  -    OTHER   02                  0         0      286
D FORTINET INC                   COMMON     34959E109    15324     912148 SH  -    DEFINED 04             591462         0   320686
D FORTINET INC                   COMMON     34959E109     4603     274000 SH  -    DEFINED 04             274000         0        0
D FORTINET INC                   COMMON     34959E109      846      50360 SH  -    DEFINED 04              50360         0        0
D FORTINET INC                   COMMON     34959E109     2289     136270 SH  -    DEFINED 04              77168         0    59102
D FORTINET INC                   COMMON     34959E109       46       2733 SH  -    DEFINED 05               2733         0        0
D FORTINET INC                   COMMON     34959E109     1163      69216 SH  -    DEFINED 08              69216         0        0
D FORTINET INC                   COMMON     34959E109     8812     524513 SH  -    DEFINED 09             489132     35381        0
D FORTINET INC                   COMMON     34959E109      587      34942 SH  -    DEFINED 09              34942         0        0
D FORTINET INC                   COMMON     34959E109     4249     252904 SH  -    DEFINED 09             252904         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 340
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FORTINET INC                   COMMON     34959E109      177      10509 SH  -    OTHER   09                  0     10509        0
D FORTINET INC                   COMMON     34959E109        5        270 SH  -    OTHER   10                  0         0      270
D FORTUNE BRANDS INC             COMMON     349631101       49        900 SH  -    DEFINED 02                900         0        0
D FORTUNE BRANDS INC             COMMON     349631101      184       3400 SH  -    DEFINED 02               3400         0        0
D FORTUNE BRANDS INC             COMMON     349631101      102       1881 SH  -    DEFINED 02               1780         0      101
D FORTUNE BRANDS INC             COMMON     349631101     1823      33711 SH  -    OTHER   02                500      2711    30500
D FORTUNE BRANDS INC             COMMON     349631101      112       2070 SH  -    OTHER   02               2050         7       13
D FORTUNE BRANDS INC             COMMON     349631101   212207    3923940 SH  -    DEFINED 04            3756318         0   167622
D FORTUNE BRANDS INC             COMMON     349631101     1339      24762 SH  -    DEFINED 04              24762         0        0
D FORTUNE BRANDS INC             COMMON     349631101       66       1222 SH  -    DEFINED 04               1222         0        0
D FORTUNE BRANDS INC             COMMON     349631101     3649      67470 SH  -    DEFINED 04              67470         0        0
D FORTUNE BRANDS INC             COMMON     349631101     2013      37219 SH  -    OTHER   04                  0     37219        0
D FORTUNE BRANDS INC             COMMON     349631101    10217     188924 SH  -    OTHER   04                  0    188924        0
D FORTUNE BRANDS INC             COMMON     349631101    18675     345324 SH  -    DEFINED 05             345324         0        0
D FORTUNE BRANDS INC             COMMON     349631101        1         23 SH  -    OTHER   01                  0        23        0
D FORTUNE BRANDS INC             COMMON     349631101       24        440 SH  -    OTHER   10                  0         0      440
D FORWARD AIR CORP               COMMON     349853101        5        184 SH  -    DEFINED 02                  0       184        0
D FORWARD AIR CORP               COMMON     349853101      274      10769 SH  -    OTHER   02                  0     10769        0
D FORWARD AIR CORP               COMMON     349853101       10        394 SH  -    OTHER   02                  0         0      394
D FORWARD AIR CORP               COMMON     349853101    12417     487905 SH  -    DEFINED 04             453698         0    34207
D FORWARD AIR CORP               COMMON     349853101      533      20939 SH  -    DEFINED 04              20939         0        0
D FORWARD AIR CORP               COMMON     349853101      351      13774 SH  -    DEFINED 05              13774         0        0
D FOSSIL INC                     COMMON     349882100       81       1000 SH  -    DEFINED 02               1000         0        0
D FOSSIL INC                     COMMON     349882100      133       1641 SH  -    OTHER   02                700       421      520
D FOSSIL INC                     COMMON     349882100    34542     426131 SH  -    DEFINED 04             203009         0   223122
D FOSSIL INC                     COMMON     349882100    21571     266116 SH  -    DEFINED 04             266116         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 341
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FOSSIL INC                     COMMON     349882100     3690      45520 SH  -    DEFINED 04              45520         0        0
D FOSSIL INC                     COMMON     349882100     1590      19618 SH  -    DEFINED 04              11088         0     8530
D FOSSIL INC                     COMMON     349882100       13        159 SH  -    OTHER   04                  0       159        0
D FOSSIL INC                     COMMON     349882100      716       8838 SH  -    DEFINED 05               8838         0        0
D FOSSIL INC                     COMMON     349882100     6886      84950 SH  -    DEFINED 08              84950         0        0
D FOSSIL INC                     COMMON     349882100     6421      79214 SH  -    DEFINED 09              73368      5846        0
D FOSSIL INC                     COMMON     349882100      408       5037 SH  -    DEFINED 09               5037         0        0
D FOSSIL INC                     COMMON     349882100     2998      36984 SH  -    DEFINED 09              36984         0        0
D FOSSIL INC                     COMMON     349882100      124       1527 SH  -    OTHER   09                  0      1527        0
D FOSSIL INC                     COMMON     349882100        3         31 SH  -    OTHER   10                  0         0       31
D FOSTER L B CO                  COMMON     350060109        9        390 SH  -    OTHER   02                  0       390        0
D FOSTER L B CO                  COMMON     350060109        2         80 SH  -    OTHER   02                  0         0       80
D FOSTER L B CO                  COMMON     350060109     1132      50900 SH  -    DEFINED 04              50900         0        0
D FOSTER L B CO                  COMMON     350060109      353      15900 SH  -    DEFINED 04              15900         0        0
D FOSTER L B CO                  COMMON     350060109        3        157 SH  -    DEFINED 05                157         0        0
D FOSTER L B CO                  COMMON     350060109       12        537 SH  -    DEFINED 08                537         0        0
D FOSTER L B CO                  COMMON     350060109      229      10300 SH  -    OTHER   10                  0         0    10300
D FQF TR                         COMMON     351680103     4848     200100 SH  -    DEFINED 05             200100         0        0
D FQF TR                         COMMON     351680400     4884     200100 SH  -    DEFINED 05             200100         0        0
D FQF TR                         COMMON     351680509     5083     200100 SH  -    DEFINED 05             200100         0        0
D FQF TR                         COMMON     351680608     5159     200100 SH  -    DEFINED 05             200100         0        0
D FRANCE TELECOM                 ADR        35177Q105        3        156 SH  -    DEFINED 02                  0       156        0
D FRANCE TELECOM                 ADR        35177Q105       24       1463 SH  -    DEFINED 02               1463         0        0
D FRANCE TELECOM                 ADR        35177Q105      195      11909 SH  -    OTHER   02                  0     11909        0
D FRANCE TELECOM                 ADR        35177Q105        0         12 SH  -    DEFINED 05                 12         0        0
D FRANCE TELECOM                 ADR        35177Q105       99       6041 SH  -    OTHER   01                  0      6041        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 342
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FRANCE TELECOM                 ADR        35177Q105       45       2774 SH  -    OTHER   10                  0         0     2774
D FRANCESCAS HLDGS CORP          COMMON     351793104     4338     204530 SH  -    DEFINED 04             147030         0    57500
D FRANCESCAS HLDGS CORP          COMMON     351793104      685      32300 SH  -    DEFINED 04              32300         0        0
D FRANCESCAS HLDGS CORP          COMMON     351793104      467      22001 SH  -    DEFINED 05              22001         0        0
D FRANCO NEVADA CORP             COMMON     351858105        1         32 SH  -    DEFINED 02                 32         0        0
D FRANCO NEVADA CORP             COMMON     351858105      299       8287 SH  -    OTHER   02               8287         0        0
D FRANCO NEVADA CORP             COMMON     351858105     1670      46300 SH  -    DEFINED 05              46300         0        0
D FRANCO NEVADA CORP             COMMON     351858105      187       5198 SH  -    DEFINED 06               5198         0        0
D FRANCO NEVADA CORP             COMMON     351858105     1019      28243 SH  -    DEFINED 08              28243         0        0
D FRANKLIN ELEC INC              COMMON     353514102        5        136 SH  -    DEFINED 02                  0       136        0
D FRANKLIN ELEC INC              COMMON     353514102       79       2172 SH  -    DEFINED 02               2172         0        0
D FRANKLIN ELEC INC              COMMON     353514102      320       8820 SH  -    OTHER   02                  0      8820        0
D FRANKLIN ELEC INC              COMMON     353514102       14        387 SH  -    OTHER   02                100         0      287
D FRANKLIN ELEC INC              COMMON     353514102       11        300 SH  -    DEFINED 05                300         0        0
D FRANKLIN ELEC INC              COMMON     353514102       58       1597 SH  -    DEFINED 08               1597         0        0
D FRANKLIN RESOURCES             COMMON     354613101       46        476 SH  -    DEFINED 02                476         0        0
D FRANKLIN RESOURCES             COMMON     354613101      575       6017 SH  -    DEFINED 02               6017         0        0
D FRANKLIN RESOURCES             COMMON     354613101      170       1774 SH  -    DEFINED 02               1678         0       96
D FRANKLIN RESOURCES             COMMON     354613101     1069      11182 SH  -    OTHER   02               2161      7826     1184
D FRANKLIN RESOURCES             COMMON     354613101       45        472 SH  -    OTHER   02                 11        43      418
D FRANKLIN RESOURCES             COMMON     354613101     5052      52827 SH  -    DEFINED 04              48660         0     4167
D FRANKLIN RESOURCES             COMMON     354613101     2238      23402 SH  -    DEFINED 04              23402         0        0
D FRANKLIN RESOURCES             COMMON     354613101     5409      56556 SH  -    DEFINED 05              56556         0        0
D FRANKLIN RESOURCES             COMMON     354613101       29        302 SH  -    DEFINED 06                302         0        0
D FRANKLIN RESOURCES             COMMON     354613101     1881      19663 SH  -    DEFINED 08              19663         0        0
D FRANKLIN RESOURCES             COMMON     354613101       51        532 SH  -    DEFINED 01                532         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 343
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FRANKLIN RESOURCES             COMMON     354613101        7         77 SH  -    OTHER   01                  0        77        0
D FRANKLIN RESOURCES             COMMON     354613101       77        804 SH  -    OTHER   10                  0         0      804
D FRANKLIN STREET PPTYS CORP     COMMON     35471R106      565      49921 SH  -    DEFINED 04              49921         0        0
D FRANKLIN STREET PPTYS CORP     COMMON     35471R106      374      33111 SH  -    DEFINED 05              33111         0        0
D FRANKLIN STREET PPTYS CORP     COMMON     35471R106        0         32 SH  -    DEFINED 06                 32         0        0
D FRED'S INC                     COMMON     356108100      297      27850 SH  -    DEFINED 04              27850         0        0
D FRED'S INC                     COMMON     356108100      192      17976 SH  -    DEFINED 05              17976         0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857    13507     443592 SH  -    DEFINED 02             353901      3605    86086
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     4376     143726 SH  -    DEFINED 02             136639        74     7013
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857      730      23960 SH  -    DEFINED 02              14740         0     9220
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857    11992     393829 SH  -    OTHER   02             131959    190078    71426
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     1722      56558 SH  -    OTHER   02              46905      3176     6477
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857       65       2133 SH  -    OTHER   02                  0      2133        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857       46       1509 SH  -    OTHER   02                  0      1509        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857      118       3865 SH  -    OTHER   02                  0      3865        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857   115151    3781654 SH  -    DEFINED 04            3046928         0   734726
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857    19326     634686 SH  -    DEFINED 04             634686         0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     8956     294135 SH  -    DEFINED 04             294135         0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857       41       1350 SH  -    DEFINED 04               1350         0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     4520     148424 SH  -    DEFINED 04             103168         0    45256
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857       61       2002 SH  -    DEFINED 04                  0         0     2002
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     6199     203576 SH  -    OTHER   04                  0    203576        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857    10849     356296 SH  -    DEFINED 05             356296         0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857      621      20384 SH  -    DEFINED 06              20384         0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857    39104    1284194 SH  -    DEFINED 08            1284194         0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857    84257    2767063 SH  -    DEFINED 09            2738552     28511        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 344
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857      817      26820 SH  -    DEFINED 09              26820         0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     5975     196208 SH  -    DEFINED 09             196208         0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857    16198     531950 SH  -    DEFINED 09             531950         0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     1709      56112 SH  -    OTHER   09                  0     56112        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     2493      81874 SH  -    DEFINED 01              75040      1017     5817
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857      447      14675 SH  -    OTHER   01              11792      1023     1860
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     3277     107627 SH  -    OTHER   10                  0         0   107627
D FREEPORT-MCMORAN COPPER & GOLD OPTION     35671D907     2086      68500 SH  C    DEFINED 05              68500         0        0
D FREEPORT-MCMORAN COPPER & GOLD OPTION     35671D907       55       1800 SH  C    DEFINED 08               1800         0        0
D FREEPORT-MCMORAN COPPER & GOLD OPTION     35671D956     2759      90600 SH  P    DEFINED 05              90600         0        0
D FREEPORT-MCMORAN COPPER & GOLD OPTION     35671D956    12606     414000 SH  P    DEFINED 08             414000         0        0
D FRESENIUS MED CARE AG&CO KGAA  ADR        358029106        6         93 SH  -    DEFINED 02                 93         0        0
D FRESENIUS MED CARE AG&CO KGAA  ADR        358029106       73       1075 SH  -    OTHER   02                  0      1075        0
D FRESENIUS MED CARE AG&CO KGAA  ADR        358029106     1322      19572 SH  -    DEFINED 04              19572         0        0
D FRESENIUS MED CARE AG&CO KGAA  ADR        358029106     3535      52340 SH  -    OTHER   04                  0     52340        0
D FRESENIUS MED CARE AG&CO KGAA  ADR        358029106      964      14281 SH  -    OTHER   04                  0     14281        0
D FRESENIUS MED CARE AG&CO KGAA  ADR        358029106       10        141 SH  -    OTHER   01                  0       141        0
D FRESH MKT INC                  COMMON     35804H106        3         76 SH  -    OTHER   02                 28        48        0
D FRESH MKT INC                  COMMON     35804H106    11702     306650 SH  -    DEFINED 04             232350         0    74300
D FRESH MKT INC                  COMMON     35804H106     4018     105300 SH  -    DEFINED 04             105300         0        0
D FRESH MKT INC                  COMMON     35804H106     1481      38800 SH  -    DEFINED 04              38800         0        0
D FRESH MKT INC                  COMMON     35804H106       17        436 SH  -    DEFINED 05                436         0        0
D FRESH MKT INC                  COMMON     35804H106       63       1653 SH  -    DEFINED 08               1653         0        0
D FRESH MKT INC                  COMMON     35804H106     2843      74500 SH  -    OTHER   01              74500         0        0
D FRESH MKT INC                  COMMON     35804H106        2         49 SH  -    OTHER   10                  0         0       49
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108     1549     253570 SH  -    DEFINED 02             249031         0     4538

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 345
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108      184      30134 SH  -    DEFINED 02              29428        58      648
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108       10       1582 SH  -    DEFINED 02               1582         0        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108       72      11865 SH  -    DEFINED 02              11513         0      352
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108      484      79185 SH  -    OTHER   02              38191     33298     7696
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108     1872     306313 SH  -    OTHER   02             283047      1269    21997
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108        3        556 SH  -    OTHER   02                  0       556        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108    13764    2252654 SH  -    DEFINED 04             872240         0  1380414
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108      993     162474 SH  -    DEFINED 04             162474         0        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108       21       3396 SH  -    DEFINED 04               3396         0        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108     4668     764042 SH  -    DEFINED 04             664909         0        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108       14       2254 SH  -    DEFINED 04                  0         0     2254
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108        2        292 SH  -    OTHER   04                  0       292        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108     1061     173599 SH  -    DEFINED 05             173599         0        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108     3947     646025 SH  -    DEFINED 09             646025         0        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108       33       5364 SH  -    OTHER   09                  0      5364        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108        0         40 SH  -    DEFINED 01                 40         0        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108        7       1134 SH  -    OTHER   01               1134         0        0
D FRONTIER COMMUNICATIONS CORP   COMMON     35906A108      378      61928 SH  -    OTHER   10                  0         0    61928
D FRONTIER COMMUNICATIONS CORP   OPTION     35906A900       12       2000 SH  C    DEFINED 05               2000         0        0
D FUELCELL ENERGY                COMMON     35952H106        1       1597 SH  -    DEFINED 05               1597         0        0
D FUELCELL ENERGY                COMMON     35952H106       12      14760 SH  -    DEFINED 08              14760         0        0
D FUELCELL ENERGY                COMMON     35952H106        5       5970 SH  -    OTHER   10                  0         0     5970
D FUEL SYS SOLUTIONS INC         COMMON     35952W103        8        399 SH  -    OTHER   02                  0       399        0
D FUEL SYS SOLUTIONS INC         COMMON     35952W103      116       6057 SH  -    DEFINED 05               6057         0        0
D FUEL SYS SOLUTIONS INC         COMMON     35952W103       19       1007 SH  -    DEFINED 08               1007         0        0
D FUEL SYS SOLUTIONS INC         COMMON     35952W103      428      22281 SH  -    OTHER   10                  0         0    22281

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 346
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D FULLER H B CO                  COMMON     359694106        9        476 SH  -    OTHER   02                  0       476        0
D FULLER H B CO                  COMMON     359694106        0         26 SH  -    OTHER   02                  6        20        0
D FULLER H B CO                  COMMON     359694106     2790     153150 SH  -    DEFINED 04             138450         0    14700
D FULLER H B CO                  COMMON     359694106     1427      78300 SH  -    DEFINED 04              78300         0        0
D FULLER H B CO                  COMMON     359694106      420      23042 SH  -    DEFINED 05              23042         0        0
D FULTON FINCL CORP              COMMON     360271100        2        271 SH  -    OTHER   02                 90       181        0
D FULTON FINCL CORP              COMMON     360271100       65       8440 SH  -    OTHER   02                  0         0     8440
D FULTON FINCL CORP              COMMON     360271100      324      42412 SH  -    DEFINED 04              42412         0        0
D FULTON FINCL CORP              COMMON     360271100      252      32893 SH  -    DEFINED 04              32893         0        0
D FULTON FINCL CORP              COMMON     360271100       23       3013 SH  -    DEFINED 05               3013         0        0
D FULTON FINCL CORP              COMMON     360271100      207      27061 SH  -    DEFINED 08              27061         0        0
D FUSION-IO INC                  COMMON     36112J107     9095     478701 SH  -    DEFINED 04             387821         0    90880
D FUSION-IO INC                  COMMON     36112J107      808      42500 SH  -    DEFINED 04              42500         0        0
D FUSION-IO INC                  COMMON     36112J107       98       5166 SH  -    DEFINED 05               5166         0        0
D FUTUREFUEL CORPORATION         COMMON     36116M106      220      21144 SH  -    DEFINED 04              18644         0     2500
D FUTUREFUEL CORPORATION         COMMON     36116M106       11       1101 SH  -    DEFINED 08               1101         0        0
D G & K SERVICES INC             COMMON     361268105        2         62 SH  -    OTHER   02                 43        19        0
D G & K SERVICES INC             COMMON     361268105      898      35150 SH  -    DEFINED 04              32750         0     2400
D G & K SERVICES INC             COMMON     361268105     1800      70465 SH  -    DEFINED 04              70465         0        0
D G & K SERVICES INC             COMMON     361268105      223       8747 SH  -    DEFINED 05               8747         0        0
D GAMCO INVESTORS INC            COMMON     361438104       15        379 SH  -    OTHER   02                  0       365        0
D GAMCO INVESTORS INC            COMMON     361438104        4        114 SH  -    OTHER   02                  0         0      114
D GAMCO INVESTORS INC            COMMON     361438104      150       3800 SH  -    DEFINED 04               3800         0        0
D GAMCO INVESTORS INC            COMMON     361438104      721      18300 SH  -    DEFINED 04              18300         0        0
D GAMCO INVESTORS INC            COMMON     361438104        3         79 SH  -    DEFINED 05                 79         0        0
D GAMCO INVESTORS INC            COMMON     361438104       16        407 SH  -    DEFINED 08                407         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 347
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GAMCO INVESTORS INC            COMMON     361438104        1         27 SH  -    OTHER   01                  0        27        0
D GATX CORP                      COMMON     361448103      194       6250 SH  -    DEFINED 02                  0         0     6250
D GATX CORP                      COMMON     361448103      246       7941 SH  -    OTHER   02                182      7740        0
D GATX CORP                      COMMON     361448103     6167     198986 SH  -    DEFINED 04             185555         0    13431
D GATX CORP                      COMMON     361448103       21        666 SH  -    DEFINED 04                666         0        0
D GATX CORP                      COMMON     361448103     1349      43518 SH  -    DEFINED 04              43518         0        0
D GATX CORP                      COMMON     361448103        6        206 SH  -    OTHER   04                  0       206        0
D GATX CORP                      COMMON     361448103       41       1335 SH  -    DEFINED 05               1335         0        0
D GATX CORP                      COMMON     361448103       96       3093 SH  -    DEFINED 08               3093         0        0
D GATX CORP                      COMMON     361448103      141       4560 SH  -    OTHER   01                  0      4560        0
D GEO GROUP INC                  COMMON     36159R103        6        312 SH  -    OTHER   02                  0       312        0
D GEO GROUP INC                  COMMON     36159R103     3650     196650 SH  -    DEFINED 04             196650         0        0
D GEO GROUP INC                  COMMON     36159R103      692      37309 SH  -    DEFINED 05              37309         0        0
D GEO GROUP INC                  COMMON     36159R103        2         87 SH  -    OTHER   10                  0         0       87
D GFI GROUP INC                  COMMON     361652209       12       3035 SH  -    OTHER   02                  0      3035        0
D GFI GROUP INC                  COMMON     361652209       84      20800 SH  -    OTHER   02                  0         0    20800
D GFI GROUP INC                  COMMON     361652209        4       1118 SH  -    DEFINED 05               1118         0        0
D GFI GROUP INC                  COMMON     361652209       17       4224 SH  -    DEFINED 08               4224         0        0
D GNC HLDGS INC                  COMMON     36191G107        3        146 SH  -    OTHER   02                  0       146        0
D GNC HLDGS INC                  COMMON     36191G107       28       1367 SH  -    DEFINED 08               1367         0        0
D GNC HLDGS INC                  COMMON     36191G107      417      20725 SH  -    OTHER   10                  0         0    20725
D GT ADVANCED TECHNOLOGIES INC   COMMON     36191U106       51       7210 SH  -    OTHER   02                  0      2420     4790
D GT ADVANCED TECHNOLOGIES INC   COMMON     36191U106     5402     769496 SH  -    DEFINED 04             614596         0   154900
D GT ADVANCED TECHNOLOGIES INC   COMMON     36191U106      417      59447 SH  -    DEFINED 05              59447         0        0
D GT ADVANCED TECHNOLOGIES INC   COMMON     36191U106      876     124778 SH  -    OTHER   10                  0         0   124778
D GP STRATEGIES                  COMMON     36225V104        2        215 SH  -    OTHER   02                  0       215        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 348
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GP STRATEGIES                  COMMON     36225V104      703      70400 SH  -    DEFINED 04              65200         0     5200
D GP STRATEGIES                  COMMON     36225V104        0          1 SH  -    DEFINED 05                  1         0        0
D GP STRATEGIES                  COMMON     36225V104        9        877 SH  -    DEFINED 08                877         0        0
D G-III APPAREL GP               COMMON     36237H101      825      36100 SH  -    DEFINED 04              27600         0     8500
D G-III APPAREL GP               COMMON     36237H101        6        256 SH  -    DEFINED 05                256         0        0
D G-III APPAREL GP               COMMON     36237H101       24       1033 SH  -    DEFINED 08               1033         0        0
D GSI TECHNOLOGY                 COMMON     36241U106      297      60275 SH  -    DEFINED 04              53175         0     7100
D GSI TECHNOLOGY                 COMMON     36241U106        6       1211 SH  -    DEFINED 08               1211         0        0
D GABELLI GLB GLD NAT RES & INCM COMMON     36244N109      171      11982 SH  -    OTHER   02              11982         0        0
D GAFISA S A                     ADR        362607301        1        148 SH  -    DEFINED 02                148         0        0
D GAFISA S A                     ADR        362607301      111      19237 SH  -    DEFINED 04              19237         0        0
D GAFISA S A                     ADR        362607301      121      20913 SH  -    DEFINED 05              20913         0        0
D GALLAGHER ARTHUR J & CO        COMMON     363576109       57       2149 SH  -    OTHER   02                  0      1509      640
D GALLAGHER ARTHUR J & CO        COMMON     363576109      748      28460 SH  -    OTHER   02              26000         0     2460
D GALLAGHER ARTHUR J & CO        COMMON     363576109      234       8896 SH  -    DEFINED 04               8896         0        0
D GALLAGHER ARTHUR J & CO        COMMON     363576109      223       8474 SH  -    DEFINED 05               8474         0        0
D GALLAGHER ARTHUR J & CO        COMMON     363576109     4001     152123 SH  -    DEFINED 08             152123         0        0
D GALLAGHER ARTHUR J & CO        COMMON     363576109        7        267 SH  -    OTHER   10                  0         0      267
D GAMESTOP CORP NEW              COMMON     36467W109       28       1200 SH  -    DEFINED 02                900         0      300
D GAMESTOP CORP NEW              COMMON     36467W109       11        460 SH  -    DEFINED 02                460         0        0
D GAMESTOP CORP NEW              COMMON     36467W109       38       1665 SH  -    DEFINED 02               1602         0       63
D GAMESTOP CORP NEW              COMMON     36467W109       42       1797 SH  -    OTHER   02                660      1137        0
D GAMESTOP CORP NEW              COMMON     36467W109        0         18 SH  -    OTHER   02                  0        18        0
D GAMESTOP CORP NEW              COMMON     36467W109    30909    1338073 SH  -    DEFINED 04             921291         0   416782
D GAMESTOP CORP NEW              COMMON     36467W109     6921     299632 SH  -    DEFINED 04             299632         0        0
D GAMESTOP CORP NEW              COMMON     36467W109       10        430 SH  -    DEFINED 04                430         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 349
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GAMESTOP CORP NEW              COMMON     36467W109       83       3600 SH  -    DEFINED 04               3600         0        0
D GAMESTOP CORP NEW              COMMON     36467W109        7        287 SH  -    DEFINED 04                  0         0      287
D GAMESTOP CORP NEW              COMMON     36467W109      488      21138 SH  -    OTHER   04                  0     21138        0
D GAMESTOP CORP NEW              COMMON     36467W109      686      29709 SH  -    DEFINED 05              29709         0        0
D GAMESTOP CORP NEW              COMMON     36467W109      443      19173 SH  -    DEFINED 09              19173         0        0
D GANNETT CO INC                 COMMON     364730101       74       7715 SH  -    DEFINED 02               7715         0        0
D GANNETT CO INC                 COMMON     364730101      106      11100 SH  -    DEFINED 02              11100         0        0
D GANNETT CO INC                 COMMON     364730101       26       2690 SH  -    DEFINED 02               2545         0      145
D GANNETT CO INC                 COMMON     364730101      107      11227 SH  -    OTHER   02               3250      7715        0
D GANNETT CO INC                 COMMON     364730101     1596     167498 SH  -    OTHER   02             166778       520      200
D GANNETT CO INC                 COMMON     364730101    76717    8050040 SH  -    DEFINED 04            7584681         0   465359
D GANNETT CO INC                 COMMON     364730101     5145     539897 SH  -    DEFINED 04             539897         0        0
D GANNETT CO INC                 COMMON     364730101       25       2674 SH  -    DEFINED 04               2674         0        0
D GANNETT CO INC                 COMMON     364730101     1016     106600 SH  -    DEFINED 04             106600         0        0
D GANNETT CO INC                 COMMON     364730101      427      44786 SH  -    OTHER   04                  0     44786        0
D GANNETT CO INC                 COMMON     364730101     2247     235745 SH  -    OTHER   04                  0    235745        0
D GANNETT CO INC                 COMMON     364730101      139      14573 SH  -    DEFINED 05              14573         0        0
D GANNETT CO INC                 COMMON     364730101    19251    2020039 SH  -    DEFINED 08            2020039         0        0
D GANNETT CO INC                 COMMON     364730101      144      15061 SH  -    DEFINED 09              15061         0        0
D GANNETT CO INC                 COMMON     364730101        1         55 SH  -    OTHER   10                  0         0       55
D GAP INC                        COMMON     364760108      254      15638 SH  -    DEFINED 02               6559         0     9079
D GAP INC                        COMMON     364760108      243      14952 SH  -    DEFINED 02              13595      1357        0
D GAP INC                        COMMON     364760108       69       4223 SH  -    DEFINED 02               3998         0      225
D GAP INC                        COMMON     364760108     2573     158431 SH  -    OTHER   02              10819    134599    13013
D GAP INC                        COMMON     364760108      910      56053 SH  -    OTHER   02               2985      6001    47067
D GAP INC                        COMMON     364760108   101124    6226824 SH  -    DEFINED 04            5983582         0   243242

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 350
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GAP INC                        COMMON     364760108     3937     242428 SH  -    DEFINED 04             242428         0        0
D GAP INC                        COMMON     364760108       18       1100 SH  -    DEFINED 04               1100         0        0
D GAP INC                        COMMON     364760108       41       2555 SH  -    DEFINED 04               2555         0        0
D GAP INC                        COMMON     364760108     1814     111700 SH  -    DEFINED 04             111700         0        0
D GAP INC                        COMMON     364760108       12        725 SH  -    DEFINED 04                  0         0      725
D GAP INC                        COMMON     364760108     1096      67470 SH  -    OTHER   04                  0     67470        0
D GAP INC                        COMMON     364760108     5661     348602 SH  -    OTHER   04                  0    348602        0
D GAP INC                        COMMON     364760108     2005     123439 SH  -    DEFINED 05             123439         0        0
D GAP INC                        COMMON     364760108     1746     107483 SH  -    DEFINED 08             107483         0        0
D GAP INC                        COMMON     364760108      115       7100 SH  -    DEFINED 01               7100         0        0
D GAP INC                        COMMON     364760108        4        244 SH  -    OTHER   01                  0       244        0
D GAP INC                        COMMON     364760108      603      37146 SH  -    OTHER   10                  0         0    37146
D GARDNER DENVER INC             COMMON     365558105      142       2227 SH  -    DEFINED 02               2227         0        0
D GARDNER DENVER INC             COMMON     365558105       71       1120 SH  -    OTHER   02                 92      1028        0
D GARDNER DENVER INC             COMMON     365558105        0          5 SH  -    OTHER   02                  0         0        5
D GARDNER DENVER INC             COMMON     365558105    11794     185579 SH  -    DEFINED 04             165579         0    20000
D GARDNER DENVER INC             COMMON     365558105     4187      65878 SH  -    DEFINED 04              65878         0        0
D GARDNER DENVER INC             COMMON     365558105     2995      47136 SH  -    DEFINED 04              27975         0    19161
D GARDNER DENVER INC             COMMON     365558105       79       1239 SH  -    DEFINED 05               1239         0        0
D GARDNER DENVER INC             COMMON     365558105    11804     185741 SH  -    DEFINED 09             172347     13394        0
D GARDNER DENVER INC             COMMON     365558105      720      11330 SH  -    DEFINED 09              11330         0        0
D GARDNER DENVER INC             COMMON     365558105     5362      84369 SH  -    DEFINED 09              84369         0        0
D GARDNER DENVER INC             COMMON     365558105      132       2072 SH  -    OTHER   09                  0      2072        0
D GARDNER DENVER INC             COMMON     365558105      515       8100 SH  -    OTHER   01               8100         0        0
D GARTNER INC                    COMMON     366651107       28        797 SH  -    OTHER   02                  0       697      100
D GARTNER INC                    COMMON     366651107       39       1110 SH  -    OTHER   02                104         0     1006

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 351
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GARTNER INC                    COMMON     366651107     3233      92713 SH  -    DEFINED 04              83013         0     9700
D GARTNER INC                    COMMON     366651107      358      10258 SH  -    DEFINED 04              10258         0        0
D GARTNER INC                    COMMON     366651107       47       1360 SH  -    DEFINED 05               1360         0        0
D GARTNER INC                    COMMON     366651107      132       3793 SH  -    OTHER   10                  0         0     3793
D GASTAR EXPL LTD                COMMON     367299203       94      31180 SH  -    OTHER   02                  0      1219    29961
D GASTAR EXPL LTD                COMMON     367299203      270      90134 SH  -    OTHER   02                  0      3848    86286
D GASTAR EXPL LTD                COMMON     367299203        3        884 SH  -    DEFINED 05                884         0        0
D GASTAR EXPL LTD                COMMON     367299203       10       3464 SH  -    DEFINED 08               3464         0        0
D GASTAR EXPL LTD                COMMON     367299203       21       6944 SH  -    OTHER   10                  0         0     6944
D GAYLORD ENTMT CO NEW           COMMON     367905106        4        226 SH  -    OTHER   02                  0       226        0
D GAYLORD ENTMT CO NEW           COMMON     367905106    10527     544300 SH  -    DEFINED 04             544300         0        0
D GAYLORD ENTMT CO NEW           COMMON     367905106      711      36749 SH  -    DEFINED 05              36749         0        0
D GAYLORD ENTMT CO NEW           COMMON     367905106       40       2085 SH  -    DEFINED 08               2085         0        0
D GEN-PROBE INC NEW              COMMON     36866T103        6        110 SH  -    DEFINED 02                  0       110        0
D GEN-PROBE INC NEW              COMMON     36866T103        4         70 SH  -    DEFINED 02                  0         0       70
D GEN-PROBE INC NEW              COMMON     36866T103     3956      69094 SH  -    OTHER   02                 21     67103     1970
D GEN-PROBE INC NEW              COMMON     36866T103      188       3284 SH  -    OTHER   02               2265       499      520
D GEN-PROBE INC NEW              COMMON     36866T103      321       5611 SH  -    DEFINED 05               5611         0        0
D GEN-PROBE INC NEW              COMMON     36866T103       13        235 SH  -    DEFINED 09                235         0        0
D GEN-PROBE INC NEW              COMMON     36866T103       31        550 SH  -    OTHER   01                  0       550        0
D GEN-PROBE INC NEW              OPTION     36866T905      922      16100 SH  C    DEFINED 05              16100         0        0
D GENCORP INC                    COMMON     368682100       47      10550 SH  -    OTHER   02                  0     10550        0
D GENCORP INC                    COMMON     368682100     3169     705800 SH  -    DEFINED 04             573000         0   132800
D GENCORP INC                    COMMON     368682100      650     144754 SH  -    DEFINED 04             144754         0        0
D GENCORP INC                    COMMON     368682100      122      27181 SH  -    DEFINED 05              27181         0        0
D GENCO SHIPPING & TRADING LTD   BOND       36869MAA3     2033    2823000 PRN -    DEFINED 05                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 352
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GENERAC HLDGS INC              COMMON     368736104        6        345 SH  -    OTHER   02                  0       345        0
D GENERAC HLDGS INC              COMMON     368736104     4624     245801 SH  -    DEFINED 04             173860         0    71941
D GENERAC HLDGS INC              COMMON     368736104     7121     378600 SH  -    DEFINED 04             378600         0        0
D GENERAC HLDGS INC              COMMON     368736104      790      41976 SH  -    DEFINED 04              41976         0        0
D GENERAC HLDGS INC              COMMON     368736104       50       2650 SH  -    DEFINED 05               2650         0        0
D GENERAC HLDGS INC              COMMON     368736104       28       1478 SH  -    DEFINED 08               1478         0        0
D GENERAL CABLE CORP DEL NEW     BOND       369300AD0       69      75000 PRN -    OTHER   02                  0         0        0
D GENERAL CABLE CORP DEL NEW     BOND       369300AD0     3037    3319000 PRN -    DEFINED 05                  0         0        0
D GENERAL CABLE CORP DEL NEW     BOND       369300AD0    14280   15607000 PRN -    DEFINED 09                  0         0        0
D GENERAL CABLE CORP DEL NEW     BOND       369300AL2     1429    1588000 PRN -    DEFINED 05                  0         0        0
D GENERAL CABLE CORP DEL NEW     COMMON     369300108       32       1365 SH  -    OTHER   02                  0      1365        0
D GENERAL CABLE CORP DEL NEW     COMMON     369300108        0         21 SH  -    OTHER   02                  6        12        3
D GENERAL CABLE CORP DEL NEW     COMMON     369300108     6999     299734 SH  -    DEFINED 04             216584         0    83150
D GENERAL CABLE CORP DEL NEW     COMMON     369300108     5663     242533 SH  -    DEFINED 04             242533         0        0
D GENERAL CABLE CORP DEL NEW     COMMON     369300108     1090      46700 SH  -    DEFINED 04              46700         0        0
D GENERAL CABLE CORP DEL NEW     COMMON     369300108       40       1717 SH  -    DEFINED 05               1717         0        0
D GENERAL CABLE CORP DEL NEW     COMMON     369300108     1961      83977 SH  -    DEFINED 08              83977         0        0
D GENERAL CABLE CORP DEL NEW     COMMON     369300108        5        200 SH  -    OTHER   10                  0         0      200
D GEN COMMUNICATIONS             COMMON     369385109        2        296 SH  -    OTHER   02                  0       296        0
D GEN COMMUNICATIONS             COMMON     369385109      245      29828 SH  -    DEFINED 04              29828         0        0
D GEN COMMUNICATIONS             COMMON     369385109      138      16822 SH  -    DEFINED 05              16822         0        0
D GEN DYNAMICS CORP              COMMON     369550108        7        127 SH  -    DEFINED 02                127         0        0
D GEN DYNAMICS CORP              COMMON     369550108      284       4987 SH  -    DEFINED 02               4972         0       15
D GEN DYNAMICS CORP              COMMON     369550108      237       4170 SH  -    DEFINED 02               4170         0        0
D GEN DYNAMICS CORP              COMMON     369550108     1586      27871 SH  -    OTHER   02               7119     18416     2336
D GEN DYNAMICS CORP              COMMON     369550108      504       8857 SH  -    OTHER   02               7779         0     1078

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 353
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GEN DYNAMICS CORP              COMMON     369550108    39197     688988 SH  -    DEFINED 04             638331         0    50657
D GEN DYNAMICS CORP              COMMON     369550108     5361      94241 SH  -    DEFINED 04              94241         0        0
D GEN DYNAMICS CORP              COMMON     369550108      190       3346 SH  -    DEFINED 04               3346         0        0
D GEN DYNAMICS CORP              COMMON     369550108     1229      21608 SH  -    OTHER   04                  0     21608        0
D GEN DYNAMICS CORP              COMMON     369550108    11281     198302 SH  -    DEFINED 05             198302         0        0
D GEN DYNAMICS CORP              COMMON     369550108     7607     133706 SH  -    DEFINED 08             133706         0        0
D GEN DYNAMICS CORP              COMMON     369550108     1749      30750 SH  -    OTHER   09                  0     30750        0
D GEN DYNAMICS CORP              COMMON     369550108       34        600 SH  -    DEFINED 01                600         0        0
D GEN DYNAMICS CORP              COMMON     369550108        2         30 SH  -    OTHER   01                 30         0        0
D GEN DYNAMICS CORP              COMMON     369550108      127       2227 SH  -    OTHER   10                  0         0     2227
D GEN DYNAMICS CORP              OPTION     369550900     3277      57600 SH  C    DEFINED 05              57600         0        0
D GENERAL ELECTRIC CO            COMMON     369604103    35715    2346568 SH  -    DEFINED 02            1788919     70430   487219
D GENERAL ELECTRIC CO            COMMON     369604103    21471    1410726 SH  -    DEFINED 02            1398655      3806     8265
D GENERAL ELECTRIC CO            COMMON     369604103      211      13891 SH  -    DEFINED 02              13891         0        0
D GENERAL ELECTRIC CO            COMMON     369604103     2541     166952 SH  -    DEFINED 02             132418         0    34534
D GENERAL ELECTRIC CO            COMMON     369604103    76673    5037634 SH  -    OTHER   02            2319569   2033053   678591
D GENERAL ELECTRIC CO            COMMON     369604103    28229    1854748 SH  -    OTHER   02            1364824    158640   331284
D GENERAL ELECTRIC CO            COMMON     369604103      350      22997 SH  -    OTHER   02                  0     22997        0
D GENERAL ELECTRIC CO            COMMON     369604103       94       6183 SH  -    OTHER   02                  0      6183        0
D GENERAL ELECTRIC CO            COMMON     369604103      241      15860 SH  -    OTHER   02                  0     15860        0
D GENERAL ELECTRIC CO            COMMON     369604103   409165   26883389 SH  -    DEFINED 04           19313769         0  7569620
D GENERAL ELECTRIC CO            COMMON     369604103    31667    2080592 SH  -    DEFINED 04            2080592         0        0
D GENERAL ELECTRIC CO            COMMON     369604103    21318    1400684 SH  -    DEFINED 04            1400684         0        0
D GENERAL ELECTRIC CO            COMMON     369604103     2173     142752 SH  -    DEFINED 04             142752         0        0
D GENERAL ELECTRIC CO            COMMON     369604103      555      36450 SH  -    DEFINED 04              36450         0        0
D GENERAL ELECTRIC CO            COMMON     369604103      342      22454 SH  -    DEFINED 04                  0         0    22454

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 354
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GENERAL ELECTRIC CO            COMMON     369604103    11882     780715 SH  -    OTHER   04                  0    780715        0
D GENERAL ELECTRIC CO            COMMON     369604103   122335    8037774 SH  -    DEFINED 05            8037774         0        0
D GENERAL ELECTRIC CO            COMMON     369604103   150799    9907961 SH  -    DEFINED 08            9907961         0        0
D GENERAL ELECTRIC CO            COMMON     369604103     2919     191795 SH  -    DEFINED 09             191795         0        0
D GENERAL ELECTRIC CO            COMMON     369604103     3667     240920 SH  -    OTHER   09                  0    240920        0
D GENERAL ELECTRIC CO            COMMON     369604103    32226    2117325 SH  -    DEFINED 01            2045025      4070    68230
D GENERAL ELECTRIC CO            COMMON     369604103     2870     188560 SH  -    OTHER   01             118443     62123     7994
D GENERAL ELECTRIC CO            COMMON     369604103    23385    1536439 SH  -    OTHER   10                  0         0  1536439
D GENERAL ELECTRIC CO            OPTION     369604905    10592     695900 SH  C    DEFINED 05             695900         0        0
D GENERAL ELECTRIC CO            OPTION     369604905    11517     756700 SH  C    DEFINED 08             756700         0        0
D GENERAL ELECTRIC CO            OPTION     369604954    54033    3550100 SH  P    DEFINED 05            3550100         0        0
D GENERAL ELECTRIC CO            OPTION     369604954    26119    1716100 SH  P    DEFINED 08            1716100         0        0
D GENERAL GROWTH PPTYS INC NEW   COMMON     370023103    18985    1569049 SH  -    DEFINED 04            1349296         0   219753
D GENERAL GROWTH PPTYS INC NEW   COMMON     370023103     7422     613407 SH  -    DEFINED 05             613407         0        0
D GENERAL GROWTH PPTYS INC NEW   COMMON     370023103     1615     133510 SH  -    DEFINED 08             133510         0        0
D GENERAL GROWTH PPTYS INC NEW   COMMON     370023103      339      28045 SH  -    OTHER   10                  0         0    28045
D GENERAL MILLS INC              COMMON     370334104    78290    2034023 SH  -    DEFINED 02            1929247      3315   101461
D GENERAL MILLS INC              COMMON     370334104    22618     587646 SH  -    DEFINED 02             579271       140     8235
D GENERAL MILLS INC              COMMON     370334104      672      17466 SH  -    DEFINED 02              17466         0        0
D GENERAL MILLS INC              COMMON     370334104      753      19560 SH  -    DEFINED 02              10561         0     8999
D GENERAL MILLS INC              COMMON     370334104    15816     410913 SH  -    OTHER   02             208774    155037    46995
D GENERAL MILLS INC              COMMON     370334104     7549     196134 SH  -    OTHER   02             153761     22659    19714
D GENERAL MILLS INC              COMMON     370334104     9424     244847 SH  -    OTHER   02                  0    244847        0
D GENERAL MILLS INC              COMMON     370334104     4219     109623 SH  -    OTHER   02                  0    109623        0
D GENERAL MILLS INC              COMMON     370334104     4095     106398 SH  -    OTHER   02                  0    106398        0
D GENERAL MILLS INC              COMMON     370334104   254579    6614170 SH  -    DEFINED 04            5247652         0  1366518

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 355
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GENERAL MILLS INC              COMMON     370334104    15033     390569 SH  -    DEFINED 04             390569         0        0
D GENERAL MILLS INC              COMMON     370334104    23452     609300 SH  -    DEFINED 04             609300         0        0
D GENERAL MILLS INC              COMMON     370334104      133       3450 SH  -    DEFINED 04               3450         0        0
D GENERAL MILLS INC              COMMON     370334104      207       5376 SH  -    DEFINED 04                  0         0     5376
D GENERAL MILLS INC              COMMON     370334104    12598     327308 SH  -    OTHER   04                  0    327308        0
D GENERAL MILLS INC              COMMON     370334104    21407     556174 SH  -    DEFINED 05             556174         0        0
D GENERAL MILLS INC              COMMON     370334104    21431     556804 SH  -    DEFINED 08             556804         0        0
D GENERAL MILLS INC              COMMON     370334104     1511      39263 SH  -    DEFINED 09              39263         0        0
D GENERAL MILLS INC              COMMON     370334104     1110      28836 SH  -    DEFINED 01              25456      1750     1630
D GENERAL MILLS INC              COMMON     370334104      502      13054 SH  -    OTHER   01               6225      3829     3000
D GENERAL MILLS INC              COMMON     370334104     3304      85837 SH  -    OTHER   10                  0         0    85837
D GENERAL MILLS INC              OPTION     370334906      431      11200 SH  C    DEFINED 05              11200         0        0
D GENERAL MILLS INC              OPTION     370334955      269       7000 SH  P    DEFINED 05               7000         0        0
D GENERAL MILLS INC              OPTION     370334955     1925      50000 SH  P    DEFINED 08              50000         0        0
D GENERAL MTRS CO                COMMON     37045V100    16495     817408 SH  -    DEFINED 02             728679      3534    85195
D GENERAL MTRS CO                COMMON     37045V100     5428     268957 SH  -    DEFINED 02             257254       210    11493
D GENERAL MTRS CO                COMMON     37045V100     1010      50039 SH  -    DEFINED 02              12770         0    37269
D GENERAL MTRS CO                COMMON     37045V100     3339     165442 SH  -    OTHER   02             117853     31399    16190
D GENERAL MTRS CO                COMMON     37045V100      273      13530 SH  -    OTHER   02              12333       894      303
D GENERAL MTRS CO                COMMON     37045V100      257      12715 SH  -    OTHER   02                  0     12715        0
D GENERAL MTRS CO                COMMON     37045V100      277      13737 SH  -    OTHER   02                  0     13737        0
D GENERAL MTRS CO                COMMON     37045V100      219      10875 SH  -    OTHER   02                  0     10875        0
D GENERAL MTRS CO                COMMON     37045V100   528017   26165360 SH  -    DEFINED 04           23102179         0  3063181
D GENERAL MTRS CO                COMMON     37045V100     4809     238318 SH  -    DEFINED 04             238318         0        0
D GENERAL MTRS CO                COMMON     37045V100    67753    3357429 SH  -    DEFINED 04            3357429         0        0
D GENERAL MTRS CO                COMMON     37045V100      226      11209 SH  -    DEFINED 04              11209         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 356
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GENERAL MTRS CO                COMMON     37045V100      228      11276 SH  -    DEFINED 04                  0         0    11276
D GENERAL MTRS CO                COMMON     37045V100    10041     497579 SH  -    OTHER   04                  0    497579        0
D GENERAL MTRS CO                COMMON     37045V100    11076     548858 SH  -    DEFINED 05             548858         0        0
D GENERAL MTRS CO                COMMON     37045V100     6593     326721 SH  -    DEFINED 08             326721         0        0
D GENERAL MTRS CO                COMMON     37045V100     1885      93434 SH  -    DEFINED 09              93434         0        0
D GENERAL MTRS CO                COMMON     37045V100      553      27400 SH  -    OTHER   09                  0     27400        0
D GENERAL MTRS CO                COMMON     37045V100     1057      52356 SH  -    DEFINED 01              47221      2630     2505
D GENERAL MTRS CO                COMMON     37045V100      311      15419 SH  -    OTHER   01               8125      2922     4372
D GENERAL MTRS CO                COMMON     37045V100     1013      50186 SH  -    OTHER   10                  0         0    50186
D GENERAL MTRS CO                WARRANT    37045V118       61       5224 SH  -    DEFINED 02               5224         0        0
D GENERAL MTRS CO                WARRANT    37045V118        1         69 SH  -    DEFINED 02                 69         0        0
D GENERAL MTRS CO                WARRANT    37045V118        3        218 SH  -    DEFINED 02                  0         0      218
D GENERAL MTRS CO                WARRANT    37045V118        2        180 SH  -    OTHER   02                180         0        0
D GENERAL MTRS CO                WARRANT    37045V118    11525     990090 SH  -    DEFINED 04             979654         0    10436
D GENERAL MTRS CO                WARRANT    37045V118      151      12971 SH  -    DEFINED 04              12971         0        0
D GENERAL MTRS CO                WARRANT    37045V118     8704     747797 SH  -    DEFINED 04             747797         0        0
D GENERAL MTRS CO                WARRANT    37045V118     8487     729125 SH  -    DEFINED 05             729125         0        0
D GENERAL MTRS CO                WARRANT    37045V118        1         86 SH  -    OTHER   10                  0         0       86
D GENERAL MTRS CO                WARRANT    37045V126       41       5224 SH  -    DEFINED 02               5224         0        0
D GENERAL MTRS CO                WARRANT    37045V126        1         69 SH  -    DEFINED 02                 69         0        0
D GENERAL MTRS CO                WARRANT    37045V126        2        218 SH  -    DEFINED 02                  0         0      218
D GENERAL MTRS CO                WARRANT    37045V126        1        180 SH  -    OTHER   02                180         0        0
D GENERAL MTRS CO                WARRANT    37045V126     7851     990090 SH  -    DEFINED 04             979654         0    10436
D GENERAL MTRS CO                WARRANT    37045V126      103      12971 SH  -    DEFINED 04              12971         0        0
D GENERAL MTRS CO                WARRANT    37045V126     5930     747797 SH  -    DEFINED 04             747797         0        0
D GENERAL MTRS CO                WARRANT    37045V126    10718    1351525 SH  -    DEFINED 05            1351525         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 357
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GENERAL MTRS CO                WARRANT    37045V126        1         86 SH  -    OTHER   10                  0         0       86
D GENERAL MTRS CO                PREF CONV  37045V209        2         61 SH  -    DEFINED 02                  0         0        0
D GENERAL MTRS CO                PREF CONV  37045V209        7        200 SH  -    OTHER   02                  0         0        0
D GENERAL MTRS CO                PREF CONV  37045V209    18112     516300 SH  -    DEFINED 04                  0         0        0
D GENERAL MTRS CO                PREF CONV  37045V209      246       7000 SH  -    DEFINED 04                  0         0        0
D GENERAL MTRS CO                PREF CONV  37045V209     2210      63000 SH  -    DEFINED 04                  0         0        0
D GENERAL MTRS CO                PREF CONV  37045V209     5488     156447 SH  -    DEFINED 04                  0         0        0
D GENERAL MTRS CO                PREF CONV  37045V209    51550    1469497 SH  -    DEFINED 09                  0         0        0
D GENERAL MTRS CO                PREF CONV  37045V209     4633     132070 SH  -    DEFINED 09                  0         0        0
D GENERAL MTRS CO                PREF CONV  37045V209     1152      32837 SH  -    OTHER   10                  0         0        0
D GENERAL MTRS CO                OPTION     37045V902    10136     502300 SH  C    DEFINED 05             502300         0        0
D GENERAL MTRS CO                OPTION     37045V951    10094     500200 SH  P    DEFINED 05             500200         0        0
D GENERAL MTRS CO                OPTION     37045V951    16245     805000 SH  P    DEFINED 08             805000         0        0
D GENESCO INC.                   COMMON     371532102        5        100 SH  -    OTHER   02                  0       100        0
D GENESCO INC.                   COMMON     371532102      443       8590 SH  -    DEFINED 04               8590         0        0
D GENESCO INC.                   COMMON     371532102      854      16567 SH  -    DEFINED 04              16567         0        0
D GENESCO INC.                   COMMON     371532102      581      11279 SH  -    DEFINED 05              11279         0        0
D GENESCO INC.                   COMMON     371532102        7        145 SH  -    OTHER   10                  0         0      145
D GENESEE & WYOMING              COMMON     371559105      128       2754 SH  -    OTHER   02               2023       731        0
D GENESEE & WYOMING              COMMON     371559105       57       1225 SH  -    OTHER   02                  5        14     1206
D GENESEE & WYOMING              COMMON     371559105       30        636 SH  -    DEFINED 05                636         0        0
D GENESEE & WYOMING              COMMON     371559105      112       2413 SH  -    DEFINED 08               2413         0        0
D GENESEE & WYOMING              COMMON     371559105        1         25 SH  -    OTHER   01                  0        25        0
D GENESEE & WYOMING              COMMON     371559105      123       2652 SH  -    OTHER   10                  0         0     2652
D GENTEX CORP                    COMMON     371901109      251      10453 SH  -    DEFINED 02              10453         0        0
D GENTEX CORP                    COMMON     371901109      862      35860 SH  -    DEFINED 02              34952         0      908

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 358
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GENTEX CORP                    COMMON     371901109      315      13078 SH  -    OTHER   02               8620      3908      550
D GENTEX CORP                    COMMON     371901109      129       5358 SH  -    OTHER   02               4869        99      390
D GENTEX CORP                    COMMON     371901109    13442     558900 SH  -    DEFINED 04             438900         0   120000
D GENTEX CORP                    COMMON     371901109     5308     220700 SH  -    DEFINED 04             220700         0        0
D GENTEX CORP                    COMMON     371901109      824      34270 SH  -    DEFINED 04              34270         0        0
D GENTEX CORP                    COMMON     371901109       52       2158 SH  -    DEFINED 05               2158         0        0
D GENTEX CORP                    COMMON     371901109      139       5773 SH  -    DEFINED 01               5600         0      173
D GENTEX CORP                    COMMON     371901109       13        542 SH  -    OTHER   01                  0       302      240
D GENTEX CORP                    COMMON     371901109       18        739 SH  -    OTHER   10                  0         0      739
D GENESIS ENERGY L P             COMMON     371927104       77       3200 SH  -    DEFINED 02               3200         0        0
D GENESIS ENERGY L P             COMMON     371927104    19224     794059 SH  -    DEFINED 10             794059         0        0
D GENESIS ENERGY L P             COMMON     371927104      379      15675 SH  -    OTHER   10                  0         0    15675
D GENMARK DIAGNOSTICS INC        COMMON     372309104      151      26300 SH  -    DEFINED 04              20000         0     6300
D GENMARK DIAGNOSTICS INC        COMMON     372309104       19       3300 SH  -    DEFINED 04               3300         0        0
D GENMARK DIAGNOSTICS INC        COMMON     372309104      315      54777 SH  -    DEFINED 09              54777         0        0
D GENOMIC HEALTH INC             COMMON     37244C101      939      42735 SH  -    DEFINED 05              42735         0        0
D GENOMIC HEALTH INC             COMMON     37244C101       22       1021 SH  -    DEFINED 08               1021         0        0
D GENON ENERGY INC               COMMON     37244E107        0         48 SH  -    DEFINED 02                 48         0        0
D GENON ENERGY INC               COMMON     37244E107       43      15470 SH  -    OTHER   02               1622      3418    10430
D GENON ENERGY INC               COMMON     37244E107        3       1022 SH  -    OTHER   02                 17         0     1005
D GENON ENERGY INC               COMMON     37244E107      117      42060 SH  -    DEFINED 04              40476         0     1584
D GENON ENERGY INC               COMMON     37244E107        7       2647 SH  -    DEFINED 04               2647         0        0
D GENON ENERGY INC               COMMON     37244E107       54      19411 SH  -    DEFINED 04              19411         0        0
D GENON ENERGY INC               COMMON     37244E107      159      57259 SH  -    DEFINED 05              57259         0        0
D GENON ENERGY INC               COMMON     37244E107        1        257 SH  -    DEFINED 08                257         0        0
D GENON ENERGY INC               COMMON     37244E107    22107    7952274 SH  -    DEFINED 08            7952274         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 359
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GENUINE PARTS CO               COMMON     372460105      465       9152 SH  -    DEFINED 02               7087      2065        0
D GENUINE PARTS CO               COMMON     372460105     1907      37532 SH  -    DEFINED 02              37017         0      515
D GENUINE PARTS CO               COMMON     372460105       95       1874 SH  -    DEFINED 02               1807         0       67
D GENUINE PARTS CO               COMMON     372460105     9356     184171 SH  -    OTHER   02              17597    163673     2571
D GENUINE PARTS CO               COMMON     372460105     2456      48343 SH  -    OTHER   02              19876      9755    18712
D GENUINE PARTS CO               COMMON     372460105   133347    2624942 SH  -    DEFINED 04            2439773         0   185169
D GENUINE PARTS CO               COMMON     372460105     4640      91346 SH  -    DEFINED 04              91346         0        0
D GENUINE PARTS CO               COMMON     372460105       52       1023 SH  -    DEFINED 04               1023         0        0
D GENUINE PARTS CO               COMMON     372460105     1854      36500 SH  -    DEFINED 04              36500         0        0
D GENUINE PARTS CO               COMMON     372460105     1054      20746 SH  -    OTHER   04                  0     20746        0
D GENUINE PARTS CO               COMMON     372460105     5243     103216 SH  -    OTHER   04                  0    103216        0
D GENUINE PARTS CO               COMMON     372460105     2931      57691 SH  -    DEFINED 05              57691         0        0
D GENUINE PARTS CO               COMMON     372460105      126       2480 SH  -    DEFINED 09               2480         0        0
D GENUINE PARTS CO               COMMON     372460105      287       5650 SH  -    DEFINED 01               5600         0       50
D GENUINE PARTS CO               COMMON     372460105     1155      22740 SH  -    OTHER   01               9900     12710      130
D GENUINE PARTS CO               COMMON     372460105      231       4544 SH  -    OTHER   10                  0         0     4544
D GENTIVA HEALTH SERVICES INC    COMMON     37247A102     1936     350770 SH  -    DEFINED 04             285870         0    64900
D GENTIVA HEALTH SERVICES INC    COMMON     37247A102      119      21547 SH  -    DEFINED 04              21547         0        0
D GENTIVA HEALTH SERVICES INC    COMMON     37247A102       79      14355 SH  -    DEFINED 05              14355         0        0
D GENWORTH FINL INC              COMMON     37247D106        3        594 SH  -    DEFINED 02                  0         0      594
D GENWORTH FINL INC              COMMON     37247D106       27       4674 SH  -    DEFINED 02               1337      3337        0
D GENWORTH FINL INC              COMMON     37247D106       34       5981 SH  -    DEFINED 02               5655         0      326
D GENWORTH FINL INC              COMMON     37247D106     1964     342109 SH  -    OTHER   02               3855    308174    30080
D GENWORTH FINL INC              COMMON     37247D106      756     131684 SH  -    OTHER   02               2085     14592   115007
D GENWORTH FINL INC              COMMON     37247D106      501      87357 SH  -    DEFINED 04              73308         0    14049
D GENWORTH FINL INC              COMMON     37247D106     1431     249371 SH  -    DEFINED 04             249371         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 360
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GENWORTH FINL INC              COMMON     37247D106      855     148907 SH  -    DEFINED 05             148907         0        0
D GENWORTH FINL INC              COMMON     37247D106        5        937 SH  -    DEFINED 06                937         0        0
D GENWORTH FINL INC              COMMON     37247D106      947     165026 SH  -    DEFINED 08             165026         0        0
D GENWORTH FINL INC              COMMON     37247D106        2        400 SH  -    OTHER   10                  0         0      400
D GENWORTH FINL INC              OPTION     37247D957        1        100 SH  P    DEFINED 05                100         0        0
D GEORESOURCES INC               COMMON     372476101       60       3390 SH  -    OTHER   02                  0      1140     2250
D GEORESOURCES INC               COMMON     372476101      509      28600 SH  -    DEFINED 04              21300         0     7300
D GEORESOURCES INC               COMMON     372476101      234      13163 SH  -    DEFINED 04              13163         0        0
D GEORESOURCES INC               COMMON     372476101      172       9668 SH  -    DEFINED 05               9668         0        0
D GEOEYE INC                     COMMON     37250W108      329      11603 SH  -    DEFINED 05              11603         0        0
D GEOEYE INC                     COMMON     37250W108       37       1310 SH  -    DEFINED 08               1310         0        0
D GEOKINETICS INC                COMMON     372910307        1        317 SH  -    OTHER   02                  0       317        0
D GEOKINETICS INC                COMMON     372910307      109      45143 SH  -    DEFINED 04              42243         0     2900
D GEOKINETICS INC                COMMON     372910307        0          1 SH  -    DEFINED 05                  1         0        0
D GEOKINETICS INC                COMMON     372910307        1        553 SH  -    DEFINED 08                553         0        0
D GEORGIA GULF CORP              COMMON     373200302       69       5010 SH  -    DEFINED 02               5010         0        0
D GEORGIA GULF CORP              COMMON     373200302       83       6012 SH  -    DEFINED 02               4546         0     1466
D GEORGIA GULF CORP              COMMON     373200302      102       7366 SH  -    DEFINED 02               1660         0     5706
D GEORGIA GULF CORP              COMMON     373200302      173      12522 SH  -    OTHER   02                  0     12522        0
D GEORGIA GULF CORP              COMMON     373200302    70205    5076248 SH  -    DEFINED 04            4645164         0   431084
D GEORGIA GULF CORP              COMMON     373200302     1564     113074 SH  -    DEFINED 04             113074         0        0
D GEORGIA GULF CORP              COMMON     373200302     4395     317784 SH  -    DEFINED 04             317784         0        0
D GEORGIA GULF CORP              COMMON     373200302       30       2193 SH  -    DEFINED 04               2193         0        0
D GEORGIA GULF CORP              COMMON     373200302     2753     199044 SH  -    DEFINED 04             199044         0        0
D GEORGIA GULF CORP              COMMON     373200302       28       2023 SH  -    DEFINED 04                  0         0     2023
D GEORGIA GULF CORP              COMMON     373200302        3        230 SH  -    OTHER   04                  0       230        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 361
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GEORGIA GULF CORP              COMMON     373200302        1        108 SH  -    OTHER   04                  0       108        0
D GEORGIA GULF CORP              COMMON     373200302        7        515 SH  -    DEFINED 05                515         0        0
D GEORGIA GULF CORP              COMMON     373200302      315      22767 SH  -    DEFINED 08              22767         0        0
D GEORGIA GULF CORP              COMMON     373200302     2334     168775 SH  -    DEFINED 09             148525         0    20250
D GEORGIA GULF CORP              COMMON     373200302     1054      76180 SH  -    OTHER   09                  0     76180        0
D GERDAU S A                     PREF ADR   373737105        1         95 SH  -    DEFINED 02                 95         0        0
D GERDAU S A                     PREF ADR   373737105      358      50179 SH  -    DEFINED 05              50179         0        0
D GERDAU S A                     PREF ADR   373737105       34       4820 SH  -    DEFINED 06               4820         0        0
D GERDAU S A                     PREF ADR   373737105     7283    1021503 SH  -    DEFINED 08            1021503         0        0
D GERDAU S A                     OPTION     373737907     2149     301400 SH  C    DEFINED 05             301400         0        0
D GERMAN AMERN BANCORP INC       COMMON     373865104      270      16754 SH  -    DEFINED 02              16754         0        0
D GERMAN AMERN BANCORP INC       COMMON     373865104        3        182 SH  -    OTHER   02                  0       182        0
D GERMAN AMERN BANCORP INC       COMMON     373865104      200      12400 SH  -    DEFINED 04              12400         0        0
D GERMAN AMERN BANCORP INC       COMMON     373865104        0          1 SH  -    DEFINED 05                  1         0        0
D GERMAN AMERN BANCORP INC       COMMON     373865104        8        470 SH  -    DEFINED 08                470         0        0
D GERON CORP                     COMMON     374163103      171      80618 SH  -    DEFINED 05              80618         0        0
D GERON CORP                     COMMON     374163103       17       7788 SH  -    DEFINED 08               7788         0        0
D GETTY RLTY CORP NEW            COMMON     374297109      779      54000 SH  -    DEFINED 04              54000         0        0
D GETTY RLTY CORP NEW            COMMON     374297109      878      60885 SH  -    DEFINED 04              60885         0        0
D GETTY RLTY CORP NEW            COMMON     374297109      182      12618 SH  -    DEFINED 05              12618         0        0
D GETTY RLTY CORP NEW            COMMON     374297109      288      19991 SH  -    OTHER   10                  0         0    19991
D GIANT INTERACTIVE GROUP INC    ADR        374511103      226      68000 SH  -    DEFINED 05              68000         0        0
D GIANT INTERACTIVE GROUP INC    ADR        374511103     2169     651224 SH  -    DEFINED 09             651224         0        0
D GIBRALTAR INDS INC             COMMON     374689107     1718     211625 SH  -    DEFINED 04             192200         0    19425
D GIBRALTAR INDS INC             COMMON     374689107     1728     212791 SH  -    DEFINED 04             212791         0        0
D GIBRALTAR INDS INC             COMMON     374689107      115      14155 SH  -    DEFINED 05              14155         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 362
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GILEAD SCIENCES INC            BOND       375558AH6        9       8000 PRN -    DEFINED 02                  0         0        0
D GILEAD SCIENCES INC            BOND       375558AH6     3268    2860000 PRN -    DEFINED 05                  0         0        0
D GILEAD SCIENCES INC            BOND       375558AH6    30971   27108000 PRN -    DEFINED 09                  0         0        0
D GILEAD SCIENCES INC            BOND       375558AH6     6310    5523000 PRN -    DEFINED 09                  0         0        0
D GILEAD SCIENCES INC            BOND       375558AN3     1458    1348000 PRN -    DEFINED 05                  0         0        0
D GILEAD SCIENCES INC            BOND       375558AN3    57387   53075000 PRN -    DEFINED 09                  0         0        0
D GILEAD SCIENCES INC            BOND       375558AN3     8886    8217863 PRN -    DEFINED 09                  0         0        0
D GILEAD SCIENCES                COMMON     375558103     6333     163217 SH  -    DEFINED 02             116578         0    46639
D GILEAD SCIENCES                COMMON     375558103      830      21394 SH  -    DEFINED 02              19200      1394      800
D GILEAD SCIENCES                COMMON     375558103      367       9467 SH  -    DEFINED 02               8891         0      576
D GILEAD SCIENCES                COMMON     375558103     8754     225626 SH  -    OTHER   02              67274    144134    14124
D GILEAD SCIENCES                COMMON     375558103     2489      64137 SH  -    OTHER   02               7898      6344    49895
D GILEAD SCIENCES                COMMON     375558103     3123      80484 SH  -    OTHER   02                  0     80484        0
D GILEAD SCIENCES                COMMON     375558103    52148    1344031 SH  -    DEFINED 04            1128244         0   215787
D GILEAD SCIENCES                COMMON     375558103     4980     128359 SH  -    DEFINED 04             128359         0        0
D GILEAD SCIENCES                COMMON     375558103       23        600 SH  -    DEFINED 04                600         0        0
D GILEAD SCIENCES                COMMON     375558103      605      15600 SH  -    OTHER   04                  0     15600        0
D GILEAD SCIENCES                COMMON     375558103    59058    1522117 SH  -    DEFINED 05            1522117         0        0
D GILEAD SCIENCES                COMMON     375558103      129       3322 SH  -    DEFINED 06               3322         0        0
D GILEAD SCIENCES                COMMON     375558103   192642    4965000 SH  -    DEFINED 08            4965000         0        0
D GILEAD SCIENCES                COMMON     375558103      118       3040 SH  -    DEFINED 09               3040         0        0
D GILEAD SCIENCES                COMMON     375558103       18        465 SH  -    DEFINED 01                465         0        0
D GILEAD SCIENCES                COMMON     375558103       22        560 SH  -    OTHER   01                500        60        0
D GILEAD SCIENCES                COMMON     375558103     4080     105163 SH  -    OTHER   10                  0         0   105163
D GLACIER BANCORP INC NEW        COMMON     37637Q105        1        123 SH  -    DEFINED 02                  0       123        0
D GLACIER BANCORP INC NEW        COMMON     37637Q105      188      20102 SH  -    OTHER   02                  0     16192     3910

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 363
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GLACIER BANCORP INC NEW        COMMON     37637Q105        2        262 SH  -    OTHER   02                  0         0      262
D GLACIER BANCORP INC NEW        COMMON     37637Q105    11490    1226300 SH  -    DEFINED 04            1138900         0    87400
D GLACIER BANCORP INC NEW        COMMON     37637Q105      488      52089 SH  -    DEFINED 04              52089         0        0
D GLACIER BANCORP INC NEW        COMMON     37637Q105      315      33571 SH  -    DEFINED 05              33571         0        0
D GLADSTONE CAPITAL CORP         COMMON     376535100        2        252 SH  -    OTHER   02                  0       252        0
D GLADSTONE CAPITAL CORP         COMMON     376535100      635      92600 SH  -    DEFINED 04              83200         0     9400
D GLADSTONE CAPITAL CORP         COMMON     376535100      322      46900 SH  -    DEFINED 04              46900         0        0
D GLADSTONE CAPITAL CORP         COMMON     376535100        2        303 SH  -    DEFINED 05                303         0        0
D GLADSTONE CAPITAL CORP         COMMON     376535100        9       1253 SH  -    DEFINED 08               1253         0        0
D GLADSTONE INVT CORP            COMMON     376546107       58       8600 SH  -    DEFINED 04               8600         0        0
D GLADSTONE INVT CORP            COMMON     376546107      286      42100 SH  -    DEFINED 04              42100         0        0
D GLADSTONE INVT CORP            COMMON     376546107        0          1 SH  -    DEFINED 05                  1         0        0
D GLADSTONE INVT CORP            COMMON     376546107        9       1294 SH  -    DEFINED 08               1294         0        0
D GLATFELTER                     COMMON     377316104       43       3260 SH  -    DEFINED 02                  0      3260        0
D GLATFELTER                     COMMON     377316104       66       5022 SH  -    OTHER   02               3200      1822        0
D GLATFELTER                     COMMON     377316104       52       3900 SH  -    OTHER   02                  0      3900        0
D GLATFELTER                     COMMON     377316104     1671     126500 SH  -    DEFINED 04             123600         0     2900
D GLATFELTER                     COMMON     377316104        9        697 SH  -    DEFINED 05                697         0        0
D GLATFELTER                     COMMON     377316104       35       2648 SH  -    DEFINED 08               2648         0        0
D GLAXOSMITHKLINE                ADR        37733W105       31        749 SH  -    DEFINED 02                149       600        0
D GLAXOSMITHKLINE                ADR        37733W105      325       7883 SH  -    DEFINED 02               5583      1325      975
D GLAXOSMITHKLINE                ADR        37733W105    15069     364959 SH  -    OTHER   02              44336    317190     1453
D GLAXOSMITHKLINE                ADR        37733W105     7818     189343 SH  -    OTHER   02             165433     19400     4510
D GLAXOSMITHKLINE                ADR        37733W105     1949      47206 SH  -    DEFINED 04              47206         0        0
D GLAXOSMITHKLINE                ADR        37733W105     5177     125380 SH  -    OTHER   04                  0    125380        0
D GLAXOSMITHKLINE                ADR        37733W105    16969     410982 SH  -    OTHER   04                  0    410982        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 364
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GLAXOSMITHKLINE                ADR        37733W105      287       6943 SH  -    DEFINED 05               6943         0        0
D GLAXOSMITHKLINE                ADR        37733W105    21123     511585 SH  -    DEFINED 06             511585         0        0
D GLAXOSMITHKLINE                ADR        37733W105     1169      28320 SH  -    OTHER   01               9000     19103        0
D GLAXOSMITHKLINE                ADR        37733W105     1544      37391 SH  -    OTHER   10                  0         0    37391
D GLAXOSMITHKLINE                OPTION     37733W907      281       6800 SH  C    DEFINED 05               6800         0        0
D GLAXOSMITHKLINE                OPTION     37733W956      153       3700 SH  P    DEFINED 05               3700         0        0
D GLEACHER & CO INC              COMMON     377341102     1180     991600 SH  -    DEFINED 04             991600         0        0
D GLEACHER & CO INC              COMMON     377341102        2       1277 SH  -    DEFINED 05               1277         0        0
D GLEACHER & CO INC              COMMON     377341102        6       4927 SH  -    DEFINED 08               4927         0        0
D GLOBAL CASH ACCESS HLDGS INC   COMMON     378967103        3       1106 SH  -    OTHER   02                  0      1106        0
D GLOBAL CASH ACCESS HLDGS INC   COMMON     378967103      519     202879 SH  -    DEFINED 04             198779         0     4100
D GLOBAL CASH ACCESS HLDGS INC   COMMON     378967103       43      16900 SH  -    DEFINED 04              16900         0        0
D GLOBAL CASH ACCESS HLDGS INC   COMMON     378967103        2        879 SH  -    DEFINED 05                879         0        0
D GLOBAL CASH ACCESS HLDGS INC   COMMON     378967103       10       3786 SH  -    DEFINED 08               3786         0        0
D GLOBALSTAR INC                 COMMON     378973408     1927    4712699 SH  -    DEFINED 05            4712699         0        0
D GLOBALSTAR INC                 COMMON     378973408        3       7428 SH  -    DEFINED 08               7428         0        0
D GLIMCHER REALTY TR             COMMON     379302102      426      60200 SH  -    DEFINED 02              60200         0        0
D GLIMCHER REALTY TR             COMMON     379302102    13550    1913897 SH  -    DEFINED 04            1610289         0   303608
D GLIMCHER REALTY TR             COMMON     379302102      149      21000 SH  -    DEFINED 04              21000         0        0
D GLIMCHER REALTY TR             COMMON     379302102       30       4300 SH  -    DEFINED 04               4300         0        0
D GLIMCHER REALTY TR             COMMON     379302102      939     132600 SH  -    DEFINED 04             101900         0        0
D GLIMCHER REALTY TR             COMMON     379302102       11       1512 SH  -    DEFINED 05               1512         0        0
D GLOBAL INDUSTRIES              COMMON     379336100        8       1036 SH  -    OTHER   02                  0      1036        0
D GLOBAL INDUSTRIES              COMMON     379336100      600      75800 SH  -    DEFINED 04              75800         0        0
D GLOBAL INDUSTRIES              COMMON     379336100       12       1578 SH  -    DEFINED 05               1578         0        0
D GLOBAL INDUSTRIES              COMMON     379336100      212      26776 SH  -    DEFINED 08              26776         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 365
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GLOBAL INDUSTRIES              COMMON     379336100    14060    1775192 SH  -    DEFINED 09            1008992         0        0
D GLOBAL PMTS INC                COMMON     37940X102     6833     169186 SH  -    DEFINED 02             154835       990    13361
D GLOBAL PMTS INC                COMMON     37940X102     2104      52092 SH  -    DEFINED 02              51388        60      644
D GLOBAL PMTS INC                COMMON     37940X102     2099      51977 SH  -    OTHER   02              33412      8120    10445
D GLOBAL PMTS INC                COMMON     37940X102      177       4390 SH  -    OTHER   02               3480       275      635
D GLOBAL PMTS INC                COMMON     37940X102       54       1325 SH  -    OTHER   02                  0      1325        0
D GLOBAL PMTS INC                COMMON     37940X102       47       1162 SH  -    OTHER   02                  0      1162        0
D GLOBAL PMTS INC                COMMON     37940X102      121       3000 SH  -    OTHER   02                  0      3000        0
D GLOBAL PMTS INC                COMMON     37940X102    10466     259121 SH  -    DEFINED 04             235721         0    23400
D GLOBAL PMTS INC                COMMON     37940X102     3865      95689 SH  -    DEFINED 04              95689         0        0
D GLOBAL PMTS INC                COMMON     37940X102      254       6287 SH  -    DEFINED 04               6287         0        0
D GLOBAL PMTS INC                COMMON     37940X102     5803     143671 SH  -    OTHER   04                  0    143671        0
D GLOBAL PMTS INC                COMMON     37940X102     3193      79063 SH  -    DEFINED 05              79063         0        0
D GLOBAL PMTS INC                COMMON     37940X102      298       7367 SH  -    DEFINED 08               7367         0        0
D GLOBAL PMTS INC                COMMON     37940X102      383       9490 SH  -    DEFINED 01               8180       750      560
D GLOBAL PMTS INC                COMMON     37940X102      142       3523 SH  -    OTHER   01               1400       828     1295
D GLOBAL GEOPHYSICAL SVCS INC    COMMON     37946S107        1        177 SH  -    DEFINED 02                  0       177        0
D GLOBAL GEOPHYSICAL SVCS INC    COMMON     37946S107      259      32481 SH  -    OTHER   02              18396     10385     3700
D GLOBAL GEOPHYSICAL SVCS INC    COMMON     37946S107        3        378 SH  -    OTHER   02                  0         0      378
D GLOBAL GEOPHYSICAL SVCS INC    COMMON     37946S107     4236     531497 SH  -    DEFINED 04             385479         0   146018
D GLOBAL GEOPHYSICAL SVCS INC    COMMON     37946S107     2716     340800 SH  -    DEFINED 04             340800         0        0
D GLOBAL GEOPHYSICAL SVCS INC    COMMON     37946S107      642      80560 SH  -    DEFINED 04              80560         0        0
D GLOBAL GEOPHYSICAL SVCS INC    COMMON     37946S107        2        277 SH  -    DEFINED 05                277         0        0
D GLOBAL GEOPHYSICAL SVCS INC    COMMON     37946S107        9       1091 SH  -    DEFINED 08               1091         0        0
D GLOBE SPECIALTY METALS INC     COMMON     37954N206      141       9745 SH  -    DEFINED 05               9745         0        0
D GLOBE SPECIALTY METALS INC     COMMON     37954N206       54       3706 SH  -    DEFINED 08               3706         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 366
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GLOBE SPECIALTY METALS INC     COMMON     37954N206       36       2500 SH  -    OTHER   10                  0         0     2500
D GMX RES INC                    COMMON     38011M108        1        451 SH  -    OTHER   02                451         0        0
D GMX RES INC                    COMMON     38011M108        2        817 SH  -    DEFINED 05                817         0        0
D GMX RES INC                    COMMON     38011M108      366     161250 SH  -    DEFINED 08             161250         0        0
D GOLD FIELDS                    ADR        38059T106      164      10697 SH  -    DEFINED 02                265     10432        0
D GOLD FIELDS                    ADR        38059T106        4        292 SH  -    DEFINED 02                292         0        0
D GOLD FIELDS                    ADR        38059T106      429      27970 SH  -    OTHER   02              10210     17760        0
D GOLD FIELDS                    ADR        38059T106       12        779 SH  -    DEFINED 05                779         0        0
D GOLD FIELDS                    ADR        38059T106     2067     134902 SH  -    DEFINED 06             134902         0        0
D GOLD FIELDS                    ADR        38059T106       85       5548 SH  -    OTHER   01                  0      5548        0
D GOLD FIELDS                    ADR        38059T106       70       4571 SH  -    OTHER   10                  0         0     4571
D GOLD FIELDS                    OPTION     38059T908     3642     237700 SH  C    DEFINED 05             237700         0        0
D GOLD RESV INC                  BOND       38068NAB4        9      11000 PRN -    DEFINED 05                  0         0        0
D GOLDCORP INC NEW               BOND       380956AB8      807     649000 PRN -    DEFINED 05                  0         0        0
D GOLDCORP INC NEW               BOND       380956AB8    12949   10411000 PRN -    DEFINED 09                  0         0        0
D GOLDCORP INC NEW               BOND       380956AB8     2894    2327000 PRN -    DEFINED 09                  0         0        0
D GOLDCORP INC NEW               COMMON     380956409        9        195 SH  -    DEFINED 02                195         0        0
D GOLDCORP INC NEW               COMMON     380956409      732      16040 SH  -    OTHER   02                  0      2700    13340
D GOLDCORP INC NEW               COMMON     380956409      130       2845 SH  -    OTHER   02               2845         0        0
D GOLDCORP INC NEW               COMMON     380956409     1006      22051 SH  -    DEFINED 04              22051         0        0
D GOLDCORP INC NEW               COMMON     380956409     4853     106336 SH  -    DEFINED 04             106336         0        0
D GOLDCORP INC NEW               COMMON     380956409     3757      82328 SH  -    DEFINED 05              82328         0        0
D GOLDCORP INC NEW               COMMON     380956409     1792      39273 SH  -    DEFINED 06              39273         0        0
D GOLDCORP INC NEW               COMMON     380956409     4554      99788 SH  -    DEFINED 08              99788         0        0
D GOLDCORP INC NEW               COMMON     380956409    37676     825500 SH  -    DEFINED 09             825500         0        0
D GOLDCORP INC NEW               COMMON     380956409     9128     200000 SH  -    DEFINED 09             200000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 367
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GOLDCORP INC NEW               COMMON     380956409     1128      24714 SH  -    OTHER   09                  0     24714        0
D GOLDCORP INC NEW               COMMON     380956409     5067     111023 SH  -    OTHER   10                  0         0   111023
D GOLDEN MINERALS CO             COMMON     381119106        5        631 SH  -    OTHER   02                  0       631        0
D GOLDEN MINERALS CO             COMMON     381119106      208      27960 SH  -    DEFINED 05              27960         0        0
D GOLDEN MINERALS CO             COMMON     381119106       11       1494 SH  -    DEFINED 08               1494         0        0
D GOLDEN STAR RES LTD CDA        COMMON     38119T104       30      16018 SH  -    DEFINED 08              16018         0        0
D GOLDMAN SACHS GP               COMMON     38141G104    23510     248650 SH  -    DEFINED 02             214380      1906    32364
D GOLDMAN SACHS GP               COMMON     38141G104     7528      79617 SH  -    DEFINED 02              76393       344     2880
D GOLDMAN SACHS GP               COMMON     38141G104     1498      15839 SH  -    DEFINED 02              15839         0        0
D GOLDMAN SACHS GP               COMMON     38141G104     1583      16741 SH  -    DEFINED 02               8868         0     7873
D GOLDMAN SACHS GP               COMMON     38141G104    19642     207738 SH  -    OTHER   02              77902    109686    20119
D GOLDMAN SACHS GP               COMMON     38141G104     3363      35567 SH  -    OTHER   02              18516      2924    14127
D GOLDMAN SACHS GP               COMMON     38141G104      239       2524 SH  -    OTHER   02                  0      2524        0
D GOLDMAN SACHS GP               COMMON     38141G104      112       1184 SH  -    OTHER   02                  0      1184        0
D GOLDMAN SACHS GP               COMMON     38141G104      286       3020 SH  -    OTHER   02                  0      3020        0
D GOLDMAN SACHS GP               COMMON     38141G104   342294    3620240 SH  -    DEFINED 04            2900056         0   720184
D GOLDMAN SACHS GP               COMMON     38141G104    13833     146302 SH  -    DEFINED 04             146302         0        0
D GOLDMAN SACHS GP               COMMON     38141G104    32454     343247 SH  -    DEFINED 04             343247         0        0
D GOLDMAN SACHS GP               COMMON     38141G104       50        524 SH  -    DEFINED 04                524         0        0
D GOLDMAN SACHS GP               COMMON     38141G104     2424      25633 SH  -    DEFINED 04              25633         0        0
D GOLDMAN SACHS GP               COMMON     38141G104    15129     160012 SH  -    DEFINED 04             159037         0      975
D GOLDMAN SACHS GP               COMMON     38141G104      260       2748 SH  -    DEFINED 04                  0         0     2748
D GOLDMAN SACHS GP               COMMON     38141G104    14996     158605 SH  -    OTHER   04                  0    158605        0
D GOLDMAN SACHS GP               COMMON     38141G104    90571     957915 SH  -    DEFINED 05             957915         0        0
D GOLDMAN SACHS GP               COMMON     38141G104       89        938 SH  -    DEFINED 06                938         0        0
D GOLDMAN SACHS GP               COMMON     38141G104    48620     514225 SH  -    DEFINED 08             514225         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 368
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GOLDMAN SACHS GP               COMMON     38141G104    33228     351429 SH  -    DEFINED 09             342196         0     4125
D GOLDMAN SACHS GP               COMMON     38141G104     7570      80062 SH  -    DEFINED 09              21082         0        0
D GOLDMAN SACHS GP               COMMON     38141G104     1252      13244 SH  -    DEFINED 09              13244         0        0
D GOLDMAN SACHS GP               COMMON     38141G104     1440      15230 SH  -    OTHER   09                  0     15230        0
D GOLDMAN SACHS GP               COMMON     38141G104    13715     145058 SH  -    DEFINED 01             142837       806     1415
D GOLDMAN SACHS GP               COMMON     38141G104      632       6682 SH  -    OTHER   01               2495      2736     1321
D GOLDMAN SACHS GP               COMMON     38141G104      346       3659 SH  -    OTHER   10                  0         0     3659
D GOLDMAN SACHS GP               OPTION     38141G906     7082      74900 SH  C    DEFINED 05              74900         0        0
D GOLDMAN SACHS GP               OPTION     38141G906    10523     111300 SH  C    DEFINED 08             111300         0        0
D GOLDMAN SACHS GP               OPTION     38141G955    25651     271300 SH  P    DEFINED 05             271300         0        0
D GOLDMAN SACHS GP               OPTION     38141G955    43493     460000 SH  P    DEFINED 08             460000         0        0
D GOLDMAN SACHS GROUP INC        COMMON     38144L852     4251      96171 SH  -    DEFINED 04              96171         0        0
D GOODRICH CORP                  COMMON     382388106      308       2554 SH  -    DEFINED 02                104         0     2450
D GOODRICH CORP                  COMMON     382388106      247       2046 SH  -    DEFINED 02               2046         0        0
D GOODRICH CORP                  COMMON     382388106      192       1589 SH  -    DEFINED 02               1441         0      148
D GOODRICH CORP                  COMMON     382388106     1089       9027 SH  -    OTHER   02               1135      6592     1286
D GOODRICH CORP                  COMMON     382388106     1147       9504 SH  -    OTHER   02                400       241     8863
D GOODRICH CORP                  COMMON     382388106   168401    1395432 SH  -    DEFINED 04             794493         0   600939
D GOODRICH CORP                  COMMON     382388106    63740     528174 SH  -    DEFINED 04             528174         0        0
D GOODRICH CORP                  COMMON     382388106     9378      77710 SH  -    DEFINED 04              77710         0        0
D GOODRICH CORP                  COMMON     382388106     3295      27303 SH  -    DEFINED 04              15818         0    11485
D GOODRICH CORP                  COMMON     382388106      137       1139 SH  -    OTHER   04                  0      1139        0
D GOODRICH CORP                  COMMON     382388106    57765     478663 SH  -    DEFINED 05             478663         0        0
D GOODRICH CORP                  COMMON     382388106    64512     534574 SH  -    DEFINED 08             534574         0        0
D GOODRICH CORP                  COMMON     382388106    15480     128271 SH  -    DEFINED 09             120393      7878        0
D GOODRICH CORP                  COMMON     382388106      817       6770 SH  -    DEFINED 09               6770         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 369
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GOODRICH CORP                  COMMON     382388106     6007      49776 SH  -    DEFINED 09              49776         0        0
D GOODRICH CORP                  COMMON     382388106      162       1340 SH  -    OTHER   09                  0      1340        0
D GOODRICH CORP                  COMMON     382388106      788       6533 SH  -    OTHER   01               6500        33        0
D GOODRICH CORP                  COMMON     382388106        1          5 SH  -    OTHER   10                  0         0        5
D GOODRICH PETE CORP             BOND       382410AB4       14      14000 PRN -    DEFINED 05                  0         0        0
D GOODRICH PETE CORP             BOND       382410AC2       92     102000 PRN -    DEFINED 02                  0         0        0
D GOODRICH PETE CORP             BOND       382410AC2       87      97000 PRN -    OTHER   02                  0         0        0
D GOODRICH PETE CORP             BOND       382410AC2       55      61000 PRN -    DEFINED 05                  0         0        0
D GOODRICH PETE CORP             BOND       382410AC2     6083    6750000 PRN -    DEFINED 09                  0         0        0
D GOODRICH PETE CORP             COMMON     382410405       17       1413 SH  -    OTHER   02               1300       113        0
D GOODRICH PETE CORP             COMMON     382410405       13       1086 SH  -    DEFINED 05               1086         0        0
D GOODRICH PETE CORP             COMMON     382410405      571      48292 SH  -    DEFINED 08              48292         0        0
D GOODRICH PETE CORP             COMMON     382410405        5        394 SH  -    OTHER   10                  0         0      394
D GOODYEAR TIRE&RUBR             COMMON     382550101       21       2057 SH  -    DEFINED 02               2057         0        0
D GOODYEAR TIRE&RUBR             COMMON     382550101        0         48 SH  -    DEFINED 02                 48         0        0
D GOODYEAR TIRE&RUBR             COMMON     382550101       29       2881 SH  -    DEFINED 02               2816         0       65
D GOODYEAR TIRE&RUBR             COMMON     382550101       69       6882 SH  -    OTHER   02                  0      3307     3575
D GOODYEAR TIRE&RUBR             COMMON     382550101        9        904 SH  -    OTHER   02                  0         0      904
D GOODYEAR TIRE&RUBR             COMMON     382550101      904      89628 SH  -    DEFINED 04              82632         0     6996
D GOODYEAR TIRE&RUBR             COMMON     382550101     1245     123382 SH  -    DEFINED 04             123382         0        0
D GOODYEAR TIRE&RUBR             COMMON     382550101      458      45404 SH  -    DEFINED 05              45404         0        0
D GOODYEAR TIRE&RUBR             COMMON     382550101       46       4536 SH  -    OTHER   10                  0         0     4536
D GOODYEAR TIRE & RUBR CO        PREF CONV  382550309     4166     107500 SH  -    DEFINED 08                  0         0        0
D GOODYEAR TIRE & RUBR CO        PREF CONV  382550309     3156      81450 SH  -    DEFINED 09                  0         0        0
D GOODYEAR TIRE&RUBR             OPTION     382550903       42       4200 SH  C    DEFINED 05               4200         0        0
D GOODYEAR TIRE&RUBR             OPTION     382550952       20       2000 SH  P    DEFINED 05               2000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 370
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GOOGLE INC                     COMMON     38259P508     8031      15592 SH  -    DEFINED 02               9991       475     5126
D GOOGLE INC                     COMMON     38259P508     1813       3520 SH  -    DEFINED 02               3155        93      272
D GOOGLE INC                     COMMON     38259P508     2331       4526 SH  -    DEFINED 02               3328         0     1198
D GOOGLE INC                     COMMON     38259P508    38425      74605 SH  -    OTHER   02              15330     47164    12078
D GOOGLE INC                     COMMON     38259P508     4900       9513 SH  -    OTHER   02               3194       843     5476
D GOOGLE INC                     COMMON     38259P508      485        941 SH  -    OTHER   02                  0       941        0
D GOOGLE INC                     COMMON     38259P508   381894     741484 SH  -    DEFINED 04             510049         0   231435
D GOOGLE INC                     COMMON     38259P508    38089      73954 SH  -    DEFINED 04              73954         0        0
D GOOGLE INC                     COMMON     38259P508    25359      49236 SH  -    DEFINED 04              49236         0        0
D GOOGLE INC                     COMMON     38259P508       84        164 SH  -    DEFINED 04                164         0        0
D GOOGLE INC                     COMMON     38259P508    26871      52172 SH  -    DEFINED 04              44965         0     7207
D GOOGLE INC                     COMMON     38259P508      313        607 SH  -    DEFINED 04                  0         0      607
D GOOGLE INC                     COMMON     38259P508       10         19 SH  -    OTHER   04                  0        19        0
D GOOGLE INC                     COMMON     38259P508      202        392 SH  -    OTHER   04                  0       392        0
D GOOGLE INC                     COMMON     38259P508   119686     232382 SH  -    DEFINED 05             232382         0        0
D GOOGLE INC                     COMMON     38259P508    25087      48708 SH  -    DEFINED 08              48708         0        0
D GOOGLE INC                     COMMON     38259P508    58501     113586 SH  -    DEFINED 09             106309      4369     2908
D GOOGLE INC                     COMMON     38259P508     2367       4595 SH  -    DEFINED 09               4595         0        0
D GOOGLE INC                     COMMON     38259P508    15882      30836 SH  -    DEFINED 09              30836         0        0
D GOOGLE INC                     COMMON     38259P508     4875       9465 SH  -    OTHER   09                  0      9465        0
D GOOGLE INC                     COMMON     38259P508   566720    1100342 SH  -    DEFINED 01               3469         0  1096873
D GOOGLE INC                     COMMON     38259P508     1113       2161 SH  -    OTHER   01                147      1955       40
D GOOGLE INC                     COMMON     38259P508    15663      30411 SH  -    OTHER   10                  0         0    30411
D GOOGLE INC                     OPTION     38259P904    35744      69400 SH  C    DEFINED 05              69400         0        0
D GOOGLE INC                     OPTION     38259P904    15407      29915 SH  C    DEFINED 08              29915         0        0
D GOOGLE INC                     OPTION     38259P953    26061      50600 SH  P    DEFINED 05              50600         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 371
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GOOGLE INC                     OPTION     38259P953    24516      47600 SH  P    DEFINED 08              47600         0        0
D GORMAN RUPP CO                 COMMON     383082104     2307      93457 SH  -    DEFINED 02              93457         0        0
D GORMAN RUPP CO                 COMMON     383082104        1         22 SH  -    OTHER   02                  0         0        0
D GORMAN RUPP CO                 COMMON     383082104        7        287 SH  -    DEFINED 05                287         0        0
D GORMAN RUPP CO                 COMMON     383082104       22        910 SH  -    DEFINED 08                910         0        0
D GRACE(WR)& CO                  COMMON     38388F108       32        948 SH  -    OTHER   02                  0       948        0
D GRACE(WR)& CO                  COMMON     38388F108       31        944 SH  -    DEFINED 04                944         0        0
D GRACE(WR)& CO                  COMMON     38388F108     1383      41542 SH  -    DEFINED 05              41542         0        0
D GRACE(WR)& CO                  COMMON     38388F108     8492     255007 SH  -    DEFINED 08             255007         0        0
D GRACO INC                      COMMON     384109104      152       4453 SH  -    DEFINED 02               4453         0        0
D GRACO INC                      COMMON     384109104       41       1208 SH  -    OTHER   02                  0      1208        0
D GRACO INC                      COMMON     384109104       82       2411 SH  -    OTHER   02                  5        14     2392
D GRACO INC                      COMMON     384109104     3958     115928 SH  -    DEFINED 04              83288         0    32640
D GRACO INC                      COMMON     384109104     8706     255001 SH  -    DEFINED 04             255001         0        0
D GRACO INC                      COMMON     384109104      632      18500 SH  -    DEFINED 04              18500         0        0
D GRACO INC                      COMMON     384109104       84       2469 SH  -    DEFINED 05               2469         0        0
D GRACO INC                      COMMON     384109104      588      17217 SH  -    DEFINED 08              17217         0        0
D GRACO INC                      COMMON     384109104      205       6000 SH  -    OTHER   01               6000         0        0
D GRACO INC                      COMMON     384109104        1         23 SH  -    OTHER   10                  0         0       23
D GRAFTECH INTL LTD              COMMON     384313102     2647     208440 SH  -    DEFINED 02             208440         0        0
D GRAFTECH INTL LTD              COMMON     384313102       12        920 SH  -    OTHER   02                  0       920        0
D GRAFTECH INTL LTD              COMMON     384313102        5        409 SH  -    OTHER   02                  0         0      409
D GRAFTECH INTL LTD              COMMON     384313102     2169     170799 SH  -    OTHER   02                  0    170799        0
D GRAFTECH INTL LTD              COMMON     384313102      340      26756 SH  -    DEFINED 05              26756         0        0
D GRAFTECH INTL LTD              COMMON     384313102     3008     236872 SH  -    DEFINED 08             236872         0        0
D GRAFTECH INTL LTD              COMMON     384313102        5        371 SH  -    OTHER   01                  0       371        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 372
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GRAFTECH INTL LTD              COMMON     384313102      598      47050 SH  -    OTHER   10                  0         0    47050
D GRAINGER(WW)INC                COMMON     384802104     3121      20873 SH  -    DEFINED 02              20873         0        0
D GRAINGER(WW)INC                COMMON     384802104     2161      14451 SH  -    DEFINED 02              14421         0       30
D GRAINGER(WW)INC                COMMON     384802104      109        729 SH  -    DEFINED 02                701         0       28
D GRAINGER(WW)INC                COMMON     384802104     1481       9906 SH  -    OTHER   02               6638      3110      129
D GRAINGER(WW)INC                COMMON     384802104      675       4511 SH  -    OTHER   02               4394        35       82
D GRAINGER(WW)INC                COMMON     384802104   150535    1006653 SH  -    DEFINED 04             531922         0   474731
D GRAINGER(WW)INC                COMMON     384802104    73486     491415 SH  -    DEFINED 04             491415         0        0
D GRAINGER(WW)INC                COMMON     384802104    10172      68020 SH  -    DEFINED 04              68020         0        0
D GRAINGER(WW)INC                COMMON     384802104      199       1332 SH  -    OTHER   04                  0      1332        0
D GRAINGER(WW)INC                COMMON     384802104     5088      34027 SH  -    DEFINED 05              34027         0        0
D GRAINGER(WW)INC                COMMON     384802104      134        895 SH  -    DEFINED 09                895         0        0
D GRAINGER(WW)INC                COMMON     384802104      271       1813 SH  -    DEFINED 01               1800         0       13
D GRAINGER(WW)INC                COMMON     384802104       40        270 SH  -    OTHER   01                200        40       30
D GRAINGER(WW)INC                COMMON     384802104        3         18 SH  -    OTHER   10                  0         0       18
D GRAN TIERRA ENERGY INC         COMMON     38500T101      114      23850 SH  -    DEFINED 04              23850         0        0
D GRAN TIERRA ENERGY INC         COMMON     38500T101       72      15000 SH  -    DEFINED 08              15000         0        0
D GRAN TIERRA ENERGY INC         COMMON     38500T101    18825    3946600 SH  -    DEFINED 09            3946600         0        0
D GRAN TIERRA ENERGY INC         COMMON     38500T101      546     114500 SH  -    DEFINED 09             114500         0        0
D GRAND CANYON ED INC            COMMON     38526M106        5        329 SH  -    DEFINED 02                  0       329        0
D GRAND CANYON ED INC            COMMON     38526M106      315      19527 SH  -    OTHER   02                  0     19527        0
D GRAND CANYON ED INC            COMMON     38526M106       55       3380 SH  -    OTHER   02                  0      2700      680
D GRAND CANYON ED INC            COMMON     38526M106      118       7298 SH  -    DEFINED 05               7298         0        0
D GRAND CANYON ED INC            COMMON     38526M106       26       1634 SH  -    DEFINED 08               1634         0        0
D GRAND CANYON ED INC            COMMON     38526M106       32       2000 SH  -    OTHER   10                  0         0     2000
D GRANITE CONST                  COMMON     387328107        3        158 SH  -    OTHER   02                  0        73        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 373
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GRANITE CONST                  COMMON     387328107      444      23645 SH  -    DEFINED 04              23645         0        0
D GRANITE CONST                  COMMON     387328107       10        526 SH  -    DEFINED 05                526         0        0
D GRANITE CONST                  COMMON     387328107      142       7572 SH  -    DEFINED 08               7572         0        0
D GRAPHIC PACKAGING HLDG CO      COMMON     388689101       13       3891 SH  -    OTHER   02                  0      3891        0
D GRAPHIC PACKAGING HLDG CO      COMMON     388689101     2790     808575 SH  -    DEFINED 04             719875         0    88700
D GRAPHIC PACKAGING HLDG CO      COMMON     388689101      720     208700 SH  -    DEFINED 04             208700         0        0
D GRAPHIC PACKAGING HLDG CO      COMMON     388689101        7       2033 SH  -    DEFINED 05               2033         0        0
D GRAPHIC PACKAGING HLDG CO      COMMON     388689101       80      23297 SH  -    DEFINED 08              23297         0        0
D GREAT BASIN GOLD LTD           COMMON     390124105    18356   10861500 SH  -    DEFINED 09           10861500         0        0
D GREAT SOUTHN BANCORP INC       COMMON     390905107        2        105 SH  -    OTHER   02                  0       105        0
D GREAT SOUTHN BANCORP INC       COMMON     390905107      381      22700 SH  -    DEFINED 04              22700         0        0
D GREAT SOUTHN BANCORP INC       COMMON     390905107        2        143 SH  -    DEFINED 05                143         0        0
D GREAT SOUTHN BANCORP INC       COMMON     390905107       10        605 SH  -    DEFINED 08                605         0        0
D GREAT NORTHN IRON ORE PPTYS    COMMON     391064102       42        400 SH  -    OTHER   02                  0         0      400
D GREAT NORTHN IRON ORE PPTYS    COMMON     391064102      162       1550 SH  -    OTHER   10                  0         0     1550
D GREAT PLAINS ENERGY INC        COMMON     391164100        1         45 SH  -    DEFINED 02                 45         0        0
D GREAT PLAINS ENERGY INC        COMMON     391164100       56       2917 SH  -    OTHER   02                150      1243     1524
D GREAT PLAINS ENERGY INC        COMMON     391164100      332      17205 SH  -    OTHER   02                680       740    15785
D GREAT PLAINS ENERGY INC        COMMON     391164100     4399     227932 SH  -    DEFINED 04             227932         0        0
D GREAT PLAINS ENERGY INC        COMMON     391164100      129       6704 SH  -    DEFINED 05               6704         0        0
D GREAT PLAINS ENERGY INC        COMMON     391164100      101       5226 SH  -    DEFINED 08               5226         0        0
D GREAT WOLF RESORTS INC         COMMON     391523107     1062     414700 SH  -    OTHER   02                  0    414700        0
D GREAT WOLF RESORTS INC         COMMON     391523107       61      24000 SH  -    OTHER   02                  0     24000        0
D GREAT WOLF RESORTS INC         COMMON     391523107       80      31300 SH  -    OTHER   01                  0     27300        0
D GREATBATCH INC                 COMMON     39153L106       44       2200 SH  -    OTHER   02                  0      2200        0
D GREATBATCH INC                 COMMON     39153L106     8278     413675 SH  -    DEFINED 04             385175         0    28500

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 374
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GREATBATCH INC                 COMMON     39153L106     4242     211988 SH  -    DEFINED 04             211988         0        0
D GREATBATCH INC                 COMMON     39153L106      284      14205 SH  -    DEFINED 05              14205         0        0
D GREEN MTN COFFEE ROASTERS INC  COMMON     393122106       56        600 SH  -    DEFINED 02                600         0        0
D GREEN MTN COFFEE ROASTERS INC  COMMON     393122106       54        585 SH  -    DEFINED 02                585         0        0
D GREEN MTN COFFEE ROASTERS INC  COMMON     393122106      139       1497 SH  -    OTHER   02                  0      1478        0
D GREEN MTN COFFEE ROASTERS INC  COMMON     393122106       31        337 SH  -    OTHER   02                  5        26      306
D GREEN MTN COFFEE ROASTERS INC  COMMON     393122106     1539      16563 SH  -    DEFINED 04              16563         0        0
D GREEN MTN COFFEE ROASTERS INC  COMMON     393122106     1393      14990 SH  -    DEFINED 05              14990         0        0
D GREEN MTN COFFEE ROASTERS INC  COMMON     393122106     1686      18142 SH  -    DEFINED 08              18142         0        0
D GREEN MTN COFFEE ROASTERS INC  COMMON     393122106        3         32 SH  -    OTHER   01                  0        32        0
D GREEN MTN COFFEE ROASTERS INC  COMMON     393122106     3113      33497 SH  -    OTHER   10                  0         0    33497
D GREEN MTN COFFEE ROASTERS INC  OPTION     393122908     2909      31300 SH  C    DEFINED 05              31300         0        0
D GREEN MTN COFFEE ROASTERS INC  OPTION     393122957     2760      29700 SH  P    DEFINED 05              29700         0        0
D GREEN PLAINS RENEWABLE ENERGY  COMMON     393222104        1         93 SH  -    OTHER   02                  0        93        0
D GREEN PLAINS RENEWABLE ENERGY  COMMON     393222104     1506     161400 SH  -    DEFINED 04             161400         0        0
D GREEN PLAINS RENEWABLE ENERGY  COMMON     393222104        3        331 SH  -    DEFINED 05                331         0        0
D GREEN PLAINS RENEWABLE ENERGY  COMMON     393222104       12       1313 SH  -    DEFINED 08               1313         0        0
D GREEN PLAINS RENEWABLE ENERGY  COMMON     393222104      338      36256 SH  -    OTHER   10                  0         0    36256
D GREENBRIER COS INC             BOND       393657AD3       42      45000 PRN -    DEFINED 05                  0         0        0
D GREENHILL & CO INC             COMMON     395259104    20253     708380 SH  -    DEFINED 04             637439         0    70941
D GREENHILL & CO INC             COMMON     395259104     2213      77400 SH  -    DEFINED 04              77400         0        0
D GREENHILL & CO INC             COMMON     395259104      523      18300 SH  -    DEFINED 04              18300         0        0
D GREENHILL & CO INC             COMMON     395259104       12        405 SH  -    DEFINED 05                405         0        0
D GREENHILL & CO INC             COMMON     395259104       13        459 SH  -    DEFINED 08                459         0        0
D GREIF INC                      COMMON     397624107      279       6516 SH  -    DEFINED 02               6516         0        0
D GREIF INC                      COMMON     397624107      702      16359 SH  -    DEFINED 02              16268         0       91

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 375
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GREIF INC                      COMMON     397624107      264       6153 SH  -    OTHER   02               5716       437        0
D GREIF INC                      COMMON     397624107      137       3197 SH  -    OTHER   02               1834        45     1318
D GREIF INC                      COMMON     397624107    20130     469330 SH  -    DEFINED 04             277641         0   191689
D GREIF INC                      COMMON     397624107    14787     344769 SH  -    DEFINED 04             344769         0        0
D GREIF INC                      COMMON     397624107       49       1149 SH  -    DEFINED 05               1149         0        0
D GREIF INC                      COMMON     397624107       25        589 SH  -    DEFINED 08                589         0        0
D GREIF INC                      COMMON     397624107      108       2517 SH  -    DEFINED 01               2400         0      117
D GREIF INC                      COMMON     397624107       10        236 SH  -    OTHER   01                  0       130      106
D GRIFFIN LD & NURSERIES INC     COMMON     398231100      770      30000 SH  -    OTHER   02              30000         0        0
D GRIFFIN LD & NURSERIES INC     COMMON     398231100        4        156 SH  -    DEFINED 08                156         0        0
D GRIFFON CORP                   COMMON     398433102      267      32659 SH  -    DEFINED 04              32659         0        0
D GRIFFON CORP                   COMMON     398433102      182      22255 SH  -    DEFINED 05              22255         0        0
D GROUP 1 AUTOMOTIVE INC         BOND       398905AE9      175     179000 PRN -    DEFINED 05                  0         0        0
D GROUP 1 AUTOMOTIVE INC         BOND       398905AE9      297     305000 PRN -    DEFINED 09                  0         0        0
D GROUP 1 AUTOMOTIVE INC         COMMON     398905109        5        148 SH  -    OTHER   02                  0       148        0
D GROUP 1 AUTOMOTIVE INC         COMMON     398905109      599      16849 SH  -    DEFINED 04              16849         0        0
D GROUP 1 AUTOMOTIVE INC         COMMON     398905109      393      11042 SH  -    DEFINED 05              11042         0        0
D GROUP 1 AUTOMOTIVE INC         COMMON     398905109    16293     458322 SH  -    DEFINED 08             458322         0        0
D CGI GROUP INC                  COMMON     39945C109       83       4400 SH  -    DEFINED 02               4400         0        0
D CGI GROUP INC                  COMMON     39945C109       10        545 SH  -    OTHER   02                  0         0      545
D CGI GROUP INC                  COMMON     39945C109    30123    1601415 SH  -    DEFINED 04             854780         0   746635
D CGI GROUP INC                  COMMON     39945C109    14216     755750 SH  -    DEFINED 04             755750         0        0
D CGI GROUP INC                  COMMON     39945C109       61       3256 SH  -    OTHER   04                  0      3256        0
D CGI GROUP INC                  COMMON     39945C109       12        639 SH  -    DEFINED 05                639         0        0
D CGI GROUP INC                  COMMON     39945C109      120       6386 SH  -    DEFINED 06               6386         0        0
D CGI GROUP INC                  COMMON     39945C109     1004      53372 SH  -    DEFINED 08              53372         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 376
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D CGI GROUP INC                  COMMON     39945C109      115       6131 SH  -    DEFINED 09               6131         0        0
D GRUPO TELEVISA SA-SPONS ADR    ADR        40049J206       66       3600 SH  -    DEFINED 02               3600         0        0
D GRUPO TELEVISA SA-SPONS ADR    ADR        40049J206      170       9242 SH  -    OTHER   02               9242         0        0
D GRUPO TELEVISA SA-SPONS ADR    ADR        40049J206     9272     504200 SH  -    DEFINED 04             504200         0        0
D GRUPO TELEVISA SA-SPONS ADR    ADR        40049J206      375      20400 SH  -    DEFINED 04              20400         0        0
D GRUPO TELEVISA SA-SPONS ADR    ADR        40049J206     4500     244711 SH  -    DEFINED 08             244711         0        0
D GRUPO TELEVISA SA-SPONS ADR    ADR        40049J206       56       3058 SH  -    OTHER   10                  0         0     3058
D GPO AEROPORTUARIO DEL PAC SAB  ADR        400506101      760      22879 SH  -    DEFINED 08              22879         0        0
D GPO AEROPORTUARIO              ADR        40051E202    17928     360578 SH  -    DEFINED 04             360578         0        0
D GPO AEROPORTUARIO              ADR        40051E202     1477      29716 SH  -    DEFINED 04                  0         0    29716
D GPO AEROPORTUARIO              ADR        40051E202    11863     238588 SH  -    DEFINED 04             238587         0        1
D GPO AEROPORTUARIO              ADR        40051E202      118       2367 SH  -    DEFINED 08               2367         0        0
D GPO AEROPORTUARIO              ADR        40051E202    17733     356651 SH  -    DEFINED 09             356651         0        0
D GPO AEROPORTUARIO              ADR        40051E202       65       1300 SH  -    OTHER   09                  0      1300        0
D GTX INC DEL                    COMMON     40052B108       98      29183 SH  -    DEFINED 05              29183         0        0
D GTX INC DEL                    COMMON     40052B108       15       4378 SH  -    DEFINED 08               4378         0        0
D GUESS INC                      COMMON     401617105        2         53 SH  -    DEFINED 02                 53         0        0
D GUESS INC                      COMMON     401617105      127       4459 SH  -    OTHER   02                  0      4459        0
D GUESS INC                      COMMON     401617105       56       1955 SH  -    OTHER   02                  0         0     1955
D GUESS INC                      COMMON     401617105      814      28586 SH  -    DEFINED 04              28586         0        0
D GUESS INC                      COMMON     401617105       60       2098 SH  -    DEFINED 04               2098         0        0
D GUESS INC                      COMMON     401617105    12763     447967 SH  -    DEFINED 04             447967         0        0
D GUESS INC                      COMMON     401617105        6        225 SH  -    OTHER   04                  0       225        0
D GUESS INC                      COMMON     401617105        3        103 SH  -    OTHER   04                  0       103        0
D GUESS INC                      COMMON     401617105      465      16327 SH  -    DEFINED 05              16327         0        0
D GUESS INC                      COMMON     401617105    22583     792668 SH  -    DEFINED 09             740412         0    52256

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 377
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D GUESS INC                      COMMON     401617105     5183     181936 SH  -    OTHER   09                  0    181936        0
D GUESS INC                      OPTION     401617907        3        100 SH  C    DEFINED 05                100         0        0
D GULF ISLAND FABRICATION, INC.  COMMON     402307102      548      26500 SH  -    DEFINED 04              25500         0     1000
D GULF ISLAND FABRICATION, INC.  COMMON     402307102      674      32568 SH  -    DEFINED 04              32568         0        0
D GULF ISLAND FABRICATION, INC.  COMMON     402307102      139       6732 SH  -    DEFINED 05               6732         0        0
D GULF RESOURCES INC             COMMON     40251W309      223     100000 SH  -    DEFINED 05             100000         0        0
D GULFMARK OFFSHORE INC          COMMON     402629208       22        615 SH  -    OTHER   02                  0       615        0
D GULFMARK OFFSHORE INC          COMMON     402629208     7194     197950 SH  -    DEFINED 04             171850         0    26100
D GULFMARK OFFSHORE INC          COMMON     402629208        3         89 SH  -    DEFINED 05                 89         0        0
D GULFMARK OFFSHORE INC          COMMON     402629208       52       1422 SH  -    DEFINED 08               1422         0        0
D GULFMARK OFFSHORE INC          COMMON     402629208       11        300 SH  -    OTHER   10                  0         0      300
D GULFPORT ENERGY CORP           COMMON     402635304      131       5423 SH  -    OTHER   02                  0      2993     2430
D GULFPORT ENERGY CORP           COMMON     402635304        7        290 SH  -    OTHER   02                  0         0      290
D GULFPORT ENERGY CORP           COMMON     402635304     6274     259473 SH  -    DEFINED 04             210573         0    48900
D GULFPORT ENERGY CORP           COMMON     402635304     2771     114618 SH  -    DEFINED 04             114618         0        0
D GULFPORT ENERGY CORP           COMMON     402635304      475      19629 SH  -    DEFINED 05              19629         0        0
D HCA HOLDINGS INC               COMMON     40412C101       13        660 SH  -    DEFINED 02                660         0        0
D HCA HOLDINGS INC               COMMON     40412C101        1         65 SH  -    DEFINED 02                 65         0        0
D HCA HOLDINGS INC               COMMON     40412C101     1998      99117 SH  -    OTHER   02                217     98867        0
D HCA HOLDINGS INC               COMMON     40412C101       95       4700 SH  -    OTHER   02                  0      4700        0
D HCA HOLDINGS INC               COMMON     40412C101    35362    1754053 SH  -    DEFINED 04            1687953         0    66100
D HCA HOLDINGS INC               COMMON     40412C101      818      40600 SH  -    DEFINED 04              40600         0        0
D HCA HOLDINGS INC               COMMON     40412C101      396      19646 SH  -    OTHER   04                  0     19646        0
D HCA HOLDINGS INC               COMMON     40412C101     2033     100841 SH  -    OTHER   04                  0    100841        0
D HCA HOLDINGS INC               COMMON     40412C101      320      15882 SH  -    DEFINED 05              15882         0        0
D HCA HOLDINGS INC               COMMON     40412C101      582      28885 SH  -    DEFINED 08              28885         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 378
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HCA HOLDINGS INC               COMMON     40412C101      158       7825 SH  -    OTHER   01                  0      7050        0
D HCA HOLDINGS INC               COMMON     40412C101      300      14900 SH  -    OTHER   10                  0         0    14900
D HCC INSURANCE HLDG             COMMON     404132102        2         57 SH  -    DEFINED 02                 57         0        0
D HCC INSURANCE HLDG             COMMON     404132102       19        697 SH  -    OTHER   02                  0       697        0
D HCC INSURANCE HLDG             COMMON     404132102       52       1927 SH  -    OTHER   02                  0         0     1927
D HCC INSURANCE HLDG             COMMON     404132102      807      29850 SH  -    DEFINED 04              29850         0        0
D HCC INSURANCE HLDG             COMMON     404132102     2259      83503 SH  -    DEFINED 04              83503         0        0
D HCC INSURANCE HLDG             COMMON     404132102     1399      51719 SH  -    DEFINED 05              51719         0        0
D HCC INSURANCE HLDG             COMMON     404132102      531      19633 SH  -    DEFINED 08              19633         0        0
D HCC INSURANCE HLDG             COMMON     404132102        2         68 SH  -    OTHER   10                  0         0       68
D HCP INC                        COMMON     40414L109     2235      63741 SH  -    DEFINED 02              63741         0        0
D HCP INC                        COMMON     40414L109      216       6165 SH  -    DEFINED 02               4887         0     1278
D HCP INC                        COMMON     40414L109   268318    7653099 SH  -    DEFINED 04            6022489         0  1630610
D HCP INC                        COMMON     40414L109     2415      68882 SH  -    DEFINED 04              68882         0        0
D HCP INC                        COMMON     40414L109    19052     543419 SH  -    DEFINED 04             543419         0        0
D HCP INC                        COMMON     40414L109      780      22235 SH  -    DEFINED 04              22235         0        0
D HCP INC                        COMMON     40414L109      161       4599 SH  -    DEFINED 04               4599         0        0
D HCP INC                        COMMON     40414L109    11931     340289 SH  -    DEFINED 04             307725         0        0
D HCP INC                        COMMON     40414L109      746      21275 SH  -    OTHER   04                  0     21275        0
D HCP INC                        COMMON     40414L109     3789     108075 SH  -    OTHER   04                  0    108075        0
D HCP INC                        COMMON     40414L109    16972     484093 SH  -    DEFINED 05             484093         0        0
D HCP INC                        COMMON     40414L109      181       5161 SH  -    DEFINED 06               5161         0        0
D HCP INC                        COMMON     40414L109     2128      60692 SH  -    DEFINED 08              60692         0        0
D HCP INC                        COMMON     40414L109     1275      36361 SH  -    DEFINED 09              36361         0        0
D HCP INC                        COMMON     40414L109      419      11961 SH  -    OTHER   09                  0     11961        0
D HCP INC                        COMMON     40414L109      912      26011 SH  -    OTHER   10                  0         0    26011

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 379
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HDFC BANK LTD                  ADR        40415F101        1         31 SH  -    DEFINED 02                 31         0        0
D HDFC BANK LTD                  ADR        40415F101       51       1750 SH  -    OTHER   02                  0      1750        0
D HDFC BANK LTD                  ADR        40415F101       15        500 SH  -    OTHER   02                  0         0      500
D HDFC BANK LTD                  ADR        40415F101    21280     730005 SH  -    DEFINED 04             730005         0        0
D HDFC BANK LTD                  ADR        40415F101    76593    2627535 SH  -    DEFINED 04            1224245         0  1403290
D HDFC BANK LTD                  ADR        40415F101     2322      79640 SH  -    DEFINED 06              79640         0        0
D HDFC BANK LTD                  ADR        40415F101     4199     144032 SH  -    DEFINED 08             144032         0        0
D HDFC BANK LTD                  ADR        40415F101    18143     622405 SH  -    DEFINED 09             476050     36600   109755
D HDFC BANK LTD                  ADR        40415F101    24316     834160 SH  -    DEFINED 09             834160         0        0
D HDFC BANK LTD                  ADR        40415F101     6366     218400 SH  -    DEFINED 09                  0         0        0
D HDFC BANK LTD                  ADR        40415F101    48683    1670082 SH  -    OTHER   09                  0   1670082        0
D HDFC BANK LTD                  ADR        40415F101        1         25 SH  -    OTHER   10                  0         0       25
D HFF INC                        COMMON     40418F108        0         40 SH  -    OTHER   02                  0        40        0
D HFF INC                        COMMON     40418F108    24041    2750714 SH  -    DEFINED 04            2561590         0   189124
D HFF INC                        COMMON     40418F108        4        489 SH  -    DEFINED 05                489         0        0
D HFF INC                        COMMON     40418F108       15       1751 SH  -    DEFINED 08               1751         0        0
D HMS HLDGS CORP                 COMMON     40425J101        3        135 SH  -    DEFINED 02                135         0        0
D HMS HLDGS CORP                 COMMON     40425J101      133       5436 SH  -    OTHER   02                 44       132     5260
D HMS HLDGS CORP                 COMMON     40425J101      965      39557 SH  -    DEFINED 05              39557         0        0
D HNI CORP                       COMMON     404251100       15        802 SH  -    OTHER   02                  0       802        0
D HNI CORP                       COMMON     404251100        1         34 SH  -    OTHER   02                  0        21       13
D HNI CORP                       COMMON     404251100      241      12600 SH  -    DEFINED 04              12600         0        0
D HNI CORP                       COMMON     404251100     1182      61800 SH  -    DEFINED 04              61800         0        0
D HNI CORP                       COMMON     404251100       13        676 SH  -    DEFINED 05                676         0        0
D HNI CORP                       COMMON     404251100      164       8566 SH  -    DEFINED 08               8566         0        0
D HNI CORP                       COMMON     404251100       58       3050 SH  -    OTHER   10                  0         0     3050

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 380
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HSBC HLDGS                     ADR        404280406     2064      54271 SH  -    DEFINED 02              52261      2010        0
D HSBC HLDGS                     ADR        404280406      745      19579 SH  -    DEFINED 02              19579         0        0
D HSBC HLDGS                     ADR        404280406     7638     200796 SH  -    OTHER   02              18639    178441     2450
D HSBC HLDGS                     ADR        404280406      651      17116 SH  -    OTHER   02               1068     11340     4708
D HSBC HLDGS                     ADR        404280406     3008      79084 SH  -    DEFINED 04              79084         0        0
D HSBC HLDGS                     ADR        404280406     8153     214327 SH  -    OTHER   04                  0    214327        0
D HSBC HLDGS                     ADR        404280406     5699     149812 SH  -    OTHER   04                  0    149812        0
D HSBC HLDGS                     ADR        404280406     7389     194239 SH  -    DEFINED 05             194239         0        0
D HSBC HLDGS                     ADR        404280406    22634     595006 SH  -    DEFINED 06             595006         0        0
D HSBC HLDGS                     ADR        404280406     2923      76850 SH  -    DEFINED 08              76850         0        0
D HSBC HLDGS                     ADR        404280406       27        713 SH  -    DEFINED 01                713         0        0
D HSBC HLDGS                     ADR        404280406      669      17591 SH  -    OTHER   01                  0     17385        0
D HSBC HLDGS                     ADR        404280406     1118      29393 SH  -    OTHER   10                  0         0    29393
D HSBC HLDGS                     OPTION     404280901     2663      70000 SH  C    DEFINED 05              70000         0        0
D HSN INC                        COMMON     404303109        4        121 SH  -    OTHER   02                  0       121        0
D HSN INC                        COMMON     404303109      619      18676 SH  -    DEFINED 05              18676         0        0
D HSN INC                        COMMON     404303109        2         74 SH  -    DEFINED 08                 74         0        0
D HAEMONETICS CORP               COMMON     405024100        2         30 SH  -    DEFINED 02                 30         0        0
D HAEMONETICS CORP               COMMON     405024100       40        679 SH  -    OTHER   02                  0       239      440
D HAEMONETICS CORP               COMMON     405024100      434       7420 SH  -    OTHER   02                370       165     6885
D HAEMONETICS CORP               COMMON     405024100      704      12030 SH  -    DEFINED 05              12030         0        0
D HAIN CELESTIAL GROUP INC       COMMON     405217100       12        388 SH  -    OTHER   02                 35       353        0
D HAIN CELESTIAL GROUP INC       COMMON     405217100        1         31 SH  -    OTHER   02                  5        18        8
D HAIN CELESTIAL GROUP INC       COMMON     405217100     2126      69575 SH  -    DEFINED 04              69575         0        0
D HAIN CELESTIAL GROUP INC       COMMON     405217100     2681      87747 SH  -    DEFINED 04              49778         0    37969
D HAIN CELESTIAL GROUP INC       COMMON     405217100      622      20356 SH  -    DEFINED 05              20356         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 381
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HAIN CELESTIAL GROUP INC       COMMON     405217100    10568     345923 SH  -    DEFINED 09             322034     23889        0
D HAIN CELESTIAL GROUP INC       COMMON     405217100      683      22342 SH  -    DEFINED 09              22342         0        0
D HAIN CELESTIAL GROUP INC       COMMON     405217100     4951     162070 SH  -    DEFINED 09             162070         0        0
D HAIN CELESTIAL GROUP INC       COMMON     405217100      123       4038 SH  -    OTHER   09                  0      4038        0
D HAIN CELESTIAL GROUP INC       COMMON     405217100      478      15658 SH  -    OTHER   10                  0         0    15658
D HALLIBURTON                    COMMON     406216101     1136      37233 SH  -    DEFINED 02               3863       960    32410
D HALLIBURTON                    COMMON     406216101      394      12906 SH  -    DEFINED 02              12906         0        0
D HALLIBURTON                    COMMON     406216101      344      11262 SH  -    DEFINED 02              10599         0      663
D HALLIBURTON                    COMMON     406216101     4370     143200 SH  -    OTHER   02              28196    108725     6263
D HALLIBURTON                    COMMON     406216101      259       8483 SH  -    OTHER   02               3280        80     5123
D HALLIBURTON                    COMMON     406216101    37351    1223811 SH  -    DEFINED 04             871392         0   352419
D HALLIBURTON                    COMMON     406216101     4681     153378 SH  -    DEFINED 04             153378         0        0
D HALLIBURTON                    COMMON     406216101       72       2359 SH  -    DEFINED 04               2359         0        0
D HALLIBURTON                    COMMON     406216101     2383      78083 SH  -    DEFINED 04              44338         0    33745
D HALLIBURTON                    COMMON     406216101      229       7518 SH  -    OTHER   04                  0      7518        0
D HALLIBURTON                    COMMON     406216101     4010     131393 SH  -    DEFINED 05             131393         0        0
D HALLIBURTON                    COMMON     406216101      556      18208 SH  -    DEFINED 06              18208         0        0
D HALLIBURTON                    COMMON     406216101    23069     755874 SH  -    DEFINED 08             755874         0        0
D HALLIBURTON                    COMMON     406216101    11639     381369 SH  -    DEFINED 09             358261     23108        0
D HALLIBURTON                    COMMON     406216101      609      19942 SH  -    DEFINED 09              19942         0        0
D HALLIBURTON                    COMMON     406216101     4464     146276 SH  -    DEFINED 09             146276         0        0
D HALLIBURTON                    COMMON     406216101       90       2934 SH  -    OTHER   09                  0      2934        0
D HALLIBURTON                    COMMON     406216101       43       1400 SH  -    DEFINED 01               1400         0        0
D HALLIBURTON                    COMMON     406216101       26        847 SH  -    OTHER   01                  0       847        0
D HALLIBURTON                    COMMON     406216101    32931    1078984 SH  -    OTHER   10                  0         0  1078984
D HALLIBURTON                    OPTION     406216903     3079     100900 SH  C    DEFINED 05             100900         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 382
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HALLIBURTON                    OPTION     406216903     3333     109200 SH  C    DEFINED 08             109200         0        0
D HALLIBURTON                    OPTION     406216952     1096      35900 SH  P    DEFINED 05              35900         0        0
D HALLIBURTON                    OPTION     406216952    13124     430000 SH  P    DEFINED 08             430000         0        0
D HALLMARK FINL SVCS INC    EC   COMMON     40624Q203       57       7800 SH  -    DEFINED 04               7800         0        0
D HALLMARK FINL SVCS INC    EC   COMMON     40624Q203      282      38300 SH  -    DEFINED 04              38300         0        0
D HALLMARK FINL SVCS INC    EC   COMMON     40624Q203        0          1 SH  -    DEFINED 05                  1         0        0
D HALLMARK FINL SVCS INC    EC   COMMON     40624Q203        5        729 SH  -    DEFINED 08                729         0        0
D HALOZYME THERAPEUTICS INC      COMMON     40637H109     7059    1149680 SH  -    DEFINED 04             835330         0   314350
D HALOZYME THERAPEUTICS INC      COMMON     40637H109     3820     622100 SH  -    DEFINED 04             622100         0        0
D HALOZYME THERAPEUTICS INC      COMMON     40637H109      904     147170 SH  -    DEFINED 04             147170         0        0
D HALOZYME THERAPEUTICS INC      COMMON     40637H109      803     130816 SH  -    DEFINED 05             130816         0        0
D HALOZYME THERAPEUTICS INC      COMMON     40637H109       30       4937 SH  -    DEFINED 08               4937         0        0
D HANCOCK HLDG CO                COMMON     410120109      957      35714 SH  -    OTHER   02              27482      4362     3870
D HANCOCK HLDG CO                COMMON     410120109      235       8766 SH  -    DEFINED 04               8766         0        0
D HANCOCK HLDG CO                COMMON     410120109     1684      62828 SH  -    DEFINED 04              62828         0        0
D HANCOCK HLDG CO                COMMON     410120109       32       1212 SH  -    DEFINED 05               1212         0        0
D HANCOCK HLDG CO                COMMON     410120109      257       9588 SH  -    DEFINED 08               9588         0        0
D HANCOCK HLDG CO                COMMON     410120109        1         42 SH  -    OTHER   01                  0        42        0
D HANCOCK HLDG CO                COMMON     410120109       15        564 SH  -    OTHER   10                  0         0      564
D HANESBRANDS INC                COMMON     410345102        1         42 SH  -    DEFINED 02                 42         0        0
D HANESBRANDS INC                COMMON     410345102       72       2883 SH  -    OTHER   02                 42      1899      942
D HANESBRANDS INC                COMMON     410345102       10        400 SH  -    OTHER   02                  0         0      400
D HANESBRANDS INC                COMMON     410345102      624      24966 SH  -    OTHER   02                  0     24966        0
D HANESBRANDS INC                COMMON     410345102       29       1170 SH  -    DEFINED 04               1170         0        0
D HANESBRANDS INC                COMMON     410345102      176       7019 SH  -    DEFINED 05               7019         0        0
D HANESBRANDS INC                COMMON     410345102        3        100 SH  -    OTHER   10                  0         0      100

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 383
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HANGER ORTHOPEDIC GROUP INC    COMMON     41043F208     1689      89400 SH  -    DEFINED 04              68200         0    21200
D HANGER ORTHOPEDIC GROUP INC    COMMON     41043F208      441      23358 SH  -    DEFINED 04              23358         0        0
D HANGER ORTHOPEDIC GROUP INC    COMMON     41043F208      295      15591 SH  -    DEFINED 05              15591         0        0
D HANMI FINL CORP                COMMON     410495105      658     792610 SH  -    DEFINED 04             792610         0        0
D HANMI FINL CORP                COMMON     410495105       50      60780 SH  -    DEFINED 04              60780         0        0
D HANMI FINL CORP                COMMON     410495105       57      68321 SH  -    DEFINED 05              68321         0        0
D HANOVER INS GROUP INC          COMMON     410867105       78       2201 SH  -    DEFINED 02               2201         0        0
D HANOVER INS GROUP INC          COMMON     410867105       48       1341 SH  -    OTHER   02                  0      1341        0
D HANOVER INS GROUP INC          COMMON     410867105       34        955 SH  -    OTHER   02                  0         0      955
D HANOVER INS GROUP INC          COMMON     410867105      556      15675 SH  -    DEFINED 04              15675         0        0
D HANOVER INS GROUP INC          COMMON     410867105     1168      32900 SH  -    DEFINED 04              32900         0        0
D HANOVER INS GROUP INC          COMMON     410867105       24        687 SH  -    DEFINED 05                687         0        0
D HANOVER INS GROUP INC          COMMON     410867105      544      15330 SH  -    DEFINED 08              15330         0        0
D HANSEN NATURAL COR             COMMON     411310105      297       3405 SH  -    OTHER   02               1252       503     1650
D HANSEN NATURAL COR             COMMON     411310105      105       1200 SH  -    OTHER   02                  0         0     1200
D HANSEN NATURAL COR             COMMON     411310105    37064     424603 SH  -    DEFINED 04             194390         0   230213
D HANSEN NATURAL COR             COMMON     411310105     3558      40759 SH  -    DEFINED 04              40759         0        0
D HANSEN NATURAL COR             COMMON     411310105     6136      70290 SH  -    DEFINED 04              70290         0        0
D HANSEN NATURAL COR             COMMON     411310105     3089      35384 SH  -    DEFINED 04              19986         0    15398
D HANSEN NATURAL COR             COMMON     411310105       29        332 SH  -    OTHER   04                  0       332        0
D HANSEN NATURAL COR             COMMON     411310105      159       1817 SH  -    DEFINED 05               1817         0        0
D HANSEN NATURAL COR             COMMON     411310105     1056      12099 SH  -    DEFINED 08              12099         0        0
D HANSEN NATURAL COR             COMMON     411310105    12525     143483 SH  -    DEFINED 09             132896     10587        0
D HANSEN NATURAL COR             COMMON     411310105      790       9054 SH  -    DEFINED 09               9054         0        0
D HANSEN NATURAL COR             COMMON     411310105     5765      66048 SH  -    DEFINED 09              66048         0        0
D HANSEN NATURAL COR             COMMON     411310105      140       1604 SH  -    OTHER   09                  0      1604        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 384
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HANSEN NATURAL COR             COMMON     411310105      542       6214 SH  -    OTHER   10                  0         0     6214
D HARBIN ELECTRIC INC            COMMON     41145W109    10222     495000 SH  -    DEFINED 05             495000         0        0
D HARLEY DAVIDSON                COMMON     412822108      201       5850 SH  -    DEFINED 02               5850         0        0
D HARLEY DAVIDSON                COMMON     412822108       99       2873 SH  -    DEFINED 02               2725         0      148
D HARLEY DAVIDSON                COMMON     412822108      492      14334 SH  -    OTHER   02                116     11915     2249
D HARLEY DAVIDSON                COMMON     412822108       29        854 SH  -    OTHER   02                811        43        0
D HARLEY DAVIDSON                COMMON     412822108    67229    1958312 SH  -    DEFINED 04            1154441         0   803871
D HARLEY DAVIDSON                COMMON     412822108    24520     714237 SH  -    DEFINED 04             714237         0        0
D HARLEY DAVIDSON                COMMON     412822108       10        300 SH  -    DEFINED 04                300         0        0
D HARLEY DAVIDSON                COMMON     412822108       98       2867 SH  -    OTHER   04                  0      2867        0
D HARLEY DAVIDSON                COMMON     412822108      804      23408 SH  -    DEFINED 05              23408         0        0
D HARLEY DAVIDSON                COMMON     412822108       58       1690 SH  -    DEFINED 09               1690         0        0
D HARLEY DAVIDSON                COMMON     412822108        1         32 SH  -    OTHER   01                  0        32        0
D HARLEY DAVIDSON                COMMON     412822108       11        313 SH  -    OTHER   10                  0         0      313
D HARLEY DAVIDSON                OPTION     412822900     1033      30100 SH  C    DEFINED 05              30100         0        0
D HARLEY DAVIDSON                OPTION     412822959     1030      30000 SH  P    DEFINED 05              30000         0        0
D HARLEYSVILLE GROUP INC         COMMON     412824104      859      14600 SH  -    DEFINED 04              14600         0        0
D HARLEYSVILLE GROUP INC         COMMON     412824104     5027      85400 SH  -    DEFINED 04              85400         0        0
D HARLEYSVILLE GROUP INC         COMMON     412824104      720      12228 SH  -    DEFINED 04              12228         0        0
D HARLEYSVILLE GROUP INC         COMMON     412824104       11        184 SH  -    DEFINED 05                184         0        0
D HARLEYSVILLE GROUP INC         COMMON     412824104      137       2324 SH  -    DEFINED 08               2324         0        0
D HARLEYSVILLE GROUP INC         COMMON     412824104    15962     271184 SH  -    DEFINED 09             149210         0        0
D HARMAN INTL INDS INC           COMMON     413086109        4        125 SH  -    DEFINED 02                  0       125        0
D HARMAN INTL INDS INC           COMMON     413086109       23        810 SH  -    DEFINED 02                806         0        4
D HARMAN INTL INDS INC           COMMON     413086109      346      12105 SH  -    OTHER   02               3350      8755        0
D HARMAN INTL INDS INC           COMMON     413086109        9        310 SH  -    OTHER   02                  5        33      272

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 385
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HARMAN INTL INDS INC           COMMON     413086109     5532     193559 SH  -    DEFINED 04              55557         0   138002
D HARMAN INTL INDS INC           COMMON     413086109    11336     396641 SH  -    DEFINED 04             396641         0        0
D HARMAN INTL INDS INC           COMMON     413086109      231       8068 SH  -    DEFINED 05               8068         0        0
D HARMAN INTL INDS INC           COMMON     413086109     1073      37548 SH  -    DEFINED 08              37548         0        0
D HARMONIC INC                   COMMON     413160102       28       6659 SH  -    OTHER   02               5900       759        0
D HARMONIC INC                   COMMON     413160102      295      69268 SH  -    DEFINED 04              69268         0        0
D HARMONIC INC                   COMMON     413160102      230      53958 SH  -    DEFINED 05              53958         0        0
D HARMONY GOLD MNG               ADR        413216300     2346     200000 SH  -    DEFINED 05             200000         0        0
D HARMONY GOLD MNG               ADR        413216300        0          1 SH  -    OTHER   10                  0         0        1
D HARRIS CORP                    COMMON     413875105      133       3900 SH  -    DEFINED 02                  0         0     3900
D HARRIS CORP                    COMMON     413875105       50       1462 SH  -    DEFINED 02               1386         0       76
D HARRIS CORP                    COMMON     413875105      408      11944 SH  -    OTHER   02                  0      8244     3700
D HARRIS CORP                    COMMON     413875105       50       1470 SH  -    OTHER   02                  0        15     1455
D HARRIS CORP                    COMMON     413875105     2667      78058 SH  -    DEFINED 04              61316         0    16742
D HARRIS CORP                    COMMON     413875105     4242     124152 SH  -    DEFINED 04             124152         0        0
D HARRIS CORP                    COMMON     413875105       56       1644 SH  -    DEFINED 04               1644         0        0
D HARRIS CORP                    COMMON     413875105       17        500 SH  -    DEFINED 04                500         0        0
D HARRIS CORP                    COMMON     413875105      170       4971 SH  -    OTHER   04                  0      4971        0
D HARRIS CORP                    COMMON     413875105     1216      35575 SH  -    DEFINED 05              35575         0        0
D HARRIS CORP                    COMMON     413875105      179       5240 SH  -    DEFINED 09               5240         0        0
D HARRIS CORP                    COMMON     413875105       21        600 SH  -    DEFINED 01                600         0        0
D HARRIS CORP                    COMMON     413875105        4        111 SH  -    OTHER   01                  0       111        0
D HARRIS CORP                    COMMON     413875105        1         43 SH  -    OTHER   10                  0         0       43
D HARSCO CORP                    COMMON     415864107        1         62 SH  -    DEFINED 02                 62         0        0
D HARSCO CORP                    COMMON     415864107     1734      89409 SH  -    DEFINED 02              89409         0        0
D HARSCO CORP                    COMMON     415864107      383      19732 SH  -    OTHER   02              15000       932     3800

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 386
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HARSCO CORP                    COMMON     415864107       22       1160 SH  -    OTHER   02                900         0      260
D HARSCO CORP                    COMMON     415864107      673      34725 SH  -    DEFINED 04              34725         0        0
D HARSCO CORP                    COMMON     415864107      391      20148 SH  -    DEFINED 04              20148         0        0
D HARSCO CORP                    COMMON     415864107       52       2660 SH  -    DEFINED 05               2660         0        0
D HARSCO CORP                    COMMON     415864107       89       4579 SH  -    DEFINED 08               4579         0        0
D HARRY WINSTON DIAMOND CORP     COMMON     41587B100       16       1575 SH  -    OTHER   02                  0         0     1575
D HARRY WINSTON DIAMOND CORP     COMMON     41587B100    10794    1063400 SH  -    DEFINED 09            1063400         0        0
D HARRY WINSTON DIAMOND CORP     COMMON     41587B100     1513     149100 SH  -    DEFINED 09             149100         0        0
D HARRY WINSTON DIAMOND CORP     COMMON     41587B100      345      33952 SH  -    OTHER   09                  0     33952        0
D HARTE-HANKS INC                COMMON     416196103      238      28038 SH  -    DEFINED 04              28038         0        0
D HARTE-HANKS INC                COMMON     416196103      174      20467 SH  -    DEFINED 05              20467         0        0
D HARTFORD FINL SERV             COMMON     416515104       79       4911 SH  -    DEFINED 02               4648         0      263
D HARTFORD FINL SERV             COMMON     416515104      143       8854 SH  -    DEFINED 02               5731      1475     1648
D HARTFORD FINL SERV             COMMON     416515104      215      13341 SH  -    DEFINED 02               7529         0     5812
D HARTFORD FINL SERV             COMMON     416515104     2568     159126 SH  -    OTHER   02               8855    136541    13730
D HARTFORD FINL SERV             COMMON     416515104      986      61096 SH  -    OTHER   02               2972      6650    51474
D HARTFORD FINL SERV             COMMON     416515104      651      40346 SH  -    OTHER   02                  0     40346        0
D HARTFORD FINL SERV             COMMON     416515104    57403    3556556 SH  -    DEFINED 04            3274466         0   282090
D HARTFORD FINL SERV             COMMON     416515104     3224     199749 SH  -    DEFINED 04             199749         0        0
D HARTFORD FINL SERV             COMMON     416515104     4253     263488 SH  -    DEFINED 04             263488         0        0
D HARTFORD FINL SERV             COMMON     416515104       51       3190 SH  -    DEFINED 04               3190         0        0
D HARTFORD FINL SERV             COMMON     416515104     9891     612853 SH  -    DEFINED 04             517462         0    95391
D HARTFORD FINL SERV             COMMON     416515104       20       1235 SH  -    DEFINED 04                  0         0     1235
D HARTFORD FINL SERV             COMMON     416515104        5        340 SH  -    OTHER   04                  0       340        0
D HARTFORD FINL SERV             COMMON     416515104        3        216 SH  -    OTHER   04                  0       216        0
D HARTFORD FINL SERV             COMMON     416515104     2129     131881 SH  -    DEFINED 05             131881         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 387
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HARTFORD FINL SERV             COMMON     416515104       13        809 SH  -    DEFINED 06                809         0        0
D HARTFORD FINL SERV             COMMON     416515104     1518      94069 SH  -    DEFINED 08              94069         0        0
D HARTFORD FINL SERV             COMMON     416515104    24275    1504056 SH  -    DEFINED 09            1388341     57753    57962
D HARTFORD FINL SERV             COMMON     416515104      914      56615 SH  -    DEFINED 09              56615         0        0
D HARTFORD FINL SERV             COMMON     416515104     8926     553033 SH  -    DEFINED 09             412195         0        0
D HARTFORD FINL SERV             COMMON     416515104     1464      90711 SH  -    OTHER   09                  0     90711        0
D HARTFORD FINL SERV             COMMON     416515104       67       4175 SH  -    OTHER   10                  0         0     4175
D HARTFORD FINL SVCS GROUP INC   PREF CONV  416515708        5        256 SH  -    DEFINED 02                  0         0        0
D HARTFORD FINL SVCS GROUP INC   PREF CONV  416515708        1         56 SH  -    DEFINED 02                  0         0        0
D HARTFORD FINL SVCS GROUP INC   PREF CONV  416515708      898      46606 SH  -    OTHER   10                  0         0        0
D HASBRO INC                     COMMON     418056107        4        118 SH  -    DEFINED 02                118         0        0
D HASBRO INC                     COMMON     418056107       51       1566 SH  -    DEFINED 02               1566         0        0
D HASBRO INC                     COMMON     418056107       47       1439 SH  -    DEFINED 02               1393         0       46
D HASBRO INC                     COMMON     418056107       80       2458 SH  -    OTHER   02                100      1593      765
D HASBRO INC                     COMMON     418056107      778      23870 SH  -    OTHER   02              10730       365    12775
D HASBRO INC                     COMMON     418056107     3579     109743 SH  -    DEFINED 04              46581         0    63162
D HASBRO INC                     COMMON     418056107     1928      59119 SH  -    DEFINED 04              59119         0        0
D HASBRO INC                     COMMON     418056107       16        500 SH  -    DEFINED 04                500         0        0
D HASBRO INC                     COMMON     418056107     1077      33042 SH  -    DEFINED 05              33042         0        0
D HASBRO INC                     COMMON     418056107       91       2800 SH  -    DEFINED 09               2800         0        0
D HASBRO INC                     COMMON     418056107      467      14315 SH  -    OTHER   10                  0         0    14315
D HATTERAS FINL CORP             COMMON     41902R103     2922     116149 SH  -    DEFINED 05             116149         0        0
D HATTERAS FINL CORP             COMMON     41902R103      106       4231 SH  -    DEFINED 08               4231         0        0
D HATTERAS FINL CORP             COMMON     41902R103       60       2380 SH  -    OTHER   10                  0         0     2380
D HAVERTY FURNITURE INC          COMMON     419596101        3        288 SH  -    OTHER   02                  0       288        0
D HAVERTY FURNITURE INC          COMMON     419596101      129      12939 SH  -    DEFINED 04              12939         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 388
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HAVERTY FURNITURE INC          COMMON     419596101       89       8877 SH  -    DEFINED 05               8877         0        0
D HAWAIIAN ELEC INDUSTRIES       COMMON     419870100       27       1100 SH  -    DEFINED 02               1100         0        0
D HAWAIIAN ELEC INDUSTRIES       COMMON     419870100        8        339 SH  -    OTHER   02                 78       261        0
D HAWAIIAN ELEC INDUSTRIES       COMMON     419870100     2382      98105 SH  -    DEFINED 04              98105         0        0
D HAWAIIAN ELEC INDUSTRIES       COMMON     419870100       57       2337 SH  -    DEFINED 05               2337         0        0
D HAWAIIAN ELEC INDUSTRIES       COMMON     419870100      235       9678 SH  -    DEFINED 08               9678         0        0
D HAWAIIAN HOLDINGS INC          COMMON     419879101        1        156 SH  -    OTHER   02                  0         0        0
D HAWAIIAN HOLDINGS INC          COMMON     419879101      200      47500 SH  -    OTHER   02              47500         0        0
D HAWAIIAN HOLDINGS INC          COMMON     419879101     1685     400225 SH  -    DEFINED 04             335225         0    65000
D HAWAIIAN HOLDINGS INC          COMMON     419879101      535     127100 SH  -    DEFINED 04             127100         0        0
D HAWAIIAN HOLDINGS INC          COMMON     419879101        1        192 SH  -    DEFINED 05                192         0        0
D HAWAIIAN HOLDINGS INC          COMMON     419879101     2305     547500 SH  -    DEFINED 08             547500         0        0
D HAWKINS INC                    COMMON     420261109        4        124 SH  -    OTHER   02                  0       124        0
D HAWKINS INC                    COMMON     420261109      199       6244 SH  -    DEFINED 04               6244         0        0
D HAWKINS INC                    COMMON     420261109      133       4186 SH  -    DEFINED 05               4186         0        0
D HAYNES INTERNATIONAL INC       COMMON     420877201       58       1340 SH  -    OTHER   02                  0         0     1340
D HAYNES INTERNATIONAL INC       COMMON     420877201      247       5677 SH  -    DEFINED 05               5677         0        0
D HEALTHCARE SVCS GRP INC        COMMON     421906108      847      52467 SH  -    OTHER   02                  0     52467        0
D HEALTHCARE SVCS GRP INC        COMMON     421906108      773      47920 SH  -    DEFINED 04              47920         0        0
D HEALTHCARE SVCS GRP INC        COMMON     421906108      516      31940 SH  -    DEFINED 05              31940         0        0
D HEALTHCARE SVCS GRP INC        COMMON     421906108      623      38580 SH  -    OTHER   01              25500     13080        0
D HEALTHSOUTH CORP               COMMON     421924309     2448     163945 SH  -    OTHER   02                  0    163945        0
D HEALTHSOUTH CORP               COMMON     421924309     3817     255682 SH  -    DEFINED 05             255682         0        0
D HEALTHSOUTH CORP               COMMON     421924309       15       1000 SH  -    DEFINED 08               1000         0        0
D HEALTH MGMT ASSOC              COMMON     421933102       32       4687 SH  -    DEFINED 02               4269       418        0
D HEALTH MGMT ASSOC              COMMON     421933102      180      25956 SH  -    OTHER   02                  0     25956        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 389
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HEALTH MGMT ASSOC              COMMON     421933102        6        923 SH  -    OTHER   02                 19        16      888
D HEALTH MGMT ASSOC              COMMON     421933102      680      98274 SH  -    DEFINED 04              98274         0        0
D HEALTH MGMT ASSOC              COMMON     421933102     5418     782978 SH  -    DEFINED 04             782978         0        0
D HEALTH MGMT ASSOC              COMMON     421933102       26       3828 SH  -    DEFINED 05               3828         0        0
D HEALTH MGMT ASSOC              COMMON     421933102        2        238 SH  -    OTHER   10                  0         0      238
D HEALTHCARE RLTY TR             COMMON     421946104      820      48677 SH  -    DEFINED 04              48677         0        0
D HEALTHCARE RLTY TR             COMMON     421946104      614      36424 SH  -    DEFINED 05              36424         0        0
D HEALTHCARE RLTY TR             COMMON     421946104       18       1041 SH  -    DEFINED 06               1041         0        0
D HEADWATERS INC                 COMMON     42210P102        8       5900 SH  -    DEFINED 04               5900         0        0
D HEADWATERS INC                 COMMON     42210P102       85      58993 SH  -    DEFINED 04              58993         0        0
D HEADWATERS INC                 COMMON     42210P102       41      28408 SH  -    DEFINED 05              28408         0        0
D HEADWATERS INC                 COMMON     42210P102       28      19134 SH  -    DEFINED 08              19134         0        0
D HEALTH CARE REIT INC           BOND       42217KAP1      501     475000 PRN -    DEFINED 05                  0         0        0
D HEALTH CARE REIT INC           BOND       42217KAP1     8633    8193000 PRN -    DEFINED 09                  0         0        0
D HEALTH CARE REIT INC           BOND       42217KAP1      796     755000 PRN -    DEFINED 09                  0         0        0
D HEALTH CARE REIT INC           BOND       42217KAQ9     5325    5000000 PRN -    DEFINED 06                  0         0        0
D HEALTH CARE REIT INC           BOND       42217KAR7        2       2000 PRN -    DEFINED 02                  0         0        0
D HEALTH CARE REIT INC           BOND       42217KAR7      859     813000 PRN -    DEFINED 05                  0         0        0
D HEALTH CARE REIT INC           BOND       42217KAR7    38545   36492000 PRN -    DEFINED 09                  0         0        0
D HEALTH CARE REIT INC           BOND       42217KAR7     5529    5235000 PRN -    DEFINED 09                  0         0        0
D HEALTH CARE REIT INC           COMMON     42217K106      100       2132 SH  -    DEFINED 02               2045         0       87
D HEALTH CARE REIT INC           COMMON     42217K106    29829     637366 SH  -    DEFINED 04             567146         0    70220
D HEALTH CARE REIT INC           COMMON     42217K106     3764      80427 SH  -    DEFINED 04              80427         0        0
D HEALTH CARE REIT INC           COMMON     42217K106     2654      56700 SH  -    DEFINED 04              56700         0        0
D HEALTH CARE REIT INC           COMMON     42217K106     8340     178199 SH  -    DEFINED 05             178199         0        0
D HEALTH CARE REIT INC           COMMON     42217K106     1265      27022 SH  -    DEFINED 08              27022         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 390
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HEALTH CARE REIT INC           COMMON     42217K106       59       1270 SH  -    DEFINED 09               1270         0        0
D HEALTH CARE REIT INC           COMMON     42217K106      590      12600 SH  -    OTHER   09                  0     12600        0
D HEALTH CARE REIT INC           COMMON     42217K106       87       1849 SH  -    OTHER   10                  0         0     1849
D HEALTH NET INC                 COMMON     42222G108       11        455 SH  -    DEFINED 02                455         0        0
D HEALTH NET INC                 COMMON     42222G108       44       1854 SH  -    OTHER   02                 78      1776        0
D HEALTH NET INC                 COMMON     42222G108     8848     373175 SH  -    DEFINED 04             282805         0    90370
D HEALTH NET INC                 COMMON     42222G108    12283     518055 SH  -    DEFINED 04             518055         0        0
D HEALTH NET INC                 COMMON     42222G108     1207      50900 SH  -    DEFINED 04              50900         0        0
D HEALTH NET INC                 COMMON     42222G108        1         57 SH  -    OTHER   04                  0        57        0
D HEALTH NET INC                 COMMON     42222G108       32       1368 SH  -    DEFINED 05               1368         0        0
D HEALTH NET INC                 COMMON     42222G108     2376     100195 SH  -    DEFINED 08             100195         0        0
D HEALTH NET INC                 COMMON     42222G108       86       3626 SH  -    DEFINED 09               3626         0        0
D HEALTH NET INC                 COMMON     42222G108        6        271 SH  -    OTHER   10                  0         0      271
D HEALTHSPRING INC               COMMON     42224N101       31        844 SH  -    OTHER   02                  0       844        0
D HEALTHSPRING INC               COMMON     42224N101       33        900 SH  -    OTHER   02                  0         0      900
D HEALTHSPRING INC               COMMON     42224N101    39712    1089193 SH  -    DEFINED 04             730358         0   358835
D HEALTHSPRING INC               COMMON     42224N101    12056     330672 SH  -    DEFINED 04             330672         0        0
D HEALTHSPRING INC               COMMON     42224N101     2102      57640 SH  -    DEFINED 04              57640         0        0
D HEALTHSPRING INC               COMMON     42224N101       63       1721 SH  -    OTHER   04                  0      1721        0
D HEALTHSPRING INC               COMMON     42224N101     1176      32266 SH  -    DEFINED 05              32266         0        0
D HEALTHSPRING INC               COMMON     42224N101      228       6252 SH  -    DEFINED 09               6252         0        0
D HEALTHSPRING INC               COMMON     42224N101        3         95 SH  -    OTHER   01                  0        95        0
D HEALTHWAYS INC                 COMMON     422245100        2        245 SH  -    DEFINED 02                245         0        0
D HEALTHWAYS INC                 COMMON     422245100     1492     151800 SH  -    DEFINED 04             151800         0        0
D HEALTHWAYS INC                 COMMON     422245100      232      23563 SH  -    DEFINED 04              23563         0        0
D HEALTHWAYS INC                 COMMON     422245100      156      15875 SH  -    DEFINED 05              15875         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 391
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HEARTLAND FINL USA INC         COMMON     42234Q102        8        596 SH  -    OTHER   02                  0       596        0
D HEARTLAND FINL USA INC         COMMON     42234Q102        0         18 SH  -    OTHER   02                  7         0       11
D HEARTLAND FINL USA INC         COMMON     42234Q102      632      44580 SH  -    DEFINED 04              42180         0     2400
D HEARTLAND FINL USA INC         COMMON     42234Q102      396      27900 SH  -    DEFINED 04              27900         0        0
D HEARTLAND FINL USA INC         COMMON     42234Q102        2        175 SH  -    DEFINED 05                175         0        0
D HEARTLAND FINL USA INC         COMMON     42234Q102       11        803 SH  -    DEFINED 08                803         0        0
D HEARTLAND EXPRESS INC          COMMON     422347104        3        211 SH  -    DEFINED 02                211         0        0
D HEARTLAND EXPRESS INC          COMMON     422347104        8        582 SH  -    OTHER   02                338       171        0
D HEARTLAND EXPRESS INC          COMMON     422347104      772      56950 SH  -    DEFINED 04              51350         0     5600
D HEARTLAND EXPRESS INC          COMMON     422347104      279      20600 SH  -    DEFINED 04              20600         0        0
D HEARTLAND EXPRESS INC          COMMON     422347104      464      34196 SH  -    DEFINED 05              34196         0        0
D HEARTLAND EXPRESS INC          COMMON     422347104        2        134 SH  -    OTHER   01                  0       134        0
D HEARTLAND PMT SYS INC          COMMON     42235N108      411      20825 SH  -    DEFINED 04              18625         0     2200
D HEARTLAND PMT SYS INC          COMMON     42235N108      538      27297 SH  -    DEFINED 04              27297         0        0
D HEARTLAND PMT SYS INC          COMMON     42235N108      361      18297 SH  -    DEFINED 05              18297         0        0
D HEARTWARE INTL INC             BOND       422368AA8     1354    1364000 PRN -    DEFINED 05                  0         0        0
D HEARTWARE INTL INC             COMMON     422368100      783      12150 SH  -    DEFINED 04              10650         0     1500
D HEARTWARE INTL INC             COMMON     422368100        9        147 SH  -    DEFINED 05                147         0        0
D HEARTWARE INTL INC             COMMON     422368100       47        725 SH  -    DEFINED 08                725         0        0
D HECKMANN CORP                  COMMON     422680108       21       4000 SH  -    OTHER   02               4000         0        0
D HECKMANN CORP                  COMMON     422680108        8       1476 SH  -    DEFINED 05               1476         0        0
D HECKMANN CORP                  COMMON     422680108       30       5615 SH  -    DEFINED 08               5615         0        0
D HECLA MINING CO                COMMON     422704106       19       3515 SH  -    OTHER   02                  0      3515        0
D HECLA MINING CO                COMMON     422704106     1159     216300 SH  -    DEFINED 04             189600         0    26700
D HECLA MINING CO                COMMON     422704106     1308     244100 SH  -    DEFINED 04             244100         0        0
D HECLA MINING CO                COMMON     422704106       74      13822 SH  -    DEFINED 05              13822         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 392
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HECLA MINING CO                COMMON     422704106     1982     369841 SH  -    DEFINED 08             369841         0        0
D HECLA MINING CO                COMMON     422704106        0          1 SH  -    OTHER   10                  0         0        1
D HECLA MINING CO                OPTION     422704908     1560     291000 SH  C    DEFINED 05             291000         0        0
D HECLA MINING CO                OPTION     422704957        8       1400 SH  P    DEFINED 05               1400         0        0
D HEICO CORP NEW                 COMMON     422806109       14        280 SH  -    DEFINED 02                280         0        0
D HEICO CORP NEW                 COMMON     422806109       23        467 SH  -    OTHER   02                  0       467        0
D HEICO CORP NEW                 COMMON     422806109    36910     749603 SH  -    DEFINED 04             476059         0   273544
D HEICO CORP NEW                 COMMON     422806109    11932     242328 SH  -    DEFINED 04             242328         0        0
D HEICO CORP NEW                 COMMON     422806109     2035      41337 SH  -    DEFINED 04              41337         0        0
D HEICO CORP NEW                 COMMON     422806109       75       1518 SH  -    OTHER   04                  0      1518        0
D HEICO CORP NEW                 COMMON     422806109       48        980 SH  -    DEFINED 05                980         0        0
D HEICO CORP NEW                 COMMON     422806109      128       2609 SH  -    DEFINED 08               2609         0        0
D HEICO CORP NEW                 COMMON     422806109        1         25 SH  -    OTHER   01                  0        25        0
D HEIDRICK & STRUGGLES INTL INC  COMMON     422819102       12        700 SH  -    OTHER   02                700         0        0
D HEIDRICK & STRUGGLES INTL INC  COMMON     422819102      207      12561 SH  -    DEFINED 04              12561         0        0
D HEIDRICK & STRUGGLES INTL INC  COMMON     422819102      137       8326 SH  -    DEFINED 05               8326         0        0
D HEINZ(HJ)CO                    COMMON     423074103     1412      27981 SH  -    DEFINED 02              23135      2870     1976
D HEINZ(HJ)CO                    COMMON     423074103      372       7374 SH  -    DEFINED 02               7104         0      270
D HEINZ(HJ)CO                    COMMON     423074103      199       3952 SH  -    DEFINED 02               3700         0      252
D HEINZ(HJ)CO                    COMMON     423074103    14496     287154 SH  -    OTHER   02              30795    248356     7590
D HEINZ(HJ)CO                    COMMON     423074103     3936      77978 SH  -    OTHER   02              24538     33321    20119
D HEINZ(HJ)CO                    COMMON     423074103     9940     196904 SH  -    DEFINED 04             187713         0     9191
D HEINZ(HJ)CO                    COMMON     423074103     2622      51943 SH  -    DEFINED 04              51943         0        0
D HEINZ(HJ)CO                    COMMON     423074103    24388     483114 SH  -    DEFINED 05             483114         0        0
D HEINZ(HJ)CO                    COMMON     423074103     6104     120920 SH  -    DEFINED 08             120920         0        0
D HEINZ(HJ)CO                    COMMON     423074103     1389      27510 SH  -    OTHER   01               8700     18610      200

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 393
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HEINZ(HJ)CO                    COMMON     423074103     1951      38649 SH  -    OTHER   10                  0         0    38649
D HEINZ(HJ)CO                    OPTION     423074905      878      17400 SH  C    DEFINED 05              17400         0        0
D HEINZ(HJ)CO                    OPTION     423074905     5321     105400 SH  C    DEFINED 08             105400         0        0
D HEINZ(HJ)CO                    OPTION     423074954      126       2500 SH  P    DEFINED 05               2500         0        0
D HELIX ENERGY SOLUTIONS GRP INC COMMON     42330P107      151      11493 SH  -    OTHER   02                256       737    10500
D HELIX ENERGY SOLUTIONS GRP INC COMMON     42330P107     2062     157436 SH  -    DEFINED 04             157436         0        0
D HELIX ENERGY SOLUTIONS GRP INC COMMON     42330P107     5709     435831 SH  -    DEFINED 04             435831         0        0
D HELIX ENERGY SOLUTIONS GRP INC COMMON     42330P107       42       3188 SH  -    DEFINED 05               3188         0        0
D HELIX ENERGY SOLUTIONS GRP INC COMMON     42330P107      257      19640 SH  -    DEFINED 08              19640         0        0
D HELIX ENERGY SOLUTIONS GRP INC COMMON     42330P107        3        222 SH  -    OTHER   10                  0         0      222
D HELMERICH & PAYNE INC          COMMON     423452101        3         75 SH  -    DEFINED 02                 75         0        0
D HELMERICH & PAYNE INC          COMMON     423452101       53       1315 SH  -    DEFINED 02               1234         0       81
D HELMERICH & PAYNE INC          COMMON     423452101      714      17574 SH  -    OTHER   02               1350     13104     3120
D HELMERICH & PAYNE INC          COMMON     423452101        0          5 SH  -    OTHER   02                  0         0        5
D HELMERICH & PAYNE INC          COMMON     423452101     8981     221216 SH  -    DEFINED 04             145150         0    76066
D HELMERICH & PAYNE INC          COMMON     423452101      697      17161 SH  -    DEFINED 04              17161         0        0
D HELMERICH & PAYNE INC          COMMON     423452101       39        972 SH  -    DEFINED 04                972         0        0
D HELMERICH & PAYNE INC          COMMON     423452101     2301      56681 SH  -    DEFINED 04              32035         0    24646
D HELMERICH & PAYNE INC          COMMON     423452101       26        646 SH  -    DEFINED 04                  0         0      646
D HELMERICH & PAYNE INC          COMMON     423452101     1182      29112 SH  -    DEFINED 05              29112         0        0
D HELMERICH & PAYNE INC          COMMON     423452101       51       1262 SH  -    DEFINED 06               1262         0        0
D HELMERICH & PAYNE INC          COMMON     423452101     8981     221213 SH  -    DEFINED 09             206270     14943        0
D HELMERICH & PAYNE INC          COMMON     423452101      591      14550 SH  -    DEFINED 09              14550         0        0
D HELMERICH & PAYNE INC          COMMON     423452101     4339     106866 SH  -    DEFINED 09             106866         0        0
D HELMERICH & PAYNE INC          COMMON     423452101       85       2092 SH  -    OTHER   09                  0      2092        0
D HELMERICH & PAYNE INC          COMMON     423452101      738      18181 SH  -    OTHER   10                  0         0    18181

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 394
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HENRY JACK & ASSOC             COMMON     426281101       32       1100 SH  -    DEFINED 02               1100         0        0
D HENRY JACK & ASSOC             COMMON     426281101     1040      35882 SH  -    OTHER   02                  0     35882        0
D HENRY JACK & ASSOC             COMMON     426281101       52       1800 SH  -    OTHER   02                  0         0     1800
D HENRY JACK & ASSOC             COMMON     426281101    91362    3152580 SH  -    DEFINED 04            3034780         0   117800
D HENRY JACK & ASSOC             COMMON     426281101     2113      72910 SH  -    DEFINED 04              72910         0        0
D HENRY JACK & ASSOC             COMMON     426281101     1164      40160 SH  -    OTHER   04                  0     40160        0
D HENRY JACK & ASSOC             COMMON     426281101     5993     206795 SH  -    OTHER   04                  0    206795        0
D HENRY JACK & ASSOC             COMMON     426281101       36       1240 SH  -    DEFINED 05               1240         0        0
D HENRY JACK & ASSOC             COMMON     426281101      205       7075 SH  -    DEFINED 08               7075         0        0
D HENRY JACK & ASSOC             COMMON     426281101       50       1729 SH  -    OTHER   01                  0      1729        0
D HENRY JACK & ASSOC             COMMON     426281101        2         80 SH  -    OTHER   10                  0         0       80
D HENRY JACK & ASSOC             OPTION     426281903     1449      50000 SH  C    DEFINED 05              50000         0        0
D HERCULES OFFSHORE INC          COMMON     427093109        0         60 SH  -    OTHER   02                  0        60        0
D HERCULES OFFSHORE INC          COMMON     427093109      606     208400 SH  -    DEFINED 04             201200         0     7200
D HERCULES OFFSHORE INC          COMMON     427093109     2009     690300 SH  -    DEFINED 04             690300         0        0
D HERCULES OFFSHORE INC          COMMON     427093109        5       1767 SH  -    DEFINED 05               1767         0        0
D HERCULES OFFSHORE INC          COMMON     427093109       20       6742 SH  -    DEFINED 08               6742         0        0
D HERCULES OFFSHORE INC          COMMON     427093109      165      56684 SH  -    OTHER   10                  0         0    56684
D HERCULES TECH GROWTH CAP INC   COMMON     427096508      136      15980 SH  -    OTHER   02                  0         0    15980
D HERCULES TECH GROWTH CAP INC   COMMON     427096508        6        663 SH  -    DEFINED 05                663         0        0
D HERCULES TECH GROWTH CAP INC   COMMON     427096508       33       3843 SH  -    DEFINED 08               3843         0        0
D HERSHEY CO                     COMMON     427866108     1475      24907 SH  -    DEFINED 02              24907         0        0
D HERSHEY CO                     COMMON     427866108     1377      23248 SH  -    DEFINED 02              23109         0      139
D HERSHEY CO                     COMMON     427866108      113       1907 SH  -    DEFINED 02               1782         0      125
D HERSHEY CO                     COMMON     427866108     1261      21281 SH  -    OTHER   02              15225      3056     3000
D HERSHEY CO                     COMMON     427866108      433       7313 SH  -    OTHER   02               5434        82     1797

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 395
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HERSHEY CO                     COMMON     427866108    67750    1143647 SH  -    DEFINED 04            1053959         0    89688
D HERSHEY CO                     COMMON     427866108     6709     113247 SH  -    DEFINED 04             113247         0        0
D HERSHEY CO                     COMMON     427866108     1179      19900 SH  -    DEFINED 04              19900         0        0
D HERSHEY CO                     COMMON     427866108      581       9809 SH  -    OTHER   04                  0      9809        0
D HERSHEY CO                     COMMON     427866108     2974      50195 SH  -    OTHER   04                  0     50195        0
D HERSHEY CO                     COMMON     427866108      384       6474 SH  -    DEFINED 05               6474         0        0
D HERSHEY CO                     COMMON     427866108    10111     170687 SH  -    DEFINED 08             170687         0        0
D HERSHEY CO                     COMMON     427866108      191       3230 SH  -    DEFINED 01               3100         0      130
D HERSHEY CO                     COMMON     427866108       21        352 SH  -    OTHER   01                  0       197      155
D HERSHEY CO                     COMMON     427866108      541       9128 SH  -    OTHER   10                  0         0     9128
D HERSHEY CO                     OPTION     427866900       18        300 SH  C    DEFINED 05                300         0        0
D HERSHEY CO                     OPTION     427866900     1078      18200 SH  C    DEFINED 08              18200         0        0
D HERTZ GLOBAL HOLDINGS INC      BOND       42805TAA3        7       5000 PRN -    DEFINED 02                  0         0        0
D HERTZ GLOBAL HOLDINGS INC      BOND       42805TAA3     5003    3841000 PRN -    DEFINED 05                  0         0        0
D HERTZ GLOBAL HOLDINGS INC      COMMON     42805T105      333      37407 SH  -    OTHER   02              35000      2407        0
D HERTZ GLOBAL HOLDINGS INC      COMMON     42805T105     8458     950378 SH  -    DEFINED 04             658678         0   291700
D HERTZ GLOBAL HOLDINGS INC      COMMON     42805T105     1839     206605 SH  -    DEFINED 04             206605         0        0
D HERTZ GLOBAL HOLDINGS INC      COMMON     42805T105     2194     246540 SH  -    DEFINED 04             246540         0        0
D HERTZ GLOBAL HOLDINGS INC      COMMON     42805T105      126      14114 SH  -    DEFINED 05              14114         0        0
D HERTZ GLOBAL HOLDINGS INC      COMMON     42805T105      510      57352 SH  -    DEFINED 08              57352         0        0
D HERTZ GLOBAL HOLDINGS INC      COMMON     42805T105        2        235 SH  -    OTHER   10                  0         0      235
D HESS CORP                      COMMON     42809H107      390       7443 SH  -    DEFINED 02               7223       220        0
D HESS CORP                      COMMON     42809H107      423       8071 SH  -    DEFINED 02               7941         0      130
D HESS CORP                      COMMON     42809H107      197       3754 SH  -    DEFINED 02               3486         0      268
D HESS CORP                      COMMON     42809H107     3434      65466 SH  -    OTHER   02               6190     53134     6065
D HESS CORP                      COMMON     42809H107      487       9279 SH  -    OTHER   02               4633      1469     3177

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 396
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HESS CORP                      COMMON     42809H107     2825      53850 SH  -    DEFINED 04              45190         0     8660
D HESS CORP                      COMMON     42809H107     2567      48928 SH  -    DEFINED 04              48928         0        0
D HESS CORP                      COMMON     42809H107      984      18763 SH  -    DEFINED 05              18763         0        0
D HESS CORP                      COMMON     42809H107      189       3607 SH  -    DEFINED 06               3607         0        0
D HESS CORP                      COMMON     42809H107    10551     201122 SH  -    DEFINED 08             201122         0        0
D HESS CORP                      COMMON     42809H107       64       1220 SH  -    OTHER   01                  0      1220        0
D HESS CORP                      COMMON     42809H107      988      18827 SH  -    OTHER   10                  0         0    18827
D HESS CORP                      OPTION     42809H909      462       8800 SH  C    DEFINED 05               8800         0        0
D HESS CORP                      OPTION     42809H909       37        700 SH  C    DEFINED 08                700         0        0
D HESS CORP                      OPTION     42809H958     2623      50000 SH  P    DEFINED 08              50000         0        0
D HEWLETT PACKARD CO             COMMON     428236103     2780     123814 SH  -    DEFINED 02             107228      2400    14186
D HEWLETT PACKARD CO             COMMON     428236103     4309     191929 SH  -    DEFINED 02             187071      3994      864
D HEWLETT PACKARD CO             COMMON     428236103      366      16312 SH  -    DEFINED 02              16312         0        0
D HEWLETT PACKARD CO             COMMON     428236103      681      30316 SH  -    DEFINED 02              24644         0     5672
D HEWLETT PACKARD CO             COMMON     428236103    15740     701120 SH  -    OTHER   02             235227    287331   178476
D HEWLETT PACKARD CO             COMMON     428236103     6434     286593 SH  -    OTHER   02             220853     13172    52568
D HEWLETT PACKARD CO             COMMON     428236103   167755    7472362 SH  -    DEFINED 04            6630067         0   842295
D HEWLETT PACKARD CO             COMMON     428236103     8197     365139 SH  -    DEFINED 04             365139         0        0
D HEWLETT PACKARD CO             COMMON     428236103    12975     577970 SH  -    DEFINED 04             577970         0        0
D HEWLETT PACKARD CO             COMMON     428236103       72       3229 SH  -    DEFINED 04               3229         0        0
D HEWLETT PACKARD CO             COMMON     428236103     8902     396507 SH  -    DEFINED 04             396507         0        0
D HEWLETT PACKARD CO             COMMON     428236103       77       3451 SH  -    DEFINED 04                  0         0     3451
D HEWLETT PACKARD CO             COMMON     428236103        8        335 SH  -    OTHER   04                  0       335        0
D HEWLETT PACKARD CO             COMMON     428236103      342      15248 SH  -    OTHER   04                  0     15248        0
D HEWLETT PACKARD CO             COMMON     428236103    52632    2344404 SH  -    DEFINED 05            2344404         0        0
D HEWLETT PACKARD CO             COMMON     428236103     4730     210683 SH  -    DEFINED 08             210683         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 397
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HEWLETT PACKARD CO             COMMON     428236103    15347     683619 SH  -    DEFINED 09             629077         0    54542
D HEWLETT PACKARD CO             COMMON     428236103     2435     108455 SH  -    OTHER   09                  0    108455        0
D HEWLETT PACKARD CO             COMMON     428236103    12117     539725 SH  -    DEFINED 01             537455         0     2270
D HEWLETT PACKARD CO             COMMON     428236103      152       6767 SH  -    OTHER   01               6640       127        0
D HEWLETT PACKARD CO             COMMON     428236103     1196      53256 SH  -    OTHER   10                  0         0    53256
D HEWLETT PACKARD CO             OPTION     428236905    13890     618700 SH  C    DEFINED 05             618700         0        0
D HEWLETT PACKARD CO             OPTION     428236905     3960     176400 SH  C    DEFINED 08             176400         0        0
D HEWLETT PACKARD CO             OPTION     428236954    11292     503000 SH  P    DEFINED 05             503000         0        0
D HEWLETT PACKARD CO             OPTION     428236954      718      32000 SH  P    DEFINED 08              32000         0        0
D HEXCEL CORP NEW                COMMON     428291108        9        426 SH  -    DEFINED 02                426         0        0
D HEXCEL CORP NEW                COMMON     428291108      214       9659 SH  -    OTHER   02               2100      2779     4780
D HEXCEL CORP NEW                COMMON     428291108     4465     201496 SH  -    DEFINED 05             201496         0        0
D HEXCEL CORP NEW                COMMON     428291108      129       5833 SH  -    DEFINED 08               5833         0        0
D HI-TECH PHARMACAL INC          COMMON     42840B101        4        129 SH  -    OTHER   02                  0       129        0
D HI-TECH PHARMACAL INC          COMMON     42840B101      239       7105 SH  -    DEFINED 04               7105         0        0
D HI-TECH PHARMACAL INC          COMMON     42840B101      161       4779 SH  -    DEFINED 05               4779         0        0
D HIBBETT SPORTS INC             COMMON     428567101        9        267 SH  -    OTHER   02                  0       267        0
D HIBBETT SPORTS INC             COMMON     428567101      676      19933 SH  -    DEFINED 04              19933         0        0
D HIBBETT SPORTS INC             COMMON     428567101      426      12554 SH  -    DEFINED 05              12554         0        0
D HIGHWOODS PPTYS INC            COMMON     431284108     1447      51196 SH  -    DEFINED 04              51196         0        0
D HIGHWOODS PPTYS INC            COMMON     431284108       53       1883 SH  -    DEFINED 05               1883         0        0
D HIGHWOODS PPTYS INC            COMMON     431284108       11        391 SH  -    DEFINED 06                391         0        0
D HIGHWOODS PPTYS INC            COMMON     431284108        0          1 SH  -    OTHER   10                  0         0        1
D HILL ROM HLDGS INC             COMMON     431475102      323      10770 SH  -    OTHER   02               4426      3138     3206
D HILL ROM HLDGS INC             COMMON     431475102      100       3319 SH  -    OTHER   02                  8        23     3288
D HILL ROM HLDGS INC             COMMON     431475102     2228      74221 SH  -    DEFINED 04              74221         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 398
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HILL ROM HLDGS INC             COMMON     431475102       29        961 SH  -    DEFINED 05                961         0        0
D HILL ROM HLDGS INC             COMMON     431475102        1         18 SH  -    DEFINED 08                 18         0        0
D HILL ROM HLDGS INC             COMMON     431475102       66       2185 SH  -    DEFINED 09               2185         0        0
D HILLENBRAND INC                COMMON     431571108       18       1000 SH  -    DEFINED 02               1000         0        0
D HILLENBRAND INC                COMMON     431571108       27       1470 SH  -    OTHER   02               1060       410        0
D HILLENBRAND INC                COMMON     431571108        2         95 SH  -    OTHER   02                  0         0       95
D HILLENBRAND INC                COMMON     431571108      832      45192 SH  -    DEFINED 04              45192         0        0
D HILLENBRAND INC                COMMON     431571108      539      29271 SH  -    DEFINED 05              29271         0        0
D HILLENBRAND INC                COMMON     431571108       50       2740 SH  -    OTHER   10                  0         0     2740
D HITACHI LIMITED                ADR        433578507        9        190 SH  -    DEFINED 02                190         0        0
D HITACHI LIMITED                ADR        433578507      515      10427 SH  -    OTHER   02                  0      9867      560
D HITACHI LIMITED                ADR        433578507       16        320 SH  -    OTHER   02                  0         0      320
D HITACHI LIMITED                ADR        433578507      123       2497 SH  -    OTHER   01                  0      2400        0
D HISOFT TECHNOLOGY INTL LTD     ADR        43358R108      287      32675 SH  -    DEFINED 05              32675         0        0
D HISOFT TECHNOLOGY INTL LTD     ADR        43358R108       26       3000 SH  -    DEFINED 06               3000         0        0
D HISOFT TECHNOLOGY INTL LTD     ADR        43358R108      562      63967 SH  -    DEFINED 09              63967         0        0
D HITTITE MICROWAVE CORP         COMMON     43365Y104       11        219 SH  -    OTHER   02                  0       219        0
D HITTITE MICROWAVE CORP         COMMON     43365Y104     7929     162806 SH  -    DEFINED 04             116966         0    45840
D HITTITE MICROWAVE CORP         COMMON     43365Y104     5579     114550 SH  -    DEFINED 04             114550         0        0
D HITTITE MICROWAVE CORP         COMMON     43365Y104     1255      25760 SH  -    DEFINED 04              25760         0        0
D HITTITE MICROWAVE CORP         COMMON     43365Y104      634      13025 SH  -    DEFINED 05              13025         0        0
D HITTITE MICROWAVE CORP         COMMON     43365Y104        2         36 SH  -    OTHER   01                  0        36        0
D HOLLY ENERGY PARTNERS L P      COMMON     435763107     1309      26619 SH  -    OTHER   10                  0         0    26619
D HOLLYFRONTIER CORP             COMMON     436106108       37       1394 SH  -    DEFINED 02                894       300      200
D HOLLYFRONTIER CORP             COMMON     436106108       15        575 SH  -    DEFINED 02                491         0       84
D HOLLYFRONTIER CORP             COMMON     436106108       87       3301 SH  -    OTHER   02                  0      3101      200

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 399
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HOLLYFRONTIER CORP             COMMON     436106108       41       1570 SH  -    OTHER   02                138         0     1432
D HOLLYFRONTIER CORP             COMMON     436106108     2725     103935 SH  -    DEFINED 04              53335         0    50600
D HOLLYFRONTIER CORP             COMMON     436106108       41       1546 SH  -    DEFINED 04               1546         0        0
D HOLLYFRONTIER CORP             COMMON     436106108       14        544 SH  -    OTHER   04                  0       544        0
D HOLLYFRONTIER CORP             COMMON     436106108      133       5054 SH  -    DEFINED 05               5054         0        0
D HOLLYFRONTIER CORP             COMMON     436106108       65       2479 SH  -    DEFINED 06               2479         0        0
D HOLLYFRONTIER CORP             COMMON     436106108     2375      90583 SH  -    DEFINED 08              90583         0        0
D HOLLYFRONTIER CORP             COMMON     436106108      309      11778 SH  -    DEFINED 09              11778         0        0
D HOLLYFRONTIER CORP             COMMON     436106108        8        304 SH  -    DEFINED 01                  0         0      304
D HOLLYFRONTIER CORP             COMMON     436106108       26       1000 SH  -    OTHER   10                  0         0     1000
D HOLOGIC INC                    BOND       436440AA9      159     170000 PRN -    OTHER   02                  0         0        0
D HOLOGIC INC                    BOND       436440AA9     1302    1391000 PRN -    DEFINED 05                  0         0        0
D HOLOGIC INC                    BOND       436440AA9     1873    2000000 PRN -    DEFINED 08                  0         0        0
D HOLOGIC INC                    BOND       436440AA9    11258   12025000 PRN -    DEFINED 09                  0         0        0
D HOLOGIC INC                    BOND       436440AB7    16070   15545000 PRN -    DEFINED 09                  0         0        0
D HOLOGIC INC                    COMMON     436440101      178      11695 SH  -    OTHER   02                  0     11655        0
D HOLOGIC INC                    COMMON     436440101      111       7320 SH  -    OTHER   02               3400         0     3920
D HOLOGIC INC                    COMMON     436440101     2398     157663 SH  -    DEFINED 04             157663         0        0
D HOLOGIC INC                    COMMON     436440101     6717     441596 SH  -    DEFINED 04             441596         0        0
D HOLOGIC INC                    COMMON     436440101      741      48731 SH  -    DEFINED 05              48731         0        0
D HOLOGIC INC                    COMMON     436440101     1972     129636 SH  -    DEFINED 08             129636         0        0
D HOLOGIC INC                    COMMON     436440101        2        105 SH  -    OTHER   01                  0       105        0
D HOME BANCSHARES INC            COMMON     436893200      335      15788 SH  -    DEFINED 04              15788         0        0
D HOME BANCSHARES INC            COMMON     436893200      284      13363 SH  -    DEFINED 05              13363         0        0
D HOME DEPOT INC                 COMMON     437076102    12187     370772 SH  -    DEFINED 02             269086       975   100711
D HOME DEPOT INC                 COMMON     437076102     5410     164574 SH  -    DEFINED 02             157998        85     6491

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 400
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HOME DEPOT INC                 COMMON     437076102     1298      39489 SH  -    DEFINED 02              23737         0    15752
D HOME DEPOT INC                 COMMON     437076102    10755     327195 SH  -    OTHER   02             131494    106502    89041
D HOME DEPOT INC                 COMMON     437076102     4206     127970 SH  -    OTHER   02             116804      2084     9082
D HOME DEPOT INC                 COMMON     437076102      175       5319 SH  -    OTHER   02                  0      5319        0
D HOME DEPOT INC                 COMMON     437076102       60       1818 SH  -    OTHER   02                  0      1818        0
D HOME DEPOT INC                 COMMON     437076102      153       4665 SH  -    OTHER   02                  0      4665        0
D HOME DEPOT INC                 COMMON     437076102   269650    8203535 SH  -    DEFINED 04            6704254         0  1499281
D HOME DEPOT INC                 COMMON     437076102    11867     361021 SH  -    DEFINED 04             361021         0        0
D HOME DEPOT INC                 COMMON     437076102    25314     770139 SH  -    DEFINED 04             770139         0        0
D HOME DEPOT INC                 COMMON     437076102       42       1281 SH  -    DEFINED 04               1281         0        0
D HOME DEPOT INC                 COMMON     437076102      155       4725 SH  -    DEFINED 04               4725         0        0
D HOME DEPOT INC                 COMMON     437076102      199       6057 SH  -    DEFINED 04                  0         0     6057
D HOME DEPOT INC                 COMMON     437076102     7739     235443 SH  -    OTHER   04                  0    235443        0
D HOME DEPOT INC                 COMMON     437076102    47532    1446061 SH  -    DEFINED 05            1446061         0        0
D HOME DEPOT INC                 COMMON     437076102     2295      69820 SH  -    DEFINED 09              69820         0        0
D HOME DEPOT INC                 COMMON     437076102      806      24515 SH  -    DEFINED 09              24515         0        0
D HOME DEPOT INC                 COMMON     437076102    18899     574959 SH  -    DEFINED 01             572965      1200      794
D HOME DEPOT INC                 COMMON     437076102      445      13528 SH  -    OTHER   01               8035      3545     1948
D HOME DEPOT INC                 COMMON     437076102     1683      51216 SH  -    OTHER   10                  0         0    51216
D HOME DEPOT INC                 OPTION     437076904    11718     356500 SH  C    DEFINED 05             356500         0        0
D HOME DEPOT INC                 OPTION     437076904    12750     387900 SH  C    DEFINED 08             387900         0        0
D HOME DEPOT INC                 OPTION     437076953     4884     148600 SH  P    DEFINED 05             148600         0        0
D HOME DEPOT INC                 OPTION     437076953     2268      69000 SH  P    DEFINED 08              69000         0        0
D HOME INNS & HOTELS MGMT INC    ADR        43713W107    38855    1507742 SH  -    OTHER   09                  0   1507742        0
D HOME PROPERTIES INC            COMMON     437306103     8847     155870 SH  -    DEFINED 04             126470         0    29400
D HOME PROPERTIES INC            COMMON     437306103     3530      62196 SH  -    DEFINED 04              62196         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 401
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HOME PROPERTIES INC            COMMON     437306103      800      14100 SH  -    DEFINED 04              14100         0        0
D HOME PROPERTIES INC            COMMON     437306103     4698      82762 SH  -    DEFINED 05              82762         0        0
D HOME PROPERTIES INC            COMMON     437306103       22        386 SH  -    DEFINED 06                386         0        0
D HOMEAWAY INC                   COMMON     43739Q100    22986     683714 SH  -    DEFINED 04             426552         0   257162
D HOMEAWAY INC                   COMMON     43739Q100     1029      30600 SH  -    DEFINED 04              30600         0        0
D HOMEAWAY INC                   COMMON     43739Q100       54       1593 SH  -    OTHER   04                  0      1593        0
D HOMEAWAY INC                   COMMON     43739Q100       90       2668 SH  -    DEFINED 05               2668         0        0
D HONDA MOTOR LTD                ADR        438128308        3        116 SH  -    DEFINED 02                116         0        0
D HONDA MOTOR LTD                ADR        438128308       10        335 SH  -    DEFINED 02                335         0        0
D HONDA MOTOR LTD                ADR        438128308      396      13573 SH  -    OTHER   02                  0     12898      675
D HONDA MOTOR LTD                ADR        438128308       14        475 SH  -    OTHER   02                 75         0      400
D HONDA MOTOR LTD                ADR        438128308     1603      54976 SH  -    DEFINED 04              54976         0        0
D HONDA MOTOR LTD                ADR        438128308     4127     141593 SH  -    OTHER   04                  0    141593        0
D HONDA MOTOR LTD                ADR        438128308     1145      39296 SH  -    OTHER   04                  0     39296        0
D HONDA MOTOR LTD                ADR        438128308       94       3219 SH  -    OTHER   01                  0      3019        0
D HONDA MOTOR LTD                ADR        438128308       10        356 SH  -    OTHER   10                  0         0      356
D HONEYWELL INTL INC             COMMON     438516106    73568    1675429 SH  -    DEFINED 02            1584099      2017    89313
D HONEYWELL INTL INC             COMMON     438516106    19699     448631 SH  -    DEFINED 02             445988       145     2498
D HONEYWELL INTL INC             COMMON     438516106     1136      25881 SH  -    DEFINED 02              13102         0    12779
D HONEYWELL INTL INC             COMMON     438516106    12625     287509 SH  -    OTHER   02             142847     82034    62507
D HONEYWELL INTL INC             COMMON     438516106     2020      46001 SH  -    OTHER   02              42176      2245     1580
D HONEYWELL INTL INC             COMMON     438516106     7931     180622 SH  -    OTHER   02                  0    180622        0
D HONEYWELL INTL INC             COMMON     438516106     3560      81083 SH  -    OTHER   02                  0     81083        0
D HONEYWELL INTL INC             COMMON     438516106     3529      80359 SH  -    OTHER   02                  0     80359        0
D HONEYWELL INTL INC             COMMON     438516106   438490    9986111 SH  -    DEFINED 04            8653016         0  1333095
D HONEYWELL INTL INC             COMMON     438516106    13584     309359 SH  -    DEFINED 04             309359         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 402
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HONEYWELL INTL INC             COMMON     438516106    33271     757716 SH  -    DEFINED 04             757716         0        0
D HONEYWELL INTL INC             COMMON     438516106      116       2647 SH  -    DEFINED 04               2647         0        0
D HONEYWELL INTL INC             COMMON     438516106      149       3400 SH  -    DEFINED 04               3400         0        0
D HONEYWELL INTL INC             COMMON     438516106      262       5964 SH  -    DEFINED 04                  0         0     5964
D HONEYWELL INTL INC             COMMON     438516106    15672     356923 SH  -    OTHER   04                  0    356923        0
D HONEYWELL INTL INC             COMMON     438516106     1939      44161 SH  -    DEFINED 05              44161         0        0
D HONEYWELL INTL INC             COMMON     438516106     1708      38903 SH  -    DEFINED 08              38903         0        0
D HONEYWELL INTL INC             COMMON     438516106     3970      90420 SH  -    DEFINED 09              90420         0        0
D HONEYWELL INTL INC             COMMON     438516106      697      15884 SH  -    DEFINED 09              15884         0        0
D HONEYWELL INTL INC             COMMON     438516106     1228      27977 SH  -    DEFINED 01              24254      1886     1837
D HONEYWELL INTL INC             COMMON     438516106      464      10564 SH  -    OTHER   01               5259      2055     3250
D HONEYWELL INTL INC             COMMON     438516106     1294      29466 SH  -    OTHER   10                  0         0    29466
D HONEYWELL INTL INC             OPTION     438516908     1480      33700 SH  C    DEFINED 05              33700         0        0
D HONEYWELL INTL INC             OPTION     438516908     3513      80000 SH  C    DEFINED 08              80000         0        0
D HONEYWELL INTL INC             OPTION     438516957      435       9900 SH  P    DEFINED 05               9900         0        0
D HORACE MANN EDUCATORS CORP NEW COMMON     440327104      758      66420 SH  -    DEFINED 04              61720         0     4700
D HORACE MANN EDUCATORS CORP NEW COMMON     440327104     2309     202386 SH  -    DEFINED 04             202386         0        0
D HORACE MANN EDUCATORS CORP NEW COMMON     440327104      268      23475 SH  -    DEFINED 05              23475         0        0
D HORACE MANN EDUCATORS CORP NEW COMMON     440327104       28       2460 SH  -    DEFINED 08               2460         0        0
D HORMEL FOODS CORP              COMMON     440452100        1         20 SH  -    DEFINED 02                 20         0        0
D HORMEL FOODS CORP              COMMON     440452100       46       1692 SH  -    DEFINED 02               1602         0       90
D HORMEL FOODS CORP              COMMON     440452100       53       1970 SH  -    OTHER   02                  0      1970        0
D HORMEL FOODS CORP              COMMON     440452100        1         20 SH  -    OTHER   02                  0        20        0
D HORMEL FOODS CORP              COMMON     440452100     1531      56650 SH  -    DEFINED 04              52672         0     3978
D HORMEL FOODS CORP              COMMON     440452100     1707      63170 SH  -    DEFINED 04              63170         0        0
D HORMEL FOODS CORP              COMMON     440452100     1462      54116 SH  -    DEFINED 05              54116         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 403
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HORMEL FOODS CORP              OPTION     440452902       16        600 SH  C    DEFINED 05                600         0        0
D HORIZON PHARMA INC             COMMON     44047T109      365      52234 SH  -    DEFINED 05              52234         0        0
D HORNBECK OFFSHORE SVCS INC NEW BOND       440543AE6       95     100000 PRN -    OTHER   02                  0         0        0
D HORNBECK OFFSHORE SVCS INC NEW BOND       440543AE6     2651    2800000 PRN -    DEFINED 09                  0         0        0
D HORNBECK OFFSHORE SVCS INC NEW COMMON     440543106       41       1632 SH  -    OTHER   02                  0      1146      460
D HORNBECK OFFSHORE SVCS INC NEW COMMON     440543106      421      16883 SH  -    DEFINED 04              16883         0        0
D HORNBECK OFFSHORE SVCS INC NEW COMMON     440543106      409      16427 SH  -    DEFINED 05              16427         0        0
D HORNBECK OFFSHORE SVCS INC NEW COMMON     440543106     6879     276141 SH  -    DEFINED 08             276141         0        0
D HORSEHEAD HLDG CORP            COMMON     440694305       94      12667 SH  -    OTHER   02                  0      1253    11414
D HORSEHEAD HLDG CORP            COMMON     440694305      255      34322 SH  -    OTHER   02                  0      1466    32856
D HORSEHEAD HLDG CORP            COMMON     440694305       59       7925 SH  -    DEFINED 05               7925         0        0
D HORSEHEAD HLDG CORP            COMMON     440694305       19       2547 SH  -    DEFINED 08               2547         0        0
D HOSPITALITY PPTYS TR           BOND       44106MAK8     6167    6144000 PRN -    DEFINED 09                  0         0        0
D HOSPITALITY PPTYS              COMMON     44106M102     5678     267472 SH  -    DEFINED 04             266572         0      900
D HOSPITALITY PPTYS              COMMON     44106M102     7396     348371 SH  -    DEFINED 04             348371         0        0
D HOSPITALITY PPTYS              COMMON     44106M102        3        150 SH  -    DEFINED 04                150         0        0
D HOSPITALITY PPTYS              COMMON     44106M102      495      23334 SH  -    OTHER   04                  0     23334        0
D HOSPITALITY PPTYS              COMMON     44106M102       46       2167 SH  -    DEFINED 05               2167         0        0
D HOSPITALITY PPTYS              COMMON     44106M102       13        593 SH  -    DEFINED 06                593         0        0
D HOSPITALITY PPTYS              COMMON     44106M102       56       2619 SH  -    DEFINED 08               2619         0        0
D HOSPITALITY PPTYS              COMMON     44106M102       11        500 SH  -    DEFINED 09                500         0        0
D HOSPIRA INC                    COMMON     441060100        6        154 SH  -    DEFINED 02                154         0        0
D HOSPIRA INC                    COMMON     441060100      158       4266 SH  -    DEFINED 02               4266         0        0
D HOSPIRA INC                    COMMON     441060100       74       2001 SH  -    DEFINED 02               1900         0      101
D HOSPIRA INC                    COMMON     441060100      919      24829 SH  -    OTHER   02              16803      3676     4350
D HOSPIRA INC                    COMMON     441060100      142       3825 SH  -    OTHER   02               3520         7      298

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 404
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HOSPIRA INC                    COMMON     441060100     1086      29350 SH  -    DEFINED 04              24630         0     4720
D HOSPIRA INC                    COMMON     441060100      995      26897 SH  -    DEFINED 04              26897         0        0
D HOSPIRA INC                    COMMON     441060100     2247      60742 SH  -    DEFINED 05              60742         0        0
D HOSPIRA INC                    COMMON     441060100      115       3100 SH  -    OTHER   01               3100         0        0
D HOSPIRA INC                    COMMON     441060100        5        148 SH  -    OTHER   10                  0         0      148
D HOST HOTELS & RESORTS INC      COMMON     44107P104      981      89700 SH  -    DEFINED 02              89700         0        0
D HOST HOTELS & RESORTS INC      COMMON     44107P104       94       8555 SH  -    DEFINED 02               8138         0      417
D HOST HOTELS & RESORTS INC      COMMON     44107P104    34748    3176211 SH  -    DEFINED 04            2052188         0  1124023
D HOST HOTELS & RESORTS INC      COMMON     44107P104     1201     109822 SH  -    DEFINED 04             109822         0        0
D HOST HOTELS & RESORTS INC      COMMON     44107P104      345      31500 SH  -    DEFINED 04              31500         0        0
D HOST HOTELS & RESORTS INC      COMMON     44107P104       72       6600 SH  -    DEFINED 04               6600         0        0
D HOST HOTELS & RESORTS INC      COMMON     44107P104     2233     204125 SH  -    DEFINED 04             158125         0        0
D HOST HOTELS & RESORTS INC      COMMON     44107P104     2681     245050 SH  -    DEFINED 05             245050         0        0
D HOST HOTELS & RESORTS INC      COMMON     44107P104       65       5983 SH  -    DEFINED 06               5983         0        0
D HOST HOTELS & RESORTS INC      COMMON     44107P104      352      32193 SH  -    DEFINED 08              32193         0        0
D HOST HOTELS & RESORTS INC      COMMON     44107P104       73       6703 SH  -    DEFINED 09               6703         0        0
D HOST HOTELS & RESORTS INC      COMMON     44107P104     1182     108086 SH  -    OTHER   10                  0         0   108086
D HOT TOPIC INC                  COMMON     441339108      236      30873 SH  -    DEFINED 04              30873         0        0
D HOT TOPIC INC                  COMMON     441339108      181      23688 SH  -    DEFINED 05              23688         0        0
D HOT TOPIC INC                  COMMON     441339108        4        513 SH  -    OTHER   10                  0         0      513
D HOWARD HUGHES CORP             COMMON     44267D107        2         43 SH  -    DEFINED 02                 43         0        0
D HOWARD HUGHES CORP             COMMON     44267D107      102       2414 SH  -    OTHER   02               2152        28      234
D HOWARD HUGHES CORP             COMMON     44267D107       11        272 SH  -    DEFINED 04                272         0        0
D HOWARD HUGHES CORP             COMMON     44267D107       21        508 SH  -    DEFINED 05                508         0        0
D HOWARD HUGHES CORP             COMMON     44267D107       66       1573 SH  -    DEFINED 08               1573         0        0
D HUB GROUP INC                  COMMON     443320106       11        386 SH  -    OTHER   02                  0       366        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 405
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HUB GROUP INC                  COMMON     443320106      545      19274 SH  -    DEFINED 05              19274         0        0
D HUBBELL INC                    COMMON     443510201       52       1057 SH  -    OTHER   02                  0      1057        0
D HUBBELL INC                    COMMON     443510201      901      18188 SH  -    OTHER   02              17775        13      400
D HUBBELL INC                    COMMON     443510201     1887      38100 SH  -    DEFINED 04              38100         0        0
D HUBBELL INC                    COMMON     443510201    21792     439896 SH  -    DEFINED 04             439896         0        0
D HUBBELL INC                    COMMON     443510201      223       4500 SH  -    DEFINED 05               4500         0        0
D HUBBELL INC                    COMMON     443510201      166       3349 SH  -    DEFINED 08               3349         0        0
D HUBBELL INC                    COMMON     443510201        2         37 SH  -    OTHER   01                  0        37        0
D HUDBAY MINERALS INC            COMMON     443628102       19       1960 SH  -    DEFINED 05               1960         0        0
D HUDBAY MINERALS INC            COMMON     443628102    27762    2907000 SH  -    DEFINED 09            2907000         0        0
D HUDBAY MINERALS INC            COMMON     443628102     2082     218000 SH  -    DEFINED 09             218000         0        0
D HUDSON CITY BANCORP            COMMON     443683107        3        520 SH  -    DEFINED 02                520         0        0
D HUDSON CITY BANCORP            COMMON     443683107       36       6290 SH  -    DEFINED 02               6079         0      211
D HUDSON CITY BANCORP            COMMON     443683107       86      15108 SH  -    OTHER   02               2810     10068     2230
D HUDSON CITY BANCORP            COMMON     443683107      206      36352 SH  -    OTHER   02               1880      1161    33311
D HUDSON CITY BANCORP            COMMON     443683107      532      93907 SH  -    DEFINED 04              78805         0    15102
D HUDSON CITY BANCORP            COMMON     443683107      935     165213 SH  -    DEFINED 04             165213         0        0
D HUDSON CITY BANCORP            COMMON     443683107     4704     831116 SH  -    DEFINED 05             831116         0        0
D HUDSON CITY BANCORP            COMMON     443683107        5        908 SH  -    DEFINED 06                908         0        0
D HUDSON CITY BANCORP            COMMON     443683107       58      10179 SH  -    OTHER   10                  0         0    10179
D HUDSON CITY BANCORP            OPTION     443683909     2786     492200 SH  C    DEFINED 05             492200         0        0
D HUDSON VALLEY HOLDING CORP     COMMON     444172100      405      23264 SH  -    DEFINED 04              23264         0        0
D HUDSON VALLEY HOLDING CORP     COMMON     444172100       45       2583 SH  -    DEFINED 05               2583         0        0
D HUDSON VALLEY HOLDING CORP     COMMON     444172100       15        873 SH  -    DEFINED 08                873         0        0
D HUGOTON RTY TR TEX             COMMON     444717102        4        200 SH  -    DEFINED 02                200         0        0
D HUGOTON RTY TR TEX             COMMON     444717102       12        546 SH  -    DEFINED 08                546         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 406
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HUGOTON RTY TR TEX             COMMON     444717102     1605      75400 SH  -    OTHER   10                  0         0    75400
D HUMANA INC                     COMMON     444859102    15360     211191 SH  -    DEFINED 02             186878      1055    23258
D HUMANA INC                     COMMON     444859102     5339      73410 SH  -    DEFINED 02              70275        67     3068
D HUMANA INC                     COMMON     444859102     1800      24747 SH  -    DEFINED 02              24747         0        0
D HUMANA INC                     COMMON     444859102      942      12951 SH  -    DEFINED 02               4977         0     7974
D HUMANA INC                     COMMON     444859102     4372      60107 SH  -    OTHER   02              38180     15730     6197
D HUMANA INC                     COMMON     444859102      571       7854 SH  -    OTHER   02               6843       346      665
D HUMANA INC                     COMMON     444859102      262       3604 SH  -    OTHER   02                  0      3604        0
D HUMANA INC                     COMMON     444859102      122       1678 SH  -    OTHER   02                  0      1678        0
D HUMANA INC                     COMMON     444859102      596       8188 SH  -    OTHER   02                  0      8188        0
D HUMANA INC                     COMMON     444859102       15        200 SH  -    OTHER   02                  0       200        0
D HUMANA INC                     COMMON     444859102   465980    6406982 SH  -    DEFINED 04            5384625         0  1022357
D HUMANA INC                     COMMON     444859102    39078     537308 SH  -    DEFINED 04             537308         0        0
D HUMANA INC                     COMMON     444859102    31474     432754 SH  -    DEFINED 04             432754         0        0
D HUMANA INC                     COMMON     444859102      195       2680 SH  -    DEFINED 04               2680         0        0
D HUMANA INC                     COMMON     444859102     3304      45432 SH  -    DEFINED 04              45432         0        0
D HUMANA INC                     COMMON     444859102    21884     300894 SH  -    DEFINED 04             280126         0    20768
D HUMANA INC                     COMMON     444859102      235       3235 SH  -    DEFINED 04                  0         0     3235
D HUMANA INC                     COMMON     444859102     1095      15057 SH  -    OTHER   04                  0     15057        0
D HUMANA INC                     COMMON     444859102    17749     244041 SH  -    OTHER   04                  0    244041        0
D HUMANA INC                     COMMON     444859102     5650      77685 SH  -    DEFINED 05              77685         0        0
D HUMANA INC                     COMMON     444859102    43701     600868 SH  -    DEFINED 09             573775     14104     5448
D HUMANA INC                     COMMON     444859102      961      13212 SH  -    DEFINED 09              13212         0        0
D HUMANA INC                     COMMON     444859102     8949     123044 SH  -    DEFINED 09             123044         0        0
D HUMANA INC                     COMMON     444859102     1447      19890 SH  -    DEFINED 09              19890         0        0
D HUMANA INC                     COMMON     444859102      166       2277 SH  -    OTHER   09                  0      2277        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 407
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HUMANA INC                     COMMON     444859102      804      11049 SH  -    DEFINED 01               9476       830      743
D HUMANA INC                     COMMON     444859102      280       3849 SH  -    OTHER   01               1631       895     1323
D HUMANA INC                     COMMON     444859102     1249      17178 SH  -    OTHER   10                  0         0    17178
D HUMANA INC                     OPTION     444859953       73       1000 SH  P    DEFINED 05               1000         0        0
D HUMAN GENOME SCIENCES INC      BOND       444903AK4     8418    8397000 PRN -    DEFINED 05                  0         0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108     1457     114817 SH  -    DEFINED 02             114817         0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108      304      23983 SH  -    OTHER   02                218     23765        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108        5        364 SH  -    OTHER   02                  0         0      364
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108     1167      92000 SH  -    OTHER   02                  0     92000        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108      186      14689 SH  -    DEFINED 04              14689         0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108      148      11683 SH  -    DEFINED 04              11683         0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108     1311     103278 SH  -    DEFINED 05             103278         0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108      276      21738 SH  -    DEFINED 08              21738         0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108      335      26401 SH  -    DEFINED 09              26401         0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108       14       1098 SH  -    OTHER   01                  0      1098        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108     1020      80358 SH  -    OTHER   10                  0         0    80358
D HUNT J B TRANS SVCS INC        COMMON     445658107       17        479 SH  -    DEFINED 02                479         0        0
D HUNT J B TRANS SVCS INC        COMMON     445658107      108       3000 SH  -    DEFINED 02               3000         0        0
D HUNT J B TRANS SVCS INC        COMMON     445658107       90       2499 SH  -    OTHER   02                  0      1800      629
D HUNT J B TRANS SVCS INC        COMMON     445658107       27        742 SH  -    OTHER   02                  5        12      725
D HUNT J B TRANS SVCS INC        COMMON     445658107    34058     942901 SH  -    DEFINED 04             506051         0   436850
D HUNT J B TRANS SVCS INC        COMMON     445658107    16345     452526 SH  -    DEFINED 04             452526         0        0
D HUNT J B TRANS SVCS INC        COMMON     445658107       60       1673 SH  -    OTHER   04                  0      1673        0
D HUNT J B TRANS SVCS INC        COMMON     445658107       65       1810 SH  -    DEFINED 05               1810         0        0
D HUNT J B TRANS SVCS INC        COMMON     445658107      551      15242 SH  -    DEFINED 08              15242         0        0
D HUNT J B TRANS SVCS INC        COMMON     445658107      494      13682 SH  -    OTHER   10                  0         0    13682

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 408
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HUNTINGTON BANCSHS             COMMON     446150104       32       6730 SH  -    DEFINED 02               6690         0       40
D HUNTINGTON BANCSHS             COMMON     446150104      371      77269 SH  -    DEFINED 02              72893         0     4376
D HUNTINGTON BANCSHS             COMMON     446150104      150      31166 SH  -    DEFINED 02              15724         0    15442
D HUNTINGTON BANCSHS             COMMON     446150104      112      23342 SH  -    OTHER   02                  0     22644        0
D HUNTINGTON BANCSHS             COMMON     446150104        5       1099 SH  -    OTHER   02                  0         0     1099
D HUNTINGTON BANCSHS             COMMON     446150104    68133   14194464 SH  -    DEFINED 04           11137112         0  3057352
D HUNTINGTON BANCSHS             COMMON     446150104     1867     388905 SH  -    DEFINED 04             388905         0        0
D HUNTINGTON BANCSHS             COMMON     446150104     1646     342947 SH  -    DEFINED 04             342947         0        0
D HUNTINGTON BANCSHS             COMMON     446150104      650     135475 SH  -    DEFINED 04             135475         0        0
D HUNTINGTON BANCSHS             COMMON     446150104       19       3880 SH  -    DEFINED 04                  0         0     3880
D HUNTINGTON BANCSHS             COMMON     446150104      241      50208 SH  -    OTHER   04                  0     50208        0
D HUNTINGTON BANCSHS             COMMON     446150104     1386     288790 SH  -    OTHER   04                  0    288790        0
D HUNTINGTON BANCSHS             COMMON     446150104     9748    2030927 SH  -    DEFINED 05            2030927         0        0
D HUNTINGTON BANCSHS             COMMON     446150104       97      20310 SH  -    DEFINED 08              20310         0        0
D HUNTINGTON BANCSHS             COMMON     446150104      279      58208 SH  -    DEFINED 09              58208         0        0
D HUNTINGTON BANCSHS             COMMON     446150104     1643     342294 SH  -    OTHER   10                  0         0   342294
D HUNTINGTON BANCSHARES INC      PREF CONV  446150401     1849       1761 SH  -    DEFINED 08                  0         0        0
D HUNTINGTON BANCSHARES INC      PREF CONV  446150401     2735       2605 SH  -    DEFINED 09                  0         0        0
D HUNTINGTON BANCSHARES INC      PREF CONV  446150401       11         10 SH  -    OTHER   10                  0         0        0
D HUNTINGTON INGALLS INDS INC    COMMON     446413106        5        199 SH  -    DEFINED 02                199         0        0
D HUNTINGTON INGALLS INDS INC    COMMON     446413106       13        543 SH  -    DEFINED 02                543         0        0
D HUNTINGTON INGALLS INDS INC    COMMON     446413106      134       5522 SH  -    OTHER   02               3788       834      900
D HUNTINGTON INGALLS INDS INC    COMMON     446413106       34       1407 SH  -    OTHER   02               1344         8       55
D HUNTINGTON INGALLS INDS INC    COMMON     446413106     6563     269730 SH  -    DEFINED 04             165115         0   104615
D HUNTINGTON INGALLS INDS INC    COMMON     446413106      935      38441 SH  -    DEFINED 04              38441         0        0
D HUNTINGTON INGALLS INDS INC    COMMON     446413106       15        629 SH  -    DEFINED 04                629         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 409
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D HUNTINGTON INGALLS INDS INC    COMMON     446413106       20        811 SH  -    DEFINED 05                811         0        0
D HUNTINGTON INGALLS INDS INC    COMMON     446413106       29       1190 SH  -    DEFINED 08               1190         0        0
D HUNTINGTON INGALLS INDS INC    COMMON     446413106       81       3343 SH  -    DEFINED 09               3343         0        0
D HUNTINGTON INGALLS INDS INC    COMMON     446413106        0          0 SH  -    DEFINED 09                  0         0        0
D HUNTINGTON INGALLS INDS INC    COMMON     446413106        1         42 SH  -    OTHER   01                  0        42        0
D HUNTINGTON INGALLS INDS INC    COMMON     446413106        3        114 SH  -    OTHER   10                  0         0      114
D HUNTSMAN CORP                  COMMON     447011107       63       6534 SH  -    OTHER   02               3000       527     3007
D HUNTSMAN CORP                  COMMON     447011107      818      84580 SH  -    DEFINED 04              47580         0    37000
D HUNTSMAN CORP                  COMMON     447011107      233      24053 SH  -    DEFINED 05              24053         0        0
D HUNTSMAN CORP                  COMMON     447011107     1667     172351 SH  -    DEFINED 08             172351         0        0
D HUNTSMAN CORP                  COMMON     447011107      211      21855 SH  -    OTHER   10                  0         0    21855
D HUNTSMAN CORP                  OPTION     447011909        2        200 SH  C    DEFINED 05                200         0        0
D HURCO COS INC                  COMMON     447324104     1476      73150 SH  -    DEFINED 04              66850         0     6300
D HURCO COS INC                  COMMON     447324104       14        695 SH  -    DEFINED 05                695         0        0
D HURCO COS INC                  COMMON     447324104        8        376 SH  -    DEFINED 08                376         0        0
D HUTCHINSON TECHNOLOGY INC      BOND       448407AG1       17      25000 PRN -    DEFINED 05                  0         0        0
D HYATT HOTELS CORP              COMMON     448579102      655      20893 SH  -    OTHER   02                720     20087        0
D HYATT HOTELS CORP              COMMON     448579102       22        704 SH  -    DEFINED 05                704         0        0
D IDT CORP                       COMMON     448947507       17        818 SH  -    OTHER   02                  0       818        0
D IDT CORP                       COMMON     448947507      365      17900 SH  -    DEFINED 04              13600         0     4300
D IDT CORP                       COMMON     448947507       52       2539 SH  -    DEFINED 05               2539         0        0
D IDT CORP                       COMMON     448947507       17        818 SH  -    DEFINED 08                818         0        0
D IDT CORP                       COMMON     448947507        8        375 SH  -    OTHER   10                  0         0      375
D HYPERDYNAMICS CORP             COMMON     448954107        4       1084 SH  -    OTHER   02                  0       914        0
D HYPERDYNAMICS CORP             COMMON     448954107       62      16774 SH  -    DEFINED 05              16774         0        0
D HYPERDYNAMICS CORP             COMMON     448954107       34       9304 SH  -    DEFINED 08               9304         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 410
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D IAC INTERACTIVECORP            COMMON     44919P508      134       3400 SH  -    DEFINED 02                  0         0     3400
D IAC INTERACTIVECORP            COMMON     44919P508      299       7555 SH  -    OTHER   02               5980      1575        0
D IAC INTERACTIVECORP            COMMON     44919P508        3         74 SH  -    OTHER   02                  0         0       74
D IAC INTERACTIVECORP            COMMON     44919P508    26732     675896 SH  -    DEFINED 04             615396         0    60500
D IAC INTERACTIVECORP            COMMON     44919P508     7485     189255 SH  -    DEFINED 04             189255         0        0
D IAC INTERACTIVECORP            COMMON     44919P508      255       6445 SH  -    DEFINED 04               6445         0        0
D IAC INTERACTIVECORP            COMMON     44919P508      783      19796 SH  -    OTHER   04                  0     19796        0
D IAC INTERACTIVECORP            COMMON     44919P508      595      15039 SH  -    DEFINED 05              15039         0        0
D IAC INTERACTIVECORP            COMMON     44919P508      164       4147 SH  -    DEFINED 08               4147         0        0
D IAC INTERACTIVECORP            COMMON     44919P508        3         66 SH  -    OTHER   10                  0         0       66
D ICF INTL INC                   COMMON     44925C103        6        309 SH  -    OTHER   02                  0       309        0
D ICF INTL INC                   COMMON     44925C103      179       9500 SH  -    DEFINED 04               9500         0        0
D ICF INTL INC                   COMMON     44925C103       57       3020 SH  -    DEFINED 05               3020         0        0
D ICF INTL INC                   COMMON     44925C103       24       1262 SH  -    DEFINED 08               1262         0        0
D ICG GROUP INC                  COMMON     44928D108        1        161 SH  -    OTHER   02                  0       161        0
D ICG GROUP INC                  COMMON     44928D108       71       7717 SH  -    DEFINED 05               7717         0        0
D ICG GROUP INC                  COMMON     44928D108       21       2228 SH  -    DEFINED 08               2228         0        0
D ICU MED INC                    COMMON     44930G107       11        311 SH  -    OTHER   02                  0       311        0
D ICU MED INC                    COMMON     44930G107       44       1200 SH  -    OTHER   02                  0      1200        0
D ICU MED INC                    COMMON     44930G107      315       8560 SH  -    DEFINED 04               8560         0        0
D ICU MED INC                    COMMON     44930G107      264       7167 SH  -    DEFINED 05               7167         0        0
D ING PRIME RATE TR              COMMON     44977W106     3875     756800 SH  -    DEFINED 04             756800         0        0
D IPG PHOTONICS CORP             COMMON     44980X109        8        190 SH  -    DEFINED 02                190         0        0
D IPG PHOTONICS CORP             COMMON     44980X109       19        447 SH  -    OTHER   02                  0        15      432
D IPG PHOTONICS CORP             COMMON     44980X109      691      15913 SH  -    DEFINED 04              15913         0        0
D IPG PHOTONICS CORP             COMMON     44980X109     1131      26029 SH  -    DEFINED 04              26029         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 411
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D IPG PHOTONICS CORP             COMMON     44980X109       53       1209 SH  -    DEFINED 05               1209         0        0
D IPG PHOTONICS CORP             COMMON     44980X109      596      13727 SH  -    DEFINED 08              13727         0        0
D IPC THE HOSPITALIST CO INC     COMMON     44984A105       10        293 SH  -    OTHER   02                  0       293        0
D IPC THE HOSPITALIST CO INC     COMMON     44984A105      404      11332 SH  -    DEFINED 04              11332         0        0
D IPC THE HOSPITALIST CO INC     COMMON     44984A105      329       9213 SH  -    DEFINED 05               9213         0        0
D ISTAR FINL INC                 BOND       45031UBF7        8       9000 PRN -    DEFINED 05                  0         0        0
D ISTAR FINL INC                 BOND       45031UBF7    13221   15110000 PRN -    DEFINED 08                  0         0        0
D ISTAR FINL INC                 COMMON     45031U101       72      12377 SH  -    DEFINED 05              12377         0        0
D ISTAR FINL INC                 COMMON     45031U101       38       6476 SH  -    DEFINED 08               6476         0        0
D ISTA PHARMACEUTICALS INC       COMMON     45031X204       66      18992 SH  -    DEFINED 05              18992         0        0
D ISTA PHARMACEUTICALS INC       COMMON     45031X204        5       1548 SH  -    DEFINED 08               1548         0        0
D ITT EDUCATIONAL SERVICES INC   COMMON     45068B109       10        175 SH  -    OTHER   02                  0       175        0
D ITT EDUCATIONAL SERVICES INC   COMMON     45068B109       39        676 SH  -    OTHER   02                  0         0      676
D ITT EDUCATIONAL SERVICES INC   COMMON     45068B109    10914     189545 SH  -    DEFINED 04              96745         0    92800
D ITT EDUCATIONAL SERVICES INC   COMMON     45068B109     5129      89078 SH  -    DEFINED 04              89078         0        0
D ITT EDUCATIONAL SERVICES INC   COMMON     45068B109       52        900 SH  -    DEFINED 04                900         0        0
D ITT EDUCATIONAL SERVICES INC   COMMON     45068B109       42        724 SH  -    DEFINED 05                724         0        0
D ITT EDUCATIONAL SERVICES INC   COMMON     45068B109      259       4500 SH  -    DEFINED 09               4500         0        0
D ITT EDUCATIONAL SERVICES INC   COMMON     45068B109      340       5900 SH  -    OTHER   10                  0         0     5900
D IXIA                           COMMON     45071R109        3        427 SH  -    DEFINED 02                  0       427        0
D IXIA                           COMMON     45071R109      190      24766 SH  -    OTHER   02                  0     24766        0
D IXIA                           COMMON     45071R109        7        876 SH  -    OTHER   02                  0         0      876
D IXIA                           COMMON     45071R109     1600     208600 SH  -    DEFINED 04             208600         0        0
D IXIA                           COMMON     45071R109       48       6220 SH  -    DEFINED 05               6220         0        0
D IXIA                           COMMON     45071R109       18       2303 SH  -    DEFINED 08               2303         0        0
D IBERIABANK CORP                COMMON     450828108        5        113 SH  -    DEFINED 02                  0       113        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 412
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D IBERIABANK CORP                COMMON     450828108      413       8777 SH  -    OTHER   02                  0      7167     1610
D IBERIABANK CORP                COMMON     450828108      246       5221 SH  -    OTHER   02                  0       207     5014
D IBERIABANK CORP                COMMON     450828108    42546     904078 SH  -    DEFINED 04             828119         0    75959
D IBERIABANK CORP                COMMON     450828108      255       5429 SH  -    DEFINED 05               5429         0        0
D IBERIABANK CORP                COMMON     450828108       78       1661 SH  -    DEFINED 08               1661         0        0
D ITT CORP NEW                   COMMON     450911102      150       3574 SH  -    DEFINED 02               1974       700      900
D ITT CORP NEW                   COMMON     450911102       14        332 SH  -    DEFINED 02                 32         0      300
D ITT CORP NEW                   COMMON     450911102       90       2135 SH  -    DEFINED 02               2135         0        0
D ITT CORP NEW                   COMMON     450911102     5065     120585 SH  -    OTHER   02               7008    113225      300
D ITT CORP NEW                   COMMON     450911102      100       2380 SH  -    OTHER   02                  0       779     1601
D ITT CORP NEW                   COMMON     450911102    12688     302098 SH  -    DEFINED 04             124493         0   177605
D ITT CORP NEW                   COMMON     450911102     1749      41648 SH  -    DEFINED 04              41648         0        0
D ITT CORP NEW                   COMMON     450911102       26        620 SH  -    DEFINED 04                620         0        0
D ITT CORP NEW                   COMMON     450911102       55       1300 SH  -    DEFINED 04               1300         0        0
D ITT CORP NEW                   COMMON     450911102       17        416 SH  -    DEFINED 04                  0         0      416
D ITT CORP NEW                   COMMON     450911102     5465     130117 SH  -    DEFINED 05             130117         0        0
D ITT CORP NEW                   COMMON     450911102      280       6670 SH  -    DEFINED 09               6670         0        0
D ITT CORP NEW                   COMMON     450911102      178       4240 SH  -    OTHER   01                450      3650      140
D ITT CORP NEW                   COMMON     450911102       19        445 SH  -    OTHER   10                  0         0      445
D IAMGOLD CORP                   COMMON     450913108      310      15650 SH  -    DEFINED 06              15650         0        0
D IAMGOLD CORP                   COMMON     450913108       62       3110 SH  -    DEFINED 08               3110         0        0
D IAMGOLD CORP                   COMMON     450913108    34215    1729800 SH  -    DEFINED 09            1729800         0        0
D IAMGOLD CORP                   COMMON     450913108     7776     393100 SH  -    DEFINED 09             393100         0        0
D IAMGOLD CORP                   COMMON     450913108      955      48296 SH  -    OTHER   10                  0         0    48296
D ICON PUB LTD CO                ADR        45103T107      818      50880 SH  -    OTHER   02                  0     50880        0
D ICON PUB LTD CO                ADR        45103T107        1         60 SH  -    OTHER   10                  0         0       60

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 413
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ICICI BK LTD                   ADR        45104G104        6        166 SH  -    DEFINED 02                166         0        0
D ICICI BK LTD                   ADR        45104G104      578      16637 SH  -    DEFINED 02              16637         0        0
D ICICI BK LTD                   ADR        45104G104      255       7358 SH  -    OTHER   02               2708      2500     2150
D ICICI BK LTD                   ADR        45104G104       66       1900 SH  -    OTHER   02                  0         0     1900
D ICICI BK LTD                   ADR        45104G104    15688     451847 SH  -    DEFINED 04             201090         0   250757
D ICICI BK LTD                   ADR        45104G104        2         57 SH  -    OTHER   04                  0        57        0
D ICICI BK LTD                   ADR        45104G104      637      18334 SH  -    DEFINED 05              18334         0        0
D ICICI BK LTD                   ADR        45104G104     8874     255600 SH  -    DEFINED 06             255600         0        0
D ICICI BK LTD                   ADR        45104G104    10890     313643 SH  -    DEFINED 08             313643         0        0
D ICICI BK LTD                   ADR        45104G104    10588     304952 SH  -    DEFINED 09             280873     24079        0
D ICICI BK LTD                   ADR        45104G104      600      17290 SH  -    DEFINED 09              17290         0        0
D ICICI BK LTD                   ADR        45104G104     4734     136339 SH  -    DEFINED 09             136339         0        0
D ICICI BK LTD                   ADR        45104G104   104693    3015356 SH  -    OTHER   09                  0   3015356        0
D ICONIX BRAND GROUP INC         BOND       451055AB3       74      75000 PRN -    OTHER   02                  0         0        0
D ICONIX BRAND GROUP INC         BOND       451055AB3       72      73000 PRN -    DEFINED 05                  0         0        0
D ICONIX BRAND GROUP INC         COMMON     451055107        8        500 SH  -    DEFINED 02                500         0        0
D ICONIX BRAND GROUP INC         COMMON     451055107       15        978 SH  -    OTHER   02                  0       978        0
D ICONIX BRAND GROUP INC         COMMON     451055107        3        220 SH  -    OTHER   02                  0         0      220
D ICONIX BRAND GROUP INC         COMMON     451055107    25205    1595264 SH  -    DEFINED 04            1475265         0   119999
D ICONIX BRAND GROUP INC         COMMON     451055107     3404     215463 SH  -    DEFINED 04             215463         0        0
D ICONIX BRAND GROUP INC         COMMON     451055107      540      34161 SH  -    DEFINED 05              34161         0        0
D ICONIX BRAND GROUP INC         COMMON     451055107     1927     121973 SH  -    DEFINED 08             121973         0        0
D ICONIX BRAND GROUP INC         COMMON     451055107        1         62 SH  -    OTHER   01                  0        62        0
D ICONIX BRAND GROUP INC         COMMON     451055107       28       1800 SH  -    OTHER   10                  0         0     1800
D IDACORP INC                    COMMON     451107106       79       2088 SH  -    DEFINED 02                  0      2088        0
D IDACORP INC                    COMMON     451107106      145       3844 SH  -    OTHER   02               2193      1651        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 414
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D IDACORP INC                    COMMON     451107106       67       1766 SH  -    OTHER   02               1756         5        5
D IDACORP INC                    COMMON     451107106     7919     209600 SH  -    DEFINED 04             191700         0    17900
D IDACORP INC                    COMMON     451107106      755      19982 SH  -    DEFINED 04              19982         0        0
D IDACORP INC                    COMMON     451107106      237       6271 SH  -    DEFINED 05               6271         0        0
D IDACORP INC                    COMMON     451107106      244       6448 SH  -    DEFINED 08               6448         0        0
D IDACORP INC                    COMMON     451107106      356       9423 SH  -    OTHER   10                  0         0     9423
D IDENIX PHARMACEUTICALS INC     COMMON     45166R204        3        503 SH  -    OTHER   02                  0       503        0
D IDENIX PHARMACEUTICALS INC     COMMON     45166R204     4679     937689 SH  -    DEFINED 04             771679         0   166010
D IDENIX PHARMACEUTICALS INC     COMMON     45166R204     2712     543400 SH  -    DEFINED 04             543400         0        0
D IDENIX PHARMACEUTICALS INC     COMMON     45166R204      465      93138 SH  -    DEFINED 04              93138         0        0
D IDENIX PHARMACEUTICALS INC     COMMON     45166R204      165      33164 SH  -    DEFINED 05              33164         0        0
D IDENIX PHARMACEUTICALS INC     COMMON     45166R204       19       3848 SH  -    DEFINED 08               3848         0        0
D IDENIX PHARMACEUTICALS INC     COMMON     45166R204      216      43326 SH  -    DEFINED 09              43326         0        0
D IDENIX PHARMACEUTICALS INC     COMMON     45166R204       15       3000 SH  -    OTHER   10                  0         0     3000
D IDEX CORP                      COMMON     45167R104        3        109 SH  -    OTHER   02                  0       109        0
D IDEX CORP                      COMMON     45167R104     1326      42546 SH  -    DEFINED 04              42546         0        0
D IDEX CORP                      COMMON     45167R104       39       1253 SH  -    DEFINED 05               1253         0        0
D IDEX CORP                      COMMON     45167R104        1         35 SH  -    OTHER   10                  0         0       35
D IDEXX LABORATORIES             COMMON     45168D104     9553     138503 SH  -    OTHER   02              15286     91917    31291
D IDEXX LABORATORIES             COMMON     45168D104      362       5251 SH  -    OTHER   02               2305        12     2934
D IDEXX LABORATORIES             COMMON     45168D104    28090     407275 SH  -    DEFINED 04             379273         0    28002
D IDEXX LABORATORIES             COMMON     45168D104     2455      35596 SH  -    DEFINED 04              35596         0        0
D IDEXX LABORATORIES             COMMON     45168D104       74       1067 SH  -    DEFINED 05               1067         0        0
D IDEXX LABORATORIES             COMMON     45168D104      230       3340 SH  -    OTHER   01                  0      3340        0
D IDEXX LABORATORIES             COMMON     45168D104      782      11344 SH  -    OTHER   10                  0         0    11344
D IGATE CORP                     COMMON     45169U105        1         80 SH  -    OTHER   02                  0        80        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 415
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D IGATE CORP                     COMMON     45169U105      667      57762 SH  -    DEFINED 04              57762         0        0
D IGATE CORP                     COMMON     45169U105      207      17918 SH  -    DEFINED 05              17918         0        0
D IDENTIVE GROUP INC             COMMON     45170X106       29      14783 SH  -    DEFINED 05              14783         0        0
D IDENTIVE GROUP INC             COMMON     45170X106        5       2263 SH  -    DEFINED 08               2263         0        0
D IFM INVTS LTD                  ADR        45172L100       43      37300 SH  -    DEFINED 02              37300         0        0
D IFM INVTS LTD                  ADR        45172L100      240     208700 SH  -    DEFINED 04             208700         0        0
D IFM INVTS LTD                  ADR        45172L100      798     694200 SH  -    DEFINED 09             217100    477100        0
D IHS INC                        COMMON     451734107      150       2000 SH  -    DEFINED 02               2000         0        0
D IHS INC                        COMMON     451734107       13        176 SH  -    OTHER   02                  0       167        0
D IHS INC                        COMMON     451734107      229       3057 SH  -    OTHER   02               1400         0     1657
D IHS INC                        COMMON     451734107    48723     651285 SH  -    DEFINED 04             347450         0   303835
D IHS INC                        COMMON     451734107    16518     220800 SH  -    DEFINED 04             220800         0        0
D IHS INC                        COMMON     451734107       91       1212 SH  -    OTHER   04                  0      1212        0
D IHS INC                        COMMON     451734107      432       5780 SH  -    DEFINED 05               5780         0        0
D IHS INC                        COMMON     451734107      307       4100 SH  -    DEFINED 08               4100         0        0
D ILLINOIS TOOL WKS              COMMON     452308109    46498    1117741 SH  -    DEFINED 02            1096760         0    20981
D ILLINOIS TOOL WKS              COMMON     452308109    13438     323019 SH  -    DEFINED 02             322345         0      674
D ILLINOIS TOOL WKS              COMMON     452308109      251       6022 SH  -    DEFINED 02               5663         0      359
D ILLINOIS TOOL WKS              COMMON     452308109     4554     109474 SH  -    OTHER   02               6823     63008    39643
D ILLINOIS TOOL WKS              COMMON     452308109     3754      90247 SH  -    OTHER   02              62830     20111     7306
D ILLINOIS TOOL WKS              COMMON     452308109     7091     170462 SH  -    OTHER   02                  0    170462        0
D ILLINOIS TOOL WKS              COMMON     452308109     3137      75406 SH  -    OTHER   02                  0     75406        0
D ILLINOIS TOOL WKS              COMMON     452308109     2931      70455 SH  -    OTHER   02                  0     70455        0
D ILLINOIS TOOL WKS              COMMON     452308109    52604    1264525 SH  -    DEFINED 04            1198097         0    66428
D ILLINOIS TOOL WKS              COMMON     452308109     6030     144946 SH  -    DEFINED 04             144946         0        0
D ILLINOIS TOOL WKS              COMMON     452308109       44       1050 SH  -    DEFINED 04               1050         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 416
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ILLINOIS TOOL WKS              COMMON     452308109       14        340 SH  -    OTHER   04                  0       340        0
D ILLINOIS TOOL WKS              COMMON     452308109    20099     483144 SH  -    DEFINED 05             483144         0        0
D ILLINOIS TOOL WKS              COMMON     452308109      325       7814 SH  -    DEFINED 01               7782         0       32
D ILLINOIS TOOL WKS              COMMON     452308109       39        945 SH  -    OTHER   01                  0       864       81
D ILLINOIS TOOL WKS              COMMON     452308109      156       3753 SH  -    OTHER   10                  0         0     3753
D ILLINOIS TOOL WKS              OPTION     452308901     1872      45000 SH  C    DEFINED 05              45000         0        0
D ILLUMINA INC                   COMMON     452327109       60       1460 SH  -    DEFINED 02               1460         0        0
D ILLUMINA INC                   COMMON     452327109     1367      33416 SH  -    OTHER   02                450     32966        0
D ILLUMINA INC                   COMMON     452327109      419      10230 SH  -    OTHER   02               1161      1276     7793
D ILLUMINA INC                   COMMON     452327109    19666     480588 SH  -    DEFINED 04             224146         0   256442
D ILLUMINA INC                   COMMON     452327109    20049     489953 SH  -    DEFINED 04             489953         0        0
D ILLUMINA INC                   COMMON     452327109     1909      46660 SH  -    DEFINED 04              46660         0        0
D ILLUMINA INC                   COMMON     452327109       10        233 SH  -    OTHER   04                  0       233        0
D ILLUMINA INC                   COMMON     452327109      658      16072 SH  -    DEFINED 05              16072         0        0
D ILLUMINA INC                   COMMON     452327109    17193     420170 SH  -    DEFINED 08             420170         0        0
D ILLUMINA INC                   COMMON     452327109      282       6901 SH  -    OTHER   01                  0      6688        0
D ILLUMINA INC                   COMMON     452327109      205       5014 SH  -    OTHER   10                  0         0     5014
D IMATION CORP                   COMMON     45245A107        8       1140 SH  -    OTHER   02                  0      1140        0
D IMATION CORP                   COMMON     45245A107        1         90 SH  -    OTHER   02                  0        90        0
D IMATION CORP                   COMMON     45245A107     1463     200157 SH  -    DEFINED 04             183357         0    16800
D IMATION CORP                   COMMON     45245A107      265      36300 SH  -    DEFINED 04              36300         0        0
D IMATION CORP                   COMMON     45245A107       36       4986 SH  -    DEFINED 05               4986         0        0
D IMATION CORP                   COMMON     45245A107       63       8590 SH  -    DEFINED 08               8590         0        0
D IMMUNOGEN INC                  COMMON     45253H101       58       5314 SH  -    DEFINED 02               5314         0        0
D IMMUNOGEN INC                  COMMON     45253H101       20       1870 SH  -    OTHER   02               1608       262        0
D IMMUNOGEN INC                  COMMON     45253H101     1057      96442 SH  -    DEFINED 05              96442         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 417
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D IMMUNOGEN INC                  COMMON     45253H101       51       4661 SH  -    DEFINED 08               4661         0        0
D IMMUNOGEN INC                  COMMON     45253H101        3        280 SH  -    OTHER   10                  0         0      280
D IMPAX LABORATORIES INC         COMMON     45256B101     6697     373940 SH  -    DEFINED 04             274360         0    99580
D IMPAX LABORATORIES INC         COMMON     45256B101     3386     189046 SH  -    DEFINED 04             189046         0        0
D IMPAX LABORATORIES INC         COMMON     45256B101      681      38050 SH  -    DEFINED 04              38050         0        0
D IMPAX LABORATORIES INC         COMMON     45256B101      639      35687 SH  -    DEFINED 05              35687         0        0
D IMPAX LABORATORIES INC         COMMON     45256B101       69       3858 SH  -    DEFINED 08               3858         0        0
D IMPAX LABORATORIES INC         COMMON     45256B101        9        500 SH  -    OTHER   10                  0         0      500
D IMPERIAL HLDGS INC             COMMON     452834104        0        192 SH  -    OTHER   02                  0       192        0
D IMPERIAL HLDGS INC             COMMON     452834104      876     364800 SH  -    DEFINED 04             364800         0        0
D IMPERIAL HLDGS INC             COMMON     452834104       54      22694 SH  -    DEFINED 05              22694         0        0
D IMPERIAL HLDGS INC             COMMON     452834104        7       2820 SH  -    DEFINED 08               2820         0        0
D IMMUNOMEDICS INC               COMMON     452907108        4       1255 SH  -    OTHER   02                  0       430      825
D IMMUNOMEDICS INC               COMMON     452907108      352     110100 SH  -    DEFINED 04              83800         0    26300
D IMMUNOMEDICS INC               COMMON     452907108      375     117180 SH  -    DEFINED 05             117180         0        0
D IMMUNOMEDICS INC               COMMON     452907108       12       3835 SH  -    DEFINED 08               3835         0        0
D IMPERIAL OIL                   COMMON     453038408        0          7 SH  -    DEFINED 02                  7         0        0
D IMPERIAL OIL                   COMMON     453038408       30        842 SH  -    DEFINED 02                842         0        0
D IMPERIAL OIL                   COMMON     453038408      421      11650 SH  -    OTHER   02               4325      3975     3350
D IMPERIAL OIL                   COMMON     453038408        7        200 SH  -    OTHER   02                  0         0      200
D IMPERIAL OIL                   COMMON     453038408        1         37 SH  -    OTHER   04                  0        37        0
D IMPERIAL OIL                   COMMON     453038408     4759     131800 SH  -    DEFINED 05             131800         0        0
D IMPERIAL OIL                   COMMON     453038408     1103      30540 SH  -    DEFINED 06              30540         0        0
D IMPERIAL OIL                   COMMON     453038408      207       5740 SH  -    DEFINED 08               5740         0        0
D IMPERIAL OIL                   COMMON     453038408       85       2350 SH  -    OTHER   10                  0         0     2350
D IMPERIAL SUGAR CO NEW          COMMON     453096208        1        168 SH  -    OTHER   02                  0       168        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 418
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D IMPERIAL SUGAR CO NEW          COMMON     453096208      418      64850 SH  -    DEFINED 04              59350         0     5500
D IMPERIAL SUGAR CO NEW          COMMON     453096208        4        601 SH  -    DEFINED 05                601         0        0
D IMPERIAL SUGAR CO NEW          COMMON     453096208        5        723 SH  -    DEFINED 08                723         0        0
D IMRIS INC                      COMMON     45322N105     5029    1289454 SH  -    DEFINED 04             931530         0   357924
D IMRIS INC                      COMMON     45322N105     3310     848600 SH  -    DEFINED 04             848600         0        0
D IMRIS INC                      COMMON     45322N105      782     200610 SH  -    DEFINED 04             200610         0        0
D IMRIS INC                      COMMON     45322N105      238      61039 SH  -    DEFINED 09              61039         0        0
D INCONTACT INC                  COMMON     45336E109        0        113 SH  -    OTHER   02                  0       113        0
D INCONTACT INC                  COMMON     45336E109       32       9131 SH  -    DEFINED 05               9131         0        0
D INCONTACT INC                  COMMON     45336E109        6       1830 SH  -    DEFINED 08               1830         0        0
D INCYTE GENOMICS INC            COMMON     45337C102        4        319 SH  -    OTHER   02                  0       319        0
D INCYTE GENOMICS INC            COMMON     45337C102     4953     354540 SH  -    DEFINED 04             308340         0    46200
D INCYTE GENOMICS INC            COMMON     45337C102      352      25175 SH  -    DEFINED 04              25175         0        0
D INCYTE GENOMICS INC            COMMON     45337C102     2041     146110 SH  -    DEFINED 05             146110         0        0
D INCYTE GENOMICS INC            COMMON     45337C102       73       5223 SH  -    DEFINED 08               5223         0        0
D INCYTE GENOMICS INC            COMMON     45337C102      229      16379 SH  -    DEFINED 09              16379         0        0
D INCYTE GENOMICS INC            COMMON     45337C102        2        125 SH  -    OTHER   01                  0       125        0
D INCYTE GENOMICS INC            COMMON     45337C102        2        130 SH  -    OTHER   10                  0         0      130
D INDEPENDENT BANK CORP MASS     COMMON     453836108     1384      63670 SH  -    DEFINED 04              63670         0        0
D INDEPENDENT BANK CORP MASS     COMMON     453836108      334      15379 SH  -    DEFINED 04              15379         0        0
D INDEPENDENT BANK CORP MASS     COMMON     453836108      218      10005 SH  -    DEFINED 05              10005         0        0
D INDEXIQ ETF TR                 COMMON     45409B834      523      23925 SH  -    OTHER   10                  0         0    23925
D INERGY L P                     COMMON     456615103      130       5200 SH  -    DEFINED 02               5200         0        0
D INERGY L P                     COMMON     456615103     2491      99557 SH  -    OTHER   02               2350     97207        0
D INERGY L P                     COMMON     456615103      440      17600 SH  -    OTHER   02                  0     17600        0
D INERGY L P                     COMMON     456615103        3        100 SH  -    DEFINED 05                100         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 419
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INERGY L P                     COMMON     456615103      537      21445 SH  -    OTHER   01               7500     13945        0
D INERGY L P                     COMMON     456615103    45527    1819610 SH  -    DEFINED 10            1819610         0        0
D INERGY L P                     COMMON     456615103      380      15196 SH  -    OTHER   10                  0         0    15196
D INFINITY PPTY & CAS CORP       COMMON     45665Q103        4         73 SH  -    OTHER   02                  0        73        0
D INFINITY PPTY & CAS CORP       COMMON     45665Q103       21        400 SH  -    OTHER   02                  0         0      400
D INFINITY PPTY & CAS CORP       COMMON     45665Q103      483       9201 SH  -    DEFINED 04               9201         0        0
D INFINITY PPTY & CAS CORP       COMMON     45665Q103      301       5745 SH  -    DEFINED 05               5745         0        0
D INFINITY PPTY & CAS CORP       COMMON     45665Q103        3         50 SH  -    DEFINED 08                 50         0        0
D INFORMATICA CORP               COMMON     45666Q102        6        140 SH  -    DEFINED 02                140         0        0
D INFORMATICA CORP               COMMON     45666Q102        5        130 SH  -    DEFINED 02                130         0        0
D INFORMATICA CORP               COMMON     45666Q102        1         16 SH  -    OTHER   02                  0        16        0
D INFORMATICA CORP               COMMON     45666Q102     1680      41036 SH  -    DEFINED 04              41036         0        0
D INFORMATICA CORP               COMMON     45666Q102     2840      69341 SH  -    DEFINED 04              69341         0        0
D INFORMATICA CORP               COMMON     45666Q102       88       2149 SH  -    DEFINED 05               2149         0        0
D INFORMATICA CORP               COMMON     45666Q102     6082     148533 SH  -    DEFINED 08             148533         0        0
D INFORMATICA CORP               COMMON     45666Q102      128       3114 SH  -    OTHER   09                  0      3114        0
D INFORMATICA CORP               COMMON     45666Q102      972      23747 SH  -    OTHER   10                  0         0    23747
D INFINERA CORPORATION           COMMON     45667G103       86      11123 SH  -    DEFINED 05              11123         0        0
D INFINERA CORPORATION           COMMON     45667G103       43       5544 SH  -    DEFINED 08               5544         0        0
D INFINERA CORPORATION           COMMON     45667G103      329      42587 SH  -    OTHER   10                  0         0    42587
D INFOSPACE INC                  COMMON     45678T300       15       1811 SH  -    OTHER   02                  0      1811        0
D INFOSPACE INC                  COMMON     45678T300      131      15613 SH  -    DEFINED 04              15613         0        0
D INFOSPACE INC                  COMMON     45678T300      228      27244 SH  -    DEFINED 05              27244         0        0
D INFOSYS LTD                    ADR        456788108        0          9 SH  -    DEFINED 02                  9         0        0
D INFOSYS LTD                    ADR        456788108        3         61 SH  -    DEFINED 02                 61         0        0
D INFOSYS LTD                    ADR        456788108    62090    1215783 SH  -    DEFINED 02            1215783         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 420
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INFOSYS LTD                    ADR        456788108    17093     334698 SH  -    DEFINED 04             334698         0        0
D INFOSYS LTD                    ADR        456788108     1787      35000 SH  -    DEFINED 04              28900         0     6100
D INFOSYS LTD                    ADR        456788108   105538    2066532 SH  -    DEFINED 04            1587048         0   479484
D INFOSYS LTD                    ADR        456788108     5882     115182 SH  -    DEFINED 05             115182         0        0
D INFOSYS LTD                    ADR        456788108    11302     221308 SH  -    DEFINED 06             221308         0        0
D INFOSYS LTD                    ADR        456788108    13173     257949 SH  -    DEFINED 08             257949         0        0
D INFOSYS LTD                    ADR        456788108   161403    3160424 SH  -    DEFINED 09            3119344         0    41080
D INFOSYS LTD                    ADR        456788108      303       5942 SH  -    DEFINED 09               5942         0        0
D INFOSYS LTD                    ADR        456788108    25379     496939 SH  -    DEFINED 09             496939         0        0
D INFOSYS LTD                    ADR        456788108     7468     146236 SH  -    DEFINED 09               7036         0        0
D INFOSYS LTD                    ADR        456788108    82099    1607579 SH  -    OTHER   09                  0   1607579        0
D INFOSYS LTD                    OPTION     456788900     2589      50700 SH  C    DEFINED 05              50700         0        0
D INFOSYS LTD                    OPTION     456788959     1277      25000 SH  P    DEFINED 08              25000         0        0
D ING GROEP N V                  ADR        456837103      282      39954 SH  -    DEFINED 02              39780       174        0
D ING GROEP N V                  ADR        456837103       11       1624 SH  -    DEFINED 02               1624         0        0
D ING GROEP N V                  ADR        456837103       74      10531 SH  -    OTHER   02                  0     10531        0
D ING GROEP N V                  ADR        456837103       11       1595 SH  -    OTHER   02                743         0      852
D ING GROEP N V                  ADR        456837103     1263     179162 SH  -    DEFINED 04             179162         0        0
D ING GROEP N V                  ADR        456837103     3383     479850 SH  -    OTHER   04                  0    479850        0
D ING GROEP N V                  ADR        456837103     9519    1350254 SH  -    OTHER   04                  0   1350254        0
D ING GROEP N V                  ADR        456837103        3        400 SH  -    DEFINED 05                400         0        0
D ING GROEP N V                  ADR        456837103      544      77130 SH  -    OTHER   01              71406      5670        0
D ING GROEP N V                  ADR        456837103        3        357 SH  -    OTHER   10                  0         0      357
D INGERSOLL-RAND GLOBAL HLDG CO  BOND       45687AAD4        3       2000 PRN -    DEFINED 02                  0         0        0
D INGERSOLL-RAND GLOBAL HLDG CO  BOND       45687AAD4      426     266000 PRN -    DEFINED 05                  0         0        0
D INGRAM MICRO INC               COMMON     457153104      144       8944 SH  -    DEFINED 02                  0      8944        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 421
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INGRAM MICRO INC               COMMON     457153104      546      33868 SH  -    OTHER   02               8772     24945        0
D INGRAM MICRO INC               COMMON     457153104      291      18027 SH  -    OTHER   02                  0     18027        0
D INGRAM MICRO INC               COMMON     457153104      595      36859 SH  -    DEFINED 04              36859         0        0
D INGRAM MICRO INC               COMMON     457153104     2378     147400 SH  -    DEFINED 04             147400         0        0
D INGRAM MICRO INC               COMMON     457153104      171      10580 SH  -    DEFINED 05              10580         0        0
D INGRAM MICRO INC               COMMON     457153104     1529      94817 SH  -    DEFINED 08              94817         0        0
D INHIBITEX INC                  COMMON     45719T103      185      75046 SH  -    DEFINED 05              75046         0        0
D INHIBITEX INC                  COMMON     45719T103       10       4203 SH  -    DEFINED 08               4203         0        0
D INHIBITEX INC                  COMMON     45719T103      203      82410 SH  -    DEFINED 09              82410         0        0
D INLAND REAL ESTATE CORP        COMMON     457461200      383      52413 SH  -    DEFINED 04              52413         0        0
D INLAND REAL ESTATE CORP        COMMON     457461200      265      36260 SH  -    DEFINED 05              36260         0        0
D INLAND REAL ESTATE CORP        COMMON     457461200        0         11 SH  -    DEFINED 06                 11         0        0
D INSIGHT ENTERPRISE             COMMON     45765U103       11        696 SH  -    OTHER   02                  0       156      540
D INSIGHT ENTERPRISE             COMMON     45765U103     2081     137470 SH  -    DEFINED 04             124670         0    12800
D INSIGHT ENTERPRISE             COMMON     45765U103      510      33697 SH  -    DEFINED 04              33697         0        0
D INSIGHT ENTERPRISE             COMMON     45765U103      321      21170 SH  -    DEFINED 05              21170         0        0
D INSITUFORM TECHNS              COMMON     457667103      331      28566 SH  -    DEFINED 04              28566         0        0
D INSITUFORM TECHNS              COMMON     457667103      266      22990 SH  -    DEFINED 05              22990         0        0
D INNOSPEC INC                   COMMON     45768S105     7098     293184 SH  -    DEFINED 04             215054         0    78130
D INNOSPEC INC                   COMMON     45768S105     4306     177872 SH  -    DEFINED 04             177872         0        0
D INNOSPEC INC                   COMMON     45768S105     1018      42040 SH  -    DEFINED 04              42040         0        0
D INNOSPEC INC                   COMMON     45768S105       74       3037 SH  -    DEFINED 05               3037         0        0
D INNOSPEC INC                   COMMON     45768S105       34       1415 SH  -    DEFINED 08               1415         0        0
D INPHI CORP                     COMMON     45772F107        1         73 SH  -    OTHER   02                  0        73        0
D INPHI CORP                     COMMON     45772F107     3933     448440 SH  -    DEFINED 04             322350         0   126090
D INPHI CORP                     COMMON     45772F107     2621     298900 SH  -    DEFINED 04             298900         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 422
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INPHI CORP                     COMMON     45772F107      620      70680 SH  -    DEFINED 04              70680         0        0
D INPHI CORP                     COMMON     45772F107       40       4528 SH  -    DEFINED 05               4528         0        0
D INPHI CORP                     COMMON     45772F107       11       1228 SH  -    DEFINED 08               1228         0        0
D INOVIO PHARMACEUTICALS INC     COMMON     45773H102       10      17185 SH  -    DEFINED 08              17185         0        0
D INNOPHOS HOLDINGS INC          COMMON     45774N108        7        171 SH  -    OTHER   02                  0       171        0
D INNOPHOS HOLDINGS INC          COMMON     45774N108     5997     150375 SH  -    DEFINED 04             132075         0    18300
D INNOPHOS HOLDINGS INC          COMMON     45774N108     3270      82000 SH  -    DEFINED 04              82000         0        0
D INNOPHOS HOLDINGS INC          COMMON     45774N108       53       1328 SH  -    DEFINED 05               1328         0        0
D INNOPHOS HOLDINGS INC          COMMON     45774N108       51       1271 SH  -    DEFINED 08               1271         0        0
D INSTEEL INDUSTRIES INC         COMMON     45774W108      417      41390 SH  -    DEFINED 04              32390         0     9000
D INSTEEL INDUSTRIES INC         COMMON     45774W108     1119     111100 SH  -    DEFINED 04             111100         0        0
D INSTEEL INDUSTRIES INC         COMMON     45774W108       14       1400 SH  -    DEFINED 05               1400         0        0
D INSTEEL INDUSTRIES INC         COMMON     45774W108       10       1029 SH  -    DEFINED 08               1029         0        0
D INSPERITY INC                  COMMON     45778Q107       84       3784 SH  -    OTHER   02                  0         0     3784
D INSPERITY INC                  COMMON     45778Q107      253      11375 SH  -    OTHER   02                  0       486    10889
D INSPERITY INC                  COMMON     45778Q107      346      15531 SH  -    DEFINED 04              15531         0        0
D INSPERITY INC                  COMMON     45778Q107      241      10829 SH  -    DEFINED 05              10829         0        0
D INSULET CORP                   BOND       45784PAC5     1609    1758000 PRN -    DEFINED 05                  0         0        0
D INSULET CORP                   COMMON     45784P101        4        293 SH  -    OTHER   02                  0       254        0
D INSULET CORP                   COMMON     45784P101     9593     628661 SH  -    DEFINED 04             451381         0   177280
D INSULET CORP                   COMMON     45784P101     6978     457250 SH  -    DEFINED 04             457250         0        0
D INSULET CORP                   COMMON     45784P101     1517      99400 SH  -    DEFINED 04              99400         0        0
D INSULET CORP                   COMMON     45784P101       89       5817 SH  -    DEFINED 05               5817         0        0
D INSULET CORP                   COMMON     45784P101       21       1389 SH  -    DEFINED 08               1389         0        0
D INSULET CORP                   COMMON     45784P101      205      13403 SH  -    DEFINED 09              13403         0        0
D INTEGRA LIFESCI HL             COMMON     457985208        2         62 SH  -    OTHER   02                  0        62        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 423
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTEGRA LIFESCI HL             COMMON     457985208     2221      62100 SH  -    DEFINED 04              47300         0    14800
D INTEGRA LIFESCI HL             COMMON     457985208      518      14470 SH  -    DEFINED 04              14470         0        0
D INTEGRA LIFESCI HL             COMMON     457985208      417      11646 SH  -    DEFINED 05              11646         0        0
D INTEGRA LIFESCI HL             COMMON     457985208     1867      52181 SH  -    DEFINED 08              52181         0        0
D INTEGRATED DEVICE              COMMON     458118106      292      56750 SH  -    DEFINED 04              52550         0     4200
D INTEGRATED DEVICE              COMMON     458118106      946     183738 SH  -    DEFINED 04             183738         0        0
D INTEGRATED DEVICE              COMMON     458118106       39       7557 SH  -    DEFINED 05               7557         0        0
D INTEGRATED DEVICE              COMMON     458118106       78      15233 SH  -    DEFINED 08              15233         0        0
D INTEGRATED DEVICE              COMMON     458118106       27       5230 SH  -    OTHER   10                  0         0     5230
D INTEGRTD SILCN SOL             COMMON     45812P107        1         82 SH  -    OTHER   02                  0         0        0
D INTEGRTD SILCN SOL             COMMON     45812P107     1102     141088 SH  -    DEFINED 04             134288         0     6800
D INTEGRTD SILCN SOL             COMMON     45812P107      116      14866 SH  -    DEFINED 05              14866         0        0
D INTEGRTD SILCN SOL             COMMON     45812P107       13       1609 SH  -    DEFINED 08               1609         0        0
D INTEL CORP                     BOND       458140AD2        2       2000 PRN -    DEFINED 02                  0         0        0
D INTEL CORP                     BOND       458140AD2      362     357000 PRN -    DEFINED 05                  0         0        0
D INTEL CORP                     BOND       458140AD2    32181   31745000 PRN -    DEFINED 09                  0         0        0
D INTEL CORP                     BOND       458140AD2     4931    4864000 PRN -    DEFINED 09                  0         0        0
D INTEL CORP                     COMMON     458140100    71540    3353180 SH  -    DEFINED 02            3242047      4440   106693
D INTEL CORP                     COMMON     458140100    23236    1089093 SH  -    DEFINED 02            1079155      1600     8338
D INTEL CORP                     COMMON     458140100     1371      64249 SH  -    DEFINED 02              60515         0     3734
D INTEL CORP                     COMMON     458140100    29247    1370843 SH  -    OTHER   02             456832    729395   177908
D INTEL CORP                     COMMON     458140100    11283     528860 SH  -    OTHER   02             420596     48433    59831
D INTEL CORP                     COMMON     458140100     9991     468290 SH  -    OTHER   02                  0    468290        0
D INTEL CORP                     COMMON     458140100     4419     207119 SH  -    OTHER   02                  0    207119        0
D INTEL CORP                     COMMON     458140100     4129     193547 SH  -    OTHER   02                  0    193547        0
D INTEL CORP                     COMMON     458140100    98627    4622784 SH  -    DEFINED 04            2565369         0  2057415

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 424
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTEL CORP                     COMMON     458140100    22618    1060117 SH  -    DEFINED 04            1060117         0        0
D INTEL CORP                     COMMON     458140100     3247     152200 SH  -    DEFINED 04             152200         0        0
D INTEL CORP                     COMMON     458140100       67       3144 SH  -    DEFINED 04               3144         0        0
D INTEL CORP                     COMMON     458140100     5141     240983 SH  -    DEFINED 04             141178         0    99805
D INTEL CORP                     COMMON     458140100       23       1059 SH  -    DEFINED 04                  0         0     1059
D INTEL CORP                     COMMON     458140100      204       9558 SH  -    OTHER   04                  0      9558        0
D INTEL CORP                     COMMON     458140100    79086    3706870 SH  -    DEFINED 05            3706870         0        0
D INTEL CORP                     COMMON     458140100    18010     844153 SH  -    DEFINED 08             844153         0        0
D INTEL CORP                     COMMON     458140100    21653    1014927 SH  -    DEFINED 09             953195     61732        0
D INTEL CORP                     COMMON     458140100     1365      63975 SH  -    DEFINED 09              63975         0        0
D INTEL CORP                     COMMON     458140100     9201     431253 SH  -    DEFINED 09             431253         0        0
D INTEL CORP                     COMMON     458140100      225      10523 SH  -    OTHER   09                  0     10523        0
D INTEL CORP                     COMMON     458140100    41307    1936123 SH  -    DEFINED 01            1935870         0      253
D INTEL CORP                     COMMON     458140100     1942      91002 SH  -    OTHER   01              61672     28780      550
D INTEL CORP                     COMMON     458140100     7618     357059 SH  -    OTHER   10                  0         0   357059
D INTEGRYS ENERGY GROUP INC      COMMON     45822P105       60       1237 SH  -    DEFINED 02               1237         0        0
D INTEGRYS ENERGY GROUP INC      COMMON     45822P105       46        940 SH  -    DEFINED 02                898         0       42
D INTEGRYS ENERGY GROUP INC      COMMON     45822P105      161       3319 SH  -    OTHER   02               1095      1824      400
D INTEGRYS ENERGY GROUP INC      COMMON     45822P105      323       6652 SH  -    OTHER   02               2722         5     3925
D INTEGRYS ENERGY GROUP INC      COMMON     45822P105     1674      34421 SH  -    DEFINED 04              32190         0     2231
D INTEGRYS ENERGY GROUP INC      COMMON     45822P105      612      12590 SH  -    DEFINED 04              12590         0        0
D INTEGRYS ENERGY GROUP INC      COMMON     45822P105      493      10146 SH  -    DEFINED 05              10146         0        0
D INTEGRYS ENERGY GROUP INC      COMMON     45822P105       93       1914 SH  -    DEFINED 08               1914         0        0
D INTEGRYS ENERGY GROUP INC      COMMON     45822P105       92       1901 SH  -    DEFINED 09               1901         0        0
D INTEGRYS ENERGY GROUP INC      COMMON     45822P105        8        165 SH  -    OTHER   10                  0         0      165
D INTER PARFUMS INC              COMMON     458334109        3        199 SH  -    OTHER   02                  0       199        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 425
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTER PARFUMS INC              COMMON     458334109     1218      78808 SH  -    DEFINED 04              78808         0        0
D INTER PARFUMS INC              COMMON     458334109      117       7563 SH  -    DEFINED 05               7563         0        0
D INTERACTIVE BROKERS GROUP INC  COMMON     45841N107       18       1300 SH  -    DEFINED 02                  0         0     1300
D INTERACTIVE BROKERS GROUP INC  COMMON     45841N107       13        900 SH  -    DEFINED 02                900         0        0
D INTERACTIVE BROKERS GROUP INC  COMMON     45841N107        8        555 SH  -    OTHER   02                  0         0      555
D INTERACTIVE BROKERS GROUP INC  COMMON     45841N107      423      30387 SH  -    DEFINED 04              30387         0        0
D INTERACTIVE BROKERS GROUP INC  COMMON     45841N107      253      18150 SH  -    DEFINED 05              18150         0        0
D INTERACTIVE BROKERS GROUP INC  COMMON     45841N107      590      42378 SH  -    DEFINED 08              42378         0        0
D INTERACTIVE BROKERS GROUP INC  COMMON     45841N107        2        162 SH  -    OTHER   01                  0       162        0
D INTERACTIVE BROKERS GROUP INC  OPTION     45841N909     1633     117200 SH  C    DEFINED 05             117200         0        0
D INTERACTIVE BROKERS GROUP INC  OPTION     45841N958       95       6800 SH  P    DEFINED 05               6800         0        0
D INTERACTIVE INTELLIGENCE GROUP COMMON     45841V109      223       8232 SH  -    DEFINED 05               8232         0        0
D INTERCONTINENTAL HTLS GRP PLC  ADR        45857P301        2        150 SH  -    DEFINED 02                150         0        0
D INTERCONTINENTAL HTLS GRP PLC  ADR        45857P301      317      19726 SH  -    OTHER   02               2700     16201      825
D INTERCONTINENTAL HTLS GRP PLC  ADR        45857P301        8        475 SH  -    OTHER   02                  0         0      475
D INTERCONTINENTAL HTLS GRP PLC  ADR        45857P301     5102     317298 SH  -    OTHER   04                  0    317298        0
D INTERCONTINENTAL HTLS GRP PLC  ADR        45857P301      999      62123 SH  -    DEFINED 09              62123         0        0
D INTERCONTINENTAL HTLS GRP PLC  ADR        45857P301       63       3932 SH  -    OTHER   01                  0      3763        0
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100     6167      52147 SH  -    DEFINED 02              43407       170     8570
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100     1810      15303 SH  -    DEFINED 02              14699        17      587
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100      261       2206 SH  -    DEFINED 02               1287         0      919
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100     1568      13262 SH  -    OTHER   02               9093      3258      911
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100      129       1092 SH  -    OTHER   02                982        87       23
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100       38        323 SH  -    OTHER   02                  0       323        0
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100       39        332 SH  -    OTHER   02                  0       332        0
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100      101        850 SH  -    OTHER   02                  0       850        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 426
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100    57288     484420 SH  -    DEFINED 04             240677         0   243743
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100     1596      13495 SH  -    DEFINED 04              13495         0        0
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100     6076      51382 SH  -    DEFINED 04              51382         0        0
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100      118       1000 SH  -    DEFINED 04               1000         0        0
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100      116        984 SH  -    DEFINED 04                  0         0      984
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100     4848      40994 SH  -    OTHER   04                  0     40994        0
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100     8409      71107 SH  -    DEFINED 05              71107         0        0
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100       14        121 SH  -    DEFINED 06                121         0        0
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100      602       5090 SH  -    DEFINED 09               5090         0        0
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100      317       2684 SH  -    DEFINED 01               2295       227      162
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100      115        971 SH  -    OTHER   01                394       239      338
D INTERCONTINENTALEXCHANGE INC   COMMON     45865V100        4         32 SH  -    OTHER   10                  0         0       32
D INTERCONTINENTALEXCHANGE INC   OPTION     45865V902      390       3300 SH  C    DEFINED 05               3300         0        0
D INTERCONTINENTALEXCHANGE INC   OPTION     45865V951       95        800 SH  P    DEFINED 05                800         0        0
D INTERFACE INC                  COMMON     458665106       16       1314 SH  -    OTHER   02                  0      1314        0
D INTERFACE INC                  COMMON     458665106       66       5599 SH  -    OTHER   02                  9        10     5580
D INTERFACE INC                  COMMON     458665106      554      46734 SH  -    DEFINED 04              46734         0        0
D INTERFACE INC                  COMMON     458665106      371      31294 SH  -    DEFINED 05              31294         0        0
D INTERDIGITAL INC               COMMON     45867G101       19        414 SH  -    OTHER   02                  0       414        0
D INTERDIGITAL INC               COMMON     45867G101     3042      65300 SH  -    DEFINED 04              59000         0     6300
D INTERDIGITAL INC               COMMON     45867G101      401       8600 SH  -    DEFINED 04               8600         0        0
D INTERDIGITAL INC               COMMON     45867G101      163       3493 SH  -    DEFINED 05               3493         0        0
D INTERDIGITAL INC               COMMON     45867G101    16289     349697 SH  -    DEFINED 08             349697         0        0
D INTERDIGITAL INC               COMMON     45867G101      904      19400 SH  -    OTHER   10                  0         0    19400
D INTERDIGITAL INC               OPTION     45867G903      158       3400 SH  C    DEFINED 05               3400         0        0
D INTERLINE BRANDS INC           COMMON     458743101       41       3200 SH  -    OTHER   02                  0      3200        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 427
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTERLINE BRANDS INC           COMMON     458743101     9368     727870 SH  -    DEFINED 04             684150         0    43720
D INTERLINE BRANDS INC           COMMON     458743101      184      14300 SH  -    DEFINED 04              14300         0        0
D INTERLINE BRANDS INC           COMMON     458743101       33       2574 SH  -    DEFINED 05               2574         0        0
D INTERLINE BRANDS INC           COMMON     458743101       25       1976 SH  -    DEFINED 08               1976         0        0
D INTERMEC INC                   COMMON     458786100       22       3312 SH  -    OTHER   02               1800      1512        0
D INTERMEC INC                   COMMON     458786100      234      35948 SH  -    DEFINED 04              35948         0        0
D INTERMEC INC                   COMMON     458786100      210      32237 SH  -    DEFINED 05              32237         0        0
D INTERMUNE INC                  BOND       45884XAE3      989    1100000 PRN -    DEFINED 05                  0         0        0
D INTERMUNE INC                  COMMON     45884X103       11        529 SH  -    OTHER   02                  0         0      529
D INTERMUNE INC                  COMMON     45884X103     1519      75200 SH  -    DEFINED 04              59400         0    15800
D INTERMUNE INC                  COMMON     45884X103     2367     117197 SH  -    DEFINED 05             117197         0        0
D INTERMUNE INC                  COMMON     45884X103       68       3349 SH  -    DEFINED 08               3349         0        0
D INTERMUNE INC                  COMMON     45884X103      314      15552 SH  -    DEFINED 09              15552         0        0
D INTERNAP NETWORK SVCS CORP     COMMON     45885A300       43       8614 SH  -    DEFINED 05               8614         0        0
D INTERNAP NETWORK SVCS CORP     COMMON     45885A300       15       3043 SH  -    DEFINED 08               3043         0        0
D INTERNATIONAL BANCSHARES CORP  COMMON     459044103       23       1777 SH  -    OTHER   02                  0      1777        0
D INTERNATIONAL BANCSHARES CORP  COMMON     459044103        0          8 SH  -    OTHER   02                  0         8        0
D INTERNATIONAL BANCSHARES CORP  COMMON     459044103      570      43360 SH  -    DEFINED 04              33030         0    10330
D INTERNATIONAL BANCSHARES CORP  COMMON     459044103      501      38117 SH  -    DEFINED 04              38117         0        0
D INTERNATIONAL BANCSHARES CORP  COMMON     459044103       50       3830 SH  -    DEFINED 05               3830         0        0
D INTERNATIONAL BANCSHARES CORP  COMMON     459044103       58       4375 SH  -    DEFINED 08               4375         0        0
D INTL BUSINESS MCHN             COMMON     459200101    46479     265791 SH  -    DEFINED 02             205766      6395    53630
D INTL BUSINESS MCHN             COMMON     459200101    30045     171812 SH  -    DEFINED 02             168580       100     3132
D INTL BUSINESS MCHN             COMMON     459200101     3114      17809 SH  -    DEFINED 02              14732         0     3077
D INTL BUSINESS MCHN             COMMON     459200101   131442     751657 SH  -    OTHER   02             402606    252427    96480
D INTL BUSINESS MCHN             COMMON     459200101    42933     245511 SH  -    OTHER   02             176847     13598    55066

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 428
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTL BUSINESS MCHN             COMMON     459200101      778       4447 SH  -    OTHER   02                  0      4447        0
D INTL BUSINESS MCHN             COMMON     459200101   685112    3917836 SH  -    DEFINED 04            2634432         0  1283404
D INTL BUSINESS MCHN             COMMON     459200101   102215     584519 SH  -    DEFINED 04             584519         0        0
D INTL BUSINESS MCHN             COMMON     459200101    26888     153761 SH  -    DEFINED 04             153761         0        0
D INTL BUSINESS MCHN             COMMON     459200101      113        647 SH  -    DEFINED 04                647         0        0
D INTL BUSINESS MCHN             COMMON     459200101     6577      37609 SH  -    DEFINED 04              37609         0        0
D INTL BUSINESS MCHN             COMMON     459200101    22658     129572 SH  -    DEFINED 04              98008         0    21933
D INTL BUSINESS MCHN             COMMON     459200101      697       3983 SH  -    DEFINED 04                  0         0     3983
D INTL BUSINESS MCHN             COMMON     459200101      943       5390 SH  -    OTHER   04                  0      5390        0
D INTL BUSINESS MCHN             COMMON     459200101   312411    1786535 SH  -    DEFINED 05            1786535         0        0
D INTL BUSINESS MCHN             COMMON     459200101    61060     349172 SH  -    DEFINED 09             333920     15252        0
D INTL BUSINESS MCHN             COMMON     459200101     2821      16131 SH  -    DEFINED 09              16131         0        0
D INTL BUSINESS MCHN             COMMON     459200101    18352     104948 SH  -    DEFINED 09             104948         0        0
D INTL BUSINESS MCHN             COMMON     459200101    12824      73335 SH  -    OTHER   09                  0     73335        0
D INTL BUSINESS MCHN             COMMON     459200101    85966     491597 SH  -    DEFINED 01             488337         0     3260
D INTL BUSINESS MCHN             COMMON     459200101   165733     947750 SH  -    OTHER   01             570204      2028   375518
D INTL BUSINESS MCHN             COMMON     459200101    34656     198181 SH  -    OTHER   10                  0         0   198181
D INTL BUSINESS MCHN             OPTION     459200903    18029     103100 SH  C    DEFINED 05             103100         0        0
D INTL BUSINESS MCHN             OPTION     459200903    36023     206000 SH  C    DEFINED 08             206000         0        0
D INTL BUSINESS MCHN             OPTION     459200952    24727     141400 SH  C    DEFINED 05             141400         0        0
D INTL BUSINESS MCHN             OPTION     459200952     5421      31000 SH  C    DEFINED 08              31000         0        0
D INTERNATIONAL FLAVORS & FRAGRA COMMON     459506101       34        600 SH  -    DEFINED 02                600         0        0
D INTERNATIONAL FLAVORS & FRAGRA COMMON     459506101       52        921 SH  -    DEFINED 02                921         0        0
D INTERNATIONAL FLAVORS & FRAGRA COMMON     459506101       56        989 SH  -    DEFINED 02                932         0       57
D INTERNATIONAL FLAVORS & FRAGRA COMMON     459506101    58897    1047613 SH  -    OTHER   02               6471   1040771      371
D INTERNATIONAL FLAVORS & FRAGRA COMMON     459506101       23        414 SH  -    OTHER   02                  0         0      414

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 429
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTERNATIONAL FLAVORS & FRAGRA COMMON     459506101      809      14397 SH  -    DEFINED 04              12082         0     2315
D INTERNATIONAL FLAVORS & FRAGRA COMMON     459506101      830      14756 SH  -    DEFINED 04              14756         0        0
D INTERNATIONAL FLAVORS & FRAGRA COMMON     459506101     2662      47350 SH  -    DEFINED 05              47350         0        0
D INTERNATIONAL FLAVORS & FRAGRA COMMON     459506101       63       1120 SH  -    DEFINED 06               1120         0        0
D INTERNATIONAL FLAVORS & FRAGRA COMMON     459506101       39        689 SH  -    OTHER   10                  0         0      689
D INTERNATIONAL GAME TECHNOLOGY  BOND       459902AQ5        9       8000 PRN -    DEFINED 02                  0         0        0
D INTERNATIONAL GAME TECHNOLOGY  BOND       459902AQ5     4502    3915000 PRN -    DEFINED 09                  0         0        0
D INTERNATIONAL GAME TECHNOLOGY  BOND       459902AQ5     1180    1026000 PRN -    DEFINED 09                  0         0        0
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102      405      27899 SH  -    DEFINED 02               4454         0    23445
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102      144       9932 SH  -    DEFINED 02               9932         0        0
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102       51       3527 SH  -    DEFINED 02               3440         0       87
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102      143       9830 SH  -    OTHER   02               1650      6023     2157
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102       40       2775 SH  -    OTHER   02                635         0     2140
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102    23339    1606292 SH  -    DEFINED 04             780866         0   825426
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102    12622     868695 SH  -    DEFINED 04             868695         0        0
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102       56       3875 SH  -    OTHER   04                  0      3875        0
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102      568      39117 SH  -    DEFINED 05              39117         0        0
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102       89       6154 SH  -    DEFINED 08               6154         0        0
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102        1         50 SH  -    DEFINED 01                 50         0        0
D INTL PAPER CO                  COMMON     460146103      108       4656 SH  -    DEFINED 02               4656         0        0
D INTL PAPER CO                  COMMON     460146103      124       5354 SH  -    DEFINED 02               5037         0      317
D INTL PAPER CO                  COMMON     460146103      256      11001 SH  -    OTHER   02               3118      6520     1363
D INTL PAPER CO                  COMMON     460146103       72       3084 SH  -    OTHER   02               2072        31      981
D INTL PAPER CO                  COMMON     460146103     4004     172211 SH  -    DEFINED 04             159697         0    12514
D INTL PAPER CO                  COMMON     460146103     3622     155775 SH  -    DEFINED 04             155775         0        0
D INTL PAPER CO                  COMMON     460146103     6839     294166 SH  -    DEFINED 05             294166         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 430
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTL PAPER CO                  COMMON     460146103      360      15495 SH  -    DEFINED 06              15495         0        0
D INTL PAPER CO                  COMMON     460146103      393      16900 SH  -    OTHER   09                  0     16900        0
D INTL PAPER CO                  COMMON     460146103      345      14829 SH  -    OTHER   01              14600       229        0
D INTL PAPER CO                  COMMON     460146103      381      16382 SH  -    OTHER   10                  0         0    16382
D INTL PAPER CO                  OPTION     460146954       23       1000 SH  P    DEFINED 05               1000         0        0
D INTL PAPER CO                  OPTION     460146954    10583     455200 SH  P    DEFINED 08             455200         0        0
D INTL RECTIFIER CP              COMMON     460254105       90       4808 SH  -    OTHER   02                  0       445     4300
D INTL RECTIFIER CP              COMMON     460254105     1211      65061 SH  -    DEFINED 04              65061         0        0
D INTL RECTIFIER CP              COMMON     460254105       20       1089 SH  -    DEFINED 05               1089         0        0
D INTL RECTIFIER CP              COMMON     460254105       53       2870 SH  -    DEFINED 08               2870         0        0
D INTERNATIONAL SHIPHOLDING CORP COMMON     460321201        1         42 SH  -    OTHER   02                  0        42        0
D INTERNATIONAL SHIPHOLDING CORP COMMON     460321201      115       6200 SH  -    DEFINED 04               6200         0        0
D INTERNATIONAL SHIPHOLDING CORP COMMON     460321201      568      30700 SH  -    DEFINED 04              30700         0        0
D INTERNATIONAL SHIPHOLDING CORP COMMON     460321201        2         88 SH  -    DEFINED 05                 88         0        0
D INTERNATIONAL SHIPHOLDING CORP COMMON     460321201        6        306 SH  -    DEFINED 08                306         0        0
D INTERNATIONAL SPEEDWAY CORP    COMMON     460335201      111       4855 SH  -    OTHER   02                  0      4855        0
D INTERNATIONAL SPEEDWAY CORP    COMMON     460335201      489      21421 SH  -    DEFINED 04              21421         0        0
D INTERNATIONAL SPEEDWAY CORP    COMMON     460335201       56       2437 SH  -    DEFINED 05               2437         0        0
D INTERNATIONAL SPEEDWAY CORP    COMMON     460335201       59       2593 SH  -    DEFINED 08               2593         0        0
D INTERNATIONAL SPEEDWAY CORP    COMMON     460335201       94       4120 SH  -    OTHER   01                  0      4120        0
D INTERSIL CORP                  COMMON     46069S109       22       2180 SH  -    DEFINED 02               2180         0        0
D INTERSIL CORP                  COMMON     46069S109       95       9272 SH  -    DEFINED 02               5259         0     4013
D INTERSIL CORP                  COMMON     46069S109      155      15057 SH  -    DEFINED 02               4875         0    10182
D INTERSIL CORP                  COMMON     46069S109       49       4742 SH  -    OTHER   02                  0      2318     2424
D INTERSIL CORP                  COMMON     46069S109    24237    2355403 SH  -    DEFINED 04            2217282         0   138121
D INTERSIL CORP                  COMMON     46069S109      799      77605 SH  -    DEFINED 04              77605         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 431
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTERSIL CORP                  COMMON     46069S109       27       2655 SH  -    DEFINED 04                  0         0     2655
D INTERSIL CORP                  COMMON     46069S109        1         99 SH  -    OTHER   04                  0        99        0
D INTERSIL CORP                  COMMON     46069S109       20       1901 SH  -    DEFINED 05               1901         0        0
D INTERSIL CORP                  COMMON     46069S109       39       3787 SH  -    DEFINED 08               3787         0        0
D INTERPUBLIC GROUP COS INC      BOND       460690BA7        4       4000 PRN -    DEFINED 02                  0         0        0
D INTERPUBLIC GROUP COS INC      BOND       460690BA7      283     281000 PRN -    DEFINED 05                  0         0        0
D INTERPUBLIC GROUP COS INC      BOND       460690BA7      101     100000 PRN -    OTHER   10                  0         0        0
D INTERPUBLIC GROUP              COMMON     460690100     2897     402315 SH  -    DEFINED 02             402315         0        0
D INTERPUBLIC GROUP              COMMON     460690100        1         99 SH  -    DEFINED 02                 99         0        0
D INTERPUBLIC GROUP              COMMON     460690100       42       5827 SH  -    DEFINED 02               5515         0      312
D INTERPUBLIC GROUP              COMMON     460690100      102      14213 SH  -    OTHER   02                130     10515     3568
D INTERPUBLIC GROUP              COMMON     460690100      107      14890 SH  -    OTHER   02                  0        55    14835
D INTERPUBLIC GROUP              COMMON     460690100     2369     329083 SH  -    OTHER   02                  0    329083        0
D INTERPUBLIC GROUP              COMMON     460690100     1853     257378 SH  -    DEFINED 04             243678         0    13700
D INTERPUBLIC GROUP              COMMON     460690100      568      78958 SH  -    DEFINED 04              78958         0        0
D INTERPUBLIC GROUP              COMMON     460690100     3886     539756 SH  -    DEFINED 05             539756         0        0
D INTERPUBLIC GROUP              COMMON     460690100       16       2176 SH  -    OTHER   10                  0         0     2176
D INTEROIL CORP                  COMMON     460951106     8799     180413 SH  -    DEFINED 02             180413         0        0
D INTEROIL CORP                  COMMON     460951106     5586     114545 SH  -    DEFINED 04             114545         0        0
D INTEROIL CORP                  COMMON     460951106       13        274 SH  -    DEFINED 05                274         0        0
D INTEROIL CORP                  COMMON     460951106      221       4526 SH  -    DEFINED 08               4526         0        0
D INTEROIL CORP                  COMMON     460951106    45978     942755 SH  -    DEFINED 09             942755         0        0
D INTEROIL CORP                  COMMON     460951106     1729      35448 SH  -    DEFINED 09              35448         0        0
D INTEROIL CORP                  COMMON     460951106     7628     156401 SH  -    DEFINED 09                  0         0        0
D INTEROIL CORP                  COMMON     460951106     1003      20560 SH  -    OTHER   09                  0     20560        0
D INTERSECTIONS INC              COMMON     460981301      964      75325 SH  -    DEFINED 04              67925         0     7400

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 432
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTERSECTIONS INC              COMMON     460981301       22       1709 SH  -    DEFINED 05               1709         0        0
D INTERSECTIONS INC              COMMON     460981301        7        549 SH  -    DEFINED 08                549         0        0
D INTERVAL LEISURE GROUP INC     COMMON     46113M108       36       2730 SH  -    OTHER   02                  0       920     1810
D INTERVAL LEISURE GROUP INC     COMMON     46113M108      388      29106 SH  -    DEFINED 04              29106         0        0
D INTERVAL LEISURE GROUP INC     COMMON     46113M108      302      22663 SH  -    DEFINED 05              22663         0        0
D INTEVAC INC                    COMMON     461148108        4        529 SH  -    OTHER   02                  0       529        0
D INTEVAC INC                    COMMON     461148108      115      16414 SH  -    DEFINED 04              16414         0        0
D INTEVAC INC                    COMMON     461148108      107      15360 SH  -    DEFINED 04              15360         0        0
D INTEVAC INC                    COMMON     461148108       84      11962 SH  -    DEFINED 05              11962         0        0
D INTRALINKS HLDGS INC           COMMON     46118H104        3        451 SH  -    OTHER   02                  0       451        0
D INTRALINKS HLDGS INC           COMMON     46118H104     4100     545899 SH  -    DEFINED 04             429169         0   116730
D INTRALINKS HLDGS INC           COMMON     46118H104     1925     256300 SH  -    DEFINED 04             256300         0        0
D INTRALINKS HLDGS INC           COMMON     46118H104      491      65400 SH  -    DEFINED 04              65400         0        0
D INTRALINKS HLDGS INC           COMMON     46118H104      386      51389 SH  -    DEFINED 05              51389         0        0
D INTRALINKS HLDGS INC           COMMON     46118H104       14       1918 SH  -    DEFINED 08               1918         0        0
D INTUITIVE SURGICAL INC         COMMON     46120E602      141        387 SH  -    DEFINED 02                387         0        0
D INTUITIVE SURGICAL INC         COMMON     46120E602       31         86 SH  -    DEFINED 02                 86         0        0
D INTUITIVE SURGICAL INC         COMMON     46120E602      173        474 SH  -    DEFINED 02                450         0       24
D INTUITIVE SURGICAL INC         COMMON     46120E602     2112       5798 SH  -    OTHER   02                 80      5309      403
D INTUITIVE SURGICAL INC         COMMON     46120E602      672       1844 SH  -    OTHER   02                166       192     1486
D INTUITIVE SURGICAL INC         COMMON     46120E602    32443      89060 SH  -    DEFINED 04              42838         0    46222
D INTUITIVE SURGICAL INC         COMMON     46120E602    13760      37772 SH  -    DEFINED 04              37772         0        0
D INTUITIVE SURGICAL INC         COMMON     46120E602     4991      13700 SH  -    DEFINED 04              13700         0        0
D INTUITIVE SURGICAL INC         COMMON     46120E602       22         60 SH  -    OTHER   04                  0        60        0
D INTUITIVE SURGICAL INC         COMMON     46120E602     1492       4095 SH  -    DEFINED 05               4095         0        0
D INTUITIVE SURGICAL INC         COMMON     46120E602      385       1057 SH  -    OTHER   01                 60       966        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 433
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INTUITIVE SURGICAL INC         COMMON     46120E602       10         28 SH  -    OTHER   10                  0         0       28
D INTUIT INC                     COMMON     461202103       18        374 SH  -    DEFINED 02                214         0      160
D INTUIT INC                     COMMON     461202103       44        922 SH  -    DEFINED 02                922         0        0
D INTUIT INC                     COMMON     461202103      176       3705 SH  -    DEFINED 02               3504         0      201
D INTUIT INC                     COMMON     461202103     2309      48674 SH  -    OTHER   02               3474     41857     3343
D INTUIT INC                     COMMON     461202103      115       2432 SH  -    OTHER   02               1400      1028        4
D INTUIT INC                     COMMON     461202103    16484     347471 SH  -    DEFINED 04             185358         0   162113
D INTUIT INC                     COMMON     461202103    17868     376654 SH  -    DEFINED 04             376654         0        0
D INTUIT INC                     COMMON     461202103     2326      49020 SH  -    DEFINED 04              49020         0        0
D INTUIT INC                     COMMON     461202103       12        260 SH  -    OTHER   04                  0       260        0
D INTUIT INC                     COMMON     461202103      555      11702 SH  -    DEFINED 05              11702         0        0
D INTUIT INC                     COMMON     461202103      555      11705 SH  -    DEFINED 09              11705         0        0
D INTUIT INC                     COMMON     461202103      830      17500 SH  -    OTHER   01              15500      2000        0
D INTUIT INC                     COMMON     461202103      365       7692 SH  -    OTHER   10                  0         0     7692
D INTUIT INC                     OPTION     461202905     1186      25000 SH  C    DEFINED 05              25000         0        0
D INVACARE CORP                  COMMON     461203101       13        576 SH  -    OTHER   02                  0       551        0
D INVACARE CORP                  COMMON     461203101        0         15 SH  -    OTHER   02                  5        10        0
D INVACARE CORP                  COMMON     461203101     4711     204450 SH  -    DEFINED 04             165950         0    38500
D INVACARE CORP                  COMMON     461203101     1894      82210 SH  -    DEFINED 04              82210         0        0
D INVACARE CORP                  COMMON     461203101      381      16530 SH  -    DEFINED 05              16530         0        0
D INVESCO MORTGAGE CAPITAL INC   COMMON     46131B100      892      63100 SH  -    DEFINED 04              63100         0        0
D INVESCO MORTGAGE CAPITAL INC   COMMON     46131B100      348      24597 SH  -    DEFINED 05              24597         0        0
D INVESCO MORTGAGE CAPITAL INC   COMMON     46131B100    13025     921826 SH  -    DEFINED 08             921826         0        0
D INVESCO VAN KAMPEN SR INC TRST COMMON     46131H107     2456     582000 SH  -    DEFINED 04             582000         0        0
D INVESTMENT TECHNOL             COMMON     46145F105      112      11450 SH  -    DEFINED 02                  0     11450        0
D INVESTMENT TECHNOL             COMMON     46145F105       18       1878 SH  -    OTHER   02                  0      1878        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 434
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D INVESTMENT TECHNOL             COMMON     46145F105     2230     227775 SH  -    DEFINED 04             207775         0    20000
D INVESTMENT TECHNOL             COMMON     46145F105      736      75189 SH  -    DEFINED 04              75189         0        0
D INVESTMENT TECHNOL             COMMON     46145F105      193      19701 SH  -    DEFINED 05              19701         0        0
D INVESTMENT TECHNOL             COMMON     46145F105        1        130 SH  -    OTHER   10                  0         0      130
D INVESTORS BANCORP INC          COMMON     46146P102      830      65694 SH  -    OTHER   02               1610     64084        0
D INVESTORS BANCORP INC          COMMON     46146P102       89       7035 SH  -    DEFINED 05               7035         0        0
D INVESTORS BANCORP INC          COMMON     46146P102       33       2588 SH  -    DEFINED 08               2588         0        0
D INVESTORS BANCORP INC          COMMON     46146P102      124       9800 SH  -    OTHER   01                  0      9800        0
D INVITROGEN CORP                BOND       46185RAK6      606     600000 PRN -    DEFINED 05                  0         0        0
D ION GEOPHYSICAL CORP           COMMON     462044108       36       7648 SH  -    OTHER   02               3000         0     4648
D ION GEOPHYSICAL CORP           COMMON     462044108       66      13932 SH  -    OTHER   02                  0       595    13337
D ION GEOPHYSICAL CORP           COMMON     462044108      660     139503 SH  -    DEFINED 04             135503         0     4000
D ION GEOPHYSICAL CORP           COMMON     462044108      501     105973 SH  -    DEFINED 04             105973         0        0
D ION GEOPHYSICAL CORP           COMMON     462044108      281      59418 SH  -    DEFINED 05              59418         0        0
D ION GEOPHYSICAL CORP           COMMON     462044108       88      18589 SH  -    DEFINED 08              18589         0        0
D ION GEOPHYSICAL CORP           COMMON     462044108        1        125 SH  -    OTHER   10                  0         0      125
D IROBOT CORP                    COMMON     462726100      314      12481 SH  -    DEFINED 05              12481         0        0
D IROBOT CORP                    COMMON     462726100       13        500 SH  -    OTHER   10                  0         0      500
D IRON MTN INC                   COMMON     462846106       79       2483 SH  -    DEFINED 02               2341         0      142
D IRON MTN INC                   COMMON     462846106     1525      48215 SH  -    OTHER   02               1600     46552        0
D IRON MTN INC                   COMMON     462846106       72       2268 SH  -    OTHER   02                  0        38     2230
D IRON MTN INC                   COMMON     462846106     1425      45077 SH  -    DEFINED 04              39261         0     5816
D IRON MTN INC                   COMMON     462846106     1022      32312 SH  -    DEFINED 04              32312         0        0
D IRON MTN INC                   COMMON     462846106      143       4532 SH  -    DEFINED 05               4532         0        0
D IRON MTN INC                   COMMON     462846106      379      11995 SH  -    OTHER   01               9900      2095        0
D IRON MTN INC                   COMMON     462846106       20        623 SH  -    OTHER   10                  0         0      623

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 435
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D IRON MTN INC                   OPTION     462846908     9473     299600 SH  C    DEFINED 08             299600         0        0
D IRON MTN INC                   OPTION     462846957    18972     600000 SH  P    DEFINED 08             600000         0        0
D IRONWOOD PHARMACEUTICALS INC   COMMON     46333X108        4        394 SH  -    OTHER   02                  0       394        0
D IRONWOOD PHARMACEUTICALS INC   COMMON     46333X108      988      91525 SH  -    DEFINED 04              74225         0    17300
D IRONWOOD PHARMACEUTICALS INC   COMMON     46333X108        8        763 SH  -    DEFINED 05                763         0        0
D IRONWOOD PHARMACEUTICALS INC   COMMON     46333X108       33       3043 SH  -    DEFINED 08               3043         0        0
D ISHARES SILVER TRUST           COMMON     46428Q109      108       3750 SH  -    OTHER   02               2100         0     1650
D ISHARES SILVER TRUST           COMMON     46428Q109        9        300 SH  -    OTHER   02                  0         0      300
D ISHARES SILVER TRUST           COMMON     46428Q109        9        300 SH  -    DEFINED 05                300         0        0
D ISHARES SILVER TRUST           COMMON     46428Q109     4155     143724 SH  -    DEFINED 08             143724         0        0
D ISHARES SILVER TRUST           COMMON     46428Q109    19532     675620 SH  -    DEFINED 10             675620         0        0
D ISHARES SILVER TRUST           COMMON     46428Q109    19355     669501 SH  -    OTHER   10                  0         0   669501
D ISHARES SILVER TRUST           OPTION     46428Q901    26435     914400 SH  C    DEFINED 05             914400         0        0
D ISHARES SILVER TRUST           OPTION     46428Q901     4337     150000 SH  C    DEFINED 08             150000         0        0
D ISHARES SILVER TRUST           OPTION     46428Q950    24368     842900 SH  P    DEFINED 05             842900         0        0
D ISHARES SILVER TRUST           OPTION     46428Q950     7228     250000 SH  P    DEFINED 08             250000         0        0
D ISHARES S&P GSCI COMMODITY IDX COMMON     46428R107       95       3150 SH  -    DEFINED 02               3150         0        0
D ISHARES S&P GSCI COMMODITY IDX COMMON     46428R107     2128      70500 SH  -    DEFINED 08              70500         0        0
D ISHARES S&P GSCI COMMODITY IDX COMMON     46428R107      491      16276 SH  -    OTHER   10                  0         0    16276
D ISHARES GOLD TRUST             COMMON     464285105      268      16950 SH  -    DEFINED 02              16950         0        0
D ISHARES GOLD TRUST             COMMON     464285105       31       1962 SH  -    DEFINED 02               1962         0        0
D ISHARES GOLD TRUST             COMMON     464285105      233      14700 SH  -    OTHER   02              14700         0        0
D ISHARES GOLD TRUST             COMMON     464285105   399172   25216186 SH  -    DEFINED 10           25216186         0        0
D ISHARES GOLD TRUST             COMMON     464285105     2351     148516 SH  -    OTHER   10                  0         0   148516
D ISHARES INC                    COMMON     464286103      371      18500 SH  -    OTHER   02               9200      8900      400
D ISHARES INC                    COMMON     464286103     8025     400071 SH  -    DEFINED 05             400071         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 436
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES INC                    COMMON     464286103        8        400 SH  -    DEFINED 01                400         0        0
D ISHARES INC                    COMMON     464286103      211      10500 SH  -    OTHER   01              10500         0        0
D ISHARES INC                    COMMON     464286103      762      37993 SH  -    OTHER   10                  0         0    37993
D ISHARES INC                    COMMON     464286400      108       2077 SH  -    DEFINED 02               2077         0        0
D ISHARES INC                    COMMON     464286400        5        100 SH  -    DEFINED 02                100         0        0
D ISHARES INC                    COMMON     464286400      371       7142 SH  -    OTHER   02               5292      1850        0
D ISHARES INC                    COMMON     464286400       35        670 SH  -    OTHER   02                  0         0      670
D ISHARES INC                    COMMON     464286400    22009     423162 SH  -    DEFINED 05             423162         0        0
D ISHARES INC                    COMMON     464286400    60339    1160150 SH  -    DEFINED 08            1160150         0        0
D ISHARES INC                    COMMON     464286400   307007    5902844 SH  -    DEFINED 08            5902844         0        0
D ISHARES INC                    COMMON     464286400     7292     140200 SH  -    DEFINED 09             140200         0        0
D ISHARES INC                    COMMON     464286400      219       4205 SH  -    DEFINED 01               4205         0        0
D ISHARES INC                    COMMON     464286400     2824      54305 SH  -    OTHER   10                  0         0    54305
D ISHARES INC                    COMMON     464286475      454      11128 SH  -    OTHER   10                  0         0    11128
D ISHARES INC                    COMMON     464286509       41       1628 SH  -    DEFINED 02               1628         0        0
D ISHARES INC                    COMMON     464286509       61       2400 SH  -    OTHER   02               2400         0        0
D ISHARES INC                    COMMON     464286509    52715    2068072 SH  -    DEFINED 04             856867         0  1211205
D ISHARES INC                    COMMON     464286509     4301     168750 SH  -    DEFINED 04             168750         0        0
D ISHARES INC                    COMMON     464286509      675      26500 SH  -    DEFINED 08              26500         0        0
D ISHARES INC                    COMMON     464286509     3900     153000 SH  -    DEFINED 09             153000         0        0
D ISHARES INC                    COMMON     464286509      133       5217 SH  -    OTHER   10                  0         0     5217
D ISHARES INC                    COMMON     464286608       33       1200 SH  -    DEFINED 02               1200         0        0
D ISHARES INC                    COMMON     464286608       14        498 SH  -    OTHER   02                348         0      150
D ISHARES INC                    COMMON     464286608     2732     100000 SH  -    DEFINED 05             100000         0        0
D ISHARES INC                    COMMON     464286624     2994      56240 SH  -    OTHER   10                  0         0    56240
D ISHARES INC                    COMMON     464286665       43       1174 SH  -    DEFINED 02               1174         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 437
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES INC                    COMMON     464286665       46       1250 SH  -    DEFINED 02               1250         0        0
D ISHARES INC                    COMMON     464286665       52       1426 SH  -    OTHER   02                  0         0     1426
D ISHARES INC                    COMMON     464286665     1508      41000 SH  -    DEFINED 04              41000         0        0
D ISHARES INC                    COMMON     464286665      147       4010 SH  -    DEFINED 05               4010         0        0
D ISHARES INC                    COMMON     464286665      561      15268 SH  -    DEFINED 08              15268         0        0
D ISHARES INC                    COMMON     464286665      812      22094 SH  -    OTHER   10                  0         0    22094
D ISHARES INC                    COMMON     464286673      419      38107 SH  -    DEFINED 02              38107         0        0
D ISHARES INC                    COMMON     464286673       25       2300 SH  -    OTHER   02               2300         0        0
D ISHARES INC                    COMMON     464286673        1        136 SH  -    DEFINED 05                136         0        0
D ISHARES INC                    COMMON     464286673     1324     120373 SH  -    OTHER   10                  0         0   120373
D ISHARES INC                    COMMON     464286699        2        105 SH  -    DEFINED 05                105         0        0
D ISHARES INC                    COMMON     464286699      771      52194 SH  -    OTHER   10                  0         0    52194
D ISHARES INC                    COMMON     464286707      418      21917 SH  -    OTHER   10                  0         0    21917
D ISHARES INC                    COMMON     464286715        8        160 SH  -    OTHER   02                  0         0      160
D ISHARES INC                    COMMON     464286715      119       2500 SH  -    DEFINED 08               2500         0        0
D ISHARES INC                    COMMON     464286715      147       3086 SH  -    OTHER   10                  0         0     3086
D ISHARES MSCI TAIWA             COMMON     464286731      408      34562 SH  -    DEFINED 02              34562         0        0
D ISHARES MSCI TAIWA             COMMON     464286731     1281     108493 SH  -    DEFINED 08             108493         0        0
D ISHARES MSCI TAIWA             COMMON     464286731    15642    1324500 SH  -    OTHER   09                  0   1324500        0
D ISHARES MSCI TAIWA             COMMON     464286731      172      14591 SH  -    OTHER   10                  0         0    14591
D ISHARES INC                    COMMON     464286749        2         72 SH  -    DEFINED 05                 72         0        0
D ISHARES INC                    COMMON     464286749      618      28530 SH  -    OTHER   10                  0         0    28530
D ISHARES INC                    COMMON     464286764    16973     525000 SH  -    DEFINED 05             525000         0        0
D ISHARES INC                    COMMON     464286764      295       9113 SH  -    OTHER   10                  0         0     9113
D ISHARES MSCI SOUTH             COMMON     464286772      159       3423 SH  -    DEFINED 02               3423         0        0
D ISHARES MSCI SOUTH             COMMON     464286772       47       1000 SH  -    DEFINED 01               1000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 438
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES MSCI SOUTH             COMMON     464286772      370       7953 SH  -    OTHER   10                  0         0     7953
D ISHARES INC                    UNIT       464286780     1574      27847 SH  -    DEFINED 08              27847         0        0
D ISHARES INC                    UNIT       464286780      647      11446 SH  -    OTHER   10                  0         0    11446
D ISHARES INC                    COMMON     464286806      548      30000 SH  -    DEFINED 04              30000         0        0
D ISHARES INC                    COMMON     464286806     7591     415481 SH  -    DEFINED 05             415481         0        0
D ISHARES INC                    COMMON     464286806      462      25268 SH  -    DEFINED 08              25268         0        0
D ISHARES INC                    COMMON     464286806      374      20464 SH  -    OTHER   10                  0         0    20464
D ISHARES INC                    COMMON     464286814        1         62 SH  -    DEFINED 05                 62         0        0
D ISHARES INC                    COMMON     464286814      214      13064 SH  -    OTHER   10                  0         0    13064
D ISHARES INC                    COMMON     464286822       36        740 SH  -    DEFINED 02                740         0        0
D ISHARES INC                    COMMON     464286822       28        580 SH  -    OTHER   02                  0         0      580
D ISHARES INC                    COMMON     464286822    26944     550104 SH  -    DEFINED 05             550104         0        0
D ISHARES INC                    COMMON     464286822     3700      75549 SH  -    DEFINED 08              75549         0        0
D ISHARES INC                    COMMON     464286822     3465      70750 SH  -    OTHER   10                  0         0    70750
D ISHARES INC                    COMMON     464286830        5        370 SH  -    OTHER   02                  0         0      370
D ISHARES INC                    COMMON     464286830     3343     274341 SH  -    OTHER   10                  0         0   274341
D ISHARES INC                    COMMON     464286848    35827    3787230 SH  -    DEFINED 02            3787230         0        0
D ISHARES INC                    COMMON     464286848        0          1 SH  -    DEFINED 02                  1         0        0
D ISHARES INC                    COMMON     464286848       20       2163 SH  -    OTHER   02               2163         0        0
D ISHARES INC                    COMMON     464286848    30518    3226000 SH  -    DEFINED 04            3226000         0        0
D ISHARES INC                    COMMON     464286848        2        181 SH  -    DEFINED 05                181         0        0
D ISHARES INC                    COMMON     464286848      237      25010 SH  -    DEFINED 08              25010         0        0
D ISHARES INC                    COMMON     464286848      327      34600 SH  -    DEFINED 01              34600         0        0
D ISHARES INC                    COMMON     464286848      892      94283 SH  -    OTHER   10                  0         0    94283
D ISHARES INC                    COMMON     464286855     3564     300000 SH  -    DEFINED 05             300000         0        0
D ISHARES INC                    COMMON     464286855      210      17681 SH  -    OTHER   10                  0         0    17681

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 439
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES INC                    OPTION     464286905     3587     178800 SH  C    DEFINED 05             178800         0        0
D ISHARES INC                    OPTION     464286905    27583    1375000 SH  C    DEFINED 08            1375000         0        0
D ISHARES INC                    OPTION     464286954    12927     644400 SH  P    DEFINED 05             644400         0        0
D ISHARES INC                    OPTION     464286954   138615    6910000 SH  P    DEFINED 08            6910000         0        0
D ISHARES TR                     UNIT       464287101     1787      34740 SH  -    DEFINED 02              34740         0        0
D ISHARES TR                     UNIT       464287101      216       4209 SH  -    DEFINED 02               4209         0        0
D ISHARES TR                     UNIT       464287101     1013      19702 SH  -    DEFINED 04                  0         0    19702
D ISHARES TR                     UNIT       464287101        8        160 SH  -    OTHER   04                  0       160        0
D ISHARES TR                     UNIT       464287101      997      19395 SH  -    OTHER   10                  0         0    19395
D ISHARES TR                     COMMON     464287119      202       3361 SH  -    OTHER   10                  0         0     3361
D ISHARES TR                     COMMON     464287168     7749     160634 SH  -    DEFINED 02             152295         0     8339
D ISHARES TR                     COMMON     464287168      661      13700 SH  -    DEFINED 02              13700         0        0
D ISHARES TR                     COMMON     464287168     1656      34324 SH  -    OTHER   02              31780      2144      400
D ISHARES TR                     COMMON     464287168     1202      24909 SH  -    OTHER   02               2527     20550     1832
D ISHARES TR                     COMMON     464287168      984      20400 SH  -    DEFINED 01              20400         0        0
D ISHARES TR                     COMMON     464287168    11822     245067 SH  -    OTHER   10                  0         0   245067
D ISHARES TR                     COMMON     464287176   102263     894689 SH  -    DEFINED 02             860748         0    33832
D ISHARES TR                     COMMON     464287176    98251     859592 SH  -    DEFINED 02             848446      1586     9560
D ISHARES TR                     COMMON     464287176     9255      80969 SH  -    OTHER   02              62590     14360     4019
D ISHARES TR                     COMMON     464287176    32414     283588 SH  -    OTHER   02             253654      6653    23281
D ISHARES TR                     COMMON     464287176     9940      86966 SH  -    OTHER   02                  0         0    86966
D ISHARES TR                     COMMON     464287176     1181      10330 SH  -    DEFINED 05              10330         0        0
D ISHARES TR                     COMMON     464287176    23847     208637 SH  -    DEFINED 08             208637         0        0
D ISHARES TR                     COMMON     464287176     1586      13876 SH  -    OTHER   09                  0     13876        0
D ISHARES TR                     COMMON     464287176      965       8442 SH  -    OTHER   01               6870      1572        0
D ISHARES TR                     COMMON     464287176    11470     100347 SH  -    OTHER   10                  0         0   100347

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 440
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     COMMON     464287184      166       5375 SH  -    DEFINED 02               5375         0        0
D ISHARES TR                     COMMON     464287184       79       2553 SH  -    DEFINED 02               2553         0        0
D ISHARES TR                     COMMON     464287184      330      10705 SH  -    OTHER   02              10705         0        0
D ISHARES TR                     COMMON     464287184       16        510 SH  -    OTHER   02                  0         0      510
D ISHARES TR                     COMMON     464287184     1589      51544 SH  -    DEFINED 05              51544         0        0
D ISHARES TR                     COMMON     464287184     7293     236546 SH  -    DEFINED 08             236546         0        0
D ISHARES TR                     COMMON     464287184     9713     315062 SH  -    DEFINED 08             315062         0        0
D ISHARES TR                     COMMON     464287184     1258      40789 SH  -    OTHER   10                  0         0    40789
D ISHARES TR                     COMMON     464287192     7524     100000 SH  -    DEFINED 05             100000         0        0
D ISHARES TR                     COMMON     464287192     1409      18724 SH  -    OTHER   10                  0         0    18724
D ISHARES TR                     UNIT       464287200    17731     155955 SH  -    DEFINED 02             152175         0     3780
D ISHARES TR                     UNIT       464287200    24703     217282 SH  -    DEFINED 02             217263         0       19
D ISHARES TR                     UNIT       464287200     1830      16093 SH  -    OTHER   02              11426      3617     1050
D ISHARES TR                     UNIT       464287200     5328      46864 SH  -    OTHER   02              34115      4867     7882
D ISHARES TR                     UNIT       464287200       39        340 SH  -    DEFINED 05                340         0        0
D ISHARES TR                     UNIT       464287200    69366     610129 SH  -    DEFINED 08             610129         0        0
D ISHARES TR                     UNIT       464287200    10286      90472 SH  -    DEFINED 08              90472         0        0
D ISHARES TR                     UNIT       464287200     1510      13279 SH  -    DEFINED 01              13279         0        0
D ISHARES TR                     UNIT       464287200     1145      10071 SH  -    OTHER   10                  0         0    10071
D ISHARES TR                     COMMON     464287226      721       6544 SH  -    DEFINED 02               6544         0        0
D ISHARES TR                     COMMON     464287226       12        106 SH  -    DEFINED 02                106         0        0
D ISHARES TR                     COMMON     464287226       77        700 SH  -    OTHER   02                700         0        0
D ISHARES TR                     COMMON     464287226    35346     321010 SH  -    OTHER   02                  0         0   321010
D ISHARES TR                     COMMON     464287226     9853      89485 SH  -    DEFINED 08              89485         0        0
D ISHARES TR                     COMMON     464287226     9861      89556 SH  -    OTHER   10                  0         0    89556
D ISHARES TR                     COMMON     464287234    21532     613529 SH  -    DEFINED 02             599400         0    14129

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 441
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     COMMON     464287234     9571     272718 SH  -    DEFINED 02             265687      2078     4953
D ISHARES TR                     COMMON     464287234     4470     127373 SH  -    OTHER   02             103816     23160      397
D ISHARES TR                     COMMON     464287234     4672     133116 SH  -    OTHER   02             115447      1182    16487
D ISHARES TR                     COMMON     464287234    23746     676614 SH  -    OTHER   02                  0         0   676614
D ISHARES TR                     COMMON     464287234     3199      91145 SH  -    DEFINED 04              91145         0        0
D ISHARES TR                     COMMON     464287234    49735    1417153 SH  -    DEFINED 05            1417153         0        0
D ISHARES TR                     COMMON     464287234     2511      71550 SH  -    DEFINED 06              71550         0        0
D ISHARES TR                     COMMON     464287234    51985    1481275 SH  -    DEFINED 08            1481275         0        0
D ISHARES TR                     COMMON     464287234     5101     145345 SH  -    DEFINED 09             145345         0        0
D ISHARES TR                     COMMON     464287234      131       3726 SH  -    DEFINED 01               1130         0     2596
D ISHARES TR                     COMMON     464287234       13        382 SH  -    OTHER   01                382         0        0
D ISHARES TR                     COMMON     464287234     9641     274704 SH  -    OTHER   10                  0         0   274704
D ISHARES TR                     UNIT       464287242    11940     106311 SH  -    DEFINED 02             106311         0        0
D ISHARES TR                     UNIT       464287242       44        390 SH  -    DEFINED 02                390         0        0
D ISHARES TR                     UNIT       464287242      101        900 SH  -    OTHER   02                900         0        0
D ISHARES TR                     UNIT       464287242      132       1172 SH  -    OTHER   02                  0         0     1172
D ISHARES TR                     UNIT       464287242    11714     104300 SH  -    DEFINED 04             104300         0        0
D ISHARES TR                     UNIT       464287242       10         93 SH  -    DEFINED 05                 93         0        0
D ISHARES TR                     UNIT       464287242      558       4970 SH  -    DEFINED 08               4970         0        0
D ISHARES TR                     UNIT       464287242     9139      81374 SH  -    OTHER   10                  0         0    81374
D ISHARES TR                     COMMON     464287275       94       1725 SH  -    OTHER   02                  0         0     1725
D ISHARES TR                     COMMON     464287275      379       6980 SH  -    OTHER   10                  0         0     6980
D ISHARES TR                     UNIT       464287309    22977     375200 SH  -    DEFINED 02             375200         0        0
D ISHARES TR                     UNIT       464287309    22977     375200 SH  -    DEFINED 04             375200         0        0
D ISHARES TR                     UNIT       464287309       11        185 SH  -    DEFINED 01                185         0        0
D ISHARES TR                     UNIT       464287309     2809      45870 SH  -    OTHER   10                  0         0    45870

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 442
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     COMMON     464287341      409      12331 SH  -    OTHER   10                  0         0    12331
D ISHARES TR                     COMMON     464287374      169       5055 SH  -    OTHER   02                  0         0     5055
D ISHARES TR                     COMMON     464287374     2242      67000 SH  -    DEFINED 08              67000         0        0
D ISHARES TR                     COMMON     464287374     1293      38657 SH  -    OTHER   10                  0         0    38657
D ISHARES TR                     COMMON     464287390      299       7703 SH  -    DEFINED 02               7703         0        0
D ISHARES TR                     COMMON     464287390       19        500 SH  -    DEFINED 02                500         0        0
D ISHARES TR                     COMMON     464287390     3656      94028 SH  -    DEFINED 08              94028         0        0
D ISHARES TR                     COMMON     464287390      721      18544 SH  -    OTHER   10                  0         0    18544
D ISHARES TR                     COMMON     464287408        8        150 SH  -    OTHER   02                150         0        0
D ISHARES TR                     COMMON     464287408     1879      36432 SH  -    OTHER   10                  0         0    36432
D ISHARES TR                     COMMON     464287432   109302     904820 SH  -    DEFINED 05             904820         0        0
D ISHARES TR                     COMMON     464287432     2874      23795 SH  -    OTHER   10                  0         0    23795
D ISHARES TR                     COMMON     464287440       58        550 SH  -    OTHER   02                  0         0      550
D ISHARES TR                     COMMON     464287440     1493      14206 SH  -    DEFINED 05              14206         0        0
D ISHARES TR                     COMMON     464287440     2697      25671 SH  -    OTHER   09                  0     25671        0
D ISHARES TR                     COMMON     464287440     2515      23941 SH  -    OTHER   10                  0         0    23941
D ISHARES TR                     COMMON     464287457       85       1000 SH  -    DEFINED 02               1000         0        0
D ISHARES TR                     COMMON     464287457      356       4205 SH  -    DEFINED 02               4205         0        0
D ISHARES TR                     COMMON     464287457    77063     911238 SH  -    OTHER   02                  0         0   911238
D ISHARES TR                     COMMON     464287457       34        400 SH  -    DEFINED 01                  0         0      400
D ISHARES TR                     COMMON     464287457     7289      86191 SH  -    OTHER   10                  0         0    86191
D ISHARES TR                     UNIT       464287465   376469    7879223 SH  -    DEFINED 02            6329397     38102  1511114
D ISHARES TR                     UNIT       464287465   259581    5432842 SH  -    DEFINED 02            5382048      5906    43629
D ISHARES TR                     UNIT       464287465      416       8700 SH  -    DEFINED 02               8700         0        0
D ISHARES TR                     UNIT       464287465    53852    1127085 SH  -    OTHER   02             780566    170522   175997
D ISHARES TR                     UNIT       464287465    33441     699885 SH  -    OTHER   02             603268     41578    55039

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 443
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     UNIT       464287465    44771     937024 SH  -    OTHER   02                  0         0   937024
D ISHARES TR                     UNIT       464287465     9408     196900 SH  -    DEFINED 04             196900         0        0
D ISHARES TR                     UNIT       464287465    13799     288800 SH  -    DEFINED 04             288800         0        0
D ISHARES TR                     UNIT       464287465      422       8828 SH  -    OTHER   04                  0      8828        0
D ISHARES TR                     UNIT       464287465   748072   15656598 SH  -    DEFINED 05           15656598         0        0
D ISHARES TR                     UNIT       464287465    33609     703403 SH  -    DEFINED 08             703403         0        0
D ISHARES TR                     UNIT       464287465    38363     802900 SH  -    DEFINED 08             802900         0        0
D ISHARES TR                     UNIT       464287465    26114     546556 SH  -    DEFINED 01             529261     11520     5775
D ISHARES TR                     UNIT       464287465     3339      69888 SH  -    OTHER   01              53252     10349     6287
D ISHARES TR                     UNIT       464287465     5971     124960 SH  -    OTHER   10                  0         0   124960
D ISHARES TR                     COMMON     464287473    23878     619237 SH  -    DEFINED 02             605845         0    13392
D ISHARES TR                     COMMON     464287473    12312     319289 SH  -    DEFINED 02             316817         0     2472
D ISHARES TR                     COMMON     464287473     2477      64234 SH  -    OTHER   02              36231     16867    11136
D ISHARES TR                     COMMON     464287473     3546      91968 SH  -    OTHER   02              84983      5230     1755
D ISHARES TR                     COMMON     464287473    21958     569463 SH  -    OTHER   02                  0         0   569463
D ISHARES TR                     COMMON     464287473      326       8456 SH  -    OTHER   04                  0      8456        0
D ISHARES TR                     COMMON     464287473     8858     229715 SH  -    DEFINED 08             229715         0        0
D ISHARES TR                     COMMON     464287473     1362      35334 SH  -    DEFINED 01              20334         0    15000
D ISHARES TR                     COMMON     464287473     1002      25983 SH  -    OTHER   01              18576      7407        0
D ISHARES TR                     COMMON     464287473      839      21758 SH  -    OTHER   10                  0         0    21758
D ISHARES TR                     COMMON     464287481    31037     625237 SH  -    DEFINED 02             602953     15188     6714
D ISHARES TR                     COMMON     464287481    10104     203538 SH  -    DEFINED 02             202993       225      320
D ISHARES TR                     COMMON     464287481     5907     118996 SH  -    OTHER   02              93684     22993     2319
D ISHARES TR                     COMMON     464287481     3976      80106 SH  -    OTHER   02              71441      5365     3300
D ISHARES TR                     COMMON     464287481    45407     914732 SH  -    OTHER   02                  0         0   914732
D ISHARES TR                     COMMON     464287481     7441     149898 SH  -    DEFINED 08             149898         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 444
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     COMMON     464287481     2485      50067 SH  -    DEFINED 01              33727         0    16340
D ISHARES TR                     COMMON     464287481       36        725 SH  -    OTHER   01                500       225        0
D ISHARES TR                     COMMON     464287481     2338      47107 SH  -    OTHER   10                  0         0    47107
D ISHARES TR                     COMMON     464287499   413917    4690283 SH  -    DEFINED 02            4167157     15596   507070
D ISHARES TR                     COMMON     464287499   114034    1292165 SH  -    DEFINED 02            1271000      5010    16155
D ISHARES TR                     COMMON     464287499    82571     935649 SH  -    OTHER   02             739265    123723    70961
D ISHARES TR                     COMMON     464287499    39692     449762 SH  -    OTHER   02             398796     19979    30987
D ISHARES TR                     COMMON     464287499    45237     512604 SH  -    OTHER   02                  0         0   512604
D ISHARES TR                     COMMON     464287499    22452     254417 SH  -    DEFINED 01             180595     14410    58280
D ISHARES TR                     COMMON     464287499     6553      74253 SH  -    OTHER   01              53005     10898    10350
D ISHARES TR                     COMMON     464287499      712       8072 SH  -    OTHER   10                  0         0     8072
D ISHARES TR                     UNIT       464287507   540554    6931065 SH  -    DEFINED 02            6717819      9810   202459
D ISHARES TR                     UNIT       464287507   268055    3437043 SH  -    DEFINED 02            3413619      3451    19452
D ISHARES TR                     UNIT       464287507    78597    1007787 SH  -    OTHER   02             541548    152550   313448
D ISHARES TR                     UNIT       464287507    22204     284706 SH  -    OTHER   02             239050     19078    26578
D ISHARES TR                     UNIT       464287507    33202     425717 SH  -    DEFINED 01             352490     10031    63196
D ISHARES TR                     UNIT       464287507    10012     128378 SH  -    OTHER   01              70096     20019    36454
D ISHARES TR                     UNIT       464287507     1076      13800 SH  -    OTHER   10                  0         0    13800
D ISHARES TR                     UNIT       464287515      401       7688 SH  -    OTHER   10                  0         0     7688
D ISHARES TR                     COMMON     464287523    71176    1550000 SH  -    DEFINED 05            1550000         0        0
D ISHARES TR                     COMMON     464287523     1268      27615 SH  -    OTHER   10                  0         0    27615
D ISHARES TR                     COMMON     464287531      895      35566 SH  -    OTHER   10                  0         0    35566
D ISHARES TR                     COMMON     464287549       55       1000 SH  -    OTHER   02                  0         0     1000
D ISHARES TR                     COMMON     464287549     1359      24551 SH  -    OTHER   10                  0         0    24551
D ISHARES TR                     UNIT       464287556       26        275 SH  -    OTHER   02                150       125        0
D ISHARES TR                     UNIT       464287556    38348     410800 SH  -    DEFINED 05             410800         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 445
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     UNIT       464287556      565       6053 SH  -    OTHER   10                  0         0     6053
D ISHARES TR                     UNIT       464287564     7873     128313 SH  -    DEFINED 02             128278         0       35
D ISHARES TR                     UNIT       464287564    31284     509836 SH  -    DEFINED 02             506433       788     2615
D ISHARES TR                     UNIT       464287564     1367      22278 SH  -    OTHER   02              19249      3029        0
D ISHARES TR                     UNIT       464287564    18530     301986 SH  -    OTHER   02             273295      8423    20268
D ISHARES TR                     UNIT       464287564       14        221 SH  -    OTHER   01                  0         0      221
D ISHARES TR                     UNIT       464287564     1446      23560 SH  -    OTHER   10                  0         0    23560
D ISHARES TR                     UNIT       464287580     1572      24573 SH  -    OTHER   10                  0         0    24573
D ISHARES TR                     UNIT       464287598    57215    1011047 SH  -    DEFINED 02             983668         0    27379
D ISHARES TR                     UNIT       464287598     7062     124789 SH  -    DEFINED 02             123134         0     1655
D ISHARES TR                     UNIT       464287598     3986      70443 SH  -    OTHER   02              63522      5721     1200
D ISHARES TR                     UNIT       464287598     4511      79719 SH  -    OTHER   02              74007      2075     3637
D ISHARES TR                     UNIT       464287598    42419     749587 SH  -    OTHER   02                  0         0   749587
D ISHARES TR                     UNIT       464287598      349       6159 SH  -    OTHER   04                  0      6159        0
D ISHARES TR                     UNIT       464287598        6        100 SH  -    DEFINED 05                100         0        0
D ISHARES TR                     UNIT       464287598    12422     219500 SH  -    DEFINED 08             219500         0        0
D ISHARES TR                     UNIT       464287598     7920     139958 SH  -    DEFINED 08             139958         0        0
D ISHARES TR                     UNIT       464287598     1628      28767 SH  -    DEFINED 01              25479         0     3288
D ISHARES TR                     UNIT       464287598      281       4963 SH  -    OTHER   01               1512         0     3451
D ISHARES TR                     UNIT       464287598     5256      92876 SH  -    OTHER   10                  0         0    92876
D ISHARES TR                     UNIT       464287606      642       7145 SH  -    DEFINED 02               7145         0        0
D ISHARES TR                     UNIT       464287606      359       4000 SH  -    DEFINED 02               4000         0        0
D ISHARES TR                     UNIT       464287606      493       5484 SH  -    OTHER   02               4739         0      745
D ISHARES TR                     UNIT       464287606     2761      30731 SH  -    OTHER   10                  0         0    30731
D ISHARES TR                     UNIT       464287614   137494    2614948 SH  -    DEFINED 02            2481279     18455   115214
D ISHARES TR                     UNIT       464287614    31806     604913 SH  -    DEFINED 02             602055       260     2598

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 446
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     UNIT       464287614    21908     416653 SH  -    OTHER   02             128524     35730   251967
D ISHARES TR                     UNIT       464287614    10810     205588 SH  -    OTHER   02             169676     16363    19549
D ISHARES TR                     UNIT       464287614    40171     763996 SH  -    OTHER   02                  0         0   763996
D ISHARES TR                     UNIT       464287614     8524     162110 SH  -    DEFINED 08             162110         0        0
D ISHARES TR                     UNIT       464287614    15776     300036 SH  -    DEFINED 08             300036         0        0
D ISHARES TR                     UNIT       464287614    10214     194258 SH  -    DEFINED 01             164411      2955    26892
D ISHARES TR                     UNIT       464287614     1909      36316 SH  -    OTHER   01              11813     13137    11366
D ISHARES TR                     UNIT       464287614     6207     118058 SH  -    OTHER   10                  0         0   118058
D ISHARES TR                     COMMON     464287622      484       7733 SH  -    DEFINED 02               7733         0        0
D ISHARES TR                     COMMON     464287622      470       7511 SH  -    DEFINED 02               7511         0        0
D ISHARES TR                     COMMON     464287622       97       1555 SH  -    OTHER   02                  0         0     1555
D ISHARES TR                     COMMON     464287622    89351    1428697 SH  -    OTHER   02                  0         0  1428697
D ISHARES TR                     COMMON     464287622      425       6800 SH  -    DEFINED 04               6800         0        0
D ISHARES TR                     COMMON     464287622    11748     187852 SH  -    DEFINED 08             187852         0        0
D ISHARES TR                     COMMON     464287622      514       8217 SH  -    OTHER   10                  0         0     8217
D ISHARES TR                     UNIT       464287630     8511     149240 SH  -    DEFINED 02             148289         0      951
D ISHARES TR                     UNIT       464287630      475       8327 SH  -    DEFINED 02               8327         0        0
D ISHARES TR                     UNIT       464287630      547       9594 SH  -    OTHER   02               2270         0     7324
D ISHARES TR                     UNIT       464287630     1223      21437 SH  -    OTHER   02              19362       715     1360
D ISHARES TR                     UNIT       464287630     4584      80382 SH  -    OTHER   02                  0         0    80382
D ISHARES TR                     UNIT       464287630    17109     300000 SH  -    DEFINED 05             300000         0        0
D ISHARES TR                     UNIT       464287630     2110      37000 SH  -    DEFINED 08              37000         0        0
D ISHARES TR                     UNIT       464287630       19        325 SH  -    DEFINED 01                125         0      200
D ISHARES TR                     UNIT       464287630        4         76 SH  -    OTHER   01                  0        76        0
D ISHARES TR                     UNIT       464287630     1199      21023 SH  -    OTHER   10                  0         0    21023
D ISHARES TR                     UNIT       464287648     3455      47027 SH  -    DEFINED 02              46495         0      532

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 447
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     UNIT       464287648      458       6238 SH  -    DEFINED 02               6238         0        0
D ISHARES TR                     UNIT       464287648     6760      92010 SH  -    OTHER   02              91240         0      770
D ISHARES TR                     UNIT       464287648      875      11914 SH  -    OTHER   02              11289       475      150
D ISHARES TR                     UNIT       464287648    12964     176457 SH  -    OTHER   02                  0         0   176457
D ISHARES TR                     UNIT       464287648     7348     100007 SH  -    DEFINED 05             100007         0        0
D ISHARES TR                     UNIT       464287648    17750     241597 SH  -    DEFINED 08             241597         0        0
D ISHARES TR                     UNIT       464287648       28        385 SH  -    DEFINED 01                125         0      260
D ISHARES TR                     UNIT       464287648        8        103 SH  -    OTHER   01                  0       103        0
D ISHARES TR                     UNIT       464287648      851      11587 SH  -    OTHER   10                  0         0    11587
D ISHARES TR                     COMMON     464287655   173995    2705985 SH  -    DEFINED 02            2530018     29085   146881
D ISHARES TR                     COMMON     464287655    10386     161519 SH  -    DEFINED 02             159101       500     1918
D ISHARES TR                     COMMON     464287655    67854    1055271 SH  -    OTHER   02             298136    244727   511042
D ISHARES TR                     COMMON     464287655    13060     203116 SH  -    OTHER   02             179711      9261    14144
D ISHARES TR                     COMMON     464287655    25759     400609 SH  -    OTHER   02                  0         0   400609
D ISHARES TR                     COMMON     464287655    48684     757146 SH  -    OTHER   04                  0    757146        0
D ISHARES TR                     COMMON     464287655  2174826   33823110 SH  -    DEFINED 05           33823110         0        0
D ISHARES TR                     COMMON     464287655     9645     150000 SH  -    DEFINED 07             150000         0        0
D ISHARES TR                     COMMON     464287655     4838      75234 SH  -    DEFINED 08              75234         0        0
D ISHARES TR                     COMMON     464287655     8327     129496 SH  -    DEFINED 01              99632     20560     9304
D ISHARES TR                     COMMON     464287655     7759     120671 SH  -    OTHER   01             105084      9290     6297
D ISHARES TR                     COMMON     464287655     3329      51777 SH  -    OTHER   10                  0         0    51777
D ISHARES TR                     COMMON     464287689       19        279 SH  -    DEFINED 02                279         0        0
D ISHARES TR                     COMMON     464287689    10897     163300 SH  -    DEFINED 08             163300         0        0
D ISHARES TR                     COMMON     464287689      801      12000 SH  -    DEFINED 01              12000         0        0
D ISHARES TR                     COMMON     464287689      135       2020 SH  -    OTHER   01                  0         0     2020
D ISHARES TR                     COMMON     464287705      642       9719 SH  -    DEFINED 02               9719         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 448
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     COMMON     464287705      270       4090 SH  -    DEFINED 02               4090         0        0
D ISHARES TR                     COMMON     464287705      106       1613 SH  -    OTHER   02               1613         0        0
D ISHARES TR                     COMMON     464287705      446       6755 SH  -    OTHER   02               5430         0     1325
D ISHARES TR                     COMMON     464287705     2704      40970 SH  -    OTHER   10                  0         0    40970
D ISHARES TR                     UNIT       464287713       64       3116 SH  -    DEFINED 02               3116         0        0
D ISHARES TR                     UNIT       464287713      138       6781 SH  -    OTHER   10                  0         0     6781
D ISHARES TR                     UNIT       464287721        1         22 SH  -    DEFINED 05                 22         0        0
D ISHARES TR                     UNIT       464287721     9378     158568 SH  -    OTHER   10                  0         0   158568
D ISHARES TR                     COMMON     464287739       88       1750 SH  -    DEFINED 02               1750         0        0
D ISHARES TR                     COMMON     464287739        1         25 SH  -    DEFINED 02                  0         0       25
D ISHARES TR                     COMMON     464287739      165       3261 SH  -    OTHER   02               2736         0      525
D ISHARES TR                     COMMON     464287739   103993    2056409 SH  -    DEFINED 05            2056409         0        0
D ISHARES TR                     COMMON     464287739    72402    1431718 SH  -    DEFINED 08            1431718         0        0
D ISHARES TR                     COMMON     464287739     3155      62383 SH  -    OTHER   10                  0         0    62383
D ISHARES TR                     COMMON     464287754     1914      34832 SH  -    OTHER   10                  0         0    34832
D ISHARES TR                     UNIT       464287762     2092      32039 SH  -    OTHER   10                  0         0    32039
D ISHARES TR                     UNIT       464287788      642      14546 SH  -    OTHER   10                  0         0    14546
D ISHARES TR                     COMMON     464287796      107       3151 SH  -    OTHER   02                  0         0     3151
D ISHARES TR                     COMMON     464287796     1916      56558 SH  -    OTHER   10                  0         0    56558
D ISHARES TR                     UNIT       464287804      109       1870 SH  -    DEFINED 02               1870         0        0
D ISHARES TR                     UNIT       464287804      913      15590 SH  -    DEFINED 02              15590         0        0
D ISHARES TR                     UNIT       464287804       51        870 SH  -    OTHER   02                870         0        0
D ISHARES TR                     UNIT       464287804      492       8412 SH  -    OTHER   02               5913       199     2300
D ISHARES TR                     UNIT       464287804     7781     132917 SH  -    DEFINED 05             132917         0        0
D ISHARES TR                     UNIT       464287804      944      16132 SH  -    OTHER   10                  0         0    16132
D ISHARES TR                     COMMON     464287812     2735      43481 SH  -    OTHER   10                  0         0    43481

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 449
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     COMMON     464287838     2594      45959 SH  -    OTHER   10                  0         0    45959
D ISHARES TR                     UNIT       464287879      211       3566 SH  -    DEFINED 02               3566         0        0
D ISHARES TR                     UNIT       464287879      103       1743 SH  -    OTHER   02               1288         0      455
D ISHARES TR                     UNIT       464287879     3372      56966 SH  -    OTHER   10                  0         0    56966
D ISHARES TR                     UNIT       464287887      257       3992 SH  -    DEFINED 02               3992         0        0
D ISHARES TR                     UNIT       464287887        2         30 SH  -    DEFINED 02                 30         0        0
D ISHARES TR                     UNIT       464287887      335       5194 SH  -    OTHER   02               5194         0        0
D ISHARES TR                     UNIT       464287887      430       6668 SH  -    OTHER   02               6353         0      315
D ISHARES TR                     UNIT       464287887       30        470 SH  -    DEFINED 01                  0         0      470
D ISHARES TR                     UNIT       464287887     2250      34912 SH  -    OTHER   10                  0         0    34912
D ISHARES TR                     OPTION     464287903   113028    2197700 SH  C    DEFINED 05            2197700         0        0
D ISHARES TR                     OPTION     464287903    12858     250000 SH  C    DEFINED 07             250000         0        0
D ISHARES TR                     OPTION     464287903   201863    3925000 SH  C    DEFINED 08            3925000         0        0
D ISHARES TR                     OPTION     464287952    78765    1531500 SH  P    DEFINED 05            1531500         0        0
D ISHARES TR                     OPTION     464287952   391584    7613914 SH  P    DEFINED 08            7613914         0        0
D ISHARES TR                     COMMON     464288158      492       4615 SH  -    OTHER   10                  0         0     4615
D ISHARES TR                     COMMON     464288182    98123    2103838 SH  -    DEFINED 02            2035995     25090    42753
D ISHARES TR                     COMMON     464288182    19859     425800 SH  -    DEFINED 02             417867       750     7183
D ISHARES TR                     COMMON     464288182     7830     167871 SH  -    OTHER   02             114570     13249    40052
D ISHARES TR                     COMMON     464288182    11658     249953 SH  -    OTHER   02             229380      1649    18924
D ISHARES TR                     COMMON     464288182    15508     332500 SH  -    DEFINED 04             332500         0        0
D ISHARES TR                     COMMON     464288182       47       1000 SH  -    DEFINED 05               1000         0        0
D ISHARES TR                     COMMON     464288182    17450     374149 SH  -    DEFINED 01             350812         0    23337
D ISHARES TR                     COMMON     464288182      555      11896 SH  -    OTHER   01               5947      4761     1188
D ISHARES TR                     COMMON     464288182     1085      23269 SH  -    OTHER   10                  0         0    23269
D ISHARES TR                     COMMON     464288240      300       8559 SH  -    OTHER   10                  0         0     8559

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 450
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     COMMON     464288273     4201     120222 SH  -    DEFINED 02             120222         0        0
D ISHARES TR                     COMMON     464288273       28        795 SH  -    OTHER   02                  0         0      795
D ISHARES TR                     COMMON     464288273      542      15512 SH  -    OTHER   10                  0         0    15512
D ISHARES TR                     COMMON     464288281      296       2812 SH  -    DEFINED 02               2812         0        0
D ISHARES TR                     COMMON     464288281        8         75 SH  -    DEFINED 02                 75         0        0
D ISHARES TR                     COMMON     464288281       21        200 SH  -    DEFINED 05                200         0        0
D ISHARES TR                     COMMON     464288281    21627     205133 SH  -    DEFINED 08             205133         0        0
D ISHARES TR                     COMMON     464288281     3670      34813 SH  -    OTHER   10                  0         0    34813
D ISHARES TR                     COMMON     464288372      443      13879 SH  -    DEFINED 02              13379         0      500
D ISHARES TR                     COMMON     464288372      148       4646 SH  -    DEFINED 02               4646         0        0
D ISHARES TR                     COMMON     464288372       59       1850 SH  -    OTHER   02               1850         0        0
D ISHARES TR                     COMMON     464288372      150       4700 SH  -    OTHER   02               4700         0        0
D ISHARES TR                     COMMON     464288372       78       2443 SH  -    DEFINED 04               2443         0        0
D ISHARES TR                     COMMON     464288372       51       1609 SH  -    OTHER   10                  0         0     1609
D ISHARES TR                     COMMON     464288414       21        200 SH  -    OTHER   02                200         0        0
D ISHARES TR                     COMMON     464288414      176       1650 SH  -    OTHER   02                  0         0     1650
D ISHARES TR                     COMMON     464288414     9706      91009 SH  -    OTHER   02                  0         0    91009
D ISHARES TR                     COMMON     464288414      298       2797 SH  -    OTHER   10                  0         0     2797
D ISHARES TR                     COMMON     464288448       85       3000 SH  -    OTHER   02                  0         0     3000
D ISHARES TR                     COMMON     464288448      230       8113 SH  -    OTHER   10                  0         0     8113
D ISHARES TR                     COMMON     464288513       69        827 SH  -    DEFINED 02                827         0        0
D ISHARES TR                     COMMON     464288513       62        752 SH  -    DEFINED 02                752         0        0
D ISHARES TR                     COMMON     464288513     5982      72225 SH  -    OTHER   02                  0         0    72225
D ISHARES TR                     COMMON     464288513      514       6200 SH  -    DEFINED 08               6200         0        0
D ISHARES TR                     COMMON     464288513      257       3100 SH  -    OTHER   01               3100         0        0
D ISHARES TR                     COMMON     464288513     6778      81832 SH  -    OTHER   10                  0         0    81832

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 451
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     COMMON     464288562      245       6329 SH  -    OTHER   10                  0         0     6329
D ISHARES TR                     COMMON     464288570      572      13501 SH  -    DEFINED 02               1560         0    11941
D ISHARES TR                     COMMON     464288570     1087      25676 SH  -    DEFINED 02              11600         0    14076
D ISHARES TR                     COMMON     464288570      305       7199 SH  -    OTHER   02               6849         0      350
D ISHARES TR                     COMMON     464288638      262       2450 SH  -    DEFINED 02               2450         0        0
D ISHARES TR                     COMMON     464288638     1100      10297 SH  -    OTHER   10                  0         0    10297
D ISHARES TR                     COMMON     464288646      265       2548 SH  -    DEFINED 02               2548         0        0
D ISHARES TR                     COMMON     464288646      156       1500 SH  -    OTHER   02               1500         0        0
D ISHARES TR                     COMMON     464288646        8         77 SH  -    DEFINED 05                 77         0        0
D ISHARES TR                     COMMON     464288646     2937      28243 SH  -    OTHER   10                  0         0    28243
D ISHARES TR                     COMMON     464288661      417       3430 SH  -    DEFINED 08               3430         0        0
D ISHARES TR                     COMMON     464288687       11        300 SH  -    DEFINED 02                300         0        0
D ISHARES TR                     COMMON     464288687       43       1200 SH  -    OTHER   02               1200         0        0
D ISHARES TR                     COMMON     464288687       14        405 SH  -    DEFINED 05                405         0        0
D ISHARES TR                     COMMON     464288687     5881     165148 SH  -    OTHER   10                  0         0   165148
D ISHARES TR                     COMMON     464288695      797      14860 SH  -    DEFINED 02              14860         0        0
D ISHARES TR                     COMMON     464288695       70       1300 SH  -    OTHER   02                  0         0     1300
D ISHARES TR                     COMMON     464288695        5        100 SH  -    OTHER   10                  0         0      100
D ISHARES TR                     COMMON     464288752      828      92508 SH  -    OTHER   10                  0         0    92508
D ISHARES TR                     COMMON     464288836      204       3076 SH  -    OTHER   10                  0         0     3076
D ISHARES TR                     COMMON     464288851        7        138 SH  -    DEFINED 02                138         0        0
D ISHARES TR                     COMMON     464288851       10        200 SH  -    OTHER   02                200         0        0
D ISHARES TR                     COMMON     464288851      783      15300 SH  -    OTHER   09                  0     15300        0
D ISHARES TR                     COMMON     464288851     1607      31390 SH  -    OTHER   10                  0         0    31390
D ISHARES TR                     COMMON     464288869      363       9227 SH  -    OTHER   10                  0         0     9227
D ISHARES TR                     COMMON     464288877      228       5490 SH  -    DEFINED 02               5490         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 452
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ISHARES TR                     COMMON     464288877       60       1445 SH  -    OTHER   02                  0         0     1445
D ISHARES TR                     COMMON     464288877       18        426 SH  -    OTHER   04                  0       426        0
D ISHARES TR                     COMMON     464288877     3260      78575 SH  -    OTHER   10                  0         0    78575
D ISHARES TR                     COMMON     464288885       44        885 SH  -    OTHER   02                  0         0      885
D ISHARES TR                     COMMON     464288885     1745      35005 SH  -    OTHER   10                  0         0    35005
D ISHARES TR                     COMMON     464289123      461      15899 SH  -    OTHER   10                  0         0    15899
D ISHARES TR                     COMMON     464289842        7        190 SH  -    DEFINED 05                190         0        0
D ISHARES TR                     COMMON     464289842     2721      77584 SH  -    OTHER   10                  0         0    77584
D ISHARES TR                     COMMON     46429B309       22        850 SH  -    OTHER   02                  0         0      850
D ISHARES TR                     COMMON     46429B309     2844     110073 SH  -    OTHER   10                  0         0   110073
D ISHARES TR                     COMMON     46429B663      216       4334 SH  -    OTHER   10                  0         0     4334
D ISHARES TR                     COMMON     46429B705     3738     198217 SH  -    DEFINED 02             198217         0        0
D ISHARES TR                     COMMON     46429B705     1221      64738 SH  -    DEFINED 02              64738         0        0
D ISHARES TR                     COMMON     46429B705       51       2712 SH  -    DEFINED 01               2712         0        0
D ISIS PHARMACEUTICA             COMMON     464330109       30       4455 SH  -    DEFINED 02               4455         0        0
D ISIS PHARMACEUTICA             COMMON     464330109       54       7924 SH  -    OTHER   02               2950       124     4850
D ISIS PHARMACEUTICA             COMMON     464330109       99      14573 SH  -    OTHER   02                  0       622    13951
D ISIS PHARMACEUTICA             COMMON     464330109      175      25815 SH  -    DEFINED 05              25815         0        0
D ISIS PHARMACEUTICA             COMMON     464330109       41       6110 SH  -    DEFINED 08               6110         0        0
D ISIS PHARMACEUTICA             COMMON     464330109        4        520 SH  -    OTHER   10                  0         0      520
D ISIS PHARMACEUTICALS INC DEL   BOND       464337AE4       21      24000 PRN -    DEFINED 05                  0         0        0
D ISLE OF CAPRIS CAS             COMMON     464592104     1112     229680 SH  -    DEFINED 04             229680         0        0
D ISLE OF CAPRIS CAS             COMMON     464592104      908     187600 SH  -    DEFINED 04             187600         0        0
D ISLE OF CAPRIS CAS             COMMON     464592104        2        319 SH  -    DEFINED 05                319         0        0
D ISLE OF CAPRIS CAS             COMMON     464592104        4        864 SH  -    DEFINED 08                864         0        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106        5        310 SH  -    DEFINED 02                310         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 453
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106    22240    1432998 SH  -    DEFINED 02            1432998         0        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106       65       4200 SH  -    OTHER   02                  0       400     3800
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106    42993    2770176 SH  -    DEFINED 04            2770176         0        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106      478      30800 SH  -    DEFINED 04              30800         0        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106    46581    3001330 SH  -    DEFINED 04            3001330         0        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106        1         66 SH  -    OTHER   04                  0        66        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106     3011     194022 SH  -    DEFINED 05             194022         0        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106   181480   11693279 SH  -    DEFINED 08           11693279         0        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106    64265    4140758 SH  -    DEFINED 09            4046749         0    94009
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106    15684    1010580 SH  -    DEFINED 09            1010580         0        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106     9060     583740 SH  -    DEFINED 09             583740         0        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106     5881     378930 SH  -    DEFINED 09              16530         0        0
D ITAU UNIBANCO HLDG SA          PREF ADR   465562106     7825     504218 SH  -    OTHER   09                  0    504218        0
D ITC HLDGS CORP                 COMMON     465685105      425       5494 SH  -    OTHER   02                  0       994     4500
D ITC HLDGS CORP                 COMMON     465685105       80       1037 SH  -    OTHER   02                  0         5     1032
D ITC HLDGS CORP                 COMMON     465685105       83       1072 SH  -    DEFINED 05               1072         0        0
D ITRON INC                      COMMON     465741106        4        144 SH  -    DEFINED 02                144         0        0
D ITRON INC                      COMMON     465741106       18        618 SH  -    OTHER   02                 34       584        0
D ITRON INC                      COMMON     465741106        0         13 SH  -    OTHER   02                  0        13        0
D ITRON INC                      COMMON     465741106     1336      45275 SH  -    DEFINED 04              14275         0    31000
D ITRON INC                      COMMON     465741106     2770      93888 SH  -    DEFINED 04              93888         0        0
D ITRON INC                      COMMON     465741106     1303      44183 SH  -    DEFINED 05              44183         0        0
D ITRON INC                      COMMON     465741106        5        164 SH  -    DEFINED 08                164         0        0
D IVANHOE MINES                  COMMON     46579N103       62       4501 SH  -    DEFINED 02                  0      4501        0
D IVANHOE MINES                  COMMON     46579N103      172      12528 SH  -    OTHER   02               4407      8121        0
D IVANHOE MINES                  COMMON     46579N103        5        370 SH  -    OTHER   02                  0       370        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 454
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D IVANHOE MINES                  COMMON     46579N103       73       5300 SH  -    DEFINED 05               5300         0        0
D IVANHOE MINES                  COMMON     46579N103      158      11546 SH  -    DEFINED 06              11546         0        0
D IVANHOE MINES                  COMMON     46579N103      810      59118 SH  -    DEFINED 08              59118         0        0
D IVANHOE MINES                  COMMON     46579N103      183      13358 SH  -    OTHER   09                  0     13358        0
D IVANHOE MINES                  COMMON     46579N103      418      30494 SH  -    OTHER   10                  0         0    30494
D IXYS CORP                      COMMON     46600W106       83       7586 SH  -    OTHER   02                  0         0     7586
D IXYS CORP                      COMMON     46600W106      248      22811 SH  -    OTHER   02                  0       974    21837
D IXYS CORP                      COMMON     46600W106      553      50800 SH  -    DEFINED 04              50800         0        0
D IXYS CORP                      COMMON     46600W106      380      34900 SH  -    DEFINED 04              34900         0        0
D IXYS CORP                      COMMON     46600W106        4        379 SH  -    DEFINED 05                379         0        0
D IXYS CORP                      COMMON     46600W106       16       1442 SH  -    DEFINED 08               1442         0        0
D J & J SNACK FOODS CORP         COMMON     466032109        8        176 SH  -    OTHER   02                  0       162        0
D J & J SNACK FOODS CORP         COMMON     466032109    31001     645183 SH  -    DEFINED 04             600873         0    44310
D J & J SNACK FOODS CORP         COMMON     466032109      500      10398 SH  -    DEFINED 04              10398         0        0
D J & J SNACK FOODS CORP         COMMON     466032109      325       6764 SH  -    DEFINED 05               6764         0        0
D JA SOLAR HOLDINGS CO LTD       ADR        466090107      114      64100 SH  -    DEFINED 02              64100         0        0
D JA SOLAR HOLDINGS CO LTD       ADR        466090107     1020     573300 SH  -    DEFINED 04             573300         0        0
D JA SOLAR HOLDINGS CO LTD       ADR        466090107        1        400 SH  -    DEFINED 05                400         0        0
D JA SOLAR HOLDINGS CO LTD       ADR        466090107        6       3537 SH  -    DEFINED 06               3537         0        0
D JA SOLAR HOLDINGS CO LTD       ADR        466090107        6       3432 SH  -    DEFINED 08               3432         0        0
D JA SOLAR HOLDINGS CO LTD       ADR        466090107     1052     591000 SH  -    DEFINED 09                  0    591000        0
D JDS UNIPHASE CORP              COMMON     46612J507        4        450 SH  -    DEFINED 02                450         0        0
D JDS UNIPHASE CORP              COMMON     46612J507       27       2742 SH  -    DEFINED 02               2629         0      113
D JDS UNIPHASE CORP              COMMON     46612J507       66       6629 SH  -    OTHER   02                  0      6629        0
D JDS UNIPHASE CORP              COMMON     46612J507        1         80 SH  -    OTHER   02                  0        17       63
D JDS UNIPHASE CORP              COMMON     46612J507     2848     285648 SH  -    DEFINED 04             279118         0     6530

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 455
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D JDS UNIPHASE CORP              COMMON     46612J507     9158     918590 SH  -    DEFINED 04             918590         0        0
D JDS UNIPHASE CORP              COMMON     46612J507      370      37134 SH  -    DEFINED 05              37134         0        0
D JDA SOFTWARE GROUP INC         COMMON     46612K108        1         36 SH  -    OTHER   02                  0        36        0
D JDA SOFTWARE GROUP INC         COMMON     46612K108     8995     383737 SH  -    DEFINED 04             327249         0    56488
D JDA SOFTWARE GROUP INC         COMMON     46612K108      465      19853 SH  -    DEFINED 05              19853         0        0
D JDA SOFTWARE GROUP INC         COMMON     46612K108      118       5022 SH  -    OTHER   10                  0         0     5022
D JPMORGAN CHASE & CO            COMMON     46625H100    10752     356959 SH  -    DEFINED 02             183663     31057   142239
D JPMORGAN CHASE & CO            COMMON     46625H100    23849     791798 SH  -    DEFINED 02             732202      1027    58569
D JPMORGAN CHASE & CO            COMMON     46625H100     1435      47648 SH  -    DEFINED 02              44943         0     2705
D JPMORGAN CHASE & CO            COMMON     46625H100    35554    1180413 SH  -    OTHER   02             359327    610129   208532
D JPMORGAN CHASE & CO            COMMON     46625H100    13146     436462 SH  -    OTHER   02             311228     34443    90791
D JPMORGAN CHASE & CO            COMMON     46625H100    71500    2373847 SH  -    DEFINED 04             803995         0  1569852
D JPMORGAN CHASE & CO            COMMON     46625H100    19365     642934 SH  -    DEFINED 04             642934         0        0
D JPMORGAN CHASE & CO            COMMON     46625H100      316      10475 SH  -    DEFINED 04              10475         0        0
D JPMORGAN CHASE & CO            COMMON     46625H100       68       2267 SH  -    DEFINED 04                  0         0     2267
D JPMORGAN CHASE & CO            COMMON     46625H100    34160    1134120 SH  -    DEFINED 05            1134120         0        0
D JPMORGAN CHASE & CO            COMMON     46625H100    55084    1828830 SH  -    DEFINED 08            1828830         0        0
D JPMORGAN CHASE & CO            COMMON     46625H100     1367      45400 SH  -    DEFINED 09              45400         0        0
D JPMORGAN CHASE & CO            COMMON     46625H100     7644     253777 SH  -    DEFINED 09                  0         0        0
D JPMORGAN CHASE & CO            COMMON     46625H100      627      20810 SH  -    DEFINED 01               1980         0    18830
D JPMORGAN CHASE & CO            COMMON     46625H100      810      26881 SH  -    OTHER   01              19021      7000      360
D JPMORGAN CHASE & CO            COMMON     46625H100     3307     109792 SH  -    OTHER   10                  0         0   109792
D JPMORGAN CHASE & CO            COMMON     46625H365   429030   12600000 SH  -    DEFINED 05           12600000         0        0
D JPMORGAN CHASE & CO            COMMON     46625H365      289       8500 SH  -    OTHER   01               8500         0        0
D JPMORGAN CHASE & CO            COMMON     46625H365   147039    4318323 SH  -    DEFINED 10            4318323         0        0
D JPMORGAN CHASE & CO            COMMON     46625H365      201       5900 SH  -    OTHER   10                  0         0     5900

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 456
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D J2 GLOBAL COMMUNIC             COMMON     46626E205        4        137 SH  -    OTHER   02                  0       137        0
D J2 GLOBAL COMMUNIC             COMMON     46626E205      897      33338 SH  -    DEFINED 04              33338         0        0
D J2 GLOBAL COMMUNIC             COMMON     46626E205      581      21598 SH  -    DEFINED 05              21598         0        0
D JMP GROUP INC                  COMMON     46629U107     4658     801729 SH  -    DEFINED 04             757169         0    44560
D JMP GROUP INC                  COMMON     46629U107        5        899 SH  -    DEFINED 08                899         0        0
D JABIL CIRCUIT INC              COMMON     466313103        1         48 SH  -    DEFINED 02                 48         0        0
D JABIL CIRCUIT INC              COMMON     466313103       40       2244 SH  -    DEFINED 02               2100         0      144
D JABIL CIRCUIT INC              COMMON     466313103      301      16942 SH  -    OTHER   02                  0     16052      890
D JABIL CIRCUIT INC              COMMON     466313103        1         49 SH  -    OTHER   02                  0        12       37
D JABIL CIRCUIT INC              COMMON     466313103     3514     197526 SH  -    DEFINED 04             192309         0     5217
D JABIL CIRCUIT INC              COMMON     466313103      563      31646 SH  -    DEFINED 04              31646         0        0
D JABIL CIRCUIT INC              COMMON     466313103      407      22871 SH  -    DEFINED 05              22871         0        0
D JABIL CIRCUIT INC              COMMON     466313103      935      52583 SH  -    DEFINED 08              52583         0        0
D JPMORGAN CHASE & CO            WARRANT    46634E114      870      93500 SH  -    OTHER   02              83500         0    10000
D JPMORGAN CHASE & CO            COMMON     46634X823      612      14300 SH  -    DEFINED 08              14300         0        0
D JACK IN THE BOX                COMMON     466367109       13        660 SH  -    DEFINED 02                660         0        0
D JACK IN THE BOX                COMMON     466367109       64       3209 SH  -    OTHER   02                 56       340     2813
D JACK IN THE BOX                COMMON     466367109      169       8476 SH  -    OTHER   02                 20       361     8095
D JACK IN THE BOX                COMMON     466367109        1         31 SH  -    DEFINED 04                 31         0        0
D JACK IN THE BOX                COMMON     466367109      434      21766 SH  -    DEFINED 05              21766         0        0
D JACK IN THE BOX                COMMON     466367109       38       1897 SH  -    DEFINED 08               1897         0        0
D JACOBS ENGR GROUP INC DEL      COMMON     469814107       19        595 SH  -    DEFINED 02                  0       595        0
D JACOBS ENGR GROUP INC DEL      COMMON     469814107       50       1545 SH  -    DEFINED 02               1470         0       75
D JACOBS ENGR GROUP INC DEL      COMMON     469814107     1858      57552 SH  -    OTHER   02                 32     57520        0
D JACOBS ENGR GROUP INC DEL      COMMON     469814107      180       5560 SH  -    OTHER   02               2800        10     2750
D JACOBS ENGR GROUP INC DEL      COMMON     469814107      733      22708 SH  -    DEFINED 04              19056         0     3652

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 457
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D JACOBS ENGR GROUP INC DEL      COMMON     469814107      659      20399 SH  -    DEFINED 04              20399         0        0
D JACOBS ENGR GROUP INC DEL      COMMON     469814107      107       3329 SH  -    DEFINED 05               3329         0        0
D JACOBS ENGR GROUP INC DEL      COMMON     469814107       82       2535 SH  -    DEFINED 08               2535         0        0
D JACOBS ENGR GROUP INC DEL      COMMON     469814107      106       3279 SH  -    OTHER   01                  0      3279        0
D JACOBS ENGR GROUP INC DEL      COMMON     469814107     1191      36874 SH  -    OTHER   10                  0         0    36874
D JAGUAR MNG INC                 COMMON     47009M103       19       3994 SH  -    OTHER   02                  0      3994        0
D JAGUAR MNG INC                 COMMON     47009M103       26       5499 SH  -    DEFINED 08               5499         0        0
D JAGUAR MNG INC                 COMMON     47009M103        1        300 SH  -    OTHER   01                  0       300        0
D JAGUAR MNG INC                 COMMON     47009M103      322      68581 SH  -    OTHER   10                  0         0    68581
D JAKKS PAC INC                  COMMON     47012E106        0         24 SH  -    OTHER   02                  0        24        0
D JAKKS PAC INC                  COMMON     47012E106    10365     546965 SH  -    DEFINED 04             495865         0    51100
D JAKKS PAC INC                  COMMON     47012E106     2862     151008 SH  -    DEFINED 04             151008         0        0
D JAKKS PAC INC                  COMMON     47012E106      241      12699 SH  -    DEFINED 05              12699         0        0
D JAKKS PAC INC                  COMMON     47012E106      591      31163 SH  -    DEFINED 09              31163         0        0
D JANUS CAP GROUP INC            COMMON     47102X105        1         93 SH  -    DEFINED 02                 93         0        0
D JANUS CAP GROUP INC            COMMON     47102X105       13       2225 SH  -    DEFINED 02               2150         0       75
D JANUS CAP GROUP INC            COMMON     47102X105       56       9265 SH  -    OTHER   02                  0      9265        0
D JANUS CAP GROUP INC            COMMON     47102X105        1        101 SH  -    OTHER   02                  0       101        0
D JANUS CAP GROUP INC            COMMON     47102X105    17718    2953000 SH  -    DEFINED 04            2762716         0   190284
D JANUS CAP GROUP INC            COMMON     47102X105      391      65134 SH  -    DEFINED 04              65134         0        0
D JANUS CAP GROUP INC            COMMON     47102X105      327      54582 SH  -    DEFINED 05              54582         0        0
D JANUS CAP GROUP INC            COMMON     47102X105        0          1 SH  -    OTHER   10                  0         0        1
D JARDEN CORP                    COMMON     471109108       14        500 SH  -    DEFINED 02                500         0        0
D JARDEN CORP                    COMMON     471109108     1424      50374 SH  -    OTHER   02              47757       117     2500
D JARDEN CORP                    COMMON     471109108   122502    4334821 SH  -    DEFINED 04            4020402         0   314419
D JARDEN CORP                    COMMON     471109108     6351     224719 SH  -    DEFINED 04             224719         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 458
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D JARDEN CORP                    COMMON     471109108     1226      43400 SH  -    DEFINED 04              43400         0        0
D JARDEN CORP                    COMMON     471109108      584      20680 SH  -    OTHER   04                  0     20680        0
D JARDEN CORP                    COMMON     471109108     2997     106051 SH  -    OTHER   04                  0    106051        0
D JARDEN CORP                    COMMON     471109108      265       9372 SH  -    DEFINED 05               9372         0        0
D JARDEN CORP                    COMMON     471109108       62       2203 SH  -    DEFINED 08               2203         0        0
D JARDEN CORP                    COMMON     471109108        1         20 SH  -    OTHER   10                  0         0       20
D JAZZ PHARMACEUTICALS INC       COMMON     472147107        4        105 SH  -    OTHER   02                 30        75        0
D JAZZ PHARMACEUTICALS INC       COMMON     472147107      621      14956 SH  -    DEFINED 04              14956         0        0
D JAZZ PHARMACEUTICALS INC       COMMON     472147107     1209      29123 SH  -    DEFINED 04              29123         0        0
D JAZZ PHARMACEUTICALS INC       COMMON     472147107     2952      71134 SH  -    DEFINED 04              40204         0    30930
D JAZZ PHARMACEUTICALS INC       COMMON     472147107      497      11986 SH  -    DEFINED 05              11986         0        0
D JAZZ PHARMACEUTICALS INC       COMMON     472147107       56       1360 SH  -    DEFINED 08               1360         0        0
D JAZZ PHARMACEUTICALS INC       COMMON     472147107    11476     276536 SH  -    DEFINED 09             257264     19272        0
D JAZZ PHARMACEUTICALS INC       COMMON     472147107      758      18261 SH  -    DEFINED 09              18261         0        0
D JAZZ PHARMACEUTICALS INC       COMMON     472147107     5513     132833 SH  -    DEFINED 09             132833         0        0
D JAZZ PHARMACEUTICALS INC       COMMON     472147107      160       3863 SH  -    OTHER   09                  0      3863        0
D JAZZ PHARMACEUTICALS INC       COMMON     472147107       19        450 SH  -    OTHER   10                  0         0      450
D JEFFERIES GROUP INC NEW        BOND       472319AG7        5       6000 PRN -    DEFINED 02                  0         0        0
D JEFFERIES GROUP INC NEW        BOND       472319AG7      124     136000 PRN -    DEFINED 05                  0         0        0
D JEFFERIES GROUP INC NEW        BOND       472319AG7    13615   14900000 PRN -    DEFINED 09                  0         0        0
D JEFFERIES GROUP INC NEW        COMMON     472319102       14       1100 SH  -    DEFINED 02               1100         0        0
D JEFFERIES GROUP INC NEW        COMMON     472319102        4        297 SH  -    DEFINED 02                297         0        0
D JEFFERIES GROUP INC NEW        COMMON     472319102      591      47633 SH  -    OTHER   02               1480     39799     6354
D JEFFERIES GROUP INC NEW        COMMON     472319102        5        402 SH  -    OTHER   02                  0         0      402
D JEFFERIES GROUP INC NEW        COMMON     472319102     1923     154960 SH  -    DEFINED 04              16660         0   138300
D JEFFERIES GROUP INC NEW        COMMON     472319102      937      75527 SH  -    DEFINED 04              75527         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 459
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D JEFFERIES GROUP INC NEW        COMMON     472319102      524      42248 SH  -    DEFINED 05              42248         0        0
D JEFFERIES GROUP INC NEW        COMMON     472319102        3        214 SH  -    DEFINED 06                214         0        0
D JEFFERIES GROUP INC NEW        COMMON     472319102      498      40168 SH  -    DEFINED 08              40168         0        0
D JETBLUE AIRWAYS CORP           BOND       477143AG6       36      31000 PRN -    DEFINED 02                  0         0        0
D JETBLUE AIRWAYS CORP           BOND       477143AG6      175     149000 PRN -    OTHER   02                  0         0        0
D JETBLUE AIRWAYS CORP           COMMON     477143101       16       3962 SH  -    OTHER   02                  0      3962        0
D JETBLUE AIRWAYS CORP           COMMON     477143101     1858     454300 SH  -    DEFINED 04             454300         0        0
D JETBLUE AIRWAYS CORP           COMMON     477143101     2874     702672 SH  -    DEFINED 04             702672         0        0
D JETBLUE AIRWAYS CORP           COMMON     477143101        0          1 SH  -    DEFINED 05                  1         0        0
D JETBLUE AIRWAYS CORP           COMMON     477143101      137      33606 SH  -    DEFINED 08              33606         0        0
D JETBLUE AIRWAYS CORP           COMMON     477143101        5       1203 SH  -    OTHER   01                  0      1203        0
D JETBLUE AIRWAYS CORP           COMMON     477143101      270      65930 SH  -    OTHER   10                  0         0    65930
D JINKOSOLAR HLDG CO LTD         ADR        47759T100      559     115000 SH  -    DEFINED 05             115000         0        0
D JOHN BEAN TECHNOLOGIES CORP    COMMON     477839104      121       8485 SH  -    OTHER   02                  0      3608     4877
D JOHN BEAN TECHNOLOGIES CORP    COMMON     477839104       64       4503 SH  -    OTHER   02                  0      4150      353
D JOHN BEAN TECHNOLOGIES CORP    COMMON     477839104      290      20344 SH  -    DEFINED 04              20344         0        0
D JOHN BEAN TECHNOLOGIES CORP    COMMON     477839104      191      13372 SH  -    DEFINED 05              13372         0        0
D JOHNSON & JOHNSON              COMMON     478160104   126325    1983442 SH  -    DEFINED 02            1840800     12970   129672
D JOHNSON & JOHNSON              COMMON     478160104    44060     691796 SH  -    DEFINED 02             676205       370    15221
D JOHNSON & JOHNSON              COMMON     478160104      103       1620 SH  -    DEFINED 02               1620         0        0
D JOHNSON & JOHNSON              COMMON     478160104     2412      37864 SH  -    DEFINED 02              32211         0     5653
D JOHNSON & JOHNSON              COMMON     478160104   116289    1825867 SH  -    OTHER   02             894872    656952   270556
D JOHNSON & JOHNSON              COMMON     478160104    30596     480395 SH  -    OTHER   02             385646     30696    64053
D JOHNSON & JOHNSON              COMMON     478160104    10179     159822 SH  -    OTHER   02                  0    159822        0
D JOHNSON & JOHNSON              COMMON     478160104     4591      72080 SH  -    OTHER   02                  0     72080        0
D JOHNSON & JOHNSON              COMMON     478160104     4623      72585 SH  -    OTHER   02                  0     72585        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 460
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D JOHNSON & JOHNSON              COMMON     478160104   583287    9158213 SH  -    DEFINED 04            7358680         0  1799533
D JOHNSON & JOHNSON              COMMON     478160104    45348     712011 SH  -    DEFINED 04             712011         0        0
D JOHNSON & JOHNSON              COMMON     478160104    28377     445545 SH  -    DEFINED 04             445545         0        0
D JOHNSON & JOHNSON              COMMON     478160104      112       1765 SH  -    DEFINED 04               1765         0        0
D JOHNSON & JOHNSON              COMMON     478160104    10939     171749 SH  -    DEFINED 04             100621         0    71128
D JOHNSON & JOHNSON              COMMON     478160104      151       2365 SH  -    DEFINED 04                  0         0     2365
D JOHNSON & JOHNSON              COMMON     478160104    25509     400510 SH  -    OTHER   04                  0    400510        0
D JOHNSON & JOHNSON              COMMON     478160104   321126    5042013 SH  -    DEFINED 05            5042013         0        0
D JOHNSON & JOHNSON              COMMON     478160104      296       4653 SH  -    DEFINED 06               4653         0        0
D JOHNSON & JOHNSON              COMMON     478160104    18023     282985 SH  -    DEFINED 08             282985         0        0
D JOHNSON & JOHNSON              COMMON     478160104    45073     707688 SH  -    DEFINED 09             664995     42693        0
D JOHNSON & JOHNSON              COMMON     478160104     2823      44323 SH  -    DEFINED 09              44323         0        0
D JOHNSON & JOHNSON              COMMON     478160104    19347     303761 SH  -    DEFINED 09             303761         0        0
D JOHNSON & JOHNSON              COMMON     478160104      483       7582 SH  -    OTHER   09                  0      7582        0
D JOHNSON & JOHNSON              COMMON     478160104    54265     852010 SH  -    DEFINED 01             846360      2105     3545
D JOHNSON & JOHNSON              COMMON     478160104     5105      80153 SH  -    OTHER   01              48738     26604     4811
D JOHNSON & JOHNSON              COMMON     478160104    32053     503264 SH  -    OTHER   10                  0         0   503264
D JOHNSON & JOHNSON              OPTION     478160906    87122    1367900 SH  C    DEFINED 05            1367900         0        0
D JOHNSON & JOHNSON              OPTION     478160906    17477     274400 SH  C    DEFINED 08             274400         0        0
D JOHNSON & JOHNSON              OPTION     478160955    62302     978200 SH  P    DEFINED 05             978200         0        0
D JOHNSON & JOHNSON              OPTION     478160955     7560     118700 SH  P    DEFINED 08             118700         0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107    36556    1386256 SH  -    DEFINED 02            1173970     12761   199525
D JOHNSON CONTROLS, INC.         COMMON     478366107    13292     504053 SH  -    DEFINED 02             487997       355    15701
D JOHNSON CONTROLS, INC.         COMMON     478366107      649      24597 SH  -    DEFINED 02              24597         0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107     1554      58937 SH  -    DEFINED 02              21511         0    37426
D JOHNSON CONTROLS, INC.         COMMON     478366107    15998     606658 SH  -    OTHER   02             336878    206249    63496

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 461
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D JOHNSON CONTROLS, INC.         COMMON     478366107     4553     172667 SH  -    OTHER   02             161573      3955     7139
D JOHNSON CONTROLS, INC.         COMMON     478366107      563      21366 SH  -    OTHER   02                  0     21366        0
D JOHNSON CONTROLS, INC.         COMMON     478366107      243       9205 SH  -    OTHER   02                  0      9205        0
D JOHNSON CONTROLS, INC.         COMMON     478366107     1236      46858 SH  -    OTHER   02                  0     46858        0
D JOHNSON CONTROLS, INC.         COMMON     478366107       42       1584 SH  -    OTHER   02                  0      1584        0
D JOHNSON CONTROLS, INC.         COMMON     478366107   592691   22475973 SH  -    DEFINED 04           19599562         0  2876411
D JOHNSON CONTROLS, INC.         COMMON     478366107    13955     529207 SH  -    DEFINED 04             529207         0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107    53042    2011437 SH  -    DEFINED 04            2011437         0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107      146       5525 SH  -    DEFINED 04               5525         0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107      300      11358 SH  -    DEFINED 04                  0         0    11358
D JOHNSON CONTROLS, INC.         COMMON     478366107    23256     881916 SH  -    OTHER   04                  0    881916        0
D JOHNSON CONTROLS, INC.         COMMON     478366107     5454     206834 SH  -    DEFINED 05             206834         0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107      181       6864 SH  -    DEFINED 06               6864         0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107     1651      62614 SH  -    DEFINED 09              62614         0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107     1331      50460 SH  -    OTHER   09                  0     50460        0
D JOHNSON CONTROLS, INC.         COMMON     478366107    19331     733068 SH  -    DEFINED 01             714813      4700    13555
D JOHNSON CONTROLS, INC.         COMMON     478366107      754      28606 SH  -    OTHER   01              16096      4735     7775
D JOHNSON CONTROLS, INC.         COMMON     478366107      382      14503 SH  -    OTHER   10                  0         0    14503
D JONES LANG LASALLE INC         COMMON     48020Q107       28        535 SH  -    DEFINED 02                535         0        0
D JONES LANG LASALLE INC         COMMON     48020Q107       17        325 SH  -    OTHER   02                  0       325        0
D JONES LANG LASALLE INC         COMMON     48020Q107       14        269 SH  -    OTHER   02                  5        15      249
D JONES LANG LASALLE INC         COMMON     48020Q107      586      11303 SH  -    DEFINED 04              11303         0        0
D JONES LANG LASALLE INC         COMMON     48020Q107     1562      30151 SH  -    DEFINED 04              30151         0        0
D JONES LANG LASALLE INC         COMMON     48020Q107       34        659 SH  -    DEFINED 05                659         0        0
D JONES LANG LASALLE INC         COMMON     48020Q107      167       3227 SH  -    DEFINED 08               3227         0        0
D JONES LANG LASALLE INC         COMMON     48020Q107        7        144 SH  -    OTHER   10                  0         0      144

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 462
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D JONES GROUP INC                COMMON     48020T101        0         34 SH  -    DEFINED 02                 34         0        0
D JONES GROUP INC                COMMON     48020T101        5        507 SH  -    OTHER   02                  0       507        0
D JONES GROUP INC                COMMON     48020T101       10       1069 SH  -    DEFINED 04               1069         0        0
D JONES GROUP INC                COMMON     48020T101        0         48 SH  -    OTHER   04                  0        48        0
D JONES GROUP INC                COMMON     48020T101       12       1322 SH  -    DEFINED 05               1322         0        0
D JONES GROUP INC                COMMON     48020T101      193      20939 SH  -    DEFINED 08              20939         0        0
D JOS A BANK CLOTHIERS INC       COMMON     480838101        1         22 SH  -    OTHER   02                 22         0        0
D JOS A BANK CLOTHIERS INC       COMMON     480838101      306       6563 SH  -    OTHER   02                  0         0     6563
D JOS A BANK CLOTHIERS INC       COMMON     480838101      334       7163 SH  -    DEFINED 04               7163         0        0
D JOS A BANK CLOTHIERS INC       COMMON     480838101      610      13080 SH  -    DEFINED 05              13080         0        0
D JOURNAL COMMUNICATIONS INC     COMMON     481130102        2        674 SH  -    OTHER   02                  0       674        0
D JOURNAL COMMUNICATIONS INC     COMMON     481130102     1431     481655 SH  -    DEFINED 04             429355         0    52300
D JOURNAL COMMUNICATIONS INC     COMMON     481130102      280      94200 SH  -    DEFINED 04              94200         0        0
D JOURNAL COMMUNICATIONS INC     COMMON     481130102       13       4281 SH  -    DEFINED 05               4281         0        0
D JOURNAL COMMUNICATIONS INC     COMMON     481130102        8       2573 SH  -    DEFINED 08               2573         0        0
D JOY GLOBAL INC                 COMMON     481165108        4         65 SH  -    DEFINED 02                 65         0        0
D JOY GLOBAL INC                 COMMON     481165108       80       1282 SH  -    DEFINED 02               1211         0       71
D JOY GLOBAL INC                 COMMON     481165108       74       1188 SH  -    OTHER   02                  0      1188        0
D JOY GLOBAL INC                 COMMON     481165108        1         10 SH  -    OTHER   02                  0        10        0
D JOY GLOBAL INC                 COMMON     481165108    59294     950531 SH  -    DEFINED 04             639810         0   310721
D JOY GLOBAL INC                 COMMON     481165108    16384     262650 SH  -    DEFINED 04             262650         0        0
D JOY GLOBAL INC                 COMMON     481165108     5401      86590 SH  -    DEFINED 04              86590         0        0
D JOY GLOBAL INC                 COMMON     481165108       37        596 SH  -    DEFINED 04                596         0        0
D JOY GLOBAL INC                 COMMON     481165108       47        750 SH  -    DEFINED 04                750         0        0
D JOY GLOBAL INC                 COMMON     481165108       12        198 SH  -    DEFINED 04                  0         0      198
D JOY GLOBAL INC                 COMMON     481165108      140       2243 SH  -    OTHER   04                  0      2243        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 463
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D JOY GLOBAL INC                 COMMON     481165108     5099      81741 SH  -    DEFINED 05              81741         0        0
D JOY GLOBAL INC                 COMMON     481165108      235       3765 SH  -    DEFINED 09               3765         0        0
D JOY GLOBAL INC                 COMMON     481165108      312       5000 SH  -    OTHER   01               5000         0        0
D JOY GLOBAL INC                 COMMON     481165108       67       1076 SH  -    OTHER   10                  0         0     1076
D JUNIPER NETWORKS               COMMON     48203R104    15358     889806 SH  -    DEFINED 02             774357      7959   107490
D JUNIPER NETWORKS               COMMON     48203R104     4528     262342 SH  -    DEFINED 02             254877       272     7193
D JUNIPER NETWORKS               COMMON     48203R104      421      24398 SH  -    DEFINED 02              11037         0    13361
D JUNIPER NETWORKS               COMMON     48203R104     4353     252173 SH  -    OTHER   02             159729     57103    35180
D JUNIPER NETWORKS               COMMON     48203R104      496      28723 SH  -    OTHER   02              25416      1278     2029
D JUNIPER NETWORKS               COMMON     48203R104       97       5620 SH  -    OTHER   02                  0      5620        0
D JUNIPER NETWORKS               COMMON     48203R104       88       5114 SH  -    OTHER   02                  0      5114        0
D JUNIPER NETWORKS               COMMON     48203R104      226      13108 SH  -    OTHER   02                  0     13108        0
D JUNIPER NETWORKS               COMMON     48203R104   105545    6115019 SH  -    DEFINED 04            5314136         0   800883
D JUNIPER NETWORKS               COMMON     48203R104     1890     109482 SH  -    DEFINED 04             109482         0        0
D JUNIPER NETWORKS               COMMON     48203R104    11744     680401 SH  -    DEFINED 04             680401         0        0
D JUNIPER NETWORKS               COMMON     48203R104       29       1653 SH  -    DEFINED 04               1653         0        0
D JUNIPER NETWORKS               COMMON     48203R104       45       2625 SH  -    DEFINED 04                  0         0     2625
D JUNIPER NETWORKS               COMMON     48203R104    10917     632485 SH  -    OTHER   04                  0    632485        0
D JUNIPER NETWORKS               COMMON     48203R104     1424      82519 SH  -    DEFINED 05              82519         0        0
D JUNIPER NETWORKS               COMMON     48203R104     2092     121191 SH  -    DEFINED 08             121191         0        0
D JUNIPER NETWORKS               COMMON     48203R104      150       8718 SH  -    DEFINED 09               8718         0        0
D JUNIPER NETWORKS               COMMON     48203R104      819      47447 SH  -    DEFINED 01              40957      3420     3070
D JUNIPER NETWORKS               COMMON     48203R104      368      21293 SH  -    OTHER   01              11642      4058     5593
D JUNIPER NETWORKS               COMMON     48203R104     2350     136175 SH  -    OTHER   10                  0         0   136175
D JUNIPER NETWORKS               OPTION     48203R906     1137      65900 SH  C    DEFINED 05              65900         0        0
D JUNIPER NETWORKS               OPTION     48203R955       60       3500 SH  P    DEFINED 05               3500         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 464
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KAR AUCTION SVCS INC           COMMON     48238T109    27044    2233170 SH  -    DEFINED 04            2090103         0   143067
D KAR AUCTION SVCS INC           COMMON     48238T109     1907     157500 SH  -    DEFINED 04             157500         0        0
D KAR AUCTION SVCS INC           COMMON     48238T109        7        617 SH  -    DEFINED 05                617         0        0
D KB FINANCIAL GROUP INC         ADR        48241A105        1         40 SH  -    DEFINED 02                 40         0        0
D KB FINANCIAL GROUP INC         ADR        48241A105     2693      82219 SH  -    OTHER   09                  0     82219        0
D KBR INC                        COMMON     48242W106       12        525 SH  -    DEFINED 02                525         0        0
D KBR INC                        COMMON     48242W106        3        127 SH  -    DEFINED 02                127         0        0
D KBR INC                        COMMON     48242W106       99       4175 SH  -    OTHER   02                  0      4175        0
D KBR INC                        COMMON     48242W106    18826     796690 SH  -    DEFINED 04             706790         0    89900
D KBR INC                        COMMON     48242W106     7323     309911 SH  -    DEFINED 04             309911         0        0
D KBR INC                        COMMON     48242W106      103       4361 SH  -    DEFINED 04               4361         0        0
D KBR INC                        COMMON     48242W106       18        750 SH  -    DEFINED 04                750         0        0
D KBR INC                        COMMON     48242W106      774      32737 SH  -    OTHER   04                  0     32737        0
D KBR INC                        COMMON     48242W106       88       3725 SH  -    DEFINED 05               3725         0        0
D KBR INC                        COMMON     48242W106      941      39809 SH  -    DEFINED 08              39809         0        0
D KBR INC                        COMMON     48242W106       95       4000 SH  -    DEFINED 09               4000         0        0
D KBR INC                        COMMON     48242W106        2         77 SH  -    OTHER   10                  0         0       77
D KBW INC                        COMMON     482423100        2        142 SH  -    OTHER   02                  0       142        0
D KBW INC                        COMMON     482423100    24614    1784901 SH  -    DEFINED 04            1660775         0   124126
D KBW INC                        COMMON     482423100       49       3523 SH  -    DEFINED 05               3523         0        0
D KBW INC                        COMMON     482423100       56       4051 SH  -    DEFINED 08               4051         0        0
D KIT DIGITAL INC                COMMON     482470200        5        568 SH  -    OTHER   02                  0       568        0
D KIT DIGITAL INC                COMMON     482470200      346      41187 SH  -    DEFINED 05              41187         0        0
D KIT DIGITAL INC                COMMON     482470200       18       2155 SH  -    DEFINED 08               2155         0        0
D KKR FINANCIAL HLDGS LLC        BOND       48248AAB4       31      30000 PRN -    DEFINED 05                  0         0        0
D KKR FINANCIAL HLDGS LLC        BOND       48248AAD0      298     244000 PRN -    DEFINED 09                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 465
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KKR FINANCIAL HLDGS LLC        COMMON     48248A306        8       1113 SH  -    OTHER   02                  0      1113        0
D KKR FINANCIAL HLDGS LLC        COMMON     48248A306     3550     477829 SH  -    DEFINED 04             477829         0        0
D KKR FINANCIAL HLDGS LLC        COMMON     48248A306     1894     254942 SH  -    DEFINED 04             254942         0        0
D KKR FINANCIAL HLDGS LLC        COMMON     48248A306       46       6200 SH  -    OTHER   10                  0         0     6200
D KKR & CO L P DEL               COMMON     48248M102       12       1200 SH  -    DEFINED 05               1200         0        0
D KKR & CO L P DEL               COMMON     48248M102        0          2 SH  -    DEFINED 06                  2         0        0
D KKR & CO L P DEL               COMMON     48248M102     1014      97500 SH  -    DEFINED 09                  0         0    97500
D KKR & CO L P DEL               COMMON     48248M102       57       5475 SH  -    OTHER   10                  0         0     5475
D KLA-TENCOR CORP                COMMON     482480100      240       6276 SH  -    DEFINED 02               6276         0        0
D KLA-TENCOR CORP                COMMON     482480100      734      19164 SH  -    DEFINED 02              19042         0      122
D KLA-TENCOR CORP                COMMON     482480100       79       2059 SH  -    DEFINED 02               1924         0      135
D KLA-TENCOR CORP                COMMON     482480100     1111      29030 SH  -    OTHER   02               4100     23549     1381
D KLA-TENCOR CORP                COMMON     482480100      186       4867 SH  -    OTHER   02               1485        87     3295
D KLA-TENCOR CORP                COMMON     482480100    15339     400716 SH  -    DEFINED 04             322735         0    77981
D KLA-TENCOR CORP                COMMON     482480100     6306     164732 SH  -    DEFINED 04             164732         0        0
D KLA-TENCOR CORP                COMMON     482480100      121       3163 SH  -    DEFINED 05               3163         0        0
D KLA-TENCOR CORP                COMMON     482480100       77       2014 SH  -    OTHER   09                  0      2014        0
D KLA-TENCOR CORP                COMMON     482480100      213       5555 SH  -    DEFINED 01               5500         0       55
D KLA-TENCOR CORP                COMMON     482480100      293       7649 SH  -    OTHER   01               6200      1309      140
D KLA-TENCOR CORP                OPTION     482480902     4976     130000 SH  C    DEFINED 05             130000         0        0
D KT CORPORATION                 ADR        48268K101      142       9625 SH  -    OTHER   02                  0      9625        0
D KT CORPORATION                 ADR        48268K101      548      37090 SH  -    DEFINED 04                  0         0    37090
D KT CORPORATION                 ADR        48268K101    17909    1211701 SH  -    DEFINED 04            1160261         0        0
D KT CORPORATION                 ADR        48268K101      177      12001 SH  -    DEFINED 06              12001         0        0
D KT CORPORATION                 ADR        48268K101     7422     502186 SH  -    DEFINED 08             502186         0        0
D KT CORPORATION                 ADR        48268K101     9680     654938 SH  -    DEFINED 09             654938         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 466
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KT CORPORATION                 ADR        48268K101      435      29407 SH  -    OTHER   09                  0     29407        0
D K-SWISS INC                    COMMON     482686102        3        660 SH  -    OTHER   02                  0       660        0
D K-SWISS INC                    COMMON     482686102       34       7950 SH  -    DEFINED 04               7950         0        0
D K-SWISS INC                    COMMON     482686102       54      12782 SH  -    DEFINED 05              12782         0        0
D K12 INC                        COMMON     48273U102      602      23662 SH  -    OTHER   02                 44     23618        0
D K12 INC                        COMMON     48273U102       11        433 SH  -    DEFINED 05                433         0        0
D K12 INC                        COMMON     48273U102       41       1592 SH  -    DEFINED 08               1592         0        0
D K12 INC                        COMMON     48273U102       67       2614 SH  -    OTHER   01                  0      2614        0
D K12 INC                        COMMON     48273U102       61       2386 SH  -    OTHER   10                  0         0     2386
D KADANT INC                     COMMON     48282T104       11        594 SH  -    OTHER   02                  0       309      285
D KADANT INC                     COMMON     48282T104        0         12 SH  -    OTHER   02                  0         6        6
D KADANT INC                     COMMON     48282T104     3006     169250 SH  -    DEFINED 04             151150         0    18100
D KADANT INC                     COMMON     48282T104        3        187 SH  -    DEFINED 05                187         0        0
D KADANT INC                     COMMON     48282T104       13        730 SH  -    DEFINED 08                730         0        0
D KADANT INC                     COMMON     48282T104        2        124 SH  -    OTHER   10                  0         0      124
D KAISER ALUMINUM CORP           COMMON     483007704        7        147 SH  -    DEFINED 02                147         0        0
D KAISER ALUMINUM CORP           COMMON     483007704     1163      26273 SH  -    OTHER   02                650     25623        0
D KAISER ALUMINUM CORP           COMMON     483007704        4        100 SH  -    OTHER   02                  0         0      100
D KAISER ALUMINUM CORP           COMMON     483007704      470      10617 SH  -    DEFINED 04              10617         0        0
D KAISER ALUMINUM CORP           COMMON     483007704      384       8669 SH  -    DEFINED 05               8669         0        0
D KAISER ALUMINUM CORP           COMMON     483007704     8957     202271 SH  -    DEFINED 08             202271         0        0
D KAISER ALUMINUM CORP           COMMON     483007704      209       4710 SH  -    OTHER   01                  0      4710        0
D KAISER ALUMINUM CORP           COMMON     483007704        0          2 SH  -    OTHER   10                  0         0        2
D KAMAN CORP                     COMMON     483548103        3        109 SH  -    DEFINED 02                109         0        0
D KAMAN CORP                     COMMON     483548103        3        100 SH  -    OTHER   02                  0         0      100
D KAMAN CORP                     COMMON     483548103      527      18913 SH  -    DEFINED 04              18913         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 467
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KAMAN CORP                     COMMON     483548103      341      12241 SH  -    DEFINED 05              12241         0        0
D KANSAS CITY STHN I             COMMON     485170302      189       3788 SH  -    DEFINED 02               3788         0        0
D KANSAS CITY STHN I             COMMON     485170302     4234      84745 SH  -    DEFINED 02              84745         0        0
D KANSAS CITY STHN I             COMMON     485170302      415       8300 SH  -    OTHER   02               1000      6533      713
D KANSAS CITY STHN I             COMMON     485170302       10        204 SH  -    OTHER   02                  6        16      182
D KANSAS CITY STHN I             COMMON     485170302    22162     443586 SH  -    DEFINED 04             426135         0    17451
D KANSAS CITY STHN I             COMMON     485170302     6158     123249 SH  -    DEFINED 04             123249         0        0
D KANSAS CITY STHN I             COMMON     485170302     5690     113896 SH  -    DEFINED 04              87316         0    26580
D KANSAS CITY STHN I             COMMON     485170302      126       2527 SH  -    DEFINED 05               2527         0        0
D KANSAS CITY STHN I             COMMON     485170302    32724     655008 SH  -    DEFINED 09             639096     15912        0
D KANSAS CITY STHN I             COMMON     485170302     1720      34423 SH  -    DEFINED 09              34423         0        0
D KANSAS CITY STHN I             COMMON     485170302     5682     113739 SH  -    DEFINED 09             113739         0        0
D KANSAS CITY STHN I             COMMON     485170302     3710      74250 SH  -    DEFINED 09                  0         0        0
D KANSAS CITY STHN I             COMMON     485170302      540      10801 SH  -    OTHER   09                  0     10801        0
D KANSAS CITY STHN I             COMMON     485170302        3         69 SH  -    OTHER   01                  0        69        0
D KANSAS CITY STHN I             COMMON     485170302        4         71 SH  -    OTHER   10                  0         0       71
D KAPSTONE PAPER & PACKAGING CRP COMMON     48562P103       68       4921 SH  -    OTHER   02                 81      1650     3190
D KAPSTONE PAPER & PACKAGING CRP COMMON     48562P103      386      27768 SH  -    DEFINED 04              27768         0        0
D KAPSTONE PAPER & PACKAGING CRP COMMON     48562P103      252      18167 SH  -    DEFINED 05              18167         0        0
D KAYDON CORP                    COMMON     486587108        2         60 SH  -    DEFINED 02                 60         0        0
D KAYDON CORP                    COMMON     486587108       18        640 SH  -    DEFINED 02                640         0        0
D KAYDON CORP                    COMMON     486587108       66       2300 SH  -    OTHER   02                  0      2300        0
D KAYDON CORP                    COMMON     486587108    10007     348921 SH  -    DEFINED 04             323941         0    24980
D KAYDON CORP                    COMMON     486587108      433      15094 SH  -    DEFINED 05              15094         0        0
D KB HOME                        COMMON     48666K109        1        220 SH  -    DEFINED 02                110         0      110
D KB HOME                        COMMON     48666K109        6       1048 SH  -    DEFINED 02               1048         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 468
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KB HOME                        COMMON     48666K109        4        724 SH  -    OTHER   02                300       424        0
D KB HOME                        COMMON     48666K109        1        130 SH  -    OTHER   02                 88        42        0
D KB HOME                        COMMON     48666K109      302      51619 SH  -    DEFINED 04              51619         0        0
D KB HOME                        COMMON     48666K109        0         12 SH  -    OTHER   04                  0        12        0
D KB HOME                        COMMON     48666K109       53       9002 SH  -    DEFINED 05               9002         0        0
D KB HOME                        COMMON     48666K109     1630     278164 SH  -    DEFINED 08             278164         0        0
D KB HOME                        COMMON     48666K109        0         50 SH  -    DEFINED 01                 50         0        0
D KEEGAN RES INC                 COMMON     487275109      155      30750 SH  -    DEFINED 04              30750         0        0
D KEEGAN RES INC                 COMMON     487275109       20       3985 SH  -    DEFINED 08               3985         0        0
D KEEGAN RES INC                 COMMON     487275109    17725    3516875 SH  -    DEFINED 09            3516875         0        0
D KEEGAN RES INC                 COMMON     487275109     1809     359000 SH  -    DEFINED 09             359000         0        0
D KELLOGG CO                     COMMON     487836108    68257    1283274 SH  -    DEFINED 02            1250479       625    32170
D KELLOGG CO                     COMMON     487836108    16597     312031 SH  -    DEFINED 02             311066        40      925
D KELLOGG CO                     COMMON     487836108      164       3087 SH  -    DEFINED 02               2879         0      208
D KELLOGG CO                     COMMON     487836108     6245     117414 SH  -    OTHER   02              79753     17265    20386
D KELLOGG CO                     COMMON     487836108     1112      20902 SH  -    OTHER   02              19558       283     1061
D KELLOGG CO                     COMMON     487836108     9246     173838 SH  -    OTHER   02                  0    173838        0
D KELLOGG CO                     COMMON     487836108     4113      77327 SH  -    OTHER   02                  0     77327        0
D KELLOGG CO                     COMMON     487836108     3921      73718 SH  -    OTHER   02                  0     73718        0
D KELLOGG CO                     COMMON     487836108    44843     843069 SH  -    DEFINED 04             458918         0   384151
D KELLOGG CO                     COMMON     487836108     2163      40660 SH  -    DEFINED 04              40660         0        0
D KELLOGG CO                     COMMON     487836108      327       6149 SH  -    DEFINED 04               6149         0        0
D KELLOGG CO                     COMMON     487836108       51        966 SH  -    DEFINED 04                  0         0      966
D KELLOGG CO                     COMMON     487836108     5723     107593 SH  -    OTHER   04                  0    107593        0
D KELLOGG CO                     COMMON     487836108     5419     101888 SH  -    DEFINED 05             101888         0        0
D KELLOGG CO                     COMMON     487836108     7810     146839 SH  -    DEFINED 08             146839         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 469
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KELLOGG CO                     COMMON     487836108      653      12273 SH  -    DEFINED 01              11248       600      425
D KELLOGG CO                     COMMON     487836108      164       3087 SH  -    OTHER   01               1522       575      990
D KELLOGG CO                     COMMON     487836108      104       1946 SH  -    OTHER   10                  0         0     1946
D KELLOGG CO                     OPTION     487836959       74       1400 SH  P    DEFINED 05               1400         0        0
D KELLY SERVICES INC             COMMON     488152208     2147     188334 SH  -    DEFINED 02             188334         0        0
D KELLY SERVICES INC             COMMON     488152208        5        400 SH  -    OTHER   02                  0       400        0
D KELLY SERVICES INC             COMMON     488152208    11254     987214 SH  -    OTHER   02             186470    717322    83422
D KELLY SERVICES INC             COMMON     488152208     2424     212600 SH  -    DEFINED 04             197300         0    15300
D KELLY SERVICES INC             COMMON     488152208      219      19204 SH  -    DEFINED 04              19204         0        0
D KELLY SERVICES INC             COMMON     488152208      151      13257 SH  -    DEFINED 05              13257         0        0
D KELLY SERVICES INC             COMMON     488152208       12       1041 SH  -    OTHER   10                  0         0     1041
D KELLY SVCS INC                 COMMON     488152307     1177     108206 SH  -    DEFINED 02             108206         0        0
D KELLY SVCS INC                 COMMON     488152307      930      85494 SH  -    OTHER   02               5272     71950     8272
D KEMPER CORP DEL                COMMON     488401100      129       5399 SH  -    OTHER   02               1185      4074        0
D KEMPER CORP DEL                COMMON     488401100      304      12699 SH  -    DEFINED 04              12699         0        0
D KEMPER CORP DEL                COMMON     488401100       19        777 SH  -    DEFINED 05                777         0        0
D KEMPER CORP DEL                COMMON     488401100      296      12362 SH  -    DEFINED 08              12362         0        0
D KENNAMETAL INC                 COMMON     489170100        4        136 SH  -    DEFINED 02                136         0        0
D KENNAMETAL INC                 COMMON     489170100       27        834 SH  -    OTHER   02                  0       634      200
D KENNAMETAL INC                 COMMON     489170100       77       2355 SH  -    OTHER   02                400         0     1955
D KENNAMETAL INC                 COMMON     489170100     3506     107080 SH  -    DEFINED 04              35480         0    71600
D KENNAMETAL INC                 COMMON     489170100     6075     185559 SH  -    DEFINED 04             185559         0        0
D KENNAMETAL INC                 COMMON     489170100     1045      31921 SH  -    DEFINED 05              31921         0        0
D KENNAMETAL INC                 COMMON     489170100       22        678 SH  -    DEFINED 08                678         0        0
D KENSEY NASH CORP               COMMON     490057106      176       7179 SH  -    DEFINED 04               7179         0        0
D KENSEY NASH CORP               COMMON     490057106      367      14986 SH  -    DEFINED 05              14986         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 470
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KERYX BIOPHARMACEU             COMMON     492515101      326     108509 SH  -    DEFINED 05             108509         0        0
D KERYX BIOPHARMACEU             COMMON     492515101       14       4557 SH  -    DEFINED 08               4557         0        0
D KEY ENERGY SERVICE             COMMON     492914106        1         89 SH  -    OTHER   02                  0        89        0
D KEY ENERGY SERVICE             COMMON     492914106      314      33088 SH  -    DEFINED 04              33088         0        0
D KEY ENERGY SERVICE             COMMON     492914106     3136     330425 SH  -    DEFINED 04             330425         0        0
D KEY ENERGY SERVICE             COMMON     492914106       63       6680 SH  -    DEFINED 05               6680         0        0
D KEY ENERGY SERVICE             COMMON     492914106      600      63200 SH  -    DEFINED 08              63200         0        0
D KEY ENERGY SERVICE             COMMON     492914106        0          1 SH  -    OTHER   10                  0         0        1
D KEYCORP                        COMMON     493267108      139      23414 SH  -    DEFINED 02                214     23200        0
D KEYCORP                        COMMON     493267108       12       2073 SH  -    DEFINED 02               2073         0        0
D KEYCORP                        COMMON     493267108       69      11606 SH  -    DEFINED 02              10981         0      625
D KEYCORP                        COMMON     493267108      808     136241 SH  -    OTHER   02               2780    110526    22386
D KEYCORP                        COMMON     493267108       16       2738 SH  -    OTHER   02                500        48     2190
D KEYCORP                        COMMON     493267108     3283     553680 SH  -    DEFINED 04             526400         0    27280
D KEYCORP                        COMMON     493267108     2682     452292 SH  -    DEFINED 04             452292         0        0
D KEYCORP                        COMMON     493267108       55       9201 SH  -    DEFINED 04               9201         0        0
D KEYCORP                        COMMON     493267108      161      27128 SH  -    OTHER   04                  0     27128        0
D KEYCORP                        COMMON     493267108    19269    3249414 SH  -    DEFINED 05            3249414         0        0
D KEYCORP                        COMMON     493267108       10       1686 SH  -    DEFINED 06               1686         0        0
D KEYCORP                        COMMON     493267108     1030     173658 SH  -    DEFINED 08             173658         0        0
D KEYCORP                        COMMON     493267108      486      81900 SH  -    OTHER   09                  0     81900        0
D KEYCORP                        COMMON     493267108        9       1563 SH  -    OTHER   10                  0         0     1563
D KEYCORP NEW                    PREF CONV  493267405     2550      25000 SH  -    DEFINED 09                  0         0        0
D KEYNOTE SYS INC                COMMON     493308100      644      30500 SH  -    DEFINED 04              23200         0     7300
D KEYNOTE SYS INC                COMMON     493308100        4        212 SH  -    DEFINED 05                212         0        0
D KEYNOTE SYS INC                COMMON     493308100      356      16834 SH  -    DEFINED 08              16834         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 471
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KID BRANDS INC                 COMMON     49375T100       32      12148 SH  -    DEFINED 04              12148         0        0
D KID BRANDS INC                 COMMON     49375T100       20       7641 SH  -    DEFINED 05               7641         0        0
D KILROY RLTY CORP               COMMON     49427F108      798      25500 SH  -    DEFINED 02              25500         0        0
D KILROY RLTY CORP               COMMON     49427F108    17543     560494 SH  -    DEFINED 04             482501         0    77993
D KILROY RLTY CORP               COMMON     49427F108     1184      37823 SH  -    DEFINED 04              37823         0        0
D KILROY RLTY CORP               COMMON     49427F108      282       9000 SH  -    DEFINED 04               9000         0        0
D KILROY RLTY CORP               COMMON     49427F108       63       2000 SH  -    DEFINED 04               2000         0        0
D KILROY RLTY CORP               COMMON     49427F108     1756      56100 SH  -    DEFINED 04              43100         0        0
D KILROY RLTY CORP               COMMON     49427F108      876      27996 SH  -    DEFINED 05              27996         0        0
D KILROY RLTY CORP               COMMON     49427F108        9        292 SH  -    DEFINED 06                292         0        0
D KILROY RLTY CORP               COMMON     49427F108     9405     300471 SH  -    DEFINED 08             300471         0        0
D KILROY RLTY CORP               COMMON     49427F108        6        200 SH  -    OTHER   10                  0         0      200
D KIMBERLY CLARK CORP            COMMON     494368103     8034     113138 SH  -    DEFINED 02             101529      2490     9119
D KIMBERLY CLARK CORP            COMMON     494368103     6259      88147 SH  -    DEFINED 02              84158      1600     2389
D KIMBERLY CLARK CORP            COMMON     494368103      343       4830 SH  -    DEFINED 02               4516         0      314
D KIMBERLY CLARK CORP            COMMON     494368103    43427     611560 SH  -    OTHER   02             186763    411839    11466
D KIMBERLY CLARK CORP            COMMON     494368103    12644     178066 SH  -    OTHER   02             121106     37710    19250
D KIMBERLY CLARK CORP            COMMON     494368103   110950    1562456 SH  -    DEFINED 04            1140439         0   422017
D KIMBERLY CLARK CORP            COMMON     494368103     4869      68567 SH  -    DEFINED 04              68567         0        0
D KIMBERLY CLARK CORP            COMMON     494368103       92       1301 SH  -    DEFINED 04               1301         0        0
D KIMBERLY CLARK CORP            COMMON     494368103       88       1245 SH  -    DEFINED 04               1245         0        0
D KIMBERLY CLARK CORP            COMMON     494368103       99       1400 SH  -    DEFINED 04               1400         0        0
D KIMBERLY CLARK CORP            COMMON     494368103       61        864 SH  -    DEFINED 04                  0         0      864
D KIMBERLY CLARK CORP            COMMON     494368103     1558      21941 SH  -    OTHER   04                  0     21941        0
D KIMBERLY CLARK CORP            COMMON     494368103    11315     159343 SH  -    DEFINED 05             159343         0        0
D KIMBERLY CLARK CORP            COMMON     494368103    13840     194904 SH  -    DEFINED 08             194904         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 472
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KIMBERLY CLARK CORP            COMMON     494368103      525       7400 SH  -    DEFINED 09               7400         0        0
D KIMBERLY CLARK CORP            COMMON     494368103       56        794 SH  -    DEFINED 01                794         0        0
D KIMBERLY CLARK CORP            COMMON     494368103     2177      30654 SH  -    OTHER   01               7000     23454      200
D KIMBERLY CLARK CORP            COMMON     494368103     4207      59248 SH  -    OTHER   10                  0         0    59248
D KIMBERLY CLARK CORP            OPTION     494368905     4353      61300 SH  C    DEFINED 05              61300         0        0
D KIMBERLY CLARK CORP            OPTION     494368905     5368      75600 SH  C    DEFINED 08              75600         0        0
D KIMBERLY CLARK CORP            OPTION     494368954     5617      79100 SH  P    DEFINED 05              79100         0        0
D KIMCO RLTY CORP                COMMON     49446R109      715      47600 SH  -    DEFINED 02              47600         0        0
D KIMCO RLTY CORP                COMMON     49446R109       74       4933 SH  -    DEFINED 02               4690         0      243
D KIMCO RLTY CORP                COMMON     49446R109    41206    2741572 SH  -    DEFINED 04            2326053         0   415519
D KIMCO RLTY CORP                COMMON     49446R109      986      65597 SH  -    DEFINED 04              65597         0        0
D KIMCO RLTY CORP                COMMON     49446R109      253      16800 SH  -    DEFINED 04              16800         0        0
D KIMCO RLTY CORP                COMMON     49446R109       32       2100 SH  -    DEFINED 04               2100         0        0
D KIMCO RLTY CORP                COMMON     49446R109     1592     105900 SH  -    DEFINED 04              81300         0        0
D KIMCO RLTY CORP                COMMON     49446R109        0          0 SH  -    OTHER   04                  0         0        0
D KIMCO RLTY CORP                COMMON     49446R109     5548     369132 SH  -    DEFINED 05             369132         0        0
D KIMCO RLTY CORP                COMMON     49446R109       41       2754 SH  -    DEFINED 06               2754         0        0
D KIMCO RLTY CORP                COMMON     49446R109      862      57368 SH  -    DEFINED 08              57368         0        0
D KIMCO RLTY CORP                COMMON     49446R109       98       6500 SH  -    DEFINED 09               6500         0        0
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100    28303     482241 SH  -    DEFINED 02             482241         0        0
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100     9646     164356 SH  -    DEFINED 02             164356         0        0
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100     1763      30035 SH  -    OTHER   02              16461      6134     7440
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100      772      13150 SH  -    OTHER   02              11150         0     2000
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100        0          1 SH  -    DEFINED 04                  1         0        0
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100        1         15 SH  -    OTHER   04                  0        15        0
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100      114       1947 SH  -    DEFINED 05               1947         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 473
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100       60       1015 SH  -    DEFINED 06               1015         0        0
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100     1042      17761 SH  -    DEFINED 08              17761         0        0
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100    82408    1404121 SH  -    DEFINED 10            1404121         0        0
D KINDER MORGAN MANAGEMENT LLC   COMMON     49455U100      303       5171 SH  -    OTHER   10                  0         0     5171
D KINDER MORGAN ENERGY PARTNERS  COMMON     494550106     2855      41745 SH  -    DEFINED 02              41745         0        0
D KINDER MORGAN ENERGY PARTNERS  COMMON     494550106     3592      52530 SH  -    DEFINED 02              52530         0        0
D KINDER MORGAN ENERGY PARTNERS  COMMON     494550106      417       6100 SH  -    OTHER   02               2000      4100        0
D KINDER MORGAN ENERGY PARTNERS  COMMON     494550106      237       3465 SH  -    OTHER   02               1515         0     1950
D KINDER MORGAN ENERGY PARTNERS  COMMON     494550106       10        143 SH  -    DEFINED 05                143         0        0
D KINDER MORGAN ENERGY PARTNERS  COMMON     494550106      520       7600 SH  -    DEFINED 08               7600         0        0
D KINDER MORGAN ENERGY PARTNERS  COMMON     494550106   234442    3428512 SH  -    DEFINED 10            3428512         0        0
D KINDER MORGAN ENERGY PARTNERS  COMMON     494550106     6384      93354 SH  -    OTHER   10                  0         0    93354
D KINDER MORGAN INC DEL          COMMON     49456B101     3736     144314 SH  -    OTHER   02                  0    132814    11500
D KINDER MORGAN INC DEL          COMMON     49456B101     1472      56855 SH  -    DEFINED 04              44155         0    12700
D KINDER MORGAN INC DEL          COMMON     49456B101      601      23200 SH  -    DEFINED 04              23200         0        0
D KINDER MORGAN INC DEL          COMMON     49456B101      467      18020 SH  -    DEFINED 05              18020         0        0
D KINDER MORGAN INC DEL          COMMON     49456B101       34       1304 SH  -    DEFINED 06               1304         0        0
D KINDER MORGAN INC DEL          COMMON     49456B101      438      16919 SH  -    DEFINED 08              16919         0        0
D KINDER MORGAN INC DEL          COMMON     49456B101      241       9301 SH  -    OTHER   10                  0         0     9301
D KINDRED HEALTHCARE INC         COMMON     494580103     2385     276660 SH  -    DEFINED 04             214040         0    62620
D KINDRED HEALTHCARE INC         COMMON     494580103      295      34269 SH  -    DEFINED 04              34269         0        0
D KINDRED HEALTHCARE INC         COMMON     494580103        7        786 SH  -    DEFINED 05                786         0        0
D KINDRED HEALTHCARE INC         COMMON     494580103      109      12631 SH  -    DEFINED 08              12631         0        0
D KINDRED HEALTHCARE INC         COMMON     494580103        4        435 SH  -    OTHER   10                  0         0      435
D KINETIC CONCEPTS INC           COMMON     49460W208       84       1276 SH  -    OTHER   02                 66       702      508
D KINETIC CONCEPTS INC           COMMON     49460W208       33        500 SH  -    DEFINED 04                500         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 474
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KINETIC CONCEPTS INC           COMMON     49460W208    10129     153732 SH  -    DEFINED 04             153732         0        0
D KINETIC CONCEPTS INC           COMMON     49460W208      732      11104 SH  -    DEFINED 04              11104         0        0
D KINETIC CONCEPTS INC           COMMON     49460W208        5         70 SH  -    OTHER   04                  0        70        0
D KINETIC CONCEPTS INC           COMMON     49460W208      114       1733 SH  -    DEFINED 05               1733         0        0
D KINETIC CONCEPTS INC           COMMON     49460W208    33710     511614 SH  -    DEFINED 08             511614         0        0
D KINETIC CONCEPTS INC           COMMON     49460W208    17813     270344 SH  -    DEFINED 09             157984         0        0
D KINROSS GOLD CORP              BOND       496902AD9     2887    2946000 PRN -    DEFINED 05                  0         0        0
D KINROSS GOLD CORP              COMMON     496902404      277      18743 SH  -    DEFINED 02               4198     14545        0
D KINROSS GOLD CORP              COMMON     496902404    10330     698949 SH  -    DEFINED 02             698949         0        0
D KINROSS GOLD CORP              COMMON     496902404      979      66255 SH  -    OTHER   02              12320     52925     1010
D KINROSS GOLD CORP              COMMON     496902404     3998     270504 SH  -    DEFINED 04             270504         0        0
D KINROSS GOLD CORP              COMMON     496902404     4117     278544 SH  -    DEFINED 04             278544         0        0
D KINROSS GOLD CORP              COMMON     496902404      724      49014 SH  -    DEFINED 04              49014         0        0
D KINROSS GOLD CORP              COMMON     496902404    44553    3014408 SH  -    DEFINED 04            2900286         0   114122
D KINROSS GOLD CORP              COMMON     496902404     2631     178027 SH  -    DEFINED 05             178027         0        0
D KINROSS GOLD CORP              COMMON     496902404      839      56753 SH  -    DEFINED 06              56753         0        0
D KINROSS GOLD CORP              COMMON     496902404     3486     235874 SH  -    DEFINED 08             235874         0        0
D KINROSS GOLD CORP              COMMON     496902404   233472   15796492 SH  -    DEFINED 09           15310919     72344   368790
D KINROSS GOLD CORP              COMMON     496902404     1481     100200 SH  -    DEFINED 09             100200         0        0
D KINROSS GOLD CORP              COMMON     496902404     1900     128554 SH  -    DEFINED 09             128554         0        0
D KINROSS GOLD CORP              COMMON     496902404    24685    1670177 SH  -    DEFINED 09            1461094         0        0
D KINROSS GOLD CORP              COMMON     496902404     4169     282076 SH  -    OTHER   09                  0    282076        0
D KINROSS GOLD CORP              COMMON     496902404       62       4165 SH  -    OTHER   01                  0      4165        0
D KINROSS GOLD CORP              COMMON     496902404      236      15996 SH  -    OTHER   10                  0         0    15996
D KIOR INC                       COMMON     497217109     6010     289800 SH  -    DEFINED 04             257900         0    31900
D KIOR INC                       COMMON     497217109      453      21845 SH  -    DEFINED 05              21845         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 475
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KIRBY CORP                     COMMON     497266106      184       3500 SH  -    DEFINED 02               3500         0        0
D KIRBY CORP                     COMMON     497266106      205       3886 SH  -    OTHER   02                  0       883     3003
D KIRBY CORP                     COMMON     497266106      181       3434 SH  -    OTHER   02                  0         0     3434
D KIRBY CORP                     COMMON     497266106     1837      34903 SH  -    DEFINED 04              34903         0        0
D KIRBY CORP                     COMMON     497266106     3483      66161 SH  -    DEFINED 04              66161         0        0
D KIRBY CORP                     COMMON     497266106     1114      21154 SH  -    DEFINED 05              21154         0        0
D KIRBY CORP                     COMMON     497266106        2         32 SH  -    OTHER   10                  0         0       32
D KIRKLANDS INC                  COMMON     497498105        2        271 SH  -    OTHER   02                  0       271        0
D KIRKLANDS INC                  COMMON     497498105       31       3350 SH  -    OTHER   02                  0      3350        0
D KIRKLANDS INC                  COMMON     497498105      138      15040 SH  -    DEFINED 04              11540         0     3500
D KIRKLANDS INC                  COMMON     497498105       85       9280 SH  -    DEFINED 04               9280         0        0
D KIRKLANDS INC                  COMMON     497498105       73       7916 SH  -    DEFINED 05               7916         0        0
D KITE RLTY GROUP TR             COMMON     49803T102      650     177500 SH  -    DEFINED 04             177500         0        0
D KITE RLTY GROUP TR             COMMON     49803T102      166      45359 SH  -    DEFINED 04              45359         0        0
D KITE RLTY GROUP TR             COMMON     49803T102      108      29635 SH  -    DEFINED 05              29635         0        0
D KITE RLTY GROUP TR             COMMON     49803T102        1        158 SH  -    DEFINED 06                158         0        0
D KNOLL INC                      COMMON     498904200        1         85 SH  -    DEFINED 02                 85         0        0
D KNOLL INC                      COMMON     498904200       67       4883 SH  -    OTHER   02                  0      1803     3080
D KNOLL INC                      COMMON     498904200        1         37 SH  -    OTHER   02                  8        29        0
D KNOLL INC                      COMMON     498904200     5523     403110 SH  -    DEFINED 04             351310         0    51800
D KNOLL INC                      COMMON     498904200      392      28600 SH  -    DEFINED 04              28600         0        0
D KNOLL INC                      COMMON     498904200       10        724 SH  -    DEFINED 05                724         0        0
D KNOLL INC                      COMMON     498904200       38       2782 SH  -    DEFINED 08               2782         0        0
D KNIGHT CAP GROUP INC           COMMON     499005106       25       2035 SH  -    DEFINED 02               2035         0        0
D KNIGHT CAP GROUP INC           COMMON     499005106       16       1308 SH  -    OTHER   02                  0      1308        0
D KNIGHT CAP GROUP INC           COMMON     499005106     3259     268010 SH  -    DEFINED 04             236310         0    31700

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 476
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KNIGHT CAP GROUP INC           COMMON     499005106      665      54702 SH  -    DEFINED 04              54702         0        0
D KNIGHT CAP GROUP INC           COMMON     499005106       18       1443 SH  -    DEFINED 05               1443         0        0
D KNIGHT CAP GROUP INC           COMMON     499005106    18542    1524820 SH  -    DEFINED 08            1524820         0        0
D KNIGHT TRANSN INC              COMMON     499064103       10        734 SH  -    OTHER   02                  0       734        0
D KNIGHT TRANSN INC              COMMON     499064103    19305    1450379 SH  -    DEFINED 04            1350409         0    99970
D KNIGHT TRANSN INC              COMMON     499064103      371      27845 SH  -    DEFINED 05              27845         0        0
D KNIGHT TRANSN INC              COMMON     499064103        6        455 SH  -    OTHER   10                  0         0      455
D KNOLOGY INC                    COMMON     499183804        2        118 SH  -    OTHER   02                  0       118        0
D KNOLOGY INC                    COMMON     499183804      330      25400 SH  -    DEFINED 04              19400         0     6000
D KNOLOGY INC                    COMMON     499183804        6        481 SH  -    DEFINED 05                481         0        0
D KNOLOGY INC                    COMMON     499183804       23       1785 SH  -    DEFINED 08               1785         0        0
D KODIAK OIL & GAS CORP          COMMON     50015Q100        1        213 SH  -    OTHER   02                  0        95        0
D KODIAK OIL & GAS CORP          COMMON     50015Q100       15       2955 SH  -    DEFINED 05               2955         0        0
D KODIAK OIL & GAS CORP          COMMON     50015Q100       71      13581 SH  -    DEFINED 08              13581         0        0
D KOHLS CORPORATION              COMMON     500255104      520      10581 SH  -    DEFINED 02               4941         0     5640
D KOHLS CORPORATION              COMMON     500255104      338       6879 SH  -    DEFINED 02               6179         0      700
D KOHLS CORPORATION              COMMON     500255104      229       4674 SH  -    DEFINED 02               3434         0     1240
D KOHLS CORPORATION              COMMON     500255104      688      14017 SH  -    OTHER   02                231     12667     1119
D KOHLS CORPORATION              COMMON     500255104      965      19649 SH  -    OTHER   02              14841       568     4240
D KOHLS CORPORATION              COMMON     500255104   247687    5044535 SH  -    DEFINED 04            4288377         0   756158
D KOHLS CORPORATION              COMMON     500255104     5977     121726 SH  -    DEFINED 04             121726         0        0
D KOHLS CORPORATION              COMMON     500255104     7531     153379 SH  -    DEFINED 04             153379         0        0
D KOHLS CORPORATION              COMMON     500255104       43        882 SH  -    DEFINED 04                882         0        0
D KOHLS CORPORATION              COMMON     500255104     2293      46700 SH  -    DEFINED 04              46700         0        0
D KOHLS CORPORATION              COMMON     500255104       29        597 SH  -    DEFINED 04                  0         0      597
D KOHLS CORPORATION              COMMON     500255104     1233      25111 SH  -    OTHER   04                  0     25111        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 477
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KOHLS CORPORATION              COMMON     500255104     6105     124329 SH  -    OTHER   04                  0    124329        0
D KOHLS CORPORATION              COMMON     500255104     7770     158255 SH  -    DEFINED 05             158255         0        0
D KOHLS CORPORATION              COMMON     500255104     1920      39112 SH  -    DEFINED 09              39112         0        0
D KOHLS CORPORATION              COMMON     500255104      923      18796 SH  -    OTHER   10                  0         0    18796
D KOHLS CORPORATION              OPTION     500255906       98       2000 SH  C    DEFINED 05               2000         0        0
D KOHLS CORPORATION              OPTION     500255906     2210      45000 SH  C    DEFINED 08              45000         0        0
D KOHLS CORPORATION              OPTION     500255955       98       2000 SH  P    DEFINED 05               2000         0        0
D PHILIPS ELEC(KON)              ADR        500472303      608      33875 SH  -    OTHER   02              30470      3405        0
D PHILIPS ELEC(KON)              ADR        500472303        0         14 SH  -    OTHER   01                  0         0        0
D PHILIPS ELEC(KON)              ADR        500472303      932      51931 SH  -    OTHER   10                  0         0    51931
D KOPPERS HOLDINGS INC           COMMON     50060P106       13        508 SH  -    OTHER   02                  0       508        0
D KOPPERS HOLDINGS INC           COMMON     50060P106       42       1630 SH  -    OTHER   02                  0      1500      130
D KOPPERS HOLDINGS INC           COMMON     50060P106     3165     123600 SH  -    DEFINED 04             101500         0    22100
D KOPPERS HOLDINGS INC           COMMON     50060P106      374      14618 SH  -    DEFINED 04              14618         0        0
D KOPPERS HOLDINGS INC           COMMON     50060P106      246       9618 SH  -    DEFINED 05               9618         0        0
D KOPIN CORP                     COMMON     500600101      154      44863 SH  -    DEFINED 04              44863         0        0
D KOPIN CORP                     COMMON     500600101      107      31297 SH  -    DEFINED 05              31297         0        0
D KOREA ELECTRIC PWR             ADR        500631106      138      16270 SH  -    OTHER   02                  0     16270        0
D KOREA ELECTRIC PWR             ADR        500631106      195      22961 SH  -    DEFINED 08              22961         0        0
D KOREA ELECTRIC PWR             ADR        500631106       30       3549 SH  -    OTHER   01                  0      3549        0
D KORN FERRY INTL                COMMON     500643200      409      33557 SH  -    DEFINED 04              33557         0        0
D KORN FERRY INTL                COMMON     500643200        9        711 SH  -    DEFINED 05                711         0        0
D KORN FERRY INTL                COMMON     500643200       47       3893 SH  -    DEFINED 08               3893         0        0
D KRAFT FOODS INC                COMMON     50075N104    32621     971455 SH  -    DEFINED 02             848173      9239   114043
D KRAFT FOODS INC                COMMON     50075N104    14041     418139 SH  -    DEFINED 02             405711       266    12162
D KRAFT FOODS INC                COMMON     50075N104      244       7270 SH  -    DEFINED 02               7270         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 478
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KRAFT FOODS INC                COMMON     50075N104     2010      59857 SH  -    DEFINED 02              30834         0    29023
D KRAFT FOODS INC                COMMON     50075N104    57886    1723820 SH  -    OTHER   02             682904    951460    85911
D KRAFT FOODS INC                COMMON     50075N104     6722     200165 SH  -    OTHER   02             142131     26589    31445
D KRAFT FOODS INC                COMMON     50075N104      475      14142 SH  -    OTHER   02                  0     14142        0
D KRAFT FOODS INC                COMMON     50075N104      541      16113 SH  -    OTHER   02                  0     16113        0
D KRAFT FOODS INC                COMMON     50075N104      464      13806 SH  -    OTHER   02                  0     13806        0
D KRAFT FOODS INC                COMMON     50075N104   622708   18544002 SH  -    DEFINED 04           14931667         0  3612335
D KRAFT FOODS INC                COMMON     50075N104     9479     282282 SH  -    DEFINED 04             282282         0        0
D KRAFT FOODS INC                COMMON     50075N104    53374    1589447 SH  -    DEFINED 04            1589447         0        0
D KRAFT FOODS INC                COMMON     50075N104     3781     112610 SH  -    DEFINED 04              69600         0    43010
D KRAFT FOODS INC                COMMON     50075N104      480      14298 SH  -    DEFINED 04                  0         0    14298
D KRAFT FOODS INC                COMMON     50075N104    21329     635180 SH  -    OTHER   04                  0    635180        0
D KRAFT FOODS INC                COMMON     50075N104    48319    1438936 SH  -    DEFINED 05            1438936         0        0
D KRAFT FOODS INC                COMMON     50075N104        7        194 SH  -    DEFINED 06                194         0        0
D KRAFT FOODS INC                COMMON     50075N104     9658     287620 SH  -    DEFINED 08             287620         0        0
D KRAFT FOODS INC                COMMON     50075N104    15780     469932 SH  -    DEFINED 09             444202     25730        0
D KRAFT FOODS INC                COMMON     50075N104      849      25292 SH  -    DEFINED 09              25292         0        0
D KRAFT FOODS INC                COMMON     50075N104     6191     184370 SH  -    DEFINED 09             184370         0        0
D KRAFT FOODS INC                COMMON     50075N104      363      10796 SH  -    OTHER   09                  0     10796        0
D KRAFT FOODS INC                COMMON     50075N104     1670      49736 SH  -    DEFINED 01              39113      3272     7351
D KRAFT FOODS INC                COMMON     50075N104     2227      66311 SH  -    OTHER   01              22827     36806     6153
D KRAFT FOODS INC                COMMON     50075N104     4056     120800 SH  -    OTHER   10                  0         0   120800
D KRAFT FOODS INC                OPTION     50075N906    18899     562800 SH  C    DEFINED 05             562800         0        0
D KRAFT FOODS INC                OPTION     50075N906     3768     112200 SH  C    DEFINED 08             112200         0        0
D KRAFT FOODS INC                OPTION     50075N955    15148     451100 SH  P    DEFINED 05             451100         0        0
D KRAFT FOODS INC                OPTION     50075N955     2686      80000 SH  P    DEFINED 08              80000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 479
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KRATOS DEFENSE & SEC SOLUTIONS COMMON     50077B207      835     124200 SH  -    DEFINED 04             124200         0        0
D KRATOS DEFENSE & SEC SOLUTIONS COMMON     50077B207        3        495 SH  -    DEFINED 05                495         0        0
D KRATOS DEFENSE & SEC SOLUTIONS COMMON     50077B207        9       1394 SH  -    DEFINED 08               1394         0        0
D KRATOS DEFENSE & SEC SOLUTIONS COMMON     50077B207        0          3 SH  -    OTHER   10                  0         0        3
D KRATON PERFORMANCE POLYMERS    COMMON     50077C106     1032      63791 SH  -    DEFINED 04              54391         0     9400
D KRATON PERFORMANCE POLYMERS    COMMON     50077C106      766      47351 SH  -    DEFINED 04              47351         0        0
D KRATON PERFORMANCE POLYMERS    COMMON     50077C106      242      14967 SH  -    DEFINED 05              14967         0        0
D KRATON PERFORMANCE POLYMERS    COMMON     50077C106       23       1450 SH  -    DEFINED 08               1450         0        0
D KRISPY KREME DOUGH             COMMON     501014104       37       5407 SH  -    OTHER   02                  0         0     5407
D KRISPY KREME DOUGH             COMMON     501014104      111      16270 SH  -    OTHER   02                  0       695    15575
D KRISPY KREME DOUGH             COMMON     501014104        6        920 SH  -    DEFINED 05                920         0        0
D KRISPY KREME DOUGH             COMMON     501014104       23       3406 SH  -    DEFINED 08               3406         0        0
D KRISPY KREME DOUGH             COMMON     501014104        3        446 SH  -    OTHER   10                  0         0      446
D KROGER CO                      COMMON     501044101      499      22731 SH  -    DEFINED 02               5046     11905     5780
D KROGER CO                      COMMON     501044101       88       4004 SH  -    DEFINED 02               3794         0      210
D KROGER CO                      COMMON     501044101      272      12396 SH  -    DEFINED 02              12396         0        0
D KROGER CO                      COMMON     501044101      165       7508 SH  -    DEFINED 02               6973         0      535
D KROGER CO                      COMMON     501044101     2412     109820 SH  -    OTHER   02              16200     84176     9283
D KROGER CO                      COMMON     501044101      362      16462 SH  -    OTHER   02               4137      2240    10085
D KROGER CO                      COMMON     501044101      264      12017 SH  -    OTHER   02                  0     12017        0
D KROGER CO                      COMMON     501044101       55       2511 SH  -    OTHER   02                  0      2511        0
D KROGER CO                      COMMON     501044101      536      24397 SH  -    OTHER   02                  0     24397        0
D KROGER CO                      COMMON     501044101       29       1331 SH  -    OTHER   02                  0      1331        0
D KROGER CO                      COMMON     501044101    97604    4444622 SH  -    DEFINED 04            3089581         0  1355041
D KROGER CO                      COMMON     501044101     2858     130128 SH  -    DEFINED 04             130128         0        0
D KROGER CO                      COMMON     501044101      223      10139 SH  -    DEFINED 04              10139         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 480
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KROGER CO                      COMMON     501044101      170       7747 SH  -    DEFINED 04               7747         0        0
D KROGER CO                      COMMON     501044101     3670     167129 SH  -    DEFINED 04              97645         0    69484
D KROGER CO                      COMMON     501044101      149       6807 SH  -    DEFINED 04                  0         0     6807
D KROGER CO                      COMMON     501044101      964      43877 SH  -    OTHER   04                  0     43877        0
D KROGER CO                      COMMON     501044101     2885     131385 SH  -    DEFINED 05             131385         0        0
D KROGER CO                      COMMON     501044101    14870     677162 SH  -    DEFINED 09             635215     41947        0
D KROGER CO                      COMMON     501044101      899      40947 SH  -    DEFINED 09              40947         0        0
D KROGER CO                      COMMON     501044101     6439     293196 SH  -    DEFINED 09             293196         0        0
D KROGER CO                      COMMON     501044101     2265     103122 SH  -    OTHER   09                  0    103122        0
D KROGER CO                      COMMON     501044101       12        530 SH  -    DEFINED 01                530         0        0
D KROGER CO                      COMMON     501044101       37       1690 SH  -    OTHER   01                  0      1690        0
D KROGER CO                      COMMON     501044101        2        105 SH  -    OTHER   10                  0         0      105
D KROGER CO                      OPTION     501044952       64       2900 SH  P    DEFINED 05               2900         0        0
D KRONOS WORLDWIDE INC           COMMON     50105F105        3        193 SH  -    OTHER   02                  0       193        0
D KRONOS WORLDWIDE INC           COMMON     50105F105     1529      95056 SH  -    DEFINED 04              95056         0        0
D KRONOS WORLDWIDE INC           COMMON     50105F105     1424      88532 SH  -    DEFINED 05              88532         0        0
D KUBOTA CORP                    ADR        501173207       16        395 SH  -    OTHER   02                  0       395        0
D KUBOTA CORP                    ADR        501173207        2         45 SH  -    OTHER   02                 45         0        0
D KUBOTA CORP                    ADR        501173207     1714      42930 SH  -    DEFINED 04              42930         0        0
D KUBOTA CORP                    ADR        501173207     4824     120852 SH  -    OTHER   04                  0    120852        0
D KUBOTA CORP                    ADR        501173207     1331      33348 SH  -    OTHER   04                  0     33348        0
D KUBOTA CORP                    ADR        501173207        6        153 SH  -    OTHER   01                  0        71        0
D KULICKE & SOFFA INDS INC       COMMON     501242101       13       1796 SH  -    OTHER   02                  0      1796        0
D KULICKE & SOFFA INDS INC       COMMON     501242101     5861     785700 SH  -    DEFINED 04             604600         0   181100
D KULICKE & SOFFA INDS INC       COMMON     501242101      381      51009 SH  -    DEFINED 04              51009         0        0
D KULICKE & SOFFA INDS INC       COMMON     501242101      290      38871 SH  -    DEFINED 05              38871         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 481
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D KULICKE & SOFFA INDS INC       COMMON     501242101      111      14850 SH  -    DEFINED 09                  0         0    14850
D KULICKE & SOFFA INDS INC       COMMON     501242101        6        851 SH  -    OTHER   10                  0         0      851
D L & L ENERGY INC               COMMON     50162D100        7       2768 SH  -    OTHER   02                  0      2236        0
D L & L ENERGY INC               COMMON     50162D100      250      92500 SH  -    DEFINED 05              92500         0        0
D L & L ENERGY INC               COMMON     50162D100        8       2946 SH  -    DEFINED 08               2946         0        0
D LAN AIRLINES S A               ADR        501723100      576      27906 SH  -    DEFINED 08              27906         0        0
D LCA-VISION INC                 COMMON     501803308       37      17100 SH  -    DEFINED 04              17100         0        0
D LCA-VISION INC                 COMMON     501803308      189      88279 SH  -    DEFINED 04              88279         0        0
D LCA-VISION INC                 COMMON     501803308       72      33709 SH  -    DEFINED 05              33709         0        0
D LCNB CORP                      COMMON     50181P100     1068      80000 SH  -    OTHER   02              23328     56672        0
D LDK SOLAR CO LTD               ADR        50183L107        1        294 SH  -    DEFINED 06                294         0        0
D LDK SOLAR CO LTD               ADR        50183L107     2220     711612 SH  -    DEFINED 08             711612         0        0
D LHC GROUP INC                  COMMON     50187A107        3        179 SH  -    OTHER   02                  0       179        0
D LHC GROUP INC                  COMMON     50187A107      190      11145 SH  -    DEFINED 04              11145         0        0
D LHC GROUP INC                  COMMON     50187A107      126       7368 SH  -    DEFINED 05               7368         0        0
D LKQ CORP                       COMMON     501889208     1326      54879 SH  -    OTHER   02                249     54630        0
D LKQ CORP                       COMMON     501889208      278      11510 SH  -    OTHER   02              11000         0      510
D LKQ CORP                       COMMON     501889208      458      18950 SH  -    DEFINED 04              18950         0        0
D LKQ CORP                       COMMON     501889208     2513     104003 SH  -    DEFINED 04             104003         0        0
D LKQ CORP                       COMMON     501889208       51       2096 SH  -    DEFINED 05               2096         0        0
D LKQ CORP                       COMMON     501889208      142       5883 SH  -    OTHER   01                  0      5883        0
D LKQ CORP                       COMMON     501889208       12        503 SH  -    OTHER   10                  0         0      503
D LMI AEROSPACE INC              COMMON     502079106       37       2150 SH  -    OTHER   02                  0      2150        0
D LMI AEROSPACE INC              COMMON     502079106     4382     256887 SH  -    DEFINED 04             235787         0    21100
D LMI AEROSPACE INC              COMMON     502079106        0          1 SH  -    DEFINED 05                  1         0        0
D LMI AEROSPACE INC              COMMON     502079106        9        555 SH  -    DEFINED 08                555         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 482
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LSI INDS INC                   COMMON     50216C108        4        709 SH  -    OTHER   02                  0       709        0
D LSI INDS INC                   COMMON     50216C108       44       7120 SH  -    OTHER   02                  0         0     7120
D LSI INDS INC                   COMMON     50216C108       79      12700 SH  -    DEFINED 04              12700         0        0
D LSI INDS INC                   COMMON     50216C108      607      97400 SH  -    DEFINED 04              97400         0        0
D LSI INDS INC                   COMMON     50216C108        0          1 SH  -    DEFINED 05                  1         0        0
D LSI INDS INC                   COMMON     50216C108        7       1161 SH  -    DEFINED 08               1161         0        0
D LSB INDS INC                   COMMON     502160104        2         67 SH  -    OTHER   02                  0        67        0
D LSB INDS INC                   COMMON     502160104       88       3065 SH  -    OTHER   02                  0         0     3065
D LSB INDS INC                   COMMON     502160104      350      12201 SH  -    DEFINED 04              12201         0        0
D LSB INDS INC                   COMMON     502160104      247       8610 SH  -    DEFINED 05               8610         0        0
D LSI LOGIC CORP                 COMMON     502161102        0         69 SH  -    DEFINED 02                 69         0        0
D LSI LOGIC CORP                 COMMON     502161102        1        235 SH  -    DEFINED 02                235         0        0
D LSI LOGIC CORP                 COMMON     502161102       35       6774 SH  -    DEFINED 02               6602         0      172
D LSI LOGIC CORP                 COMMON     502161102       81      15627 SH  -    OTHER   02               6200      9382       45
D LSI LOGIC CORP                 COMMON     502161102        6       1132 SH  -    OTHER   02                 21        60     1051
D LSI LOGIC CORP                 COMMON     502161102     4296     829311 SH  -    DEFINED 04             774210         0    55101
D LSI LOGIC CORP                 COMMON     502161102     2092     403830 SH  -    DEFINED 04             403830         0        0
D LSI LOGIC CORP                 COMMON     502161102       11       2037 SH  -    OTHER   04                  0      2037        0
D LSI LOGIC CORP                 COMMON     502161102      231      44570 SH  -    DEFINED 05              44570         0        0
D LSI LOGIC CORP                 COMMON     502161102        2        482 SH  -    OTHER   01                  0       482        0
D LSI LOGIC CORP                 COMMON     502161102        0          2 SH  -    OTHER   10                  0         0        2
D LSI LOGIC CORP                 OPTION     502161904        5       1000 SH  C    DEFINED 05               1000         0        0
D LTC PROPERTIES INC             COMMON     502175102     5925     233990 SH  -    DEFINED 04             223290         0    10700
D LTC PROPERTIES INC             COMMON     502175102     1795      70908 SH  -    DEFINED 04              70908         0        0
D LTC PROPERTIES INC             COMMON     502175102      359      14165 SH  -    DEFINED 05              14165         0        0
D LTX-CREDENCE CORP              COMMON     502403207     5113     966450 SH  -    DEFINED 04             935850         0    30600

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 483
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LTX-CREDENCE CORP              COMMON     502403207        4        749 SH  -    DEFINED 05                749         0        0
D LTX-CREDENCE CORP              COMMON     502403207       16       2935 SH  -    DEFINED 08               2935         0        0
D LTX-CREDENCE CORP              COMMON     502403207      757     143160 SH  -    OTHER   10                  0         0   143160
D L-3 COMMUNICATIONS CORP        BOND       502413AW7        1       1000 PRN -    DEFINED 05                  0         0        0
D L-3 COMMUNICATIONS CORP        BOND       502413AW7    26125   27500000 PRN -    DEFINED 08                  0         0        0
D L-3 COMMUNICATIONS CORP        BOND       502413AW7    21015   22121000 PRN -    DEFINED 09                  0         0        0
D L-3 COMMUNICATIONS CORP        BOND       502413AW7      538     566000 PRN -    DEFINED 09                  0         0        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104      223       3605 SH  -    DEFINED 02               3605         0        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104        1         24 SH  -    DEFINED 02                 24         0        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104       85       1375 SH  -    DEFINED 02               1214         0      161
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104      910      14686 SH  -    OTHER   02              13560      1109        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104       37        594 SH  -    OTHER   02                194         0      400
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104    55317     892644 SH  -    DEFINED 04             816727         0    75917
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104     5972      96364 SH  -    DEFINED 04              96364         0        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104       20        328 SH  -    DEFINED 04                328         0        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104     1078      17400 SH  -    DEFINED 04              17400         0        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104       14        219 SH  -    DEFINED 04                  0         0      219
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104      585       9440 SH  -    OTHER   04                  0      9440        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104     2960      47769 SH  -    OTHER   04                  0     47769        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104      175       2831 SH  -    DEFINED 05               2831         0        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104       68       1100 SH  -    DEFINED 09               1100         0        0
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104      130       2100 SH  -    DEFINED 09                  0         0     2100
D L-3 COMMUNICATIONS HLDGS INC   COMMON     502424104       18        298 SH  -    OTHER   10                  0         0      298
D L-3 COMMUNICATIONS HLDGS INC   OPTION     502424906     2045      33000 SH  C    DEFINED 05              33000         0        0
D LA Z BOY INC                   COMMON     505336107        1        110 SH  -    OTHER   02                  0       110        0
D LA Z BOY INC                   COMMON     505336107      244      32950 SH  -    DEFINED 04              32950         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 484
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LA Z BOY INC                   COMMON     505336107     1124     151625 SH  -    DEFINED 04             151625         0        0
D LA Z BOY INC                   COMMON     505336107      180      24298 SH  -    DEFINED 05              24298         0        0
D LABORATORY CORP AMER HLDGS     COMMON     50540R409      142       1793 SH  -    DEFINED 02               1793         0        0
D LABORATORY CORP AMER HLDGS     COMMON     50540R409       20        250 SH  -    DEFINED 02                250         0        0
D LABORATORY CORP AMER HLDGS     COMMON     50540R409       97       1223 SH  -    DEFINED 02               1167         0       56
D LABORATORY CORP AMER HLDGS     COMMON     50540R409     1663      21031 SH  -    OTHER   02                600     20257      174
D LABORATORY CORP AMER HLDGS     COMMON     50540R409      252       3183 SH  -    OTHER   02               1675         6     1502
D LABORATORY CORP AMER HLDGS     COMMON     50540R409     7471      94510 SH  -    DEFINED 04              91565         0     2945
D LABORATORY CORP AMER HLDGS     COMMON     50540R409     1276      16141 SH  -    DEFINED 04              16141         0        0
D LABORATORY CORP AMER HLDGS     COMMON     50540R409    14284     180693 SH  -    DEFINED 05             180693         0        0
D LABORATORY CORP AMER HLDGS     COMMON     50540R409       20        250 SH  -    DEFINED 01                250         0        0
D LABORATORY CORP AMER HLDGS     COMMON     50540R409        6         72 SH  -    OTHER   01                  0        72        0
D LABORATORY CORP AMER HLDGS     COMMON     50540R409      243       3076 SH  -    OTHER   10                  0         0     3076
D LACLEDE GROUP INC              COMMON     505597104       24        608 SH  -    OTHER   02                  0       281      230
D LACLEDE GROUP INC              COMMON     505597104     5589     144225 SH  -    DEFINED 04             136325         0     7900
D LACLEDE GROUP INC              COMMON     505597104     5872     151525 SH  -    DEFINED 04             151525         0        0
D LACLEDE GROUP INC              COMMON     505597104      405      10453 SH  -    DEFINED 05              10453         0        0
D LACLEDE GROUP INC              COMMON     505597104       36        932 SH  -    DEFINED 08                932         0        0
D LACLEDE GROUP INC              COMMON     505597104       18        464 SH  -    OTHER   10                  0         0      464
D LAKE SHORE GOLD CORP           COMMON     510728108        0          1 SH  -    DEFINED 05                  1         0        0
D LAKE SHORE GOLD CORP           COMMON     510728108     4852    3278500 SH  -    DEFINED 09            3278500         0        0
D LAKELAND BANCORP INC           COMMON     511637100      974     124545 SH  -    DEFINED 04             117770         0     6775
D LAKELAND BANCORP INC           COMMON     511637100      223      28459 SH  -    DEFINED 04              28459         0        0
D LAKELAND BANCORP INC           COMMON     511637100        3        348 SH  -    DEFINED 05                348         0        0
D LAKELAND BANCORP INC           COMMON     511637100       10       1277 SH  -    DEFINED 08               1277         0        0
D LAKELAND FINANCIAL             COMMON     511656100        4        183 SH  -    OTHER   02                  0       183        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 485
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LAKELAND FINANCIAL             COMMON     511656100       41       2000 SH  -    OTHER   02                  0      2000        0
D LAKELAND FINANCIAL             COMMON     511656100     1296      62720 SH  -    DEFINED 04              57120         0     5600
D LAKELAND FINANCIAL             COMMON     511656100      295      14300 SH  -    DEFINED 04              14300         0        0
D LAKELAND FINANCIAL             COMMON     511656100        5        234 SH  -    DEFINED 05                234         0        0
D LAKELAND FINANCIAL             COMMON     511656100       20        963 SH  -    DEFINED 08                963         0        0
D LAM RESEARCH CORP              COMMON     512807108     1458      38376 SH  -    DEFINED 02              14280       375    23721
D LAM RESEARCH CORP              COMMON     512807108      655      17238 SH  -    DEFINED 02              13567         0     3671
D LAM RESEARCH CORP              COMMON     512807108      695      18300 SH  -    DEFINED 02               5285         0    13015
D LAM RESEARCH CORP              COMMON     512807108      916      24107 SH  -    OTHER   02              12802     10117     1188
D LAM RESEARCH CORP              COMMON     512807108      252       6646 SH  -    OTHER   02               4977         9     1660
D LAM RESEARCH CORP              COMMON     512807108       11        300 SH  -    OTHER   02                  0       300        0
D LAM RESEARCH CORP              COMMON     512807108   264918    6975202 SH  -    DEFINED 04            5744198         0  1231004
D LAM RESEARCH CORP              COMMON     512807108    20718     545497 SH  -    DEFINED 04             545497         0        0
D LAM RESEARCH CORP              COMMON     512807108    17181     452371 SH  -    DEFINED 04             452371         0        0
D LAM RESEARCH CORP              COMMON     512807108     1432      37700 SH  -    DEFINED 04              22700         0    15000
D LAM RESEARCH CORP              COMMON     512807108      194       5108 SH  -    DEFINED 04                  0         0     5108
D LAM RESEARCH CORP              COMMON     512807108      444      11692 SH  -    OTHER   04                  0     11692        0
D LAM RESEARCH CORP              COMMON     512807108      157       4139 SH  -    DEFINED 05               4139         0        0
D LAM RESEARCH CORP              COMMON     512807108    23401     616134 SH  -    DEFINED 08             616134         0        0
D LAM RESEARCH CORP              COMMON     512807108     6223     163839 SH  -    DEFINED 09             154739      9100        0
D LAM RESEARCH CORP              COMMON     512807108      339       8930 SH  -    DEFINED 09               8930         0        0
D LAM RESEARCH CORP              COMMON     512807108     2465      64900 SH  -    DEFINED 09              64900         0        0
D LAM RESEARCH CORP              COMMON     512807108      104       2750 SH  -    DEFINED 01               1500         0     1250
D LAMAR ADVERTISING              COMMON     512815101     2536     148921 SH  -    DEFINED 02             148921         0        0
D LAMAR ADVERTISING              COMMON     512815101        1         82 SH  -    OTHER   02                  0        82        0
D LAMAR ADVERTISING              COMMON     512815101        9        543 SH  -    OTHER   02                  0         0      543

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 486
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LAMAR ADVERTISING              COMMON     512815101     9225     541664 SH  -    DEFINED 04             541664         0        0
D LAMAR ADVERTISING              COMMON     512815101       59       3436 SH  -    DEFINED 05               3436         0        0
D LAMAR ADVERTISING              COMMON     512815101        5        285 SH  -    DEFINED 01                  0         0      285
D LANCASTER COLONY               COMMON     513847103        8        123 SH  -    OTHER   02                  0       123        0
D LANCASTER COLONY               COMMON     513847103      824      13513 SH  -    DEFINED 04              13513         0        0
D LANCASTER COLONY               COMMON     513847103       18        291 SH  -    DEFINED 05                291         0        0
D LANCASTER COLONY               COMMON     513847103      100       1635 SH  -    DEFINED 08               1635         0        0
D LANDAUER INC                   COMMON     51476K103        1         29 SH  -    OTHER   02                  0        29        0
D LANDAUER INC                   COMMON     51476K103      334       6746 SH  -    DEFINED 04               6746         0        0
D LANDAUER INC                   COMMON     51476K103      222       4485 SH  -    DEFINED 05               4485         0        0
D LAS VEGAS SANDS CORP           COMMON     517834107        2         56 SH  -    DEFINED 02                 56         0        0
D LAS VEGAS SANDS CORP           COMMON     517834107       37        965 SH  -    DEFINED 02                965         0        0
D LAS VEGAS SANDS CORP           COMMON     517834107      379       9883 SH  -    OTHER   02               2750      3307     3756
D LAS VEGAS SANDS CORP           COMMON     517834107        5        121 SH  -    OTHER   02                  0         0      121
D LAS VEGAS SANDS CORP           COMMON     517834107      470      12253 SH  -    DEFINED 04              12253         0        0
D LAS VEGAS SANDS CORP           COMMON     517834107     1366      35630 SH  -    DEFINED 04              35630         0        0
D LAS VEGAS SANDS CORP           COMMON     517834107     4216     109955 SH  -    DEFINED 05             109955         0        0
D LAS VEGAS SANDS CORP           COMMON     517834107    10210     266293 SH  -    DEFINED 08             266293         0        0
D LAS VEGAS SANDS CORP           COMMON     517834107        8        196 SH  -    OTHER   01                  0       196        0
D LAS VEGAS SANDS CORP           COMMON     517834107     6444     168077 SH  -    OTHER   10                  0         0   168077
D LAS VEGAS SANDS CORP           OPTION     517834909      671      17500 SH  C    DEFINED 05              17500         0        0
D LAS VEGAS SANDS CORP           OPTION     517834909     3834     100000 SH  C    DEFINED 08             100000         0        0
D LAS VEGAS SANDS CORP           OPTION     517834958      242       6300 SH  P    DEFINED 05               6300         0        0
D LAS VEGAS SANDS CORP           OPTION     517834958     5368     140000 SH  P    DEFINED 08             140000         0        0
D LASALLE HOTEL PPTYS            COMMON     517942108      459      23900 SH  -    DEFINED 02              23900         0        0
D LASALLE HOTEL PPTYS            COMMON     517942108    13538     705128 SH  -    DEFINED 04             616153         0    88975

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 487
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LASALLE HOTEL PPTYS            COMMON     517942108     1842      95912 SH  -    DEFINED 04              95912         0        0
D LASALLE HOTEL PPTYS            COMMON     517942108       19       1000 SH  -    DEFINED 04               1000         0        0
D LASALLE HOTEL PPTYS            COMMON     517942108       35       1831 SH  -    DEFINED 04               1831         0        0
D LASALLE HOTEL PPTYS            COMMON     517942108      165       8600 SH  -    DEFINED 04               8600         0        0
D LASALLE HOTEL PPTYS            COMMON     517942108       38       2000 SH  -    DEFINED 04               2000         0        0
D LASALLE HOTEL PPTYS            COMMON     517942108     1014      52800 SH  -    DEFINED 04              40600         0        0
D LASALLE HOTEL PPTYS            COMMON     517942108       13        666 SH  -    DEFINED 04                  0         0      666
D LASALLE HOTEL PPTYS            COMMON     517942108      104       5431 SH  -    OTHER   04                  0      5431        0
D LASALLE HOTEL PPTYS            COMMON     517942108      763      39721 SH  -    DEFINED 05              39721         0        0
D LASALLE HOTEL PPTYS            COMMON     517942108       10        505 SH  -    DEFINED 06                505         0        0
D LASALLE HOTEL PPTYS            COMMON     517942108      479      24937 SH  -    OTHER   10                  0         0    24937
D LATTICE SEMICONDUC             COMMON     518415104     1250     238000 SH  -    DEFINED 04             198150         0    39850
D LATTICE SEMICONDUC             COMMON     518415104      850     161900 SH  -    DEFINED 04             161900         0        0
D LATTICE SEMICONDUC             COMMON     518415104       79      15112 SH  -    DEFINED 05              15112         0        0
D LATTICE SEMICONDUC             COMMON     518415104       37       7012 SH  -    DEFINED 08               7012         0        0
D ESTEE LAUDER COS               COMMON     518439104     5218      59405 SH  -    DEFINED 02              54776       573     4056
D ESTEE LAUDER COS               COMMON     518439104     1413      16091 SH  -    DEFINED 02              15908        22      161
D ESTEE LAUDER COS               COMMON     518439104      121       1378 SH  -    DEFINED 02               1303         0       75
D ESTEE LAUDER COS               COMMON     518439104     3120      35520 SH  -    OTHER   02              16956     16341     1940
D ESTEE LAUDER COS               COMMON     518439104      177       2013 SH  -    OTHER   02               1101       114      798
D ESTEE LAUDER COS               COMMON     518439104       33        376 SH  -    OTHER   02                  0       376        0
D ESTEE LAUDER COS               COMMON     518439104       34        384 SH  -    OTHER   02                  0       384        0
D ESTEE LAUDER COS               COMMON     518439104       89       1010 SH  -    OTHER   02                  0      1010        0
D ESTEE LAUDER COS               COMMON     518439104    44324     504597 SH  -    DEFINED 04             238442         0   266155
D ESTEE LAUDER COS               COMMON     518439104    24523     279182 SH  -    DEFINED 04             279182         0        0
D ESTEE LAUDER COS               COMMON     518439104     7290      82988 SH  -    DEFINED 04              82988         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 488
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ESTEE LAUDER COS               COMMON     518439104     4217      48005 SH  -    OTHER   04                  0     48005        0
D ESTEE LAUDER COS               COMMON     518439104     4954      56396 SH  -    DEFINED 05              56396         0        0
D ESTEE LAUDER COS               COMMON     518439104      259       2944 SH  -    DEFINED 01               2512       270      162
D ESTEE LAUDER COS               COMMON     518439104      103       1176 SH  -    OTHER   01                467       277      432
D ESTEE LAUDER COS               COMMON     518439104       11        127 SH  -    OTHER   10                  0         0      127
D LAYNE CHRISTENSEN CO           COMMON     521050104      108       4658 SH  -    DEFINED 02                  0      4658        0
D LAYNE CHRISTENSEN CO           COMMON     521050104      179       7759 SH  -    OTHER   02               4530      3229        0
D LAYNE CHRISTENSEN CO           COMMON     521050104        1         60 SH  -    OTHER   02                  0         0       60
D LAYNE CHRISTENSEN CO           COMMON     521050104       18        761 SH  -    DEFINED 05                761         0        0
D LAYNE CHRISTENSEN CO           COMMON     521050104       24       1059 SH  -    DEFINED 08               1059         0        0
D LEAP WIRELESS INTL INC         BOND       521863AL4       22      25000 PRN -    DEFINED 02                  0         0        0
D LEAP WIRELESS INTL INC         COMMON     521863308        3        379 SH  -    OTHER   02                  0       379        0
D LEAP WIRELESS INTL INC         COMMON     521863308        4        588 SH  -    OTHER   02                  0         0      588
D LEAP WIRELESS INTL INC         COMMON     521863308       63       9111 SH  -    DEFINED 05               9111         0        0
D LEAP WIRELESS INTL INC         COMMON     521863308       27       3956 SH  -    DEFINED 08               3956         0        0
D LEAR CORP                      COMMON     521865204      159       3708 SH  -    DEFINED 02                108         0     3600
D LEAR CORP                      COMMON     521865204       22        523 SH  -    DEFINED 02                523         0        0
D LEAR CORP                      COMMON     521865204       30        704 SH  -    OTHER   02                  0       704        0
D LEAR CORP                      COMMON     521865204     1235      28777 SH  -    DEFINED 04              28777         0        0
D LEAR CORP                      COMMON     521865204      476      11100 SH  -    DEFINED 04              11100         0        0
D LEAR CORP                      COMMON     521865204       70       1634 SH  -    DEFINED 05               1634         0        0
D LEAR CORP                      COMMON     521865204     1191      27765 SH  -    DEFINED 08              27765         0        0
D LEAR CORP                      COMMON     521865204        6        139 SH  -    OTHER   01                  0       139        0
D LEAR CORP                      COMMON     521865204        3         64 SH  -    OTHER   10                  0         0       64
D LEE ENTERPRISES INC            COMMON     523768109       86     110020 SH  -    OTHER   02             110020         0        0
D LEGGETT & PLATT INC            COMMON     524660107        0         11 SH  -    DEFINED 02                 11         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 489
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LEGGETT & PLATT INC            COMMON     524660107       33       1676 SH  -    DEFINED 02               1632         0       44
D LEGGETT & PLATT INC            COMMON     524660107      113       5694 SH  -    OTHER   02                  0      5694        0
D LEGGETT & PLATT INC            COMMON     524660107      773      39039 SH  -    OTHER   02              35606        21     3412
D LEGGETT & PLATT INC            COMMON     524660107     4684     236710 SH  -    DEFINED 04             221256         0    15454
D LEGGETT & PLATT INC            COMMON     524660107     5056     255480 SH  -    DEFINED 04             255480         0        0
D LEGGETT & PLATT INC            COMMON     524660107     2015     101795 SH  -    DEFINED 05             101795         0        0
D LEGGETT & PLATT INC            COMMON     524660107       54       2735 SH  -    DEFINED 08               2735         0        0
D LEGGETT & PLATT INC            COMMON     524660107       38       1898 SH  -    OTHER   10                  0         0     1898
D LEGACY RESERVES LP             COMMON     524707304    14286     550510 SH  -    DEFINED 10             550510         0        0
D LEGACY RESERVES LP             COMMON     524707304      143       5500 SH  -    OTHER   10                  0         0     5500
D LEGG MASON INC                 COMMON     524901105        3        107 SH  -    DEFINED 02                107         0        0
D LEGG MASON INC                 COMMON     524901105        4        151 SH  -    DEFINED 02                151         0        0
D LEGG MASON INC                 COMMON     524901105       40       1552 SH  -    DEFINED 02               1511         0       41
D LEGG MASON INC                 COMMON     524901105      133       5181 SH  -    OTHER   02                635      4414        0
D LEGG MASON INC                 COMMON     524901105        3        113 SH  -    OTHER   02                  0       108        5
D LEGG MASON INC                 COMMON     524901105      600      23337 SH  -    DEFINED 04              19584         0     3753
D LEGG MASON INC                 COMMON     524901105      632      24572 SH  -    DEFINED 04              24572         0        0
D LEGG MASON INC                 COMMON     524901105      939      36509 SH  -    DEFINED 05              36509         0        0
D LEGG MASON INC                 COMMON     524901105        8        296 SH  -    DEFINED 06                296         0        0
D LEGG MASON INC                 COMMON     524901105     2703     105146 SH  -    DEFINED 08             105146         0        0
D LEGG MASON INC                 COMMON     524901105        6        247 SH  -    OTHER   01                  0       247        0
D LEGG MASON INC                 COMMON     524901105      499      19405 SH  -    OTHER   10                  0         0    19405
D LENDER PROCESSING SVCS INC     COMMON     52602E102       10        700 SH  -    DEFINED 02                700         0        0
D LENDER PROCESSING SVCS INC     COMMON     52602E102       97       7058 SH  -    OTHER   02                  0      3048     4010
D LENDER PROCESSING SVCS INC     COMMON     52602E102       93       6800 SH  -    OTHER   02                  0      3300     3500
D LENDER PROCESSING SVCS INC     COMMON     52602E102      351      25625 SH  -    DEFINED 04              25625         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 490
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LENDER PROCESSING SVCS INC     COMMON     52602E102     2472     180562 SH  -    DEFINED 04             180562         0        0
D LENDER PROCESSING SVCS INC     COMMON     52602E102        1         50 SH  -    OTHER   04                  0        50        0
D LENDER PROCESSING SVCS INC     COMMON     52602E102       29       2106 SH  -    DEFINED 05               2106         0        0
D LENDER PROCESSING SVCS INC     COMMON     52602E102       50       3634 SH  -    DEFINED 08               3634         0        0
D LENDER PROCESSING SVCS INC     COMMON     52602E102      560      40933 SH  -    OTHER   01              40933         0        0
D LENNAR CORP                    COMMON     526057104     4362     322183 SH  -    DEFINED 02             280636      1481    40066
D LENNAR CORP                    COMMON     526057104     1146      84602 SH  -    DEFINED 02              81452        95     3055
D LENNAR CORP                    COMMON     526057104      155      11482 SH  -    DEFINED 02               4228         0     7254
D LENNAR CORP                    COMMON     526057104     1162      85790 SH  -    OTHER   02              50459     29301     6025
D LENNAR CORP                    COMMON     526057104      108       7982 SH  -    OTHER   02               5483       976     1523
D LENNAR CORP                    COMMON     526057104       29       2151 SH  -    OTHER   02                  0      2151        0
D LENNAR CORP                    COMMON     526057104       25       1836 SH  -    OTHER   02                  0      1836        0
D LENNAR CORP                    COMMON     526057104       64       4705 SH  -    OTHER   02                  0      4705        0
D LENNAR CORP                    COMMON     526057104    41472    3062940 SH  -    DEFINED 04            2272984         0   789956
D LENNAR CORP                    COMMON     526057104     1945     143659 SH  -    DEFINED 04             143659         0        0
D LENNAR CORP                    COMMON     526057104     2096     154780 SH  -    DEFINED 04             154780         0        0
D LENNAR CORP                    COMMON     526057104      105       7725 SH  -    DEFINED 04               7725         0        0
D LENNAR CORP                    COMMON     526057104       47       3471 SH  -    DEFINED 04                  0         0     3471
D LENNAR CORP                    COMMON     526057104     2896     213859 SH  -    OTHER   04                  0    213859        0
D LENNAR CORP                    COMMON     526057104      307      22675 SH  -    DEFINED 05              22675         0        0
D LENNAR CORP                    COMMON     526057104      314      23154 SH  -    DEFINED 08              23154         0        0
D LENNAR CORP                    COMMON     526057104      550      40638 SH  -    DEFINED 09              40638         0        0
D LENNAR CORP                    COMMON     526057104      202      14883 SH  -    DEFINED 01              12878      1250      755
D LENNAR CORP                    COMMON     526057104       78       5763 SH  -    OTHER   01               2147      1631     1985
D LENNAR CORP                    COMMON     526057302      193      18900 SH  -    DEFINED 04                  0         0    18900
D LENNAR CORP                    COMMON     526057302        2        166 SH  -    DEFINED 05                166         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 491
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LENNAR CORP                    OPTION     526057955       24       1800 SH  P    DEFINED 05               1800         0        0
D LENNOX INTL INC                COMMON     526107107       12        468 SH  -    OTHER   02                  0       468        0
D LENNOX INTL INC                COMMON     526107107    12230     474403 SH  -    DEFINED 04             474403         0        0
D LENNOX INTL INC                COMMON     526107107       47       1837 SH  -    DEFINED 05               1837         0        0
D LENNOX INTL INC                COMMON     526107107       92       3576 SH  -    DEFINED 08               3576         0        0
D LEUCADIA NATL CORP             COMMON     527288104      151       6648 SH  -    DEFINED 02                 48      6600        0
D LEUCADIA NATL CORP             COMMON     527288104       55       2424 SH  -    DEFINED 02               2283         0      141
D LEUCADIA NATL CORP             COMMON     527288104     2403     105960 SH  -    OTHER   02              64605     41355        0
D LEUCADIA NATL CORP             COMMON     527288104        0          9 SH  -    OTHER   02                  0         0        9
D LEUCADIA NATL CORP             COMMON     527288104     1041      45896 SH  -    DEFINED 04              40165         0     5731
D LEUCADIA NATL CORP             COMMON     527288104      724      31943 SH  -    DEFINED 04              31943         0        0
D LEUCADIA NATL CORP             COMMON     527288104       18        785 SH  -    DEFINED 04                785         0        0
D LEUCADIA NATL CORP             COMMON     527288104     3098     136609 SH  -    DEFINED 05             136609         0        0
D LEUCADIA NATL CORP             COMMON     527288104        8        373 SH  -    DEFINED 06                373         0        0
D LEUCADIA NATL CORP             COMMON     527288104      606      26733 SH  -    DEFINED 08              26733         0        0
D LEUCADIA NATL CORP             COMMON     527288104      110       4860 SH  -    OTHER   01                  0      4860        0
D LEUCADIA NATL CORP             COMMON     527288104      623      27481 SH  -    OTHER   10                  0         0    27481
D LEVEL 3 COMMUNICATIONS INC     BOND       52729NBK5      358     363000 PRN -    DEFINED 05                  0         0        0
D LEVEL 3 COMMUNICATIONS INC     BOND       52729NBM1      637     500000 PRN -    DEFINED 05                  0         0        0
D LEVEL 3 COMMUNICAT             COMMON     52729N100        3       2063 SH  -    DEFINED 02                  0         0     2063
D LEVEL 3 COMMUNICAT             COMMON     52729N100       30      20333 SH  -    DEFINED 02               8754     11579        0
D LEVEL 3 COMMUNICAT             COMMON     52729N100     1627    1091638 SH  -    OTHER   02              14049    975091   102498
D LEVEL 3 COMMUNICAT             COMMON     52729N100      686     460148 SH  -    OTHER   02               7224     50603   402321
D LEVEL 3 COMMUNICAT             COMMON     52729N100      529     355241 SH  -    DEFINED 04             355241         0        0
D LEVEL 3 COMMUNICAT             COMMON     52729N100      599     402181 SH  -    DEFINED 04             402181         0        0
D LEVEL 3 COMMUNICAT             COMMON     52729N100       67      44655 SH  -    DEFINED 05              44655         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 492
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LEVEL 3 COMMUNICAT             COMMON     52729N100     1638    1099410 SH  -    OTHER   10                  0         0  1099410
D LEXICON PHARMACEUTICALS INC    COMMON     528872104     1692    1839000 SH  -    DEFINED 04            1839000         0        0
D LEXICON PHARMACEUTICALS INC    COMMON     528872104      316     343600 SH  -    DEFINED 04             343600         0        0
D LEXICON PHARMACEUTICALS INC    COMMON     528872104       93     101423 SH  -    DEFINED 05             101423         0        0
D LEXICON PHARMACEUTICALS INC    COMMON     528872104        8       8931 SH  -    DEFINED 08               8931         0        0
D LEXICON PHARMACEUTICALS INC    COMMON     528872104      133     144805 SH  -    DEFINED 09             144805         0        0
D LEXINGTON REALTY TRUST         COMMON     529043101    11179    1709331 SH  -    DEFINED 04            1567632         0   141699
D LEXINGTON REALTY TRUST         COMMON     529043101     2956     452026 SH  -    DEFINED 04             452026         0        0
D LEXINGTON REALTY TRUST         COMMON     529043101      419      64037 SH  -    DEFINED 05              64037         0        0
D LEXINGTON REALTY TRUST         COMMON     529043101      186      28495 SH  -    OTHER   10                  0         0    28495
D LEXMARK INTL INC               COMMON     529771107       26        965 SH  -    DEFINED 02                914         0       51
D LEXMARK INTL INC               COMMON     529771107       64       2363 SH  -    OTHER   02                  0      2363        0
D LEXMARK INTL INC               COMMON     529771107        1         35 SH  -    OTHER   02                  8         4       23
D LEXMARK INTL INC               COMMON     529771107     1993      73724 SH  -    DEFINED 04              71455         0     2269
D LEXMARK INTL INC               COMMON     529771107     2189      80988 SH  -    DEFINED 04              80988         0        0
D LEXMARK INTL INC               COMMON     529771107        1         35 SH  -    OTHER   04                  0        35        0
D LEXMARK INTL INC               COMMON     529771107     2325      86017 SH  -    DEFINED 05              86017         0        0
D LEXMARK INTL INC               OPTION     529771909      324      12000 SH  C    DEFINED 05              12000         0        0
D LEXMARK INTL INC               OPTION     529771958      478      17700 SH  P    DEFINED 05              17700         0        0
D LIBBEY INC                     COMMON     529898108        5        466 SH  -    OTHER   02                  0       466        0
D LIBBEY INC                     COMMON     529898108      329      31200 SH  -    DEFINED 04              23700         0     7500
D LIBBEY INC                     COMMON     529898108       35       3321 SH  -    DEFINED 05               3321         0        0
D LIBBEY INC                     COMMON     529898108       12       1185 SH  -    DEFINED 08               1185         0        0
D LIBERTY GLOBAL INC             COMMON     530555101       36        986 SH  -    DEFINED 02                986         0        0
D LIBERTY GLOBAL INC             COMMON     530555101      965      26683 SH  -    OTHER   02              21325      2028     3330
D LIBERTY GLOBAL INC             COMMON     530555101       33        921 SH  -    OTHER   02                  0         0      921

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 493
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LIBERTY GLOBAL INC             COMMON     530555101     1581      43704 SH  -    DEFINED 04              43704         0        0
D LIBERTY GLOBAL INC             COMMON     530555101     1557      43022 SH  -    DEFINED 05              43022         0        0
D LIBERTY GLOBAL INC             COMMON     530555101     3974     109828 SH  -    DEFINED 08             109828         0        0
D LIBERTY GLOBAL INC             COMMON     530555101        4        100 SH  -    OTHER   10                  0         0      100
D LIBERTY GLOBAL INC             COMMON     530555309        0         11 SH  -    DEFINED 02                 11         0        0
D LIBERTY GLOBAL INC             COMMON     530555309      440      12702 SH  -    OTHER   02               2375     10327        0
D LIBERTY GLOBAL INC             COMMON     530555309       10        300 SH  -    OTHER   02                300         0        0
D LIBERTY GLOBAL INC             COMMON     530555309      101       2927 SH  -    DEFINED 05               2927         0        0
D LIBERTY GLOBAL INC             COMMON     530555309     1679      48517 SH  -    DEFINED 08              48517         0        0
D LIBERTY INTERACTIVE CORPORATIO COMMON     53071M104       92       6207 SH  -    DEFINED 02               6207         0        0
D LIBERTY INTERACTIVE CORPORATIO COMMON     53071M104       18       1195 SH  -    DEFINED 02               1195         0        0
D LIBERTY INTERACTIVE CORPORATIO COMMON     53071M104     1260      85393 SH  -    OTHER   02              79832      5561        0
D LIBERTY INTERACTIVE CORPORATIO COMMON     53071M104       35       2345 SH  -    DEFINED 04               2345         0        0
D LIBERTY INTERACTIVE CORPORATIO COMMON     53071M104      233      15753 SH  -    DEFINED 05              15753         0        0
D LIBERTY INTERACTIVE CORPORATIO COMMON     53071M104     4310     292029 SH  -    DEFINED 08             292029         0        0
D LIBERTY INTERACTIVE CORPORATIO COMMON     53071M104        1         79 SH  -    OTHER   01                  0        79        0
D LIBERTY INTERACTIVE CORPORATIO COMMON     53071M104     1878     127247 SH  -    OTHER   10                  0         0   127247
D LIBERTY MEDIA CORP NEW         COMMON     53071M708     1626      25587 SH  -    DEFINED 04              25587         0        0
D LIBERTY MEDIA CORP             BOND       530715AL5     6284   11800000 PRN -    DEFINED 09                  0         0        0
D LIBERTY MEDIA CORP             BOND       530715AN1     8557   15845696 PRN -    DEFINED 09                  0         0        0
D LIBERTY MEDIA CORP             BOND       530715AR2     8451   10800000 PRN -    DEFINED 09                  0         0        0
D LIBERTY MEDIA CORP NEW         BOND       530718AF2     1925    1793000 PRN -    DEFINED 04                  0         0        0
D LIBERTY MEDIA CORP NEW         BOND       530718AF2    89121   83000000 PRN -    DEFINED 08                  0         0        0
D LIBERTY MEDIA CORP NEW         BOND       530718AF2    49253   45870000 PRN -    DEFINED 09                  0         0        0
D LIBERTY MEDIA CORP NEW         BOND       530718AF2     5038    4692000 PRN -    DEFINED 09                  0         0        0
D LIBERTY PPTY TR                COMMON     531172104      808      27748 SH  -    DEFINED 04              27748         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 494
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LIBERTY PPTY TR                COMMON     531172104     2372      81478 SH  -    DEFINED 04              81478         0        0
D LIBERTY PPTY TR                COMMON     531172104       55       1900 SH  -    DEFINED 04               1900         0        0
D LIBERTY PPTY TR                COMMON     531172104     2908      99900 SH  -    DEFINED 04              99900         0        0
D LIBERTY PPTY TR                COMMON     531172104     1482      50923 SH  -    DEFINED 05              50923         0        0
D LIBERTY PPTY TR                COMMON     531172104       23        782 SH  -    DEFINED 06                782         0        0
D LIBERTY PPTY TR                COMMON     531172104     1083      37187 SH  -    DEFINED 08              37187         0        0
D LIBERTY PPTY TR                COMMON     531172104       72       2470 SH  -    DEFINED 09               2470         0        0
D LIBERTY PPTY TR                COMMON     531172104      399      13700 SH  -    OTHER   09                  0     13700        0
D LIBERTY PPTY TR                COMMON     531172104       29       1001 SH  -    OTHER   10                  0         0     1001
D LIFE PARTNERS HOLDINGS INC     COMMON     53215T106        1        141 SH  -    DEFINED 05                141         0        0
D LIFE PARTNERS HOLDINGS INC     COMMON     53215T106       61      10000 SH  -    OTHER   10                  0         0    10000
D LIFE TIME FITNESS INC          COMMON     53217R207        3         84 SH  -    DEFINED 02                  0         0       84
D LIFE TIME FITNESS INC          COMMON     53217R207       34        921 SH  -    DEFINED 02                449       472        0
D LIFE TIME FITNESS INC          COMMON     53217R207     1682      45648 SH  -    OTHER   02                541     41073     4034
D LIFE TIME FITNESS INC          COMMON     53217R207      740      20080 SH  -    OTHER   02                293      3555    16232
D LIFE TIME FITNESS INC          COMMON     53217R207    12228     331830 SH  -    DEFINED 04             238210         0    93620
D LIFE TIME FITNESS INC          COMMON     53217R207     8763     237815 SH  -    DEFINED 04             237815         0        0
D LIFE TIME FITNESS INC          COMMON     53217R207     1935      52500 SH  -    DEFINED 04              52500         0        0
D LIFE TIME FITNESS INC          COMMON     53217R207       43       1172 SH  -    DEFINED 05               1172         0        0
D LIFE TIME FITNESS INC          COMMON     53217R207      132       3584 SH  -    DEFINED 08               3584         0        0
D LIFE TECHNOLOGIES CORP         COMMON     53217V109       13        335 SH  -    DEFINED 02                  0       335        0
D LIFE TECHNOLOGIES CORP         COMMON     53217V109      207       5391 SH  -    DEFINED 02               5391         0        0
D LIFE TECHNOLOGIES CORP         COMMON     53217V109       85       2211 SH  -    DEFINED 02               2080         0      131
D LIFE TECHNOLOGIES CORP         COMMON     53217V109      775      20155 SH  -    OTHER   02                  0     20155        0
D LIFE TECHNOLOGIES CORP         COMMON     53217V109      151       3931 SH  -    OTHER   02                305        26     3600
D LIFE TECHNOLOGIES CORP         COMMON     53217V109     2610      67927 SH  -    DEFINED 04              26960         0    40967

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 495
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LIFE TECHNOLOGIES CORP         COMMON     53217V109     1117      29053 SH  -    DEFINED 04              29053         0        0
D LIFE TECHNOLOGIES CORP         COMMON     53217V109        4        100 SH  -    DEFINED 04                100         0        0
D LIFE TECHNOLOGIES CORP         COMMON     53217V109     1200      31213 SH  -    DEFINED 05              31213         0        0
D LIFE TECHNOLOGIES CORP         COMMON     53217V109    12989     338001 SH  -    DEFINED 08             338001         0        0
D LIFE TECHNOLOGIES CORP         COMMON     53217V109      192       5000 SH  -    OTHER   01               5000         0        0
D LIFE TECHNOLOGIES CORP         COMMON     53217V109      445      11571 SH  -    OTHER   10                  0         0    11571
D LIFEPOINT HOSPITALS INC        BOND       53219LAG4      159     157000 PRN -    DEFINED 05                  0         0        0
D LIFEPOINT HOSPITALS INC        BOND       53219LAH2     5164    5100000 PRN -    DEFINED 09                  0         0        0
D LIFEPOINT HOSPITALS INC        COMMON     53219L109       18        500 SH  -    DEFINED 02                  0         0      500
D LIFEPOINT HOSPITALS INC        COMMON     53219L109       18        485 SH  -    OTHER   02                  0       485        0
D LIFEPOINT HOSPITALS INC        COMMON     53219L109    40575    1107402 SH  -    DEFINED 03            1107402         0        0
D LIFEPOINT HOSPITALS INC        COMMON     53219L109      474      12930 SH  -    DEFINED 04              12930         0        0
D LIFEPOINT HOSPITALS INC        COMMON     53219L109     3934     107365 SH  -    DEFINED 04             107365         0        0
D LIFEPOINT HOSPITALS INC        COMMON     53219L109       53       1458 SH  -    DEFINED 05               1458         0        0
D LIFEPOINT HOSPITALS INC        COMMON     53219L109       18        500 SH  -    OTHER   10                  0         0      500
D LIGAND PHARMACEUTICALS INC     COMMON     53220K504        2        130 SH  -    OTHER   02                  0         0        0
D LIGAND PHARMACEUTICALS INC     COMMON     53220K504      461      33663 SH  -    DEFINED 05              33663         0        0
D LIGAND PHARMACEUTICALS INC     COMMON     53220K504       16       1174 SH  -    DEFINED 08               1174         0        0
D LIFETIME BRANDS INC            COMMON     53222Q103       52       5380 SH  -    OTHER   02                  0      1810     3570
D LIFETIME BRANDS INC            COMMON     53222Q103     2018     209350 SH  -    DEFINED 04             182550         0    26800
D LIFETIME BRANDS INC            COMMON     53222Q103      122      12700 SH  -    DEFINED 04              12700         0        0
D LIFETIME BRANDS INC            COMMON     53222Q103        1         52 SH  -    DEFINED 05                 52         0        0
D LIFETIME BRANDS INC            COMMON     53222Q103        5        544 SH  -    DEFINED 08                544         0        0
D LILLY(ELI)& CO                 COMMON     532457108     3491      94423 SH  -    DEFINED 02              81918      3670     8835
D LILLY(ELI)& CO                 COMMON     532457108     9968     269629 SH  -    DEFINED 02             264679         0     4950
D LILLY(ELI)& CO                 COMMON     532457108      434      11740 SH  -    DEFINED 02              11740         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 496
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LILLY(ELI)& CO                 COMMON     532457108    38069    1029718 SH  -    OTHER   02             190767    374094   464199
D LILLY(ELI)& CO                 COMMON     532457108    74308    2009941 SH  -    OTHER   02            1318139    673680    18122
D LILLY(ELI)& CO                 COMMON     532457108    22101     597813 SH  -    DEFINED 04             555946         0    41867
D LILLY(ELI)& CO                 COMMON     532457108     8324     225143 SH  -    DEFINED 04             225143         0        0
D LILLY(ELI)& CO                 COMMON     532457108     3653      98799 SH  -    DEFINED 04              55960         0    42839
D LILLY(ELI)& CO                 COMMON     532457108    30629     828473 SH  -    DEFINED 05             828473         0        0
D LILLY(ELI)& CO                 COMMON     532457108      145       3921 SH  -    DEFINED 06               3921         0        0
D LILLY(ELI)& CO                 COMMON     532457108    14178     383504 SH  -    DEFINED 08             383504         0        0
D LILLY(ELI)& CO                 COMMON     532457108    14352     388197 SH  -    DEFINED 09             363499     24698        0
D LILLY(ELI)& CO                 COMMON     532457108      931      25176 SH  -    DEFINED 09              25176         0        0
D LILLY(ELI)& CO                 COMMON     532457108     6720     181773 SH  -    DEFINED 09             181773         0        0
D LILLY(ELI)& CO                 COMMON     532457108      163       4413 SH  -    OTHER   09                  0      4413        0
D LILLY(ELI)& CO                 COMMON     532457108     2428      65662 SH  -    OTHER   01              40000     25662        0
D LILLY(ELI)& CO                 COMMON     532457108     6855     185409 SH  -    OTHER   10                  0         0   185409
D LILLY(ELI)& CO                 OPTION     532457900     4396     118900 SH  C    DEFINED 05             118900         0        0
D LILLY(ELI)& CO                 OPTION     532457900      647      17500 SH  C    DEFINED 08              17500         0        0
D LILLY(ELI)& CO                 OPTION     532457959     6884     186200 SH  P    DEFINED 05             186200         0        0
D LIMELIGHT NETWORKS INC         COMMON     53261M104       10       4343 SH  -    DEFINED 05               4343         0        0
D LIMELIGHT NETWORKS INC         COMMON     53261M104        7       3136 SH  -    DEFINED 08               3136         0        0
D LIMELIGHT NETWORKS INC         COMMON     53261M104      388     164554 SH  -    OTHER   10                  0         0   164554
D LIMITED INC                    COMMON     532716107      355       9224 SH  -    DEFINED 02               9014         0      210
D LIMITED INC                    COMMON     532716107      950      24679 SH  -    DEFINED 02              24528         0      151
D LIMITED INC                    COMMON     532716107      116       3022 SH  -    DEFINED 02               2853         0      169
D LIMITED INC                    COMMON     532716107     1099      28532 SH  -    OTHER   02              14584     13948        0
D LIMITED INC                    COMMON     532716107      208       5403 SH  -    OTHER   02               4969        73      361
D LIMITED INC                    COMMON     532716107    27226     706987 SH  -    DEFINED 04             580694         0   126293

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 497
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LIMITED INC                    COMMON     532716107     9908     257272 SH  -    DEFINED 04             257272         0        0
D LIMITED INC                    COMMON     532716107     3112      80811 SH  -    DEFINED 04              45717         0    35094
D LIMITED INC                    COMMON     532716107      267       6943 SH  -    DEFINED 05               6943         0        0
D LIMITED INC                    COMMON     532716107    12721     330321 SH  -    DEFINED 09             308349     21972        0
D LIMITED INC                    COMMON     532716107      799      20741 SH  -    DEFINED 09              20741         0        0
D LIMITED INC                    COMMON     532716107     5858     152122 SH  -    DEFINED 09             152122         0        0
D LIMITED INC                    COMMON     532716107      149       3871 SH  -    OTHER   09                  0      3871        0
D LIMITED INC                    COMMON     532716107        4        115 SH  -    DEFINED 01                  0         0      115
D LIMITED INC                    COMMON     532716107      440      11433 SH  -    OTHER   01              11000       228      205
D LIMITED INC                    COMMON     532716107      143       3701 SH  -    OTHER   10                  0         0     3701
D LIN TV CORP                    COMMON     532774106        7       3100 SH  -    OTHER   02               3100         0        0
D LIN TV CORP                    COMMON     532774106     3107    1425435 SH  -    DEFINED 04            1348430         0    77005
D LIN TV CORP                    COMMON     532774106        7       3365 SH  -    DEFINED 04               3365         0        0
D LIN TV CORP                    COMMON     532774106        2        996 SH  -    OTHER   04                  0       996        0
D LIN TV CORP                    COMMON     532774106       11       4977 SH  -    DEFINED 05               4977         0        0
D LIN TV CORP                    COMMON     532774106        4       1774 SH  -    DEFINED 08               1774         0        0
D LINCARE HLDGS INC              COMMON     532791100      360      16018 SH  -    DEFINED 02              16018         0        0
D LINCARE HLDGS INC              COMMON     532791100     1117      49666 SH  -    DEFINED 02              49386         0      280
D LINCARE HLDGS INC              COMMON     532791100      261      11605 SH  -    OTHER   02               9833      1522      250
D LINCARE HLDGS INC              COMMON     532791100       94       4190 SH  -    OTHER   02               3435       135      620
D LINCARE HLDGS INC              COMMON     532791100   156248    6944360 SH  -    DEFINED 04            6264132         0   680228
D LINCARE HLDGS INC              COMMON     532791100    22915    1018448 SH  -    DEFINED 04            1018448         0        0
D LINCARE HLDGS INC              COMMON     532791100       50       2238 SH  -    DEFINED 04               2238         0        0
D LINCARE HLDGS INC              COMMON     532791100     2432     108075 SH  -    DEFINED 04             108075         0        0
D LINCARE HLDGS INC              COMMON     532791100     1285      57096 SH  -    OTHER   04                  0     57096        0
D LINCARE HLDGS INC              COMMON     532791100     6637     294958 SH  -    OTHER   04                  0    294958        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 498
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LINCARE HLDGS INC              COMMON     532791100       54       2404 SH  -    DEFINED 05               2404         0        0
D LINCARE HLDGS INC              COMMON     532791100      224       9965 SH  -    DEFINED 01               9700         0      265
D LINCARE HLDGS INC              COMMON     532791100       16        720 SH  -    OTHER   01                  0       400      320
D LINCARE HLDGS INC              COMMON     532791100        1         60 SH  -    OTHER   10                  0         0       60
D LINCOLN EDL SVCS CORP          COMMON     533535100     2005     247800 SH  -    DEFINED 04             244700         0     3100
D LINCOLN EDL SVCS CORP          COMMON     533535100      124      15288 SH  -    DEFINED 05              15288         0        0
D LINCOLN ELEC HLDGS             COMMON     533900106       40       1379 SH  -    OTHER   02                  0      1379        0
D LINCOLN ELEC HLDGS             COMMON     533900106       19        672 SH  -    OTHER   02                  0        12      660
D LINCOLN ELEC HLDGS             COMMON     533900106      353      12175 SH  -    DEFINED 04              12175         0        0
D LINCOLN ELEC HLDGS             COMMON     533900106     1161      40030 SH  -    DEFINED 04              40030         0        0
D LINCOLN ELEC HLDGS             COMMON     533900106       35       1210 SH  -    DEFINED 05               1210         0        0
D LINCOLN ELEC HLDGS             COMMON     533900106       41       1402 SH  -    DEFINED 08               1402         0        0
D LINCOLN NATL CORP IND          COMMON     534187109       82       5246 SH  -    DEFINED 02                146         0     5100
D LINCOLN NATL CORP IND          COMMON     534187109      280      17915 SH  -    DEFINED 02              17915         0        0
D LINCOLN NATL CORP IND          COMMON     534187109       59       3753 SH  -    DEFINED 02               3554         0      199
D LINCOLN NATL CORP IND          COMMON     534187109      398      25475 SH  -    OTHER   02              10890     14585        0
D LINCOLN NATL CORP IND          COMMON     534187109       90       5766 SH  -    OTHER   02               5606       134       26
D LINCOLN NATL CORP IND          COMMON     534187109     9184     587604 SH  -    DEFINED 04             430276         0   157328
D LINCOLN NATL CORP IND          COMMON     534187109     3360     214994 SH  -    DEFINED 04             214994         0        0
D LINCOLN NATL CORP IND          COMMON     534187109       45       2870 SH  -    DEFINED 04               2870         0        0
D LINCOLN NATL CORP IND          COMMON     534187109       30       1903 SH  -    DEFINED 04                  0         0     1903
D LINCOLN NATL CORP IND          COMMON     534187109        2        116 SH  -    OTHER   04                  0       116        0
D LINCOLN NATL CORP IND          COMMON     534187109     1370      87655 SH  -    DEFINED 05              87655         0        0
D LINCOLN NATL CORP IND          COMMON     534187109        9        607 SH  -    DEFINED 06                607         0        0
D LINCOLN NATL CORP IND          COMMON     534187109     1044      66782 SH  -    DEFINED 08              66782         0        0
D LINCOLN NATL CORP IND          COMMON     534187109        2        104 SH  -    OTHER   10                  0         0      104

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 499
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LINDSAY CORP                   COMMON     535555106       45        833 SH  -    OTHER   02                 20       813        0
D LINDSAY CORP                   COMMON     535555106      490       9116 SH  -    DEFINED 04               9116         0        0
D LINDSAY CORP                   COMMON     535555106      324       6029 SH  -    DEFINED 05               6029         0        0
D LINDSAY CORP                   COMMON     535555106       22        400 SH  -    OTHER   10                  0         0      400
D LINEAR TECHNOLOGY CORP         BOND       535678AC0       96      94000 PRN -    DEFINED 05                  0         0        0
D LINEAR TECHNOLOGY CORP         BOND       535678AC0    21694   21269000 PRN -    DEFINED 09                  0         0        0
D LINEAR TECHNOLOGY              COMMON     535678106       16        580 SH  -    DEFINED 02                580         0        0
D LINEAR TECHNOLOGY              COMMON     535678106       75       2707 SH  -    DEFINED 02               2707         0        0
D LINEAR TECHNOLOGY              COMMON     535678106       76       2732 SH  -    DEFINED 02               2627         0      105
D LINEAR TECHNOLOGY              COMMON     535678106      561      20280 SH  -    OTHER   02              11343      8405      532
D LINEAR TECHNOLOGY              COMMON     535678106       32       1172 SH  -    OTHER   02                450         7      715
D LINEAR TECHNOLOGY              COMMON     535678106    64676    2339085 SH  -    DEFINED 04            2235806         0   103279
D LINEAR TECHNOLOGY              COMMON     535678106     1796      64965 SH  -    DEFINED 04              64965         0        0
D LINEAR TECHNOLOGY              COMMON     535678106      638      23057 SH  -    DEFINED 05              23057         0        0
D LINEAR TECHNOLOGY              COMMON     535678106     8542     308941 SH  -    DEFINED 08             308941         0        0
D LINEAR TECHNOLOGY              COMMON     535678106       75       2700 SH  -    DEFINED 01               2700         0        0
D LINEAR TECHNOLOGY              COMMON     535678106      553      20000 SH  -    OTHER   01              20000         0        0
D LINEAR TECHNOLOGY              COMMON     535678106      337      12203 SH  -    OTHER   10                  0         0    12203
D LINKEDIN CORP                  COMMON     53578A108        9        116 SH  -    OTHER   02                  0         0      116
D LINKEDIN CORP                  COMMON     53578A108     3911      50086 SH  -    DEFINED 04              50086         0        0
D LINKEDIN CORP                  COMMON     53578A108     9073     116200 SH  -    DEFINED 04             116200         0        0
D LINKEDIN CORP                  COMMON     53578A108       75        959 SH  -    OTHER   09                  0       959        0
D LINKEDIN CORP                  COMMON     53578A108       27        350 SH  -    OTHER   10                  0         0      350
D LIONS GATE ENTMNT CORP         BOND       535919AG9     2334    2349000 PRN -    DEFINED 05                  0         0        0
D LIONS GATE ENTMNT CORP         COMMON     535919203        1        151 SH  -    OTHER   02                  0       151        0
D LIONS GATE ENTMNT CORP         COMMON     535919203       54       7876 SH  -    DEFINED 05               7876         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 500
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LIONS GATE ENTMNT CORP         COMMON     535919203       18       2641 SH  -    DEFINED 08               2641         0        0
D LINN ENERGY LLC                COMMON     536020100      809      22680 SH  -    OTHER   02              22120         0      560
D LINN ENERGY LLC                COMMON     536020100        3         76 SH  -    DEFINED 04                 76         0        0
D LINN ENERGY LLC                COMMON     536020100     1697      47597 SH  -    DEFINED 05              47597         0        0
D LINN ENERGY LLC                COMMON     536020100      428      12000 SH  -    OTHER   01              12000         0        0
D LINN ENERGY LLC                COMMON     536020100   129904    3642852 SH  -    DEFINED 10            3642852         0        0
D LINN ENERGY LLC                COMMON     536020100      324       9096 SH  -    OTHER   10                  0         0     9096
D LINN ENERGY LLC                OPTION     536020902      342       9600 SH  C    DEFINED 05               9600         0        0
D LIONBRIDGE TECHS               COMMON     536252109        0         96 SH  -    DEFINED 02                 96         0        0
D LIONBRIDGE TECHS               COMMON     536252109       55      22233 SH  -    OTHER   02                  0         0    22233
D LIONBRIDGE TECHS               COMMON     536252109      164      66852 SH  -    OTHER   02                  0      2855    63997
D LIONBRIDGE TECHS               COMMON     536252109       10       3865 SH  -    DEFINED 05               3865         0        0
D LIONBRIDGE TECHS               COMMON     536252109       10       3914 SH  -    DEFINED 08               3914         0        0
D LIQUIDITY SERVICES INC         COMMON     53635B107        1         20 SH  -    OTHER   02                  0        20        0
D LIQUIDITY SERVICES INC         COMMON     53635B107      403      12563 SH  -    DEFINED 04              12563         0        0
D LIQUIDITY SERVICES INC         COMMON     53635B107      320       9990 SH  -    DEFINED 05               9990         0        0
D LITHIA MOTORS, INC.            COMMON     536797103        3        205 SH  -    OTHER   02                170        35        0
D LITHIA MOTORS, INC.            COMMON     536797103      217      15117 SH  -    DEFINED 04              15117         0        0
D LITHIA MOTORS, INC.            COMMON     536797103      155      10766 SH  -    DEFINED 05              10766         0        0
D LITTELFUSE INC                 COMMON     537008104        4        100 SH  -    OTHER   02                100         0        0
D LITTELFUSE INC                 COMMON     537008104     2341      58214 SH  -    DEFINED 04              51314         0     6900
D LITTELFUSE INC                 COMMON     537008104      644      16028 SH  -    DEFINED 04              16028         0        0
D LITTELFUSE INC                 COMMON     537008104      461      11454 SH  -    DEFINED 05              11454         0        0
D LITTELFUSE INC                 COMMON     537008104      101       2511 SH  -    DEFINED 09               2511         0        0
D LIVE NATION ENTERTAINMENT INC  BOND       538034AB5       11      12000 PRN -    DEFINED 05                  0         0        0
D LIVE NATION ENTERTAINMENT INC  COMMON     538034109       13       1635 SH  -    OTHER   02                  0      1635        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 501
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LIVE NATION ENTERTAINMENT INC  COMMON     538034109       42       5200 SH  -    OTHER   02                  0      5200        0
D LIVE NATION ENTERTAINMENT INC  COMMON     538034109      235      29315 SH  -    DEFINED 04              29315         0        0
D LIVE NATION ENTERTAINMENT INC  COMMON     538034109      659      82249 SH  -    DEFINED 05              82249         0        0
D LIVEPERSON INC                 COMMON     538146101       29       2908 SH  -    OTHER   02               2700       208        0
D LIVEPERSON INC                 COMMON     538146101      315      31650 SH  -    DEFINED 04              31650         0        0
D LIVEPERSON INC                 COMMON     538146101      286      28727 SH  -    DEFINED 05              28727         0        0
D LIZ CLAIBORNE                  COMMON     539320101        1        284 SH  -    OTHER   02                  0       284        0
D LIZ CLAIBORNE                  COMMON     539320101        0         85 SH  -    OTHER   02                 24        61        0
D LIZ CLAIBORNE                  COMMON     539320101     1330     266075 SH  -    DEFINED 04             241875         0    24200
D LIZ CLAIBORNE                  COMMON     539320101      331      66155 SH  -    DEFINED 04              66155         0        0
D LIZ CLAIBORNE                  COMMON     539320101      244      48820 SH  -    DEFINED 05              48820         0        0
D LIZ CLAIBORNE                  COMMON     539320101       57      11446 SH  -    DEFINED 08              11446         0        0
D LLOYDS BANKING GROUP PLC       ADR        539439109       42      20191 SH  -    OTHER   02                  0     20191        0
D LLOYDS BANKING GROUP PLC       ADR        539439109     3162    1513065 SH  -    OTHER   04                  0   1513065        0
D LLOYDS BANKING GROUP PLC       ADR        539439109      118      56675 SH  -    DEFINED 05              56675         0        0
D LLOYDS BANKING GROUP PLC       ADR        539439109     7916    3787364 SH  -    DEFINED 06            3787364         0        0
D LLOYDS BANKING GROUP PLC       ADR        539439109        9       4422 SH  -    OTHER   01                  0      3519        0
D LLOYDS BANKING GROUP PLC       ADR        539439109        1        259 SH  -    OTHER   10                  0         0      259
D LO JACK CORP                   COMMON     539451104       16       4991 SH  -    DEFINED 04               4991         0        0
D LO JACK CORP                   COMMON     539451104       26       8335 SH  -    DEFINED 05               8335         0        0
D LOCAL COM CORP                 COMMON     53954R105      484     200000 SH  -    DEFINED 05             200000         0        0
D LOCAL COM CORP                 COMMON     53954R105        1        300 SH  -    OTHER   10                  0         0      300
D LOCKHEED MARTIN CORP           COMMON     539830109    63130     869081 SH  -    DEFINED 02             853459         0    15622
D LOCKHEED MARTIN CORP           COMMON     539830109    14033     193181 SH  -    DEFINED 02             192957         0      224
D LOCKHEED MARTIN CORP           COMMON     539830109      230       3171 SH  -    DEFINED 02               3171         0        0
D LOCKHEED MARTIN CORP           COMMON     539830109     2731      37594 SH  -    OTHER   02              18799     12170     6551

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 502
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LOCKHEED MARTIN CORP           COMMON     539830109      427       5884 SH  -    OTHER   02               5583        21      280
D LOCKHEED MARTIN CORP           COMMON     539830109     9159     126086 SH  -    OTHER   02                  0    126086        0
D LOCKHEED MARTIN CORP           COMMON     539830109     4052      55781 SH  -    OTHER   02                  0     55781        0
D LOCKHEED MARTIN CORP           COMMON     539830109     6630      91276 SH  -    OTHER   02                  0     91276        0
D LOCKHEED MARTIN CORP           COMMON     539830109     8399     115626 SH  -    DEFINED 04             107747         0     7879
D LOCKHEED MARTIN CORP           COMMON     539830109     5214      71781 SH  -    DEFINED 04              71781         0        0
D LOCKHEED MARTIN CORP           COMMON     539830109        1         19 SH  -    OTHER   04                  0        19        0
D LOCKHEED MARTIN CORP           COMMON     539830109    22542     310329 SH  -    DEFINED 05             310329         0        0
D LOCKHEED MARTIN CORP           COMMON     539830109     4116      56661 SH  -    DEFINED 08              56661         0        0
D LOCKHEED MARTIN CORP           COMMON     539830109      100       1383 SH  -    DEFINED 09               1383         0        0
D LOCKHEED MARTIN CORP           COMMON     539830109      254       3498 SH  -    DEFINED 01               3498         0        0
D LOCKHEED MARTIN CORP           COMMON     539830109      121       1663 SH  -    OTHER   10                  0         0     1663
D LODGENET INTERACTIVE CORP      COMMON     540211109      111      65600 SH  -    DEFINED 04              65600         0        0
D LODGENET INTERACTIVE CORP      COMMON     540211109       95      56100 SH  -    DEFINED 05              56100         0        0
D LODGENET INTERACTIVE CORP      COMMON     540211109        0         38 SH  -    DEFINED 08                 38         0        0
D LOEWS CORP                     COMMON     540424108      167       4824 SH  -    DEFINED 02               1450      3374        0
D LOEWS CORP                     COMMON     540424108        1         26 SH  -    DEFINED 02                 26         0        0
D LOEWS CORP                     COMMON     540424108      124       3586 SH  -    DEFINED 02               3586         0        0
D LOEWS CORP                     COMMON     540424108      589      17051 SH  -    OTHER   02               3683     13368        0
D LOEWS CORP                     COMMON     540424108        1         22 SH  -    OTHER   02                  0        22        0
D LOEWS CORP                     COMMON     540424108   253848    7347257 SH  -    DEFINED 04            6835626         0   511631
D LOEWS CORP                     COMMON     540424108     1753      50747 SH  -    DEFINED 04              50747         0        0
D LOEWS CORP                     COMMON     540424108      141       4075 SH  -    DEFINED 04               4075         0        0
D LOEWS CORP                     COMMON     540424108     3545     102600 SH  -    DEFINED 04             102600         0        0
D LOEWS CORP                     COMMON     540424108     1860      53835 SH  -    OTHER   04                  0     53835        0
D LOEWS CORP                     COMMON     540424108     9701     280768 SH  -    OTHER   04                  0    280768        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 503
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LOEWS CORP                     COMMON     540424108     5271     152562 SH  -    DEFINED 05             152562         0        0
D LOEWS CORP                     COMMON     540424108       22        641 SH  -    DEFINED 06                641         0        0
D LOEWS CORP                     COMMON     540424108     2427      70250 SH  -    DEFINED 08              70250         0        0
D LOEWS CORP                     COMMON     540424108        8        218 SH  -    OTHER   01                  0       218        0
D LOEWS CORP                     COMMON     540424108      273       7895 SH  -    OTHER   10                  0         0     7895
D LOGMEIN INC                    COMMON     54142L109       10        290 SH  -    OTHER   02                  0       290        0
D LOGMEIN INC                    COMMON     54142L109     8705     262110 SH  -    DEFINED 04             196790         0    65320
D LOGMEIN INC                    COMMON     54142L109     5527     166418 SH  -    DEFINED 04             166418         0        0
D LOGMEIN INC                    COMMON     54142L109     1213      36520 SH  -    DEFINED 04              36520         0        0
D LOGMEIN INC                    COMMON     54142L109      345      10387 SH  -    DEFINED 05              10387         0        0
D LONE PINE RES INC              COMMON     54222A106     3883     588308 SH  -    DEFINED 04             422708         0   165600
D LONE PINE RES INC              COMMON     54222A106     1913     289800 SH  -    DEFINED 04             289800         0        0
D LONE PINE RES INC              COMMON     54222A106      612      92800 SH  -    DEFINED 04              92800         0        0
D LONE PINE RES INC              COMMON     54222A106     1510     228764 SH  -    DEFINED 05             228764         0        0
D LOOPNET INC                    COMMON     543524300      207      12079 SH  -    OTHER   02                  0     12079        0
D LOOPNET INC                    COMMON     543524300       72       4225 SH  -    DEFINED 05               4225         0        0
D LOOPNET INC                    COMMON     543524300       16        939 SH  -    DEFINED 08                939         0        0
D LOOPNET INC                    COMMON     543524300     4002     233615 SH  -    DEFINED 09             233615         0        0
D LOOPNET INC                    COMMON     543524300       15        900 SH  -    OTHER   01                  0       900        0
D LORILLARD INC                  COMMON     544147101      283       2558 SH  -    DEFINED 02               2558         0        0
D LORILLARD INC                  COMMON     544147101     1329      12007 SH  -    DEFINED 02              11756         0      251
D LORILLARD INC                  COMMON     544147101      177       1595 SH  -    DEFINED 02               1595         0        0
D LORILLARD INC                  COMMON     544147101      802       7241 SH  -    OTHER   02               1978      5243       20
D LORILLARD INC                  COMMON     544147101      339       3065 SH  -    OTHER   02               2914        34      117
D LORILLARD INC                  COMMON     544147101    83433     753689 SH  -    DEFINED 04             697656         0    56033
D LORILLARD INC                  COMMON     544147101     9083      82052 SH  -    DEFINED 04              82052         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 504
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LORILLARD INC                  COMMON     544147101      389       3512 SH  -    DEFINED 04               3512         0        0
D LORILLARD INC                  COMMON     544147101       14        130 SH  -    OTHER   04                  0       130        0
D LORILLARD INC                  COMMON     544147101     1797      16231 SH  -    OTHER   04                  0     16231        0
D LORILLARD INC                  COMMON     544147101     1266      11435 SH  -    DEFINED 05              11435         0        0
D LORILLARD INC                  COMMON     544147101    21059     190235 SH  -    DEFINED 08             190235         0        0
D LORILLARD INC                  COMMON     544147101     1649      14900 SH  -    OTHER   09                  0     14900        0
D LORILLARD INC                  COMMON     544147101        6         53 SH  -    DEFINED 01                  0         0       53
D LORILLARD INC                  COMMON     544147101       16        146 SH  -    OTHER   01                  0        86       60
D LORILLARD INC                  COMMON     544147101      376       3397 SH  -    OTHER   10                  0         0     3397
D LORILLARD INC                  OPTION     544147903      365       3300 SH  C    DEFINED 05               3300         0        0
D LOUISIANA PAC CORP             COMMON     546347105        1        281 SH  -    OTHER   02                  0       281        0
D LOUISIANA PAC CORP             COMMON     546347105      440      86352 SH  -    DEFINED 04              86352         0        0
D LOUISIANA PAC CORP             COMMON     546347105      870     170567 SH  -    DEFINED 05             170567         0        0
D LOUISIANA PAC CORP             COMMON     546347105       55      10818 SH  -    DEFINED 08              10818         0        0
D LOWE'S COS INC                 COMMON     548661107    25930    1340736 SH  -    DEFINED 02            1180520      8874   151342
D LOWE'S COS INC                 COMMON     548661107     7964     411794 SH  -    DEFINED 02             397783       444    13567
D LOWE'S COS INC                 COMMON     548661107     5281     273085 SH  -    DEFINED 02             273085         0        0
D LOWE'S COS INC                 COMMON     548661107     1000      51699 SH  -    DEFINED 02              24882         0    26817
D LOWE'S COS INC                 COMMON     548661107     8009     414111 SH  -    OTHER   02             260265     89257    64344
D LOWE'S COS INC                 COMMON     548661107     1071      55402 SH  -    OTHER   02              51274      2100     2028
D LOWE'S COS INC                 COMMON     548661107      174       8997 SH  -    OTHER   02                  0      8997        0
D LOWE'S COS INC                 COMMON     548661107      165       8516 SH  -    OTHER   02                  0      8516        0
D LOWE'S COS INC                 COMMON     548661107      422      21830 SH  -    OTHER   02                  0     21830        0
D LOWE'S COS INC                 COMMON     548661107   166885    8628985 SH  -    DEFINED 04            6523176         0  2105809
D LOWE'S COS INC                 COMMON     548661107     4715     243806 SH  -    DEFINED 04             243806         0        0
D LOWE'S COS INC                 COMMON     548661107    21712    1122673 SH  -    DEFINED 04            1122673         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 505
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LOWE'S COS INC                 COMMON     548661107     4472     231207 SH  -    DEFINED 04             231207         0        0
D LOWE'S COS INC                 COMMON     548661107     2941     152044 SH  -    DEFINED 04             152044         0        0
D LOWE'S COS INC                 COMMON     548661107      185       9571 SH  -    DEFINED 04                  0         0     9571
D LOWE'S COS INC                 COMMON     548661107    20955    1083490 SH  -    OTHER   04                  0   1083490        0
D LOWE'S COS INC                 COMMON     548661107    22677    1172522 SH  -    DEFINED 05            1172522         0        0
D LOWE'S COS INC                 COMMON     548661107     6442     333096 SH  -    DEFINED 08             333096         0        0
D LOWE'S COS INC                 COMMON     548661107    28054    1450543 SH  -    DEFINED 09            1450543         0        0
D LOWE'S COS INC                 COMMON     548661107      703      36364 SH  -    DEFINED 09              36364         0        0
D LOWE'S COS INC                 COMMON     548661107     4950     255966 SH  -    DEFINED 09                  0         0        0
D LOWE'S COS INC                 COMMON     548661107      492      25440 SH  -    OTHER   09                  0     25440        0
D LOWE'S COS INC                 COMMON     548661107     1374      71029 SH  -    DEFINED 01              61377      5340     4312
D LOWE'S COS INC                 COMMON     548661107      543      28054 SH  -    OTHER   01              12490      5707     9857
D LOWE'S COS INC                 COMMON     548661107      348      18015 SH  -    OTHER   10                  0         0    18015
D LOWE'S COS INC                 OPTION     548661909    13919     719700 SH  C    DEFINED 05             719700         0        0
D LOWE'S COS INC                 OPTION     548661909     9887     511200 SH  C    DEFINED 08             511200         0        0
D LOWE'S COS INC                 OPTION     548661958     1903      98400 SH  P    DEFINED 05              98400         0        0
D LOWE'S COS INC                 OPTION     548661958      687      35500 SH  P    DEFINED 08              35500         0        0
D LUBRIZOL CORP                  COMMON     549271104     6126      45387 SH  -    DEFINED 04              45387         0        0
D LUCENT TECHNOLOGIES INC        BOND       549463AH0      106     115000 PRN -    DEFINED 02                  0         0        0
D LUCENT TECHNOLOGIES INC        BOND       549463AH0      268     290000 PRN -    OTHER   02                  0         0        0
D LUFKIN INDS INC                COMMON     549764108     3723      69972 SH  -    DEFINED 02              69972         0        0
D LUFKIN INDS INC                COMMON     549764108        8        156 SH  -    DEFINED 02                156         0        0
D LUFKIN INDS INC                COMMON     549764108        3         56 SH  -    OTHER   02                 21        35        0
D LUFKIN INDS INC                COMMON     549764108     1916      36000 SH  -    DEFINED 04              26800         0     9200
D LUFKIN INDS INC                COMMON     549764108      271       5088 SH  -    DEFINED 04               5088         0        0
D LUFKIN INDS INC                COMMON     549764108      778      14630 SH  -    DEFINED 05              14630         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 506
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D LUFKIN INDS INC                COMMON     549764108       85       1600 SH  -    DEFINED 08               1600         0        0
D LUFKIN INDS INC                COMMON     549764108       35        661 SH  -    OTHER   10                  0         0      661
D LULULEMON ATHLETICA INC        COMMON     550021109       48        996 SH  -    DEFINED 02                996         0        0
D LULULEMON ATHLETICA INC        COMMON     550021109       93       1912 SH  -    DEFINED 02               1912         0        0
D LULULEMON ATHLETICA INC        COMMON     550021109       37        766 SH  -    OTHER   02                540       226        0
D LULULEMON ATHLETICA INC        COMMON     550021109       16        334 SH  -    OTHER   02                  0         0      334
D LULULEMON ATHLETICA INC        COMMON     550021109    30362     623573 SH  -    DEFINED 04             293344         0   330229
D LULULEMON ATHLETICA INC        COMMON     550021109     3200      65730 SH  -    DEFINED 04              65730         0        0
D LULULEMON ATHLETICA INC        COMMON     550021109       16        330 SH  -    OTHER   04                  0       330        0
D LULULEMON ATHLETICA INC        COMMON     550021109      439       9014 SH  -    DEFINED 05               9014         0        0
D LULULEMON ATHLETICA INC        COMMON     550021109     1122      23041 SH  -    DEFINED 08              23041         0        0
D LULULEMON ATHLETICA INC        COMMON     550021109      112       2300 SH  -    OTHER   01               2300         0        0
D LULULEMON ATHLETICA INC        COMMON     550021109        2         40 SH  -    OTHER   10                  0         0       40
D LUMBER LIQUIDATORS HLDGS INC   COMMON     55003T107        2        129 SH  -    OTHER   02                 70        59        0
D LUMBER LIQUIDATORS HLDGS INC   COMMON     55003T107     6329     419120 SH  -    DEFINED 04             301520         0   117600
D LUMBER LIQUIDATORS HLDGS INC   COMMON     55003T107     2369     156869 SH  -    DEFINED 04             156869         0        0
D LUMBER LIQUIDATORS HLDGS INC   COMMON     55003T107      994      65800 SH  -    DEFINED 04              65800         0        0
D LUMBER LIQUIDATORS HLDGS INC   COMMON     55003T107      572      37901 SH  -    DEFINED 05              37901         0        0
D LYDALL INC DEL                 COMMON     550819106       78       8792 SH  -    OTHER   02                  0      3242     5550
D LYDALL INC DEL                 COMMON     550819106      104      11662 SH  -    DEFINED 04              11662         0        0
D LYDALL INC DEL                 COMMON     550819106       81       9093 SH  -    DEFINED 05               9093         0        0
D M & F WORLDWIDE CORP           COMMON     552541104        2         72 SH  -    OTHER   02                  0        72        0
D M & F WORLDWIDE CORP           COMMON     552541104       59       2400 SH  -    DEFINED 04               2400         0        0
D M & F WORLDWIDE CORP           COMMON     552541104      286      11600 SH  -    DEFINED 04              11600         0        0
D M & F WORLDWIDE CORP           COMMON     552541104       60       2438 SH  -    DEFINED 05               2438         0        0
D M & F WORLDWIDE CORP           COMMON     552541104       15        622 SH  -    DEFINED 08                622         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 507
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D M & F WORLDWIDE CORP           COMMON     552541104     3471     140999 SH  -    DEFINED 09             140999         0        0
D M & T BK CORP                  COMMON     55261F104      457       6531 SH  -    DEFINED 02               5331         0     1200
D M & T BK CORP                  COMMON     55261F104     1269      18158 SH  -    DEFINED 02              17673         0      485
D M & T BK CORP                  COMMON     55261F104      107       1531 SH  -    DEFINED 02               1447         0       84
D M & T BK CORP                  COMMON     55261F104     1989      28460 SH  -    OTHER   02               5330      7736    15385
D M & T BK CORP                  COMMON     55261F104      345       4938 SH  -    OTHER   02               4503        81      354
D M & T BK CORP                  COMMON     55261F104   149167    2134010 SH  -    DEFINED 04            1968798         0   165212
D M & T BK CORP                  COMMON     55261F104     6637      94957 SH  -    DEFINED 04              94957         0        0
D M & T BK CORP                  COMMON     55261F104       47        676 SH  -    DEFINED 04                676         0        0
D M & T BK CORP                  COMMON     55261F104     2268      32450 SH  -    DEFINED 04              32450         0        0
D M & T BK CORP                  COMMON     55261F104     1175      16816 SH  -    OTHER   04                  0     16816        0
D M & T BK CORP                  COMMON     55261F104     5989      85686 SH  -    OTHER   04                  0     85686        0
D M & T BK CORP                  COMMON     55261F104    30493     436236 SH  -    DEFINED 05             436236         0        0
D M & T BK CORP                  COMMON     55261F104       11        160 SH  -    DEFINED 06                160         0        0
D M & T BK CORP                  COMMON     55261F104     1209      17296 SH  -    DEFINED 08              17296         0        0
D M & T BK CORP                  COMMON     55261F104      219       3140 SH  -    DEFINED 01               3100         0       40
D M & T BK CORP                  COMMON     55261F104       23        324 SH  -    OTHER   01                  0       224      100
D M & T BK CORP                  COMMON     55261F104      619       8850 SH  -    OTHER   10                  0         0     8850
D M & T BK CORP                  OPTION     55261F955       98       1400 SH  P    DEFINED 05               1400         0        0
D MBIA INC                       COMMON     55262C100        2        310 SH  -    DEFINED 02                310         0        0
D MBIA INC                       COMMON     55262C100       27       3700 SH  -    DEFINED 02               3700         0        0
D MBIA INC                       COMMON     55262C100       26       3640 SH  -    OTHER   02                  0      3457        0
D MBIA INC                       COMMON     55262C100      104      14300 SH  -    DEFINED 04              14300         0        0
D MBIA INC                       COMMON     55262C100      697      95915 SH  -    DEFINED 04              95915         0        0
D MBIA INC                       COMMON     55262C100     1795     246841 SH  -    DEFINED 05             246841         0        0
D MBIA INC                       COMMON     55262C100       97      13371 SH  -    DEFINED 08              13371         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 508
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MBIA INC                       OPTION     55262C902      800     110000 SH  C    DEFINED 05             110000         0        0
D MB FINANCIAL INC NEW           COMMON     55264U108       22       1500 SH  -    DEFINED 02               1500         0        0
D MB FINANCIAL INC NEW           COMMON     55264U108       58       3973 SH  -    OTHER   02                  0       675     3298
D MB FINANCIAL INC NEW           COMMON     55264U108      146       9922 SH  -    OTHER   02                  0       424     9498
D MB FINANCIAL INC NEW           COMMON     55264U108      184      12500 SH  -    DEFINED 04              12500         0        0
D MB FINANCIAL INC NEW           COMMON     55264U108      901      61200 SH  -    DEFINED 04              61200         0        0
D MB FINANCIAL INC NEW           COMMON     55264U108      156      10578 SH  -    DEFINED 05              10578         0        0
D MB FINANCIAL INC NEW           COMMON     55264U108       88       5950 SH  -    DEFINED 08               5950         0        0
D MB FINANCIAL INC NEW           COMMON     55264U108       59       4000 SH  -    OTHER   10                  0         0     4000
D M D C HLDGS INC                COMMON     552676108       85       5001 SH  -    OTHER   02                  0      4500      430
D M D C HLDGS INC                COMMON     552676108       72       4247 SH  -    DEFINED 05               4247         0        0
D M D C HLDGS INC                COMMON     552676108      129       7591 SH  -    DEFINED 08               7591         0        0
D MDU RES GROUP INC              COMMON     552690109       19       1012 SH  -    DEFINED 02               1012         0        0
D MDU RES GROUP INC              COMMON     552690109      245      12749 SH  -    OTHER   02               8558      1808     2383
D MDU RES GROUP INC              COMMON     552690109       69       3582 SH  -    OTHER   02                  0         0     3582
D MDU RES GROUP INC              COMMON     552690109      806      42025 SH  -    DEFINED 04              42025         0        0
D MDU RES GROUP INC              COMMON     552690109     5101     265821 SH  -    DEFINED 04             265821         0        0
D MDU RES GROUP INC              COMMON     552690109      109       5676 SH  -    DEFINED 05               5676         0        0
D MDU RES GROUP INC              COMMON     552690109     1046      54484 SH  -    DEFINED 08              54484         0        0
D MDU RES GROUP INC              COMMON     552690109        1         75 SH  -    OTHER   10                  0         0       75
D MEMC ELECTR MATLS INC          COMMON     552715104        3        640 SH  -    DEFINED 02                  0         0      640
D MEMC ELECTR MATLS INC          COMMON     552715104       26       4952 SH  -    DEFINED 02               1352      3600        0
D MEMC ELECTR MATLS INC          COMMON     552715104       14       2689 SH  -    DEFINED 02               2655         0       34
D MEMC ELECTR MATLS INC          COMMON     552715104     1822     347721 SH  -    OTHER   02               4157    312210    30841
D MEMC ELECTR MATLS INC          COMMON     552715104      745     142119 SH  -    OTHER   02               2255     15952   123912
D MEMC ELECTR MATLS INC          COMMON     552715104      215      41022 SH  -    DEFINED 04              34425         0     6597

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 509
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MEMC ELECTR MATLS INC          COMMON     552715104      598     114067 SH  -    DEFINED 04             114067         0        0
D MEMC ELECTR MATLS INC          COMMON     552715104      637     121573 SH  -    DEFINED 05             121573         0        0
D MEMC ELECTR MATLS INC          COMMON     552715104       66      12596 SH  -    DEFINED 06              12596         0        0
D MEMC ELECTR MATLS INC          COMMON     552715104        3        573 SH  -    OTHER   01                  0       573        0
D MEMC ELECTR MATLS INC          OPTION     552715906       50       9600 SH  C    DEFINED 05               9600         0        0
D MEMC ELECTR MATLS INC          OPTION     552715955       12       2300 SH  P    DEFINED 05               2300         0        0
D MFA FINANCIAL INC              COMMON     55272X102     8825    1257177 SH  -    DEFINED 04            1150477         0   106700
D MFA FINANCIAL INC              COMMON     55272X102     2655     378200 SH  -    DEFINED 04             378200         0        0
D MFA FINANCIAL INC              COMMON     55272X102      232      33118 SH  -    DEFINED 05              33118         0        0
D MFA FINANCIAL INC              COMMON     55272X102    23350    3326196 SH  -    DEFINED 08            3326196         0        0
D MFA FINANCIAL INC              COMMON     55272X102     6305     898200 SH  -    OTHER   10                  0         0   898200
D MF GLOBAL LTD                  BOND       55276YAB2       15      14000 PRN -    DEFINED 05                  0         0        0
D MF GLOBAL HLDGS LTD            BOND       55277JAA6     2778    3494000 PRN -    DEFINED 09                  0         0        0
D MF GLOBAL HLDGS LTD            COMMON     55277J108      129      31348 SH  -    OTHER   02                266     31082        0
D MF GLOBAL HLDGS LTD            COMMON     55277J108       38       9102 SH  -    DEFINED 05               9102         0        0
D MF GLOBAL HLDGS LTD            COMMON     55277J108    10125    2451496 SH  -    DEFINED 08            2451496         0        0
D MF GLOBAL HLDGS LTD            COMMON     55277J108      113      27280 SH  -    OTHER   01                  0     27280        0
D MGE ENERGY INC                 COMMON     55277P104       61       1500 SH  -    DEFINED 02               1500         0        0
D MGE ENERGY INC                 COMMON     55277P104       53       1295 SH  -    OTHER   02                  0      1205        0
D MGE ENERGY INC                 COMMON     55277P104       19        460 SH  -    OTHER   02                450         5        5
D MGE ENERGY INC                 COMMON     55277P104     1261      31000 SH  -    DEFINED 04              31000         0        0
D MGE ENERGY INC                 COMMON     55277P104       51       1262 SH  -    DEFINED 05               1262         0        0
D MGE ENERGY INC                 COMMON     55277P104       55       1357 SH  -    DEFINED 08               1357         0        0
D MELA SCIENCES INC              COMMON     55277R100     2709     611623 SH  -    DEFINED 04             440923         0   170700
D MELA SCIENCES INC              COMMON     55277R100     1441     325329 SH  -    DEFINED 04             325329         0        0
D MELA SCIENCES INC              COMMON     55277R100      426      96100 SH  -    DEFINED 04              96100         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 510
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MELA SCIENCES INC              COMMON     55277R100       20       4551 SH  -    DEFINED 08               4551         0        0
D MGIC INVT CORP WIS             BOND       552848AD5       28      50000 PRN -    DEFINED 05                  0         0        0
D MGIC INVESTMENT CP             COMMON     552848103        2       1219 SH  -    OTHER   02                  0      1219        0
D MGIC INVESTMENT CP             COMMON     552848103      215     115150 SH  -    DEFINED 04             108250         0     6900
D MGIC INVESTMENT CP             COMMON     552848103      442     236500 SH  -    DEFINED 04             236500         0        0
D MGIC INVESTMENT CP             COMMON     552848103       76      40815 SH  -    DEFINED 05              40815         0        0
D MGIC INVESTMENT CP             COMMON     552848103       20      10878 SH  -    DEFINED 08              10878         0        0
D MGIC INVESTMENT CP             COMMON     552848103        0          1 SH  -    OTHER   10                  0         0        1
D MGM MIRAGE INC                 COMMON     552953101       37       3961 SH  -    OTHER   02                378      1978     1605
D MGM MIRAGE INC                 COMMON     552953101        5        527 SH  -    OTHER   02                  0         0      527
D MGM MIRAGE INC                 COMMON     552953101      238      25665 SH  -    DEFINED 04              25665         0        0
D MGM MIRAGE INC                 COMMON     552953101      875      94211 SH  -    DEFINED 05              94211         0        0
D MGM MIRAGE INC                 COMMON     552953101    16133    1736576 SH  -    DEFINED 08            1736576         0        0
D MGM MIRAGE INC                 COMMON     552953101     1036     111496 SH  -    OTHER   10                  0         0   111496
D MGM MIRAGE INC                 OPTION     552953903      683      73500 SH  C    DEFINED 05              73500         0        0
D MGM MIRAGE INC                 OPTION     552953952     1345     144800 SH  P    DEFINED 05             144800         0        0
D MGM MIRAGE INC                 OPTION     552953952     8579     923500 SH  P    DEFINED 08             923500         0        0
D MGP INGREDIENTS INC            COMMON     55302G103      366      72153 SH  -    DEFINED 04              61492         0    10661
D MGP INGREDIENTS INC            COMMON     55302G103      258      50977 SH  -    DEFINED 04              50977         0        0
D MGP INGREDIENTS INC            COMMON     55302G103        8       1643 SH  -    DEFINED 05               1643         0        0
D MGP INGREDIENTS INC            COMMON     55302G103        4        699 SH  -    DEFINED 08                699         0        0
D MGM RESORTS INTERNATIONAL      BOND       55303QAE0     3083    3508000 PRN -    DEFINED 05                  0         0        0
D MGM RESORTS INTERNATIONAL      BOND       55303QAE0    16575   18862000 PRN -    DEFINED 09                  0         0        0
D MGM RESORTS INTERNATIONAL      BOND       55303QAE0     2672    3041000 PRN -    DEFINED 09                  0         0        0
D MI DEVS INC                    COMMON     55304X104      239       9000 SH  -    OTHER   02               9000         0        0
D M/I HOMES INC                  COMMON     55305B101       56       9350 SH  -    OTHER   02                  0      3140     6210

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 511
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D M/I HOMES INC                  COMMON     55305B101       50       8248 SH  -    DEFINED 04               8248         0        0
D M/I HOMES INC                  COMMON     55305B101       60      10007 SH  -    DEFINED 05              10007         0        0
D MKS INSTRUMENTS IN             COMMON     55306N104       19        861 SH  -    OTHER   02                  0       336      525
D MKS INSTRUMENTS IN             COMMON     55306N104     1425      65627 SH  -    DEFINED 04              65627         0        0
D MKS INSTRUMENTS IN             COMMON     55306N104     2538     116910 SH  -    DEFINED 04             116910         0        0
D MKS INSTRUMENTS IN             COMMON     55306N104      650      29944 SH  -    DEFINED 05              29944         0        0
D MKS INSTRUMENTS IN             COMMON     55306N104      545      25111 SH  -    DEFINED 08              25111         0        0
D MPG OFFICE TR INC              COMMON     553274101      484     229250 SH  -    DEFINED 04             229250         0        0
D MPG OFFICE TR INC              COMMON     553274101      484     229200 SH  -    DEFINED 04             229200         0        0
D MPG OFFICE TR INC              COMMON     553274101        9       4147 SH  -    DEFINED 05               4147         0        0
D MPG OFFICE TR INC              COMMON     553274101        6       2667 SH  -    DEFINED 08               2667         0        0
D MSC INDL DIRECT INC            COMMON     553530106        9        155 SH  -    OTHER   02                  0       155        0
D MSC INDL DIRECT INC            COMMON     553530106     1033      18296 SH  -    DEFINED 04              18296         0        0
D MSC INDL DIRECT INC            COMMON     553530106       51        907 SH  -    DEFINED 05                907         0        0
D MSC INDL DIRECT INC            COMMON     553530106      578      10233 SH  -    DEFINED 08              10233         0        0
D MSCI INC                       COMMON     55354G100       17        575 SH  -    OTHER   02                 75       467        0
D MSCI INC                       COMMON     55354G100       27        888 SH  -    OTHER   02                  0         0      888
D MSCI INC                       COMMON     55354G100     3693     121770 SH  -    DEFINED 04             121770         0        0
D MSCI INC                       COMMON     55354G100       55       1815 SH  -    DEFINED 05               1815         0        0
D MSCI INC                       COMMON     55354G100      121       3976 SH  -    DEFINED 08               3976         0        0
D MTS SYS CORP                   COMMON     553777103        5        156 SH  -    OTHER   02                  0       156        0
D MTS SYS CORP                   COMMON     553777103      352      11494 SH  -    DEFINED 04              11494         0        0
D MTS SYS CORP                   COMMON     553777103      268       8754 SH  -    DEFINED 05               8754         0        0
D MWI VETERINARY SUPPLY INC      COMMON     55402X105        5         70 SH  -    DEFINED 02                 70         0        0
D MWI VETERINARY SUPPLY INC      COMMON     55402X105    36815     534939 SH  -    DEFINED 04             496819         0    38120
D MWI VETERINARY SUPPLY INC      COMMON     55402X105      618       8980 SH  -    DEFINED 04               8980         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 512
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MWI VETERINARY SUPPLY INC      COMMON     55402X105      406       5893 SH  -    DEFINED 05               5893         0        0
D MWI VETERINARY SUPPLY INC      COMMON     55402X105       10        146 SH  -    OTHER   10                  0         0      146
D MAC-GRAY CORP                  COMMON     554153106        3        231 SH  -    OTHER   02                  0       231        0
D MAC-GRAY CORP                  COMMON     554153106      775      60000 SH  -    DEFINED 04              54900         0     5100
D MAC-GRAY CORP                  COMMON     554153106        9        659 SH  -    DEFINED 05                659         0        0
D MAC-GRAY CORP                  COMMON     554153106        8        658 SH  -    DEFINED 08                658         0        0
D MACERICH CO                    COMMON     554382101     1070      25100 SH  -    DEFINED 02              25100         0        0
D MACERICH CO                    COMMON     554382101    22783     534425 SH  -    DEFINED 04             460445         0    73980
D MACERICH CO                    COMMON     554382101     3951      92685 SH  -    DEFINED 04              92685         0        0
D MACERICH CO                    COMMON     554382101      375       8800 SH  -    DEFINED 04               8800         0        0
D MACERICH CO                    COMMON     554382101       85       2000 SH  -    DEFINED 04               2000         0        0
D MACERICH CO                    COMMON     554382101     5990     140500 SH  -    DEFINED 04             127700         0        0
D MACERICH CO                    COMMON     554382101      147       3459 SH  -    DEFINED 05               3459         0        0
D MACERICH CO                    COMMON     554382101       42        985 SH  -    DEFINED 06                985         0        0
D MACERICH CO                    COMMON     554382101      141       3300 SH  -    DEFINED 09               3300         0        0
D MACERICH CO                    COMMON     554382101       94       2200 SH  -    OTHER   09                  0      2200        0
D MACK CALI RLTY CORP            COMMON     554489104      987      36900 SH  -    DEFINED 02              36900         0        0
D MACK CALI RLTY CORP            COMMON     554489104    37653    1407586 SH  -    DEFINED 04            1013594         0   393992
D MACK CALI RLTY CORP            COMMON     554489104     2724     101841 SH  -    DEFINED 04             101841         0        0
D MACK CALI RLTY CORP            COMMON     554489104       54       2010 SH  -    DEFINED 04               2010         0        0
D MACK CALI RLTY CORP            COMMON     554489104      345      12900 SH  -    DEFINED 04              12900         0        0
D MACK CALI RLTY CORP            COMMON     554489104       78       2900 SH  -    DEFINED 04               2900         0        0
D MACK CALI RLTY CORP            COMMON     554489104     5334     199400 SH  -    DEFINED 04             180400         0        0
D MACK CALI RLTY CORP            COMMON     554489104       36       1332 SH  -    DEFINED 04                  0         0     1332
D MACK CALI RLTY CORP            COMMON     554489104       35       1315 SH  -    DEFINED 05               1315         0        0
D MACK CALI RLTY CORP            COMMON     554489104       11        422 SH  -    DEFINED 06                422         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 513
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MACK CALI RLTY CORP            COMMON     554489104      206       7683 SH  -    DEFINED 08               7683         0        0
D MACK CALI RLTY CORP            COMMON     554489104       91       3400 SH  -    DEFINED 09               3400         0        0
D MACK CALI RLTY CORP            COMMON     554489104      396      14800 SH  -    OTHER   09                  0     14800        0
D MACQUARIE INFRASTR CO LLC      COMMON     55608B105       14        625 SH  -    DEFINED 05                625         0        0
D MACQUARIE INFRASTR CO LLC      COMMON     55608B105     1012      45113 SH  -    OTHER   10                  0         0    45113
D MACYS INC                      COMMON     55616P104      143       5442 SH  -    DEFINED 02               5142         0      300
D MACYS INC                      COMMON     55616P104      144       5485 SH  -    DEFINED 02               5485         0        0
D MACYS INC                      COMMON     55616P104      137       5206 SH  -    DEFINED 02               4923         0      283
D MACYS INC                      COMMON     55616P104      346      13163 SH  -    OTHER   02                300     12863        0
D MACYS INC                      COMMON     55616P104      175       6630 SH  -    OTHER   02               4986         0     1644
D MACYS INC                      COMMON     55616P104    79531    3021695 SH  -    DEFINED 04            2290367         0   731328
D MACYS INC                      COMMON     55616P104     7809     296698 SH  -    DEFINED 04             296698         0        0
D MACYS INC                      COMMON     55616P104      111       4210 SH  -    DEFINED 04               4210         0        0
D MACYS INC                      COMMON     55616P104      138       5262 SH  -    DEFINED 04               5262         0        0
D MACYS INC                      COMMON     55616P104     3425     130126 SH  -    DEFINED 04              79260         0    50866
D MACYS INC                      COMMON     55616P104       74       2802 SH  -    DEFINED 04                  0         0     2802
D MACYS INC                      COMMON     55616P104      910      34561 SH  -    OTHER   04                  0     34561        0
D MACYS INC                      COMMON     55616P104     1841      69956 SH  -    DEFINED 05              69956         0        0
D MACYS INC                      COMMON     55616P104    14049     533790 SH  -    DEFINED 09             502399     31391        0
D MACYS INC                      COMMON     55616P104      826      31373 SH  -    DEFINED 09              31373         0        0
D MACYS INC                      COMMON     55616P104     6096     231618 SH  -    DEFINED 09             231618         0        0
D MACYS INC                      COMMON     55616P104     1331      50583 SH  -    OTHER   09                  0     50583        0
D MACYS INC                      COMMON     55616P104        2         63 SH  -    OTHER   01                  0        63        0
D MACYS INC                      COMMON     55616P104     1060      40276 SH  -    OTHER   10                  0         0    40276
D MADDEN STEVEN LTD              COMMON     556269108        9        283 SH  -    OTHER   02                  0       283        0
D MADDEN STEVEN LTD              COMMON     556269108     1490      49500 SH  -    DEFINED 04              37950         0    11550

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 514
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MADDEN STEVEN LTD              COMMON     556269108      535      17766 SH  -    DEFINED 05              17766         0        0
D MADISON SQUARE GARDEN CO       COMMON     55826P100       39       1700 SH  -    DEFINED 02                  0      1700        0
D MADISON SQUARE GARDEN CO       COMMON     55826P100        9        400 SH  -    DEFINED 02                  0         0      400
D MADISON SQUARE GARDEN CO       COMMON     55826P100     3450     151335 SH  -    OTHER   02               1475    149160      700
D MADISON SQUARE GARDEN CO       COMMON     55826P100       33       1447 SH  -    OTHER   02                  0      1000      447
D MADISON SQUARE GARDEN CO       COMMON     55826P100       16        684 SH  -    DEFINED 04                684         0        0
D MADISON SQUARE GARDEN CO       COMMON     55826P100       19        846 SH  -    DEFINED 05                846         0        0
D MADISON SQUARE GARDEN CO       COMMON     55826P100      387      16952 SH  -    DEFINED 08              16952         0        0
D MADISON SQUARE GARDEN CO       COMMON     55826P100      101       4450 SH  -    OTHER   01                  0      4450        0
D MADISON SQUARE GARDEN CO       COMMON     55826P100        5        210 SH  -    OTHER   10                  0         0      210
D MAGELLAN HEALTH SVCS INC       COMMON     559079207      150       3100 SH  -    OTHER   02                  0      1010     2090
D MAGELLAN HEALTH SVCS INC       COMMON     559079207     5115     105905 SH  -    DEFINED 04             102705         0     3200
D MAGELLAN HEALTH SVCS INC       COMMON     559079207     8583     177697 SH  -    DEFINED 04             177697         0        0
D MAGELLAN HEALTH SVCS INC       COMMON     559079207      694      14374 SH  -    DEFINED 05              14374         0        0
D MAGELLAN MIDSTREAM PRTNRS LP   COMMON     559080106       65       1084 SH  -    DEFINED 02               1084         0        0
D MAGELLAN MIDSTREAM PRTNRS LP   COMMON     559080106     2942      48709 SH  -    OTHER   02               2000     46709        0
D MAGELLAN MIDSTREAM PRTNRS LP   COMMON     559080106       92       1520 SH  -    OTHER   02                  0         0     1520
D MAGELLAN MIDSTREAM PRTNRS LP   COMMON     559080106        6        100 SH  -    DEFINED 05                100         0        0
D MAGELLAN MIDSTREAM PRTNRS LP   COMMON     559080106      362       6000 SH  -    OTHER   01               6000         0        0
D MAGELLAN MIDSTREAM PRTNRS LP   COMMON     559080106   115994    1920437 SH  -    DEFINED 10            1920437         0        0
D MAGELLAN MIDSTREAM PRTNRS LP   COMMON     559080106      404       6691 SH  -    OTHER   10                  0         0     6691
D MAGELLAN PETE CORP             COMMON     559091301       84      70672 SH  -    DEFINED 02              70672         0        0
D MAGMA DESIGN AUTOMATION        COMMON     559181102        8       1718 SH  -    OTHER   02                  0      1718        0
D MAGMA DESIGN AUTOMATION        COMMON     559181102      752     165300 SH  -    DEFINED 04             125700         0    39600
D MAGMA DESIGN AUTOMATION        COMMON     559181102      168      36919 SH  -    DEFINED 05              36919         0        0
D MAGMA DESIGN AUTOMATION        COMMON     559181102       18       3900 SH  -    DEFINED 08               3900         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 515
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MAGNA INTL INC                 COMMON     559222401      923      28000 SH  -    OTHER   02              28000         0        0
D MAGNA INTL INC                 COMMON     559222401       33        991 SH  -    DEFINED 05                991         0        0
D MAGNA INTL INC                 COMMON     559222401      198       6015 SH  -    DEFINED 06               6015         0        0
D MAGNACHIP SEMICONDUCTOR CORP N COMMON     55933J203     1894     281825 SH  -    DEFINED 04             279415         0     2410
D MAGNACHIP SEMICONDUCTOR CORP N COMMON     55933J203     1116     166022 SH  -    DEFINED 04             166022         0        0
D MAGNACHIP SEMICONDUCTOR CORP N COMMON     55933J203      870     129500 SH  -    DEFINED 05             129500         0        0
D MAGNUM HUNTER RES CORP DEL     COMMON     55973B102        0         79 SH  -    OTHER   02                  0        79        0
D MAGNUM HUNTER RES CORP DEL     COMMON     55973B102     4706    1421660 SH  -    DEFINED 04            1021290         0   400370
D MAGNUM HUNTER RES CORP DEL     COMMON     55973B102      742     224300 SH  -    DEFINED 04             224300         0        0
D MAGNUM HUNTER RES CORP DEL     COMMON     55973B102       13       4026 SH  -    DEFINED 05               4026         0        0
D MAGNUM HUNTER RES CORP DEL     COMMON     55973B102      913     275914 SH  -    DEFINED 08             275914         0        0
D MAGNUM HUNTER RES CORP DEL     COMMON     55973B102      568     171452 SH  -    OTHER   10                  0         0   171452
D MAIDENFORM BRANDS INC          COMMON     560305104        5        200 SH  -    OTHER   02                  0       200        0
D MAIDENFORM BRANDS INC          COMMON     560305104     6477     276660 SH  -    DEFINED 04             223860         0    52800
D MAIDENFORM BRANDS INC          COMMON     560305104     2204      94160 SH  -    DEFINED 04              94160         0        0
D MAIDENFORM BRANDS INC          COMMON     560305104      257      10968 SH  -    DEFINED 05              10968         0        0
D MAINSOURCE FINANCIAL GP INC    COMMON     56062Y102        5        563 SH  -    OTHER   02                  0       563        0
D MAINSOURCE FINANCIAL GP INC    COMMON     56062Y102     1801     206575 SH  -    DEFINED 04             192175         0    14400
D MAINSOURCE FINANCIAL GP INC    COMMON     56062Y102      769      88200 SH  -    DEFINED 04              88200         0        0
D MAINSOURCE FINANCIAL GP INC    COMMON     56062Y102        3        290 SH  -    DEFINED 05                290         0        0
D MAINSOURCE FINANCIAL GP INC    COMMON     56062Y102       10       1186 SH  -    DEFINED 08               1186         0        0
D MANHATTAN ASSOCIAT             COMMON     562750109        1         32 SH  -    OTHER   02                 32         0        0
D MANHATTAN ASSOCIAT             COMMON     562750109     4013     121325 SH  -    DEFINED 04             108325         0    13000
D MANHATTAN ASSOCIAT             COMMON     562750109      522      15781 SH  -    DEFINED 04              15781         0        0
D MANHATTAN ASSOCIAT             COMMON     562750109      327       9888 SH  -    DEFINED 05               9888         0        0
D MANITOWOC INC                  COMMON     563571108        1        120 SH  -    DEFINED 02                120         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 516
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MANITOWOC INC                  COMMON     563571108       16       2351 SH  -    OTHER   02                  0       359     1992
D MANITOWOC INC                  COMMON     563571108        5        700 SH  -    OTHER   02                700         0        0
D MANITOWOC INC                  COMMON     563571108      174      25900 SH  -    DEFINED 04                  0         0    25900
D MANITOWOC INC                  COMMON     563571108       81      12101 SH  -    DEFINED 05              12101         0        0
D MANITOWOC INC                  COMMON     563571108     1954     291194 SH  -    DEFINED 08             291194         0        0
D MANITOWOC INC                  COMMON     563571108       59       8725 SH  -    OTHER   10                  0         0     8725
D MANITOWOC INC                  OPTION     563571959       13       2000 SH  P    DEFINED 05               2000         0        0
D MANNKIND CORP                  COMMON     56400P201        4       1153 SH  -    OTHER   02                  0       905        0
D MANNKIND CORP                  COMMON     56400P201     2496     658640 SH  -    DEFINED 05             658640         0        0
D MANNKIND CORP                  COMMON     56400P201       19       4966 SH  -    DEFINED 08               4966         0        0
D MANNKIND CORP                  COMMON     56400P201        5       1250 SH  -    OTHER   10                  0         0     1250
D MANPOWERGROUP INC              COMMON     56418H100       22        663 SH  -    OTHER   02                  0       351      312
D MANPOWERGROUP INC              COMMON     56418H100        1         17 SH  -    OTHER   02                  5         7        5
D MANPOWERGROUP INC              COMMON     56418H100      174       5170 SH  -    DEFINED 04               5170         0        0
D MANPOWERGROUP INC              COMMON     56418H100     1640      48767 SH  -    DEFINED 04              48767         0        0
D MANPOWERGROUP INC              COMMON     56418H100       80       2387 SH  -    DEFINED 05               2387         0        0
D MANPOWERGROUP INC              COMMON     56418H100      901      26799 SH  -    DEFINED 08              26799         0        0
D MANTECH INTL CORP              COMMON     564563104        0          9 SH  -    OTHER   02                  0         9        0
D MANTECH INTL CORP              COMMON     564563104     2894      92240 SH  -    DEFINED 04              86640         0     5600
D MANTECH INTL CORP              COMMON     564563104      515      16403 SH  -    DEFINED 04              16403         0        0
D MANTECH INTL CORP              COMMON     564563104       16        523 SH  -    DEFINED 05                523         0        0
D MANTECH INTL CORP              COMMON     564563104       62       1990 SH  -    DEFINED 08               1990         0        0
D MANULIFE FINL CORP             COMMON     56501R106       88       7734 SH  -    DEFINED 02               7734         0        0
D MANULIFE FINL CORP             COMMON     56501R106      165      14521 SH  -    OTHER   02               5925       712     7884
D MANULIFE FINL CORP             COMMON     56501R106      158      13945 SH  -    OTHER   02               1240       100    12605
D MANULIFE FINL CORP             COMMON     56501R106      679      59971 SH  -    DEFINED 04              59971         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 517
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MANULIFE FINL CORP             COMMON     56501R106     1820     160632 SH  -    DEFINED 04             160632         0        0
D MANULIFE FINL CORP             COMMON     56501R106      124      10908 SH  -    DEFINED 05              10908         0        0
D MANULIFE FINL CORP             COMMON     56501R106      595      52485 SH  -    DEFINED 06              52485         0        0
D MANULIFE FINL CORP             COMMON     56501R106     1578     139260 SH  -    DEFINED 09             139260         0        0
D MANULIFE FINL CORP             COMMON     56501R106     1342     118424 SH  -    DEFINED 09                  0         0        0
D MANULIFE FINL CORP             COMMON     56501R106       20       1774 SH  -    OTHER   10                  0         0     1774
D MARATHON OIL CORP              COMMON     565849106      423      19605 SH  -    DEFINED 02               9419         0    10186
D MARATHON OIL CORP              COMMON     565849106     1000      46327 SH  -    DEFINED 02              42155         0     4172
D MARATHON OIL CORP              COMMON     565849106      373      17283 SH  -    DEFINED 02              10969         0     6314
D MARATHON OIL CORP              COMMON     565849106      878      40670 SH  -    OTHER   02               5800     30181     4552
D MARATHON OIL CORP              COMMON     565849106      243      11277 SH  -    OTHER   02               9984        89     1204
D MARATHON OIL CORP              COMMON     565849106    53142    2462551 SH  -    DEFINED 04            2089009         0   373542
D MARATHON OIL CORP              COMMON     565849106     3488     161610 SH  -    DEFINED 04             161610         0        0
D MARATHON OIL CORP              COMMON     565849106     1181      54716 SH  -    DEFINED 04              54716         0        0
D MARATHON OIL CORP              COMMON     565849106       45       2099 SH  -    DEFINED 04               2099         0        0
D MARATHON OIL CORP              COMMON     565849106     1954      90543 SH  -    DEFINED 04              51437         0    39106
D MARATHON OIL CORP              COMMON     565849106       70       3262 SH  -    DEFINED 04                  0         0     3262
D MARATHON OIL CORP              COMMON     565849106      789      36554 SH  -    OTHER   04                  0     36554        0
D MARATHON OIL CORP              COMMON     565849106     7400     342931 SH  -    DEFINED 05             342931         0        0
D MARATHON OIL CORP              COMMON     565849106      295      13670 SH  -    DEFINED 06              13670         0        0
D MARATHON OIL CORP              COMMON     565849106      722      33438 SH  -    DEFINED 08              33438         0        0
D MARATHON OIL CORP              COMMON     565849106     8206     380246 SH  -    DEFINED 09             353471     26775        0
D MARATHON OIL CORP              COMMON     565849106      497      23032 SH  -    DEFINED 09              23032         0        0
D MARATHON OIL CORP              COMMON     565849106     3603     166966 SH  -    DEFINED 09             166966         0        0
D MARATHON OIL CORP              COMMON     565849106       97       4480 SH  -    OTHER   09                  0      4480        0
D MARATHON OIL CORP              COMMON     565849106      268      12425 SH  -    DEFINED 01              12400         0       25

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 518
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MARATHON OIL CORP              COMMON     565849106       16        719 SH  -    OTHER   01                486       168       65
D MARATHON OIL CORP              COMMON     565849106       78       3611 SH  -    OTHER   10                  0         0     3611
D MARATHON PETE CORP             COMMON     56585A102      305      11262 SH  -    DEFINED 02               4619         0     6643
D MARATHON PETE CORP             COMMON     56585A102      453      16746 SH  -    DEFINED 02              16746         0        0
D MARATHON PETE CORP             COMMON     56585A102      187       6901 SH  -    DEFINED 02               4494         0     2407
D MARATHON PETE CORP             COMMON     56585A102      419      15492 SH  -    OTHER   02               2424     10792     2276
D MARATHON PETE CORP             COMMON     56585A102      115       4246 SH  -    OTHER   02               3662        25      559
D MARATHON PETE CORP             COMMON     56585A102    94598    3495854 SH  -    DEFINED 04            3148222         0   347632
D MARATHON PETE CORP             COMMON     56585A102     5982     221052 SH  -    DEFINED 04             221052         0        0
D MARATHON PETE CORP             COMMON     56585A102     2098      77530 SH  -    DEFINED 04              44116         0    33414
D MARATHON PETE CORP             COMMON     56585A102       27       1011 SH  -    DEFINED 04                  0         0     1011
D MARATHON PETE CORP             COMMON     56585A102        1         46 SH  -    OTHER   04                  0        46        0
D MARATHON PETE CORP             COMMON     56585A102     3059     113053 SH  -    DEFINED 05             113053         0        0
D MARATHON PETE CORP             COMMON     56585A102      185       6834 SH  -    DEFINED 06               6834         0        0
D MARATHON PETE CORP             COMMON     56585A102     8904     329038 SH  -    DEFINED 09             306157     22881        0
D MARATHON PETE CORP             COMMON     56585A102      579      21393 SH  -    DEFINED 09              21393         0        0
D MARATHON PETE CORP             COMMON     56585A102     3919     144841 SH  -    DEFINED 09             144841         0        0
D MARATHON PETE CORP             COMMON     56585A102       71       2642 SH  -    OTHER   09                  0      2642        0
D MARATHON PETE CORP             COMMON     56585A102      133       4900 SH  -    DEFINED 01               4900         0        0
D MARATHON PETE CORP             COMMON     56585A102       69       2546 SH  -    OTHER   01               2500        46        0
D MARATHON PETE CORP             COMMON     56585A102       49       1805 SH  -    OTHER   10                  0         0     1805
D MARCUS CORP                    COMMON     566330106      114      11420 SH  -    OTHER   02                  0     11420        0
D MARCUS CORP                    COMMON     566330106      147      14757 SH  -    DEFINED 04              14757         0        0
D MARCUS CORP                    COMMON     566330106       94       9464 SH  -    DEFINED 05               9464         0        0
D MARCUS CORP                    COMMON     566330106       15       1480 SH  -    OTHER   01                  0      1480        0
D MARINEMAX INC                  COMMON     567908108        1         94 SH  -    OTHER   02                  0        94        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 519
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MARINEMAX INC                  COMMON     567908108      102      15763 SH  -    DEFINED 04              15763         0        0
D MARINEMAX INC                  COMMON     567908108       75      11546 SH  -    DEFINED 05              11546         0        0
D MARKEL CORP                    COMMON     570535104     1224       3427 SH  -    OTHER   02                  0      3327      100
D MARKEL CORP                    COMMON     570535104      118        330 SH  -    OTHER   02                  0         0      330
D MARKEL CORP                    COMMON     570535104       50        140 SH  -    DEFINED 05                140         0        0
D MARKEL CORP                    COMMON     570535104     3112       8715 SH  -    DEFINED 08               8715         0        0
D MARKEL CORP                    COMMON     570535104      129        361 SH  -    OTHER   01                  0       361        0
D MARKEL CORP                    COMMON     570535104      146        409 SH  -    OTHER   10                  0         0      409
D MARKETAXESS HLDGS INC          COMMON     57060D108   141004    5419063 SH  -    DEFINED 03            2833409         0  2585654
D MARKETAXESS HLDGS INC          COMMON     57060D108       68       2629 SH  -    DEFINED 05               2629         0        0
D MARKETAXESS HLDGS INC          COMMON     57060D108       71       2734 SH  -    DEFINED 08               2734         0        0
D MARKET VECTORS ETF TR          COMMON     57060U100       72       1300 SH  -    OTHER   02                990         0      310
D MARKET VECTORS ETF TR          COMMON     57060U100      221       4000 SH  -    OTHER   02               4000         0        0
D MARKET VECTORS ETF TR          COMMON     57060U100     7371     133554 SH  -    DEFINED 05             133554         0        0
D MARKET VECTORS ETF TR          COMMON     57060U100     1612      29200 SH  -    DEFINED 08              29200         0        0
D MARKET VECTORS ETF TR          COMMON     57060U100    24742     448300 SH  -    DEFINED 08             448300         0        0
D MARKET VECTORS ETF TR          COMMON     57060U100    11973     216944 SH  -    OTHER   10                  0         0   216944
D MARKET VECTORS ETF TR          COMMON     57060U308      649      15000 SH  -    DEFINED 07              15000         0        0
D MARKET VECTORS ETF TR          COMMON     57060U506        6        250 SH  -    OTHER   02                  0         0      250
D MARKET VECTORS ETF TR          COMMON     57060U506     2902     114685 SH  -    DEFINED 05             114685         0        0
D MARKET VECTORS ETF TR          COMMON     57060U506     1824      72081 SH  -    DEFINED 08              72081         0        0
D MARKET VECTORS ETF TR          COMMON     57060U506       72       2860 SH  -    OTHER   10                  0         0     2860
D MARKET VECTORS ETF TR          COMMON     57060U589        0          3 SH  -    DEFINED 05                  3         0        0
D MARKET VECTORS ETF TR          COMMON     57060U589      141       5000 SH  -    DEFINED 08               5000         0        0
D MARKET VECTORS ETF TR          COMMON     57060U589     2251      79962 SH  -    OTHER   10                  0         0    79962
D MARKET VECTORS ETF TR          COMMON     57060U605        4        100 SH  -    DEFINED 02                100         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 520
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MARKET VECTORS ETF TR          COMMON     57060U605      152       3519 SH  -    OTHER   02               1019      2500        0
D MARKET VECTORS ETF TR          COMMON     57060U605      389       9000 SH  -    DEFINED 01               9000         0        0
D MARKET VECTORS ETF TR          COMMON     57060U605      115       2665 SH  -    OTHER   10                  0         0     2665
D MARKET VECTORS ETF TR          COMMON     57060U613      196       5000 SH  -    DEFINED 08               5000         0        0
D MARKET VECTORS ETF TR          COMMON     57060U613      101       2582 SH  -    OTHER   10                  0         0     2582
D MARKET VECTORS ETF TR          COMMON     57060U753      431      17034 SH  -    DEFINED 02              17034         0        0
D MARKET VECTORS ETF TR          COMMON     57060U753      152       6000 SH  -    DEFINED 08               6000         0        0
D MARKET VECTORS ETF TR          COMMON     57060U753        2         89 SH  -    OTHER   10                  0         0       89
D MARKET VECTORS ETF TR          COMMON     57060U761       17       1000 SH  -    DEFINED 02               1000         0        0
D MARKET VECTORS ETF TR          COMMON     57060U761       42       2440 SH  -    OTHER   02                  0         0     2440
D MARKET VECTORS ETF TR          COMMON     57060U761      707      41000 SH  -    DEFINED 08              41000         0        0
D MARKET VECTORS ETF TR          COMMON     57060U829      210       7562 SH  -    OTHER   02               7562         0        0
D MARKET VECTORS ETF TR          OPTION     57060U902     1827      33100 SH  C    DEFINED 05              33100         0        0
D MARKET VECTORS ETF TR          OPTION     57060U902    13798     250000 SH  C    DEFINED 07             250000         0        0
D MARKET VECTORS ETF TR          OPTION     57060U902     9349     169400 SH  C    DEFINED 08             169400         0        0
D MARKET VECTORS ETF TR          OPTION     57060U951    16502     299000 SH  P    DEFINED 05             299000         0        0
D MARKET VECTORS ETF TR          OPTION     57060U951    33324     603800 SH  P    DEFINED 08             603800         0        0
D MARKWEST ENERGY PARTNERS L P   COMMON     570759100     1126      24500 SH  -    OTHER   02                  0     18000     6500
D MARKWEST ENERGY PARTNERS L P   COMMON     570759100       92       2000 SH  -    OTHER   02               2000         0        0
D MARKWEST ENERGY PARTNERS L P   COMMON     570759100      397       8647 SH  -    DEFINED 05               8647         0        0
D MARKWEST ENERGY PARTNERS L P   COMMON     570759100      735      16000 SH  -    OTHER   01              10000      6000        0
D MARKWEST ENERGY PARTNERS L P   COMMON     570759100    60616    1319177 SH  -    DEFINED 10            1319177         0        0
D MARKWEST ENERGY PARTNERS L P   COMMON     570759100     2680      58318 SH  -    OTHER   10                  0         0    58318
D MARLIN BUSINESS SVCS CORP      COMMON     571157106      510      48106 SH  -    DEFINED 04              43706         0     4400
D MARLIN BUSINESS SVCS CORP      COMMON     571157106      117      11000 SH  -    DEFINED 04              11000         0        0
D MARLIN BUSINESS SVCS CORP      COMMON     571157106       29       2708 SH  -    DEFINED 05               2708         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 521
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MARLIN BUSINESS SVCS CORP      COMMON     571157106        5        509 SH  -    DEFINED 08                509         0        0
D MARSH & MCLENNAN               COMMON     571748102      146       5494 SH  -    DEFINED 02               5494         0        0
D MARSH & MCLENNAN               COMMON     571748102      800      30134 SH  -    DEFINED 02              30134         0        0
D MARSH & MCLENNAN               COMMON     571748102      177       6662 SH  -    DEFINED 02               6242         0      420
D MARSH & MCLENNAN               COMMON     571748102     1402      52820 SH  -    OTHER   02               4188     48547        0
D MARSH & MCLENNAN               COMMON     571748102      188       7093 SH  -    OTHER   02               5280        13     1800
D MARSH & MCLENNAN               COMMON     571748102     3234     121811 SH  -    DEFINED 04             106303         0    15508
D MARSH & MCLENNAN               COMMON     571748102     2332      87817 SH  -    DEFINED 04              87817         0        0
D MARSH & MCLENNAN               COMMON     571748102    12883     485245 SH  -    DEFINED 05             485245         0        0
D MARSH & MCLENNAN               COMMON     571748102       28       1039 SH  -    DEFINED 06               1039         0        0
D MARSH & MCLENNAN               COMMON     571748102     9724     366270 SH  -    DEFINED 08             366270         0        0
D MARSH & MCLENNAN               COMMON     571748102      462      17400 SH  -    DEFINED 01                  0         0    17400
D MARSH & MCLENNAN               COMMON     571748102       39       1454 SH  -    OTHER   01                  0      1454        0
D MARSH & MCLENNAN               COMMON     571748102       52       1969 SH  -    OTHER   10                  0         0     1969
D MARSH & MCLENNAN               OPTION     571748904     1107      41700 SH  C    DEFINED 05              41700         0        0
D MARRIOTT INTL INC              COMMON     571903202      146       5348 SH  -    DEFINED 02               5348         0        0
D MARRIOTT INTL INC              COMMON     571903202      303      11111 SH  -    DEFINED 02              11111         0        0
D MARRIOTT INTL INC              COMMON     571903202      114       4179 SH  -    DEFINED 02               3419         0      760
D MARRIOTT INTL INC              COMMON     571903202      349      12808 SH  -    OTHER   02               4393      5918     2497
D MARRIOTT INTL INC              COMMON     571903202   201922    7412697 SH  -    DEFINED 04            6231180         0  1181517
D MARRIOTT INTL INC              COMMON     571903202    21874     803017 SH  -    DEFINED 04             803017         0        0
D MARRIOTT INTL INC              COMMON     571903202     4852     178133 SH  -    DEFINED 04             178133         0        0
D MARRIOTT INTL INC              COMMON     571903202     2382      87451 SH  -    DEFINED 04              87451         0        0
D MARRIOTT INTL INC              COMMON     571903202       62       2258 SH  -    DEFINED 04                  0         0     2258
D MARRIOTT INTL INC              COMMON     571903202     1040      38180 SH  -    OTHER   04                  0     38180        0
D MARRIOTT INTL INC              COMMON     571903202     5330     195681 SH  -    OTHER   04                  0    195681        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 522
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MARRIOTT INTL INC              COMMON     571903202      808      29674 SH  -    DEFINED 05              29674         0        0
D MARRIOTT INTL INC              COMMON     571903202      148       5450 SH  -    DEFINED 09               5450         0        0
D MARRIOTT INTL INC              COMMON     571903202      787      28900 SH  -    OTHER   09                  0     28900        0
D MARRIOTT INTL INC              COMMON     571903202        3        114 SH  -    DEFINED 01                  0         0      114
D MARRIOTT INTL INC              COMMON     571903202        7        239 SH  -    OTHER   01                  0       239        0
D MARRIOTT INTL INC              COMMON     571903202      388      14231 SH  -    OTHER   10                  0         0    14231
D MARTEN TRANS LTD               COMMON     573075108        0         15 SH  -    OTHER   02                  0        15        0
D MARTEN TRANS LTD               COMMON     573075108     8272     479839 SH  -    DEFINED 04             336620         0   143219
D MARTEN TRANS LTD               COMMON     573075108     3717     215600 SH  -    DEFINED 04             215600         0        0
D MARTEN TRANS LTD               COMMON     573075108     1283      74422 SH  -    DEFINED 04              74422         0        0
D MARTEN TRANS LTD               COMMON     573075108        4        250 SH  -    DEFINED 05                250         0        0
D MARTEN TRANS LTD               COMMON     573075108       16        922 SH  -    DEFINED 08                922         0        0
D MARTIN MARIETTA MATLS INC      COMMON     573284106        2         28 SH  -    DEFINED 02                 28         0        0
D MARTIN MARIETTA MATLS INC      COMMON     573284106       41        648 SH  -    OTHER   02                  0       148      500
D MARTIN MARIETTA MATLS INC      COMMON     573284106      632      10000 SH  -    OTHER   02              10000         0        0
D MARTIN MARIETTA MATLS INC      COMMON     573284106     8281     130989 SH  -    DEFINED 04             127100         0     3889
D MARTIN MARIETTA MATLS INC      COMMON     573284106       12        186 SH  -    DEFINED 04                186         0        0
D MARTIN MARIETTA MATLS INC      COMMON     573284106        3         55 SH  -    OTHER   04                  0        55        0
D MARTIN MARIETTA MATLS INC      COMMON     573284106     2258      35718 SH  -    DEFINED 05              35718         0        0
D MARTIN MARIETTA MATLS INC      COMMON     573284106       40        639 SH  -    DEFINED 06                639         0        0
D MARTIN MARIETTA MATLS INC      COMMON     573284106      991      15668 SH  -    DEFINED 08              15668         0        0
D MARTIN MARIETTA MATLS INC      COMMON     573284106       25        400 SH  -    OTHER   10                  0         0      400
D MARTIN MARIETTA MATLS INC      OPTION     573284957     3793      60000 SH  P    DEFINED 05              60000         0        0
D MARTIN MIDSTREAM PRTNRS L P    COMMON     573331105       45       1400 SH  -    OTHER   02                  0         0     1400
D MARTIN MIDSTREAM PRTNRS L P    COMMON     573331105     7430     228683 SH  -    DEFINED 10             228683         0        0
D MASCO CORP                     COMMON     574599106       31       4313 SH  -    DEFINED 02               4124         0      189

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 523
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MASCO CORP                     COMMON     574599106      176      24767 SH  -    OTHER   02                  0     10578    14189
D MASCO CORP                     COMMON     574599106       18       2562 SH  -    OTHER   02               1964        98      500
D MASCO CORP                     COMMON     574599106      454      63714 SH  -    DEFINED 04              53467         0    10247
D MASCO CORP                     COMMON     574599106      412      57800 SH  -    DEFINED 04              57800         0        0
D MASCO CORP                     COMMON     574599106      160      22457 SH  -    DEFINED 05              22457         0        0
D MASCO CORP                     COMMON     574599106       30       4245 SH  -    DEFINED 08               4245         0        0
D MASCO CORP                     COMMON     574599106        1        194 SH  -    OTHER   10                  0         0      194
D MASIMO CORP                    COMMON     574795100        2         91 SH  -    OTHER   02                 47        44        0
D MASIMO CORP                    COMMON     574795100     5779     267189 SH  -    DEFINED 04             191874         0    75315
D MASIMO CORP                    COMMON     574795100     3859     178400 SH  -    DEFINED 04             178400         0        0
D MASIMO CORP                    COMMON     574795100      912      42170 SH  -    DEFINED 04              42170         0        0
D MASIMO CORP                    COMMON     574795100       32       1479 SH  -    DEFINED 05               1479         0        0
D MASIMO CORP                    COMMON     574795100       78       3615 SH  -    DEFINED 08               3615         0        0
D MASSEY ENERGY CO               BOND       576203AJ2      168     190000 PRN -    DEFINED 05                  0         0        0
D MASSEY ENERGY CO               BOND       576203AJ2    16285   18375000 PRN -    DEFINED 09                  0         0        0
D MASSMUTUAL CORPORATE INVS INC  COMMON     576292106      224      13160 SH  -    OTHER   02                  0         0    13160
D MASTEC INC                     COMMON     576323109        2         98 SH  -    OTHER   02                  0        98        0
D MASTEC INC                     COMMON     576323109    11040     626933 SH  -    DEFINED 04             568833         0    58100
D MASTEC INC                     COMMON     576323109     1694      96172 SH  -    DEFINED 04              96172         0        0
D MASTEC INC                     COMMON     576323109       52       2943 SH  -    DEFINED 04               2943         0        0
D MASTEC INC                     COMMON     576323109      157       8918 SH  -    OTHER   04                  0      8918        0
D MASTEC INC                     COMMON     576323109      109       6162 SH  -    DEFINED 05               6162         0        0
D MASTEC INC                     COMMON     576323109       60       3405 SH  -    DEFINED 08               3405         0        0
D MASTEC INC                     COMMON     576323109        3        186 SH  -    OTHER   10                  0         0      186
D MASTERCARD INC                 COMMON     57636Q104    18135      57179 SH  -    DEFINED 02              49076       443     7660
D MASTERCARD INC                 COMMON     57636Q104     5754      18143 SH  -    DEFINED 02              17438        16      689

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 524
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MASTERCARD INC                 COMMON     57636Q104       99        313 SH  -    DEFINED 02                313         0        0
D MASTERCARD INC                 COMMON     57636Q104     1077       3396 SH  -    DEFINED 02               1855         0     1541
D MASTERCARD INC                 COMMON     57636Q104    15287      48200 SH  -    OTHER   02              14263     29774     4147
D MASTERCARD INC                 COMMON     57636Q104     2055       6480 SH  -    OTHER   02               5691       338      451
D MASTERCARD INC                 COMMON     57636Q104      113        355 SH  -    OTHER   02                  0       355        0
D MASTERCARD INC                 COMMON     57636Q104       94        297 SH  -    OTHER   02                  0       297        0
D MASTERCARD INC                 COMMON     57636Q104      247        780 SH  -    OTHER   02                  0       780        0
D MASTERCARD INC                 COMMON     57636Q104   377357    1189801 SH  -    DEFINED 04             805377         0   384424
D MASTERCARD INC                 COMMON     57636Q104     9838      31018 SH  -    DEFINED 04              31018         0        0
D MASTERCARD INC                 COMMON     57636Q104    35916     113241 SH  -    DEFINED 04             113241         0        0
D MASTERCARD INC                 COMMON     57636Q104      304        960 SH  -    DEFINED 04                960         0        0
D MASTERCARD INC                 COMMON     57636Q104      211        664 SH  -    DEFINED 04                  0         0      664
D MASTERCARD INC                 COMMON     57636Q104    11896      37509 SH  -    OTHER   04                  0     37509        0
D MASTERCARD INC                 COMMON     57636Q104     7602      23968 SH  -    DEFINED 05              23968         0        0
D MASTERCARD INC                 COMMON     57636Q104     3608      11375 SH  -    DEFINED 09              11375         0        0
D MASTERCARD INC                 COMMON     57636Q104     1640       5170 SH  -    OTHER   09                  0      5170        0
D MASTERCARD INC                 COMMON     57636Q104      822       2592 SH  -    DEFINED 01               2181       207      204
D MASTERCARD INC                 COMMON     57636Q104      486       1532 SH  -    OTHER   01                819       408      305
D MASTERCARD INC                 COMMON     57636Q104      885       2790 SH  -    OTHER   10                  0         0     2790
D MATERION CORP                  COMMON     576690101       58       2537 SH  -    OTHER   02                  0       196     2341
D MATERION CORP                  COMMON     576690101      160       7033 SH  -    OTHER   02                  0       299     6734
D MATERION CORP                  COMMON     576690101      320      14096 SH  -    DEFINED 04              14096         0        0
D MATERION CORP                  COMMON     576690101      217       9588 SH  -    DEFINED 05               9588         0        0
D MATRIX SVC CO                  COMMON     576853105      186      21800 SH  -    DEFINED 04              16200         0     5600
D MATRIX SVC CO                  COMMON     576853105      155      18189 SH  -    DEFINED 04              18189         0        0
D MATRIX SVC CO                  COMMON     576853105      132      15543 SH  -    DEFINED 05              15543         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 525
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MATTEL INC                     COMMON     577081102      326      12579 SH  -    DEFINED 02                239         0    12340
D MATTEL INC                     COMMON     577081102      208       8045 SH  -    DEFINED 02               8045         0        0
D MATTEL INC                     COMMON     577081102      109       4196 SH  -    DEFINED 02               3952         0      244
D MATTEL INC                     COMMON     577081102     2233      86263 SH  -    OTHER   02                379     84000     1826
D MATTEL INC                     COMMON     577081102      604      23313 SH  -    OTHER   02                889      6214    16210
D MATTEL INC                     COMMON     577081102    32966    1273313 SH  -    DEFINED 04             606656         0   666657
D MATTEL INC                     COMMON     577081102     2098      81051 SH  -    DEFINED 04              81051         0        0
D MATTEL INC                     COMMON     577081102     4094     158120 SH  -    DEFINED 04             158120         0        0
D MATTEL INC                     COMMON     577081102     5341     206305 SH  -    DEFINED 04             206305         0        0
D MATTEL INC                     COMMON     577081102     8824     340825 SH  -    DEFINED 04             294428         0        0
D MATTEL INC                     COMMON     577081102        6        249 SH  -    OTHER   04                  0       249        0
D MATTEL INC                     COMMON     577081102      299      11555 SH  -    DEFINED 05              11555         0        0
D MATTEL INC                     COMMON     577081102    12220     471983 SH  -    DEFINED 09             471983         0        0
D MATTEL INC                     COMMON     577081102       59       2295 SH  -    OTHER   09                  0      2295        0
D MATTEL INC                     COMMON     577081102      180       6936 SH  -    OTHER   01                  0      6311        0
D MATTEL INC                     COMMON     577081102       49       1884 SH  -    OTHER   10                  0         0     1884
D MATTEL INC                     OPTION     577081904     3495     135000 SH  C    DEFINED 05             135000         0        0
D MATTHEWS INTL CORP             COMMON     577128101        4        140 SH  -    OTHER   02                  0       140        0
D MATTHEWS INTL CORP             COMMON     577128101      644      20951 SH  -    DEFINED 04              20951         0        0
D MATTHEWS INTL CORP             COMMON     577128101       14        447 SH  -    DEFINED 05                447         0        0
D MATTHEWS INTL CORP             COMMON     577128101       76       2459 SH  -    DEFINED 08               2459         0        0
D MAXIM INTEGRATED               COMMON     57772K101        9        390 SH  -    DEFINED 02                390         0        0
D MAXIM INTEGRATED               COMMON     57772K101       58       2500 SH  -    DEFINED 02               2500         0        0
D MAXIM INTEGRATED               COMMON     57772K101     1268      54363 SH  -    OTHER   02                250     54113        0
D MAXIM INTEGRATED               COMMON     57772K101      190       8165 SH  -    OTHER   02                  0      3300     4865
D MAXIM INTEGRATED               COMMON     57772K101       84       3609 SH  -    DEFINED 04               3609         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 526
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MAXIM INTEGRATED               COMMON     57772K101      131       5628 SH  -    DEFINED 05               5628         0        0
D MAXIM INTEGRATED               COMMON     57772K101     2130      91288 SH  -    DEFINED 08              91288         0        0
D MAXIM INTEGRATED               COMMON     57772K101        4        163 SH  -    DEFINED 01                  0         0      163
D MAXIM INTEGRATED               COMMON     57772K101       59       2546 SH  -    OTHER   01                  0      2546        0
D MAXIM INTEGRATED               COMMON     57772K101       54       2320 SH  -    OTHER   10                  0         0     2320
D MAXIM INTEGRATED               OPTION     57772K903      233      10000 SH  C    DEFINED 05              10000         0        0
D MAXIMUS INC                    COMMON     577933104        4        102 SH  -    OTHER   02                  0       102        0
D MAXIMUS INC                    COMMON     577933104      782      22400 SH  -    DEFINED 04              17100         0     5300
D MAXIMUS INC                    COMMON     577933104      428      12268 SH  -    DEFINED 04              12268         0        0
D MAXIMUS INC                    COMMON     577933104      606      17370 SH  -    DEFINED 05              17370         0        0
D MCCLATCHY CO                   COMMON     579489105        2       1790 SH  -    OTHER   02                  0         0     1790
D MCCLATCHY CO                   COMMON     579489105     2090    1559350 SH  -    DEFINED 04            1490750         0    68600
D MCCLATCHY CO                   COMMON     579489105     2028    1513599 SH  -    DEFINED 08            1513599         0        0
D MCCORMICK & CO INC             COMMON     579780206       46       1000 SH  -    DEFINED 02               1000         0        0
D MCCORMICK & CO INC             COMMON     579780206        1         15 SH  -    DEFINED 02                 15         0        0
D MCCORMICK & CO INC             COMMON     579780206       74       1602 SH  -    DEFINED 02               1524         0       78
D MCCORMICK & CO INC             COMMON     579780206       63       1375 SH  -    OTHER   02                 44       917      414
D MCCORMICK & CO INC             COMMON     579780206      729      15795 SH  -    OTHER   02              14208        35     1552
D MCCORMICK & CO INC             COMMON     579780206     1087      23547 SH  -    DEFINED 04              19760         0     3787
D MCCORMICK & CO INC             COMMON     579780206      991      21462 SH  -    DEFINED 04              21462         0        0
D MCCORMICK & CO INC             COMMON     579780206      926      20064 SH  -    DEFINED 05              20064         0        0
D MCCORMICK & CO INC             COMMON     579780206      263       5700 SH  -    OTHER   01               5700         0        0
D MCCORMICK & CO INC             COMMON     579780206       65       1398 SH  -    OTHER   10                  0         0     1398
D MCCORMICK & SCHMICKS SEAFD RES COMMON     579793100      429      62000 SH  -    DEFINED 05              62000         0        0
D MCCORMICK & SCHMICKS SEAFD RES COMMON     579793100        6        858 SH  -    DEFINED 08                858         0        0
D MCDERMOTT INTL INC             COMMON     580037109        5        500 SH  -    DEFINED 02                500         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 527
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MCDERMOTT INTL INC             COMMON     580037109     1671     155334 SH  -    OTHER   02               2262    146626     6446
D MCDERMOTT INTL INC             COMMON     580037109      237      21996 SH  -    OTHER   02                970      8400    12626
D MCDERMOTT INTL INC             COMMON     580037109      486      45135 SH  -    OTHER   02                  0     45135        0
D MCDERMOTT INTL INC             COMMON     580037109      824      76623 SH  -    DEFINED 04              76623         0        0
D MCDERMOTT INTL INC             COMMON     580037109     1104     102568 SH  -    DEFINED 04             102568         0        0
D MCDERMOTT INTL INC             COMMON     580037109       42       3883 SH  -    DEFINED 05               3883         0        0
D MCDERMOTT INTL INC             COMMON     580037109     1475     137111 SH  -    DEFINED 08             137111         0        0
D MCDERMOTT INTL INC             COMMON     580037109       62       5747 SH  -    DEFINED 09               5747         0        0
D MCDERMOTT INTL INC             COMMON     580037109      128      11900 SH  -    OTHER   01                  0     10700        0
D MCDERMOTT INTL INC             COMMON     580037109       13       1180 SH  -    OTHER   10                  0         0     1180
D MCDONALD'S CORP                COMMON     580135101    79308     903071 SH  -    DEFINED 02             854422       531    48118
D MCDONALD'S CORP                COMMON     580135101    26180     298115 SH  -    DEFINED 02             294569       300     3246
D MCDONALD'S CORP                COMMON     580135101      119       1360 SH  -    DEFINED 02               1360         0        0
D MCDONALD'S CORP                COMMON     580135101     1110      12634 SH  -    DEFINED 02              11890         0      744
D MCDONALD'S CORP                COMMON     580135101    26797     305135 SH  -    OTHER   02             141987    124056    37833
D MCDONALD'S CORP                COMMON     580135101    13016     148214 SH  -    OTHER   02             114662     21972    11580
D MCDONALD'S CORP                COMMON     580135101    10693     121760 SH  -    OTHER   02                  0    121760        0
D MCDONALD'S CORP                COMMON     580135101     4675      53234 SH  -    OTHER   02                  0     53234        0
D MCDONALD'S CORP                COMMON     580135101     4367      49731 SH  -    OTHER   02                  0     49731        0
D MCDONALD'S CORP                COMMON     580135101   213579    2432007 SH  -    DEFINED 04            1395055         0  1036952
D MCDONALD'S CORP                COMMON     580135101    57776     657890 SH  -    DEFINED 04             657890         0        0
D MCDONALD'S CORP                COMMON     580135101    12662     144186 SH  -    DEFINED 04             144186         0        0
D MCDONALD'S CORP                COMMON     580135101       33        375 SH  -    DEFINED 04                375         0        0
D MCDONALD'S CORP                COMMON     580135101     9728     110776 SH  -    DEFINED 04              96545         0        0
D MCDONALD'S CORP                COMMON     580135101       94       1065 SH  -    DEFINED 04                  0         0     1065
D MCDONALD'S CORP                COMMON     580135101       73        833 SH  -    OTHER   04                  0       833        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 528
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MCDONALD'S CORP                COMMON     580135101    60567     689670 SH  -    DEFINED 05             689670         0        0
D MCDONALD'S CORP                COMMON     580135101    14822     168776 SH  -    DEFINED 08             168776         0        0
D MCDONALD'S CORP                COMMON     580135101    10263     116867 SH  -    DEFINED 09             116867         0        0
D MCDONALD'S CORP                COMMON     580135101       63        719 SH  -    OTHER   09                  0       719        0
D MCDONALD'S CORP                COMMON     580135101    39144     445725 SH  -    DEFINED 01             439820         0     5905
D MCDONALD'S CORP                COMMON     580135101     1562      17788 SH  -    OTHER   01              15700      1823      115
D MCDONALD'S CORP                COMMON     580135101     8633      98302 SH  -    OTHER   10                  0         0    98302
D MCDONALD'S CORP                OPTION     580135903     2362      26900 SH  C    DEFINED 05              26900         0        0
D MCDONALD'S CORP                OPTION     580135903    18390     209400 SH  C    DEFINED 08             209400         0        0
D MCDONALD'S CORP                OPTION     580135952     3364      38300 SH  P    DEFINED 05              38300         0        0
D MCDONALD'S CORP                OPTION     580135952     7465      85000 SH  P    DEFINED 08              85000         0        0
D MCG CAPITAL CORP               COMMON     58047P107        3        648 SH  -    OTHER   02                  0       648        0
D MCG CAPITAL CORP               COMMON     58047P107       14       3479 SH  -    OTHER   02                  0         0     3479
D MCG CAPITAL CORP               COMMON     58047P107      818     206537 SH  -    DEFINED 04             206537         0        0
D MCG CAPITAL CORP               COMMON     58047P107      743     187700 SH  -    DEFINED 04             187700         0        0
D MCG CAPITAL CORP               COMMON     58047P107        5       1166 SH  -    DEFINED 05               1166         0        0
D MCG CAPITAL CORP               COMMON     58047P107       18       4539 SH  -    DEFINED 08               4539         0        0
D MCGRAW HILL COS INC            COMMON     580645109      425      10370 SH  -    DEFINED 02               6335       600     3435
D MCGRAW HILL COS INC            COMMON     580645109     1398      34102 SH  -    DEFINED 02              31334      1525     1243
D MCGRAW HILL COS INC            COMMON     580645109      151       3680 SH  -    DEFINED 02               3472         0      208
D MCGRAW HILL COS INC            COMMON     580645109    15954     389120 SH  -    OTHER   02              57433    326254     2335
D MCGRAW HILL COS INC            COMMON     580645109     3099      75595 SH  -    OTHER   02              18799     22243    34553
D MCGRAW HILL COS INC            COMMON     580645109    19762     481999 SH  -    DEFINED 04             255133         0   226866
D MCGRAW HILL COS INC            COMMON     580645109     6104     148871 SH  -    DEFINED 04             148871         0        0
D MCGRAW HILL COS INC            COMMON     580645109       81       1975 SH  -    DEFINED 04               1975         0        0
D MCGRAW HILL COS INC            COMMON     580645109      567      13825 SH  -    DEFINED 05              13825         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 529
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MCGRAW HILL COS INC            COMMON     580645109      418      10200 SH  -    DEFINED 09              10200         0        0
D MCGRAW HILL COS INC            COMMON     580645109      309       7530 SH  -    DEFINED 01               7100         0      430
D MCGRAW HILL COS INC            COMMON     580645109      992      24201 SH  -    OTHER   01               7000     17126       75
D MCGRAW HILL COS INC            COMMON     580645109      154       3759 SH  -    OTHER   10                  0         0     3759
D MCGRAW HILL COS INC            OPTION     580645901     2813      68600 SH  C    DEFINED 05              68600         0        0
D MCGRAW HILL COS INC            OPTION     580645950       49       1200 SH  P    DEFINED 05               1200         0        0
D MCKESSON CORP.                 COMMON     58155Q103     1660      22828 SH  -    DEFINED 02               6748         0    16080
D MCKESSON CORP.                 COMMON     58155Q103      483       6649 SH  -    DEFINED 02               4315         0     2334
D MCKESSON CORP.                 COMMON     58155Q103      935      12863 SH  -    DEFINED 02               5813         0     7050
D MCKESSON CORP.                 COMMON     58155Q103      967      13298 SH  -    OTHER   02               5014      7019     1265
D MCKESSON CORP.                 COMMON     58155Q103      627       8622 SH  -    OTHER   02               2037       272     6313
D MCKESSON CORP.                 COMMON     58155Q103   249976    3438466 SH  -    DEFINED 04            2546458         0   892008
D MCKESSON CORP.                 COMMON     58155Q103     8548     117584 SH  -    DEFINED 04             117584         0        0
D MCKESSON CORP.                 COMMON     58155Q103    21371     293960 SH  -    DEFINED 04             293960         0        0
D MCKESSON CORP.                 COMMON     58155Q103      234       3225 SH  -    DEFINED 04               3225         0        0
D MCKESSON CORP.                 COMMON     58155Q103      255       3510 SH  -    DEFINED 04                  0         0     3510
D MCKESSON CORP.                 COMMON     58155Q103     2224      30596 SH  -    DEFINED 05              30596         0        0
D MCKESSON CORP.                 COMMON     58155Q103     2434      33482 SH  -    DEFINED 09              33482         0        0
D MCKESSON CORP.                 COMMON     58155Q103       68        934 SH  -    OTHER   01                600        34      300
D MCKESSON CORP.                 COMMON     58155Q103     2168      29820 SH  -    OTHER   10                  0         0    29820
D MCMORAN EXPLORATION CO         COMMON     582411104        0         18 SH  -    DEFINED 02                 18         0        0
D MCMORAN EXPLORATION CO         COMMON     582411104       13       1321 SH  -    OTHER   02                  0      1273        0
D MCMORAN EXPLORATION CO         COMMON     582411104     1640     165175 SH  -    DEFINED 04             128175         0    37000
D MCMORAN EXPLORATION CO         COMMON     582411104       27       2678 SH  -    DEFINED 05               2678         0        0
D MCMORAN EXPLORATION CO         COMMON     582411104     8810     887251 SH  -    DEFINED 08             887251         0        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106       31        452 SH  -    DEFINED 02                452         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 530
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MEAD JOHNSON NUTRITION CO      COMMON     582839106      171       2480 SH  -    DEFINED 02               2350         0      130
D MEAD JOHNSON NUTRITION CO      COMMON     582839106      718      10431 SH  -    OTHER   02               4265      6124        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106       59        852 SH  -    OTHER   02                743        24       85
D MEAD JOHNSON NUTRITION CO      COMMON     582839106     2499      36306 SH  -    DEFINED 04              30467         0     5839
D MEAD JOHNSON NUTRITION CO      COMMON     582839106     2273      33019 SH  -    DEFINED 04              33019         0        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106     3340      48529 SH  -    DEFINED 04              28468         0    20061
D MEAD JOHNSON NUTRITION CO      COMMON     582839106     5549      80625 SH  -    DEFINED 05              80625         0        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106      685       9958 SH  -    DEFINED 08               9958         0        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106    13791     200368 SH  -    DEFINED 09             187190     13178        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106      894      12984 SH  -    DEFINED 09              12984         0        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106     6338      92089 SH  -    DEFINED 09              92089         0        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106      162       2347 SH  -    OTHER   09                  0      2347        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106      489       7100 SH  -    DEFINED 01               7100         0        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106      843      12248 SH  -    OTHER   01              12248         0        0
D MEAD JOHNSON NUTRITION CO      COMMON     582839106      392       5688 SH  -    OTHER   10                  0         0     5688
D MEADOWBROOK INS GROUP INC      COMMON     58319P108        1         64 SH  -    OTHER   02                  0        64        0
D MEADOWBROOK INS GROUP INC      COMMON     58319P108       42       4700 SH  -    OTHER   02                  0      4700        0
D MEADOWBROOK INS GROUP INC      COMMON     58319P108     2721     305360 SH  -    DEFINED 04             270860         0    34500
D MEADOWBROOK INS GROUP INC      COMMON     58319P108      815      91460 SH  -    DEFINED 04              91460         0        0
D MEADOWBROOK INS GROUP INC      COMMON     58319P108      220      24650 SH  -    DEFINED 05              24650         0        0
D MEADWESTVACO CORP              COMMON     583334107        2         73 SH  -    DEFINED 02                 73         0        0
D MEADWESTVACO CORP              COMMON     583334107       51       2072 SH  -    DEFINED 02               1967         0      105
D MEADWESTVACO CORP              COMMON     583334107      554      22550 SH  -    OTHER   02               1000      5885    15665
D MEADWESTVACO CORP              COMMON     583334107        1         36 SH  -    OTHER   02                  8        28        0
D MEADWESTVACO CORP              COMMON     583334107    12242     498446 SH  -    DEFINED 04             467509         0    30937
D MEADWESTVACO CORP              COMMON     583334107      667      27175 SH  -    DEFINED 04              27175         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 531
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MEADWESTVACO CORP              COMMON     583334107       30       1228 SH  -    DEFINED 04               1228         0        0
D MEADWESTVACO CORP              COMMON     583334107       10        388 SH  -    OTHER   04                  0       388        0
D MEADWESTVACO CORP              COMMON     583334107     2019      82217 SH  -    DEFINED 05              82217         0        0
D MEADWESTVACO CORP              COMMON     583334107      152       6190 SH  -    DEFINED 06               6190         0        0
D MEADWESTVACO CORP              COMMON     583334107        5        208 SH  -    DEFINED 08                208         0        0
D MEADWESTVACO CORP              COMMON     583334107       40       1638 SH  -    OTHER   10                  0         0     1638
D MEASUREMENT SPECIALTIES INC    COMMON     583421102        2         91 SH  -    OTHER   02                  0        91        0
D MEASUREMENT SPECIALTIES INC    COMMON     583421102      350      13500 SH  -    DEFINED 04              10300         0     3200
D MEASUREMENT SPECIALTIES INC    COMMON     583421102       29       1112 SH  -    DEFINED 05               1112         0        0
D MEASUREMENT SPECIALTIES INC    COMMON     583421102       24        923 SH  -    DEFINED 08                923         0        0
D MECHEL OAO                     ADR        583840103        0         44 SH  -    DEFINED 02                 44         0        0
D MECHEL OAO                     ADR        583840103       51       5000 SH  -    OTHER   02               5000         0        0
D MECHEL OAO                     ADR        583840103       12       1140 SH  -    DEFINED 05               1140         0        0
D MECHEL OAO                     ADR        583840103     2970     291481 SH  -    DEFINED 06             291481         0        0
D MECHEL OAO                     ADR        583840103      976      95820 SH  -    DEFINED 08              95820         0        0
D MECHEL OAO                     PREF ADR   583840509      251      62689 SH  -    DEFINED 04                  0         0    62689
D MECHEL OAO                     PREF ADR   583840509     7500    1874931 SH  -    DEFINED 04            1874931         0        0
D MECHEL OAO                     PREF ADR   583840509      520     129948 SH  -    DEFINED 05             129948         0        0
D MECHEL OAO                     PREF ADR   583840509    17688    4422115 SH  -    DEFINED 09            4338615         0        0
D MECHEL OAO                     PREF ADR   583840509     1664     415900 SH  -    DEFINED 09             415900         0        0
D MECHEL OAO                     PREF ADR   583840509     2404     601100 SH  -    DEFINED 09             601100         0        0
D MECHEL OAO                     PREF ADR   583840509       75      18800 SH  -    OTHER   09                  0     18800        0
D MEDALLION FINL CORP            COMMON     583928106        1         95 SH  -    OTHER   02                  0        95        0
D MEDALLION FINL CORP            COMMON     583928106        1         65 SH  -    DEFINED 05                 65         0        0
D MEDALLION FINL CORP            COMMON     583928106        9        986 SH  -    DEFINED 08                986         0        0
D MEDALLION FINL CORP            COMMON     583928106      134      14356 SH  -    OTHER   10                  0         0    14356

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 532
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MEDCATH CORP                   COMMON     58404W109        7        475 SH  -    OTHER   02                  0         0      475
D MEDCATH CORP                   COMMON     58404W109      185      13318 SH  -    DEFINED 04              13318         0        0
D MEDCATH CORP                   COMMON     58404W109      132       9509 SH  -    DEFINED 05               9509         0        0
D MEDASSETS INC                  COMMON     584045108        1         60 SH  -    OTHER   02                  0         0        0
D MEDASSETS INC                  COMMON     584045108     2184     227250 SH  -    DEFINED 04             183050         0    44200
D MEDASSETS INC                  COMMON     584045108        7        760 SH  -    DEFINED 05                760         0        0
D MEDASSETS INC                  COMMON     584045108       29       3030 SH  -    DEFINED 08               3030         0        0
D MEDASSETS INC                  COMMON     584045108        4        441 SH  -    OTHER   01                  0       441        0
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102     1864      39750 SH  -    DEFINED 02              38157         0     1593
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102     1604      34208 SH  -    DEFINED 02              33688         0      520
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102      220       4697 SH  -    DEFINED 02               4444         0      253
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102     6957     148358 SH  -    OTHER   02              44143     46492    57625
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102     2066      44054 SH  -    OTHER   02              40315       267     3472
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102    11437     243908 SH  -    DEFINED 04             223170         0    20738
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102     3061      65279 SH  -    DEFINED 04              65279         0        0
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102    61752    1316961 SH  -    DEFINED 05            1316961         0        0
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102       85       1806 SH  -    DEFINED 06               1806         0        0
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102    17989     383633 SH  -    DEFINED 08             383633         0        0
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102      962      20507 SH  -    DEFINED 09              20507         0        0
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102     1869      39850 SH  -    OTHER   09                  0     39850        0
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102      146       3110 SH  -    DEFINED 01                270         0     2840
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102      394       8398 SH  -    OTHER   01               4704      3694        0
D MEDCO HEALTH SOLUTIONS INC     COMMON     58405U102       68       1457 SH  -    OTHER   10                  0         0     1457
D MEDICAL PPTYS TRUST INC        COMMON     58463J304        7        754 SH  -    DEFINED 02                754         0        0
D MEDICAL PPTYS TRUST INC        COMMON     58463J304       90      10034 SH  -    OTHER   02                121       413     9500
D MEDICAL PPTYS TRUST INC        COMMON     58463J304        9       1000 SH  -    OTHER   02               1000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 533
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MEDICAL PPTYS TRUST INC        COMMON     58463J304      724      80858 SH  -    DEFINED 04              80858         0        0
D MEDICAL PPTYS TRUST INC        COMMON     58463J304      464      51822 SH  -    DEFINED 05              51822         0        0
D MEDICINES CO                   COMMON     584688105        1         79 SH  -    OTHER   02                 79         0        0
D MEDICINES CO                   COMMON     584688105      506      34000 SH  -    DEFINED 04              34000         0        0
D MEDICINES CO                   COMMON     584688105     3044     204587 SH  -    DEFINED 04             204587         0        0
D MEDICINES CO                   COMMON     584688105      806      54164 SH  -    DEFINED 05              54164         0        0
D MEDICIS PHARM CORP             COMMON     584690309       40       1102 SH  -    OTHER   02                  0       542      560
D MEDICIS PHARM CORP             COMMON     584690309     2614      71656 SH  -    DEFINED 04              65856         0     5800
D MEDICIS PHARM CORP             COMMON     584690309     2953      80938 SH  -    DEFINED 04              80938         0        0
D MEDICIS PHARM CORP             COMMON     584690309     2643      72447 SH  -    DEFINED 04              41057         0    31390
D MEDICIS PHARM CORP             COMMON     584690309       57       1563 SH  -    DEFINED 05               1563         0        0
D MEDICIS PHARM CORP             COMMON     584690309    22312     611622 SH  -    DEFINED 08             611622         0        0
D MEDICIS PHARM CORP             COMMON     584690309    10331     283185 SH  -    DEFINED 09             264274     18911        0
D MEDICIS PHARM CORP             COMMON     584690309      674      18480 SH  -    DEFINED 09              18480         0        0
D MEDICIS PHARM CORP             COMMON     584690309     4894     134144 SH  -    DEFINED 09             134144         0        0
D MEDICIS PHARM CORP             COMMON     584690309      120       3300 SH  -    OTHER   09                  0      3300        0
D MEDICIS PHARM CORP             COMMON     584690309       11        300 SH  -    OTHER   10                  0         0      300
D MEDIFAST INC                   COMMON     58470H101      147       9104 SH  -    DEFINED 04               9104         0        0
D MEDIFAST INC                   COMMON     58470H101      107       6620 SH  -    DEFINED 05               6620         0        0
D MEDIVATION INC                 COMMON     58501N101        5        320 SH  -    OTHER   02                  0       320        0
D MEDIVATION INC                 COMMON     58501N101     2572     151475 SH  -    DEFINED 04             122075         0    29400
D MEDIVATION INC                 COMMON     58501N101      890      52439 SH  -    DEFINED 05              52439         0        0
D MEDIVATION INC                 COMMON     58501N101       39       2311 SH  -    DEFINED 08               2311         0        0
D MEDIVATION INC                 COMMON     58501N101      238      13998 SH  -    DEFINED 09              13998         0        0
D MEDIVATION INC                 COMMON     58501N101        2        118 SH  -    OTHER   10                  0         0      118
D MEDNAX INC                     COMMON     58502B106        3         40 SH  -    DEFINED 02                 40         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 534
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MEDNAX INC                     COMMON     58502B106        9        151 SH  -    DEFINED 02                151         0        0
D MEDNAX INC                     COMMON     58502B106       19        309 SH  -    OTHER   02                  0       309        0
D MEDNAX INC                     COMMON     58502B106     1001      15975 SH  -    DEFINED 04              15975         0        0
D MEDNAX INC                     COMMON     58502B106       45        726 SH  -    DEFINED 05                726         0        0
D MEDTRONIC INC                  BOND       585055AM8     3404    3400000 PRN -    DEFINED 05                  0         0        0
D MEDTRONIC INC                  BOND       585055AM8    25147   25116000 PRN -    DEFINED 09                  0         0        0
D MEDTRONIC INC                  BOND       585055AM8      718     717000 PRN -    DEFINED 09                  0         0        0
D MEDTRONIC INC                  COMMON     585055106      180       5422 SH  -    DEFINED 02               4782         0      640
D MEDTRONIC INC                  COMMON     585055106      881      26511 SH  -    DEFINED 02              26511         0        0
D MEDTRONIC INC                  COMMON     585055106      431      12969 SH  -    DEFINED 02              12170         0      799
D MEDTRONIC INC                  COMMON     585055106     5951     179033 SH  -    OTHER   02              39132    115060    24230
D MEDTRONIC INC                  COMMON     585055106      921      27710 SH  -    OTHER   02              14815     10283     2612
D MEDTRONIC INC                  COMMON     585055106    15054     452903 SH  -    DEFINED 04             421270         0    31633
D MEDTRONIC INC                  COMMON     585055106     5923     178200 SH  -    DEFINED 04             178200         0        0
D MEDTRONIC INC                  COMMON     585055106      106       3177 SH  -    DEFINED 04               3177         0        0
D MEDTRONIC INC                  COMMON     585055106     9848     296277 SH  -    DEFINED 04             296277         0        0
D MEDTRONIC INC                  COMMON     585055106        6        180 SH  -    OTHER   04                  0       180        0
D MEDTRONIC INC                  COMMON     585055106      154       4623 SH  -    OTHER   04                  0      4623        0
D MEDTRONIC INC                  COMMON     585055106    29864     898449 SH  -    DEFINED 05             898449         0        0
D MEDTRONIC INC                  COMMON     585055106      144       4324 SH  -    DEFINED 06               4324         0        0
D MEDTRONIC INC                  COMMON     585055106     1919      57723 SH  -    DEFINED 08              57723         0        0
D MEDTRONIC INC                  COMMON     585055106     8755     263400 SH  -    DEFINED 09             233674         0    29726
D MEDTRONIC INC                  COMMON     585055106     4373     131560 SH  -    OTHER   09                  0    131560        0
D MEDTRONIC INC                  COMMON     585055106       60       1820 SH  -    OTHER   01               1782        38        0
D MEDTRONIC INC                  COMMON     585055106      232       6965 SH  -    OTHER   10                  0         0     6965
D MELCO CROWN ENTMT LTD          ADR        585464100        5        630 SH  -    DEFINED 02                630         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 535
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MELCO CROWN ENTMT LTD          ADR        585464100       19       2269 SH  -    DEFINED 05               2269         0        0
D MELCO CROWN ENTMT LTD          ADR        585464100      756      91000 SH  -    DEFINED 09              91000         0        0
D MELCO CROWN ENTMT LTD          ADR        585464100      342      41100 SH  -    OTHER   09                  0     41100        0
D MELCO CROWN ENTMT LTD          ADR        585464100       54       6456 SH  -    OTHER   10                  0         0     6456
D MEN'S WEARHOUSE                COMMON     587118100      783      30019 SH  -    OTHER   02               1002     28725      235
D MEN'S WEARHOUSE                COMMON     587118100        1         45 SH  -    OTHER   02                  7        38        0
D MEN'S WEARHOUSE                COMMON     587118100      188       7215 SH  -    DEFINED 04               7215         0        0
D MEN'S WEARHOUSE                COMMON     587118100     3766     144398 SH  -    DEFINED 04             144398         0        0
D MEN'S WEARHOUSE                COMMON     587118100     2102      80604 SH  -    DEFINED 05              80604         0        0
D MEN'S WEARHOUSE                COMMON     587118100      119       4580 SH  -    OTHER   01                  0      4580        0
D MENTOR GRAPHICS CP             COMMON     587200106        3        348 SH  -    OTHER   02                  0       348        0
D MENTOR GRAPHICS CP             COMMON     587200106      345      35860 SH  -    DEFINED 04              35860         0        0
D MENTOR GRAPHICS CP             COMMON     587200106       16       1657 SH  -    DEFINED 05               1657         0        0
D MENTOR GRAPHICS CP             COMMON     587200106       89       9231 SH  -    DEFINED 08               9231         0        0
D MENTOR GRAPHICS CP             COMMON     587200106        5        500 SH  -    OTHER   10                  0         0      500
D MERCER INTL INC                COMMON     588056101       34       4930 SH  -    OTHER   02                  0      1660     3270
D MERCER INTL INC                COMMON     588056101        4        519 SH  -    DEFINED 05                519         0        0
D MERCER INTL INC                COMMON     588056101       94      13877 SH  -    DEFINED 09              13877         0        0
D MERCER INTL INC                COMMON     588056101        6        831 SH  -    OTHER   10                  0         0      831
D MERCHANTS BANCSHARES           COMMON     588448100        3        106 SH  -    OTHER   02                  0       106        0
D MERCHANTS BANCSHARES           COMMON     588448100      332      12400 SH  -    DEFINED 04              12400         0        0
D MERCHANTS BANCSHARES           COMMON     588448100        0          1 SH  -    DEFINED 05                  1         0        0
D MERCHANTS BANCSHARES           COMMON     588448100        8        289 SH  -    DEFINED 08                289         0        0
D MERCK & CO INC NEW             COMMON     58933Y105    72392    2213812 SH  -    DEFINED 02            1885340     17943   310529
D MERCK & CO INC NEW             COMMON     58933Y105    31524     964037 SH  -    DEFINED 02             952023      2657     9357
D MERCK & CO INC NEW             COMMON     58933Y105      236       7222 SH  -    DEFINED 02               7222         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 536
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MERCK & CO INC NEW             COMMON     58933Y105     3727     113966 SH  -    DEFINED 02              55963         0    58003
D MERCK & CO INC NEW             COMMON     58933Y105    41886    1280903 SH  -    OTHER   02             789113    327639   162628
D MERCK & CO INC NEW             COMMON     58933Y105    17116     523439 SH  -    OTHER   02             414965     15605    92869
D MERCK & CO INC NEW             COMMON     58933Y105      351      10742 SH  -    OTHER   02                  0     10742        0
D MERCK & CO INC NEW             COMMON     58933Y105      314       9602 SH  -    OTHER   02                  0      9602        0
D MERCK & CO INC NEW             COMMON     58933Y105      797      24370 SH  -    OTHER   02                  0     24370        0
D MERCK & CO INC NEW             COMMON     58933Y105  1223612   37419315 SH  -    DEFINED 04           31340950         0  6078365
D MERCK & CO INC NEW             COMMON     58933Y105    44781    1369442 SH  -    DEFINED 04            1369442         0        0
D MERCK & CO INC NEW             COMMON     58933Y105   110027    3364735 SH  -    DEFINED 04            3364735         0        0
D MERCK & CO INC NEW             COMMON     58933Y105      158       4827 SH  -    DEFINED 04               4827         0        0
D MERCK & CO INC NEW             COMMON     58933Y105     6962     212890 SH  -    DEFINED 04             212890         0        0
D MERCK & CO INC NEW             COMMON     58933Y105    41983    1283894 SH  -    DEFINED 04            1154569         0    86820
D MERCK & CO INC NEW             COMMON     58933Y105      781      23896 SH  -    DEFINED 04                  0         0    23896
D MERCK & CO INC NEW             COMMON     58933Y105        9        268 SH  -    OTHER   04                  0       268        0
D MERCK & CO INC NEW             COMMON     58933Y105    39620    1211632 SH  -    OTHER   04                  0   1211632        0
D MERCK & CO INC NEW             COMMON     58933Y105   101118    3092282 SH  -    DEFINED 05            3092282         0        0
D MERCK & CO INC NEW             COMMON     58933Y105      114       3491 SH  -    DEFINED 06               3491         0        0
D MERCK & CO INC NEW             COMMON     58933Y105    34206    1046043 SH  -    DEFINED 08            1046043         0        0
D MERCK & CO INC NEW             COMMON     58933Y105    88303    2700393 SH  -    DEFINED 09            2585299     53204    61890
D MERCK & CO INC NEW             COMMON     58933Y105     1744      53338 SH  -    DEFINED 09              53338         0        0
D MERCK & CO INC NEW             COMMON     58933Y105    12179     372458 SH  -    DEFINED 09             372458         0        0
D MERCK & CO INC NEW             COMMON     58933Y105    17961     549255 SH  -    OTHER   09                  0    549255        0
D MERCK & CO INC NEW             COMMON     58933Y105    45733    1398564 SH  -    DEFINED 01            1378565      6421    13578
D MERCK & CO INC NEW             COMMON     58933Y105     3353     102527 SH  -    OTHER   01              77235     14485    10807
D MERCK & CO INC NEW             COMMON     58933Y105    13384     409306 SH  -    OTHER   10                  0         0   409306
D MERCK & CO INC NEW             OPTION     58933Y907    11412     349000 SH  C    DEFINED 05             349000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 537
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MERCK & CO INC NEW             OPTION     58933Y907     1109      33900 SH  C    DEFINED 06              33900         0        0
D MERCK & CO INC NEW             OPTION     58933Y907    14130     432100 SH  C    DEFINED 08             432100         0        0
D MERCK & CO INC NEW             OPTION     58933Y956    14565     445400 SH  P    DEFINED 05             445400         0        0
D MERCK & CO INC NEW             OPTION     58933Y956    16115     492800 SH  P    DEFINED 08             492800         0        0
D MERCURY COMPUTER I             COMMON     589378108        3        259 SH  -    OTHER   02                  0       259        0
D MERCURY COMPUTER I             COMMON     589378108      538      46770 SH  -    DEFINED 04              46770         0        0
D MERCURY COMPUTER I             COMMON     589378108      251      21833 SH  -    DEFINED 04              21833         0        0
D MERCURY COMPUTER I             COMMON     589378108      163      14157 SH  -    DEFINED 05              14157         0        0
D MERCURY GENERAL CP             COMMON     589400100        9        243 SH  -    OTHER   02                  0        91      152
D MERCURY GENERAL CP             COMMON     589400100       86       2250 SH  -    OTHER   02                  0         0     2250
D MERCURY GENERAL CP             COMMON     589400100      341       8880 SH  -    DEFINED 05               8880         0        0
D MERCURY GENERAL CP             COMMON     589400100      383       9977 SH  -    DEFINED 08               9977         0        0
D MERCURY GENERAL CP             COMMON     589400100        0          1 SH  -    OTHER   10                  0         0        1
D MEREDITH CORP                  COMMON     589433101      393      17365 SH  -    DEFINED 02              17365         0        0
D MEREDITH CORP                  COMMON     589433101       24       1061 SH  -    OTHER   02                  0       410      651
D MEREDITH CORP                  COMMON     589433101        0         18 SH  -    OTHER   02                  0         0       18
D MEREDITH CORP                  COMMON     589433101     1756      77575 SH  -    DEFINED 04              77575         0        0
D MEREDITH CORP                  COMMON     589433101       13        556 SH  -    DEFINED 05                556         0        0
D MEREDITH CORP                  COMMON     589433101      140       6171 SH  -    DEFINED 08               6171         0        0
D MERGE HEALTHCARE INC           COMMON     589499102      140      23000 SH  -    OTHER   02                  0         0    23000
D MERGE HEALTHCARE INC           COMMON     589499102        5        813 SH  -    DEFINED 05                813         0        0
D MERGE HEALTHCARE INC           COMMON     589499102       17       2812 SH  -    DEFINED 08               2812         0        0
D MERIDIAN BIOSCIENC             COMMON     589584101      450      28615 SH  -    DEFINED 04              28615         0        0
D MERIDIAN BIOSCIENC             COMMON     589584101      407      25850 SH  -    DEFINED 05              25850         0        0
D MERIT MEDICAL SYST             COMMON     589889104       36       2750 SH  -    OTHER   02                  0      2750        0
D MERIT MEDICAL SYST             COMMON     589889104      322      24472 SH  -    DEFINED 04              24472         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 538
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MERIT MEDICAL SYST             COMMON     589889104      261      19895 SH  -    DEFINED 05              19895         0        0
D MERITAGE HOMES CORP            COMMON     59001A102        3        205 SH  -    DEFINED 02                205         0        0
D MERITAGE HOMES CORP            COMMON     59001A102        2        109 SH  -    OTHER   02                 72        37        0
D MERITAGE HOMES CORP            COMMON     59001A102      354      23356 SH  -    DEFINED 04              23356         0        0
D MERITAGE HOMES CORP            COMMON     59001A102      228      15049 SH  -    DEFINED 05              15049         0        0
D MERITAGE HOMES CORP            COMMON     59001A102        0         24 SH  -    DEFINED 08                 24         0        0
D MERITOR INC                    COMMON     59001K100        4        600 SH  -    OTHER   02                  0         0      600
D MERITOR INC                    COMMON     59001K100      668      94583 SH  -    DEFINED 04              94583         0        0
D MERITOR INC                    COMMON     59001K100     1656     234526 SH  -    DEFINED 04             234526         0        0
D MERITOR INC                    COMMON     59001K100       52       7416 SH  -    DEFINED 05               7416         0        0
D MERITOR INC                    COMMON     59001K100      106      15082 SH  -    DEFINED 08              15082         0        0
D MERU NETWORKS INC              COMMON     59047Q103        2        242 SH  -    DEFINED 02                  0       242        0
D MERU NETWORKS INC              COMMON     59047Q103      115      14151 SH  -    OTHER   02                  0     14151        0
D MERU NETWORKS INC              COMMON     59047Q103        4        515 SH  -    OTHER   02                  0         0      515
D MERU NETWORKS INC              COMMON     59047Q103        1        157 SH  -    DEFINED 05                157         0        0
D MERU NETWORKS INC              COMMON     59047Q103        0          6 SH  -    DEFINED 08                  6         0        0
D METABOLIX INC                  COMMON     591018809      195      44435 SH  -    DEFINED 05              44435         0        0
D METABOLIX INC                  COMMON     591018809       10       2289 SH  -    DEFINED 08               2289         0        0
D METALICO INC                   COMMON     591176102        1        160 SH  -    OTHER   02                  0       160        0
D METALICO INC                   COMMON     591176102      553     141720 SH  -    DEFINED 04             141720         0        0
D METALICO INC                   COMMON     591176102       39       9883 SH  -    DEFINED 05               9883         0        0
D METALICO INC                   COMMON     591176102       10       2475 SH  -    DEFINED 08               2475         0        0
D METHODE ELECTRS INC            COMMON     591520200        1         76 SH  -    OTHER   02                  0        76        0
D METHODE ELECTRS INC            COMMON     591520200      132      17800 SH  -    DEFINED 04              17800         0        0
D METHODE ELECTRS INC            COMMON     591520200      844     113589 SH  -    DEFINED 04             113589         0        0
D METHODE ELECTRS INC            COMMON     591520200      130      17533 SH  -    DEFINED 05              17533         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 539
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D METLIFE INC                    COMMON     59156R108    25380     906118 SH  -    DEFINED 02             790293      6214   109611
D METLIFE INC                    COMMON     59156R108     7635     272572 SH  -    DEFINED 02             264176       274     8122
D METLIFE INC                    COMMON     59156R108     5106     182293 SH  -    DEFINED 02             182293         0        0
D METLIFE INC                    COMMON     59156R108     1110      39613 SH  -    DEFINED 02              19297         0    20316
D METLIFE INC                    COMMON     59156R108     7366     262981 SH  -    OTHER   02             172902     59564    30500
D METLIFE INC                    COMMON     59156R108     1109      39603 SH  -    OTHER   02              36439      1278     1886
D METLIFE INC                    COMMON     59156R108      161       5738 SH  -    OTHER   02                  0      5738        0
D METLIFE INC                    COMMON     59156R108      149       5330 SH  -    OTHER   02                  0      5330        0
D METLIFE INC                    COMMON     59156R108      383      13670 SH  -    OTHER   02                  0     13670        0
D METLIFE INC                    COMMON     59156R108   402965   14386486 SH  -    DEFINED 04           11982944         0  2403542
D METLIFE INC                    COMMON     59156R108    15982     570587 SH  -    DEFINED 04             570587         0        0
D METLIFE INC                    COMMON     59156R108    35597    1270871 SH  -    DEFINED 04            1270871         0        0
D METLIFE INC                    COMMON     59156R108       75       2668 SH  -    DEFINED 04               2668         0        0
D METLIFE INC                    COMMON     59156R108     4177     149131 SH  -    DEFINED 04             149131         0        0
D METLIFE INC                    COMMON     59156R108    19984     713476 SH  -    DEFINED 04             709691         0     3785
D METLIFE INC                    COMMON     59156R108      177       6331 SH  -    DEFINED 04                  0         0     6331
D METLIFE INC                    COMMON     59156R108    19145     683491 SH  -    OTHER   04                  0    683491        0
D METLIFE INC                    COMMON     59156R108    11194     399637 SH  -    DEFINED 05             399637         0        0
D METLIFE INC                    COMMON     59156R108       50       1792 SH  -    DEFINED 06               1792         0        0
D METLIFE INC                    COMMON     59156R108    61864    2208624 SH  -    DEFINED 08            2208624         0        0
D METLIFE INC                    COMMON     59156R108    60742    2168580 SH  -    DEFINED 09            2133204         0    13620
D METLIFE INC                    COMMON     59156R108      803      28679 SH  -    DEFINED 09              28679         0        0
D METLIFE INC                    COMMON     59156R108     8399     299860 SH  -    DEFINED 09              83847         0        0
D METLIFE INC                    COMMON     59156R108     4475     159748 SH  -    DEFINED 09              50958         0        0
D METLIFE INC                    COMMON     59156R108     1954      69744 SH  -    OTHER   09                  0     69744        0
D METLIFE INC                    COMMON     59156R108     1306      46620 SH  -    DEFINED 01              40094      3359     3167

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 540
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D METLIFE INC                    COMMON     59156R108      515      18371 SH  -    OTHER   01               9103      3577     5691
D METLIFE INC                    COMMON     59156R108     1447      51659 SH  -    OTHER   10                  0         0    51659
D METLIFE INC                    UNIT       59156R116        7        125 SH  -    DEFINED 02                125         0        0
D METLIFE INC                    UNIT       59156R116    44229     781975 SH  -    DEFINED 08             781975         0        0
D METLIFE INC                    UNIT       59156R116    12988     229625 SH  -    DEFINED 09             123825         0   105800
D METLIFE INC                    UNIT       59156R116     1430      25275 SH  -    DEFINED 09                  0         0    25275
D METLIFE INC                    OPTION     59156R900      417      14900 SH  C    DEFINED 05              14900         0        0
D METLIFE INC                    OPTION     59156R900      647      23100 SH  C    DEFINED 08              23100         0        0
D METLIFE INC                    OPTION     59156R959      720      25700 SH  P    DEFINED 05              25700         0        0
D METLIFE INC                    OPTION     59156R959    14005     500000 SH  P    DEFINED 08             500000         0        0
D METRO BANCORP INC PA           COMMON     59161R101        2        226 SH  -    OTHER   02                  0       226        0
D METRO BANCORP INC PA           COMMON     59161R101       54       6200 SH  -    DEFINED 04               6200         0        0
D METRO BANCORP INC PA           COMMON     59161R101      260      30100 SH  -    DEFINED 04              30100         0        0
D METRO BANCORP INC PA           COMMON     59161R101        5        578 SH  -    DEFINED 05                578         0        0
D METRO BANCORP INC PA           COMMON     59161R101        7        821 SH  -    DEFINED 08                821         0        0
D METROPCS COMMUNICATIONS INC    COMMON     591708102        1         91 SH  -    DEFINED 02                 91         0        0
D METROPCS COMMUNICATIONS INC    COMMON     591708102       31       3556 SH  -    DEFINED 02               3378         0      178
D METROPCS COMMUNICATIONS INC    COMMON     591708102      333      38298 SH  -    OTHER   02                155     33040     5103
D METROPCS COMMUNICATIONS INC    COMMON     591708102        3        337 SH  -    OTHER   02                 57       206       74
D METROPCS COMMUNICATIONS INC    COMMON     591708102     3665     420995 SH  -    DEFINED 04             359001         0    61994
D METROPCS COMMUNICATIONS INC    COMMON     591708102     4184     480617 SH  -    DEFINED 04             480617         0        0
D METROPCS COMMUNICATIONS INC    COMMON     591708102       70       8097 SH  -    DEFINED 05               8097         0        0
D METROPCS COMMUNICATIONS INC    COMMON     591708102      377      43349 SH  -    DEFINED 08              43349         0        0
D METROPCS COMMUNICATIONS INC    COMMON     591708102      230      26435 SH  -    OTHER   10                  0         0    26435
D METROPOLITAN HEALTH NETWORKS   COMMON     592142103        1        135 SH  -    OTHER   02                  0       135        0
D METROPOLITAN HEALTH NETWORKS   COMMON     592142103     1411     310800 SH  -    DEFINED 04             236100         0    74700

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 541
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D METROPOLITAN HEALTH NETWORKS   COMMON     592142103        0          1 SH  -    DEFINED 05                  1         0        0
D METROPOLITAN HEALTH NETWORKS   COMMON     592142103       11       2461 SH  -    DEFINED 08               2461         0        0
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105      370       2644 SH  -    OTHER   02                  0      2130      500
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105      147       1050 SH  -    OTHER   02               1050         0        0
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105     1204       8600 SH  -    DEFINED 04               8400         0      200
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105      300       2143 SH  -    DEFINED 04               2143         0        0
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105     2867      20486 SH  -    DEFINED 05              20486         0        0
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105      849       6067 SH  -    DEFINED 09               6067         0        0
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105      533       3809 SH  -    OTHER   01               3800         9        0
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105        5         39 SH  -    OTHER   10                  0         0       39
D MICREL INC                     COMMON     594793101        3        353 SH  -    DEFINED 02                353         0        0
D MICREL INC                     COMMON     594793101     2460     259725 SH  -    DEFINED 04             221125         0    38600
D MICREL INC                     COMMON     594793101      333      35162 SH  -    DEFINED 04              35162         0        0
D MICREL INC                     COMMON     594793101      247      26061 SH  -    DEFINED 05              26061         0        0
D MICROS SYS INC                 COMMON     594901100        5        114 SH  -    DEFINED 02                114         0        0
D MICROS SYS INC                 COMMON     594901100      124       2820 SH  -    DEFINED 02               2820         0        0
D MICROS SYS INC                 COMMON     594901100       22        496 SH  -    OTHER   02                 41       455        0
D MICROS SYS INC                 COMMON     594901100    84011    1912386 SH  -    DEFINED 04            1395390         0   516996
D MICROS SYS INC                 COMMON     594901100    20120     458003 SH  -    DEFINED 04             458003         0        0
D MICROS SYS INC                 COMMON     594901100       86       1948 SH  -    OTHER   04                  0      1948        0
D MICROS SYS INC                 COMMON     594901100       89       2027 SH  -    DEFINED 05               2027         0        0
D MICROS SYS INC                 COMMON     594901100        1         28 SH  -    OTHER   01                  0        28        0
D MICROSOFT CORP                 COMMON     594918104    89409    3592158 SH  -    DEFINED 02            3041289     21941   528928
D MICROSOFT CORP                 COMMON     594918104    32533    1307088 SH  -    DEFINED 02            1256585      5160    45343
D MICROSOFT CORP                 COMMON     594918104     3062     123027 SH  -    DEFINED 02             123027         0        0
D MICROSOFT CORP                 COMMON     594918104     5024     201858 SH  -    DEFINED 02             117160         0    84698

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 542
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MICROSOFT CORP                 COMMON     594918104   107066    4301556 SH  -    OTHER   02            1835251   2234484   227896
D MICROSOFT CORP                 COMMON     594918104    19169     770155 SH  -    OTHER   02             551909     84015   134231
D MICROSOFT CORP                 COMMON     594918104      843      33885 SH  -    OTHER   02                  0     33885        0
D MICROSOFT CORP                 COMMON     594918104      433      17400 SH  -    OTHER   02                  0     17400        0
D MICROSOFT CORP                 COMMON     594918104     1117      44875 SH  -    OTHER   02                  0     44875        0
D MICROSOFT CORP                 COMMON     594918104  1194191   47978729 SH  -    DEFINED 04           38594411         0  9384318
D MICROSOFT CORP                 COMMON     594918104    54109    2173913 SH  -    DEFINED 04            2173913         0        0
D MICROSOFT CORP                 COMMON     594918104   101916    4094670 SH  -    DEFINED 04            4094670         0        0
D MICROSOFT CORP                 COMMON     594918104      712      28614 SH  -    DEFINED 04              28614         0        0
D MICROSOFT CORP                 COMMON     594918104    12495     502011 SH  -    DEFINED 04             502011         0        0
D MICROSOFT CORP                 COMMON     594918104    35723    1435247 SH  -    DEFINED 04            1304286         0   130961
D MICROSOFT CORP                 COMMON     594918104      930      37359 SH  -    DEFINED 04                  0         0    37359
D MICROSOFT CORP                 COMMON     594918104    57237    2299613 SH  -    OTHER   04                  0   2299613        0
D MICROSOFT CORP                 COMMON     594918104   129067    5185497 SH  -    DEFINED 05            5185497         0        0
D MICROSOFT CORP                 COMMON     594918104   679128   27285164 SH  -    DEFINED 08           27285164         0        0
D MICROSOFT CORP                 COMMON     594918104    98586    3960877 SH  -    DEFINED 09            3506562     76830    33009
D MICROSOFT CORP                 COMMON     594918104     1996      80191 SH  -    DEFINED 09              80191         0        0
D MICROSOFT CORP                 COMMON     594918104    16973     681940 SH  -    DEFINED 09             681940         0        0
D MICROSOFT CORP                 COMMON     594918104     2313      92915 SH  -    DEFINED 09              92915         0        0
D MICROSOFT CORP                 COMMON     594918104     8514     342065 SH  -    OTHER   09                  0    342065        0
D MICROSOFT CORP                 COMMON     594918104     6078     244182 SH  -    DEFINED 01             204555     11586    28041
D MICROSOFT CORP                 COMMON     594918104     3358     134933 SH  -    OTHER   01              36674     78292    19117
D MICROSOFT CORP                 COMMON     594918104    23722     953090 SH  -    OTHER   10                  0         0   953090
D MICROSOFT CORP                 OPTION     594918906    57800    2322200 SH  C    DEFINED 05            2322200         0        0
D MICROSOFT CORP                 OPTION     594918906    17602     707200 SH  C    DEFINED 08             707200         0        0
D MICROSOFT CORP                 OPTION     594918955    22237     893400 SH  P    DEFINED 05             893400         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 543
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MICROSOFT CORP                 OPTION     594918955    11947     480000 SH  P    DEFINED 08             480000         0        0
D MICROVISION INC DEL            COMMON     594960106        1       1510 SH  -    DEFINED 05               1510         0        0
D MICROVISION INC DEL            COMMON     594960106       10      15349 SH  -    DEFINED 08              15349         0        0
D MICROSTRATEGY INC              COMMON     594972408        1          9 SH  -    OTHER   02                  9         0        0
D MICROSTRATEGY INC              COMMON     594972408        1          8 SH  -    OTHER   02                  0         0        8
D MICROSTRATEGY INC              COMMON     594972408     2227      19526 SH  -    DEFINED 04              17926         0     1600
D MICROSTRATEGY INC              COMMON     594972408     1368      11990 SH  -    DEFINED 04              11990         0        0
D MICROSTRATEGY INC              COMMON     594972408      448       3924 SH  -    DEFINED 05               3924         0        0
D MICROSTRATEGY INC              OPTION     594972903      114       1000 SH  C    DEFINED 05               1000         0        0
D MICROCHIP TECHNOLOGY INC       BOND       595017AB0     1731    1500000 PRN -    DEFINED 05                  0         0        0
D MICROCHIP TECHNOLOGY INC       BOND       595017AB0     3672    3183000 PRN -    DEFINED 09                  0         0        0
D MICROCHIP TECHNOLOGY INC       BOND       595017AB0      603     523000 PRN -    DEFINED 09                  0         0        0
D MICROCHIP TECHNLGY             COMMON     595017104    55969    1799081 SH  -    DEFINED 02            1765251         0    33830
D MICROCHIP TECHNLGY             COMMON     595017104    13282     426936 SH  -    DEFINED 02             426450         0      486
D MICROCHIP TECHNLGY             COMMON     595017104       72       2309 SH  -    DEFINED 02               2196         0      113
D MICROCHIP TECHNLGY             COMMON     595017104     1810      58187 SH  -    OTHER   02               2200     55987        0
D MICROCHIP TECHNLGY             COMMON     595017104      379      12168 SH  -    OTHER   02               7785        17     4366
D MICROCHIP TECHNLGY             COMMON     595017104     8653     278142 SH  -    OTHER   02                  0    278142        0
D MICROCHIP TECHNLGY             COMMON     595017104     3821     122826 SH  -    OTHER   02                  0    122826        0
D MICROCHIP TECHNLGY             COMMON     595017104     3571     114781 SH  -    OTHER   02                  0    114781        0
D MICROCHIP TECHNLGY             COMMON     595017104    16772     539112 SH  -    DEFINED 04             250824         0   288288
D MICROCHIP TECHNLGY             COMMON     595017104    17039     547712 SH  -    DEFINED 04             547712         0        0
D MICROCHIP TECHNLGY             COMMON     595017104     3970     127600 SH  -    DEFINED 05             127600         0        0
D MICROCHIP TECHNLGY             COMMON     595017104      189       6080 SH  -    DEFINED 01               6080         0        0
D MICROCHIP TECHNLGY             COMMON     595017104      458      14725 SH  -    OTHER   01              13500      1225        0
D MICROCHIP TECHNLGY             COMMON     595017104        5        160 SH  -    OTHER   10                  0         0      160

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 544
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MICROMET INC                   COMMON     59509C105       19       4062 SH  -    OTHER   02               4000        62        0
D MICROMET INC                   COMMON     59509C105      397      82693 SH  -    DEFINED 05              82693         0        0
D MICROMET INC                   COMMON     59509C105       26       5344 SH  -    DEFINED 08               5344         0        0
D MICRON TECHNOLOGY INC          BOND       595112AH6      210     225000 PRN -    OTHER   02                  0         0        0
D MICRON TECHNOLOGY INC          BOND       595112AH6      529     567000 PRN -    DEFINED 05                  0         0        0
D MICRON TECHNOLOGY INC          BOND       595112AH6     1284    1375000 PRN -    DEFINED 09                  0         0        0
D MICRON TECHNOLOGY              COMMON     595112103        1        167 SH  -    DEFINED 02                167         0        0
D MICRON TECHNOLOGY              COMMON     595112103       62      12221 SH  -    DEFINED 02              11570         0      651
D MICRON TECHNOLOGY              COMMON     595112103      102      20333 SH  -    OTHER   02                  0     19853      480
D MICRON TECHNOLOGY              COMMON     595112103        6       1249 SH  -    OTHER   02                 24       240      985
D MICRON TECHNOLOGY              COMMON     595112103     5765    1143752 SH  -    DEFINED 04             887108         0   256644
D MICRON TECHNOLOGY              COMMON     595112103     2865     568500 SH  -    DEFINED 04             568500         0        0
D MICRON TECHNOLOGY              COMMON     595112103     1043     207023 SH  -    DEFINED 05             207023         0        0
D MICRON TECHNOLOGY              COMMON     595112103     1066     211558 SH  -    DEFINED 08             211558         0        0
D MICROSEMI CORP                 COMMON     595137100      117       7300 SH  -    DEFINED 04               7300         0        0
D MICROSEMI CORP                 COMMON     595137100     1125      70400 SH  -    DEFINED 04              70400         0        0
D MICROSEMI CORP                 COMMON     595137100      668      41827 SH  -    DEFINED 05              41827         0        0
D MID-AMER APT CMNTYS INC        COMMON     59522J103    36234     601699 SH  -    DEFINED 04             558273         0    43426
D MID-AMER APT CMNTYS INC        COMMON     59522J103     1851      30737 SH  -    DEFINED 04              30737         0        0
D MID-AMER APT CMNTYS INC        COMMON     59522J103     1066      17699 SH  -    DEFINED 05              17699         0        0
D MID-AMER APT CMNTYS INC        COMMON     59522J103       17        277 SH  -    DEFINED 06                277         0        0
D MIDAS GROUP INC                COMMON     595626102     1075     131090 SH  -    DEFINED 04             131090         0        0
D MIDAS GROUP INC                COMMON     595626102       54       6552 SH  -    DEFINED 05               6552         0        0
D MIDDLEBY CORP                  COMMON     596278101        0          3 SH  -    DEFINED 02                  3         0        0
D MIDDLEBY CORP                  COMMON     596278101        4         62 SH  -    OTHER   02                  0        53        0
D MIDDLEBY CORP                  COMMON     596278101    10515     149230 SH  -    DEFINED 04             107200         0    42030

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 545
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MIDDLEBY CORP                  COMMON     596278101     8020     113829 SH  -    DEFINED 04             113829         0        0
D MIDDLEBY CORP                  COMMON     596278101     1663      23600 SH  -    DEFINED 04              23600         0        0
D MIDDLEBY CORP                  COMMON     596278101       19        270 SH  -    DEFINED 05                270         0        0
D MIDDLEBY CORP                  COMMON     596278101       80       1133 SH  -    DEFINED 08               1133         0        0
D MILLER(HERMAN)INC              COMMON     600544100       11        610 SH  -    OTHER   02                  0       575        0
D MILLER(HERMAN)INC              COMMON     600544100        1         28 SH  -    OTHER   02                  8        20        0
D MILLER(HERMAN)INC              COMMON     600544100    30577    1712059 SH  -    DEFINED 04            1588409         0   123650
D MILLER(HERMAN)INC              COMMON     600544100      131       7339 SH  -    DEFINED 04               7339         0        0
D MILLER(HERMAN)INC              COMMON     600544100       15        823 SH  -    DEFINED 05                823         0        0
D MILLER(HERMAN)INC              COMMON     600544100      139       7762 SH  -    DEFINED 08               7762         0        0
D MINDRAY MEDICAL INTL LTD       ADR        602675100        1         50 SH  -    OTHER   04                  0        50        0
D MINDRAY MEDICAL INTL LTD       ADR        602675100     4899     207500 SH  -    DEFINED 05             207500         0        0
D MINDSPEED TECHNOLOGIES INC     COMMON     602682205        7       1338 SH  -    OTHER   02                  0      1248       90
D MINDSPEED TECHNOLOGIES INC     COMMON     602682205     1940     373000 SH  -    DEFINED 04             373000         0        0
D MINDSPEED TECHNOLOGIES INC     COMMON     602682205        3        506 SH  -    DEFINED 05                506         0        0
D MINDSPEED TECHNOLOGIES INC     COMMON     602682205       11       2083 SH  -    DEFINED 08               2083         0        0
D MINDSPEED TECHNOLOGIES INC     COMMON     602682205        0          2 SH  -    OTHER   10                  0         0        2
D MINE SAFETY APPLIANCES CO      COMMON     602720104       10        357 SH  -    OTHER   02                  0       357        0
D MINE SAFETY APPLIANCES CO      COMMON     602720104      599      22228 SH  -    DEFINED 04              22228         0        0
D MINE SAFETY APPLIANCES CO      COMMON     602720104       14        526 SH  -    DEFINED 05                526         0        0
D MINE SAFETY APPLIANCES CO      COMMON     602720104      113       4173 SH  -    DEFINED 08               4173         0        0
D MINEFINDERS LTD                COMMON     602900102      152      10922 SH  -    OTHER   10                  0         0    10922
D MINERALS TECHNOLOGIES INC      COMMON     603158106       79       1597 SH  -    OTHER   02                  0       233     1364
D MINERALS TECHNOLOGIES INC      COMMON     603158106      246       4999 SH  -    OTHER   02                  0      1082     3917
D MINERALS TECHNOLOGIES INC      COMMON     603158106     4054      82275 SH  -    DEFINED 04              75275         0     7000
D MINERALS TECHNOLOGIES INC      COMMON     603158106     4327      87829 SH  -    DEFINED 04              87829         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 546
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MINERALS TECHNOLOGIES INC      COMMON     603158106       14        276 SH  -    DEFINED 05                276         0        0
D MINERALS TECHNOLOGIES INC      COMMON     603158106      138       2811 SH  -    DEFINED 08               2811         0        0
D MIPS TECHNOLOGIES INC          COMMON     604567107       52      10800 SH  -    DEFINED 04              10800         0        0
D MIPS TECHNOLOGIES INC          COMMON     604567107      256      52900 SH  -    DEFINED 04              52900         0        0
D MIPS TECHNOLOGIES INC          COMMON     604567107        4        795 SH  -    DEFINED 05                795         0        0
D MIPS TECHNOLOGIES INC          COMMON     604567107       15       3092 SH  -    DEFINED 08               3092         0        0
D MIPS TECHNOLOGIES INC          OPTION     604567909      678     140000 SH  C    DEFINED 08             140000         0        0
D MIPS TECHNOLOGIES INC          OPTION     604567958      678     140000 SH  P    DEFINED 08             140000         0        0
D MISSION WEST PPTYS INC         COMMON     605203108      974     128375 SH  -    DEFINED 04             124375         0     4000
D MISSION WEST PPTYS INC         COMMON     605203108     1435     189000 SH  -    DEFINED 04             189000         0        0
D MISSION WEST PPTYS INC         COMMON     605203108        0          1 SH  -    DEFINED 05                  1         0        0
D MISSION WEST PPTYS INC         COMMON     605203108        8       1033 SH  -    DEFINED 08               1033         0        0
D MISTRAS GROUP INC              COMMON     60649T107        1         35 SH  -    OTHER   02                  0        35        0
D MISTRAS GROUP INC              COMMON     60649T107     6728     383130 SH  -    DEFINED 04             275110         0   108020
D MISTRAS GROUP INC              COMMON     60649T107     3895     221810 SH  -    DEFINED 04             221810         0        0
D MISTRAS GROUP INC              COMMON     60649T107     1069      60900 SH  -    DEFINED 04              60900         0        0
D MISTRAS GROUP INC              COMMON     60649T107        4        226 SH  -    DEFINED 05                226         0        0
D MISTRAS GROUP INC              COMMON     60649T107       16        890 SH  -    DEFINED 08                890         0        0
D MITSUBISHI UFJ FINL GROUP INC  ADR        606822104        5       1200 SH  -    DEFINED 02               1200         0        0
D MITSUBISHI UFJ FINL GROUP INC  ADR        606822104      110      24827 SH  -    OTHER   02                  0     24827        0
D MITSUBISHI UFJ FINL GROUP INC  ADR        606822104        3        676 SH  -    OTHER   02                405         0      271
D MITSUBISHI UFJ FINL GROUP INC  ADR        606822104    12292    2762334 SH  -    DEFINED 06            2762334         0        0
D MITSUBISHI UFJ FINL GROUP INC  ADR        606822104       11       2545 SH  -    OTHER   01                  0      2377        0
D MITSUBISHI UFJ FINL GROUP INC  ADR        606822104        3        700 SH  -    OTHER   10                  0         0      700
D MIZUHO FINL GROUP INC          ADR        60687Y109       91      32043 SH  -    OTHER   02                  0     32043        0
D MIZUHO FINL GROUP INC          ADR        60687Y109      241      84426 SH  -    DEFINED 06              84426         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 547
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MIZUHO FINL GROUP INC          ADR        60687Y109        5       1780 SH  -    OTHER   01                  0      1388        0
D MIZUHO FINL GROUP INC          ADR        60687Y109        6       1991 SH  -    OTHER   10                  0         0     1991
D MOBILE MINI                    COMMON     60740F105       10        590 SH  -    OTHER   02                  0         0      590
D MOBILE MINI                    COMMON     60740F105       36       2180 SH  -    DEFINED 04               2180         0        0
D MOBILE MINI                    COMMON     60740F105      430      26170 SH  -    DEFINED 04              26170         0        0
D MOBILE MINI                    COMMON     60740F105      277      16851 SH  -    DEFINED 05              16851         0        0
D MOBILE TELESYSTEMS             ADR        607409109        1         98 SH  -    DEFINED 02                 98         0        0
D MOBILE TELESYSTEMS             ADR        607409109     6307     512780 SH  -    DEFINED 02             512780         0        0
D MOBILE TELESYSTEMS             ADR        607409109     1153      93757 SH  -    DEFINED 04              53300         0    40457
D MOBILE TELESYSTEMS             ADR        607409109    16068    1306382 SH  -    DEFINED 04            1306382         0        0
D MOBILE TELESYSTEMS             ADR        607409109      308      25000 SH  -    DEFINED 05              25000         0        0
D MOBILE TELESYSTEMS             ADR        607409109    13164    1070250 SH  -    DEFINED 06            1070250         0        0
D MOBILE TELESYSTEMS             ADR        607409109     9172     745694 SH  -    DEFINED 08             745694         0        0
D MOBILE TELESYSTEMS             ADR        607409109   158649   12898265 SH  -    DEFINED 09           12809565         0        0
D MOBILE TELESYSTEMS             ADR        607409109    12720    1034156 SH  -    DEFINED 09            1034156         0        0
D MOBILE TELESYSTEMS             ADR        607409109    10917     887540 SH  -    DEFINED 09             887540         0        0
D MOBILE TELESYSTEMS             ADR        607409109     1755     142652 SH  -    OTHER   09                  0    142652        0
D MOBILE TELESYSTEMS             ADR        607409109       36       2953 SH  -    OTHER   10                  0         0     2953
D MODINE MFG CO                  COMMON     607828100      435      48000 SH  -    DEFINED 02              48000         0        0
D MODINE MFG CO                  COMMON     607828100        5        524 SH  -    OTHER   02                  0       465        0
D MODINE MFG CO                  COMMON     607828100        0         26 SH  -    OTHER   02                 13        13        0
D MODINE MFG CO                  COMMON     607828100        5        599 SH  -    DEFINED 05                599         0        0
D MODINE MFG CO                  COMMON     607828100       24       2677 SH  -    DEFINED 08               2677         0        0
D MOHAWK INDS INC                COMMON     608190104       15        340 SH  -    DEFINED 02                340         0        0
D MOHAWK INDS INC                COMMON     608190104     9771     227715 SH  -    OTHER   02               9961    213841     3913
D MOHAWK INDS INC                COMMON     608190104    47004    1095420 SH  -    DEFINED 04            1054520         0    40900

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 548
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MOHAWK INDS INC                COMMON     608190104     1086      25300 SH  -    DEFINED 04              25300         0        0
D MOHAWK INDS INC                COMMON     608190104      495      11542 SH  -    OTHER   04                  0     11542        0
D MOHAWK INDS INC                COMMON     608190104     2479      57779 SH  -    OTHER   04                  0     57779        0
D MOHAWK INDS INC                COMMON     608190104       71       1654 SH  -    DEFINED 05               1654         0        0
D MOHAWK INDS INC                COMMON     608190104      722      16824 SH  -    DEFINED 08              16824         0        0
D MOHAWK INDS INC                COMMON     608190104        1         13 SH  -    OTHER   10                  0         0       13
D MOLINA HEALTHCARE INC          COMMON     60855R100        3        202 SH  -    OTHER   02                  0       202        0
D MOLINA HEALTHCARE INC          COMMON     60855R100      479      31019 SH  -    DEFINED 04              31019         0        0
D MOLINA HEALTHCARE INC          COMMON     60855R100      363      23521 SH  -    DEFINED 04              23521         0        0
D MOLINA HEALTHCARE INC          COMMON     60855R100      424      27467 SH  -    DEFINED 05              27467         0        0
D MOLINA HEALTHCARE INC          COMMON     60855R100       37       2370 SH  -    DEFINED 08               2370         0        0
D MOLEX INC                      COMMON     608554101      123       6053 SH  -    DEFINED 02               6053         0        0
D MOLEX INC                      COMMON     608554101      376      18462 SH  -    DEFINED 02              18342         0      120
D MOLEX INC                      COMMON     608554101       34       1645 SH  -    DEFINED 02               1576         0       69
D MOLEX INC                      COMMON     608554101      293      14369 SH  -    OTHER   02               2940     10629      800
D MOLEX INC                      COMMON     608554101       86       4219 SH  -    OTHER   02               3927        61      231
D MOLEX INC                      COMMON     608554101     5602     274991 SH  -    DEFINED 04             225015         0    49976
D MOLEX INC                      COMMON     608554101     1937      95095 SH  -    DEFINED 04              95095         0        0
D MOLEX INC                      COMMON     608554101       26       1278 SH  -    DEFINED 05               1278         0        0
D MOLEX INC                      COMMON     608554101       20       1000 SH  -    DEFINED 09               1000         0        0
D MOLEX INC                      COMMON     608554101        2        115 SH  -    DEFINED 01                  0         0      115
D MOLEX INC                      COMMON     608554101        6        310 SH  -    OTHER   01                  0       175      135
D MOLEX INC                      COMMON     608554101       36       1777 SH  -    OTHER   10                  0         0     1777
D MOLEX INC                      COMMON     608554200      766      45351 SH  -    OTHER   02               1310     44041        0
D MOLEX INC                      COMMON     608554200       75       4460 SH  -    OTHER   02                760         0     3700
D MOLEX INC                      COMMON     608554200       19       1142 SH  -    DEFINED 05               1142         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 549
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MOLEX INC                      COMMON     608554200      169      10000 SH  -    DEFINED 08              10000         0        0
D MOLEX INC                      COMMON     608554200      111       6550 SH  -    OTHER   01                  0      6550        0
D MOLEX INC                      COMMON     608554200        7        423 SH  -    OTHER   10                  0         0      423
D MOLSON COORS BREWING CO        BOND       60871RAA8        8       8000 PRN -    DEFINED 02                  0         0        0
D MOLSON COORS BREWING CO        BOND       60871RAA8     3679    3500000 PRN -    DEFINED 09                  0         0        0
D MOLSON COORS BREWING CO        COMMON     60871R209       34        863 SH  -    DEFINED 02                  0       863        0
D MOLSON COORS BREWING CO        COMMON     60871R209        0          5 SH  -    DEFINED 02                  5         0        0
D MOLSON COORS BREWING CO        COMMON     60871R209       79       2006 SH  -    DEFINED 02               1878         0      128
D MOLSON COORS BREWING CO        COMMON     60871R209      360       9089 SH  -    OTHER   02                844      8245        0
D MOLSON COORS BREWING CO        COMMON     60871R209        0         10 SH  -    OTHER   02                  0         5        5
D MOLSON COORS BREWING CO        COMMON     60871R209     1458      36807 SH  -    DEFINED 04              31442         0     5365
D MOLSON COORS BREWING CO        COMMON     60871R209     1015      25634 SH  -    DEFINED 04              25634         0        0
D MOLSON COORS BREWING CO        COMMON     60871R209        1         22 SH  -    OTHER   04                  0        22        0
D MOLSON COORS BREWING CO        COMMON     60871R209     1613      40716 SH  -    DEFINED 05              40716         0        0
D MOLSON COORS BREWING CO        COMMON     60871R209        5        129 SH  -    OTHER   01                  0       129        0
D MOLYCORP INC DEL               COMMON     608753109        8        241 SH  -    OTHER   02                  0       241        0
D MOLYCORP INC DEL               COMMON     608753109      455      13845 SH  -    DEFINED 04              13845         0        0
D MOLYCORP INC DEL               COMMON     608753109       51       1560 SH  -    DEFINED 05               1560         0        0
D MOLYCORP INC DEL               COMMON     608753109     2286      69545 SH  -    OTHER   10                  0         0    69545
D MOLYCORP INC DEL               OPTION     608753950     1594      48500 SH  P    DEFINED 08              48500         0        0
D MOMENTA PHARMACEUTICALS INC    COMMON     60877T100        1         96 SH  -    OTHER   02                 96         0        0
D MOMENTA PHARMACEUTICALS INC    COMMON     60877T100     2427     211000 SH  -    DEFINED 04             169300         0    41700
D MOMENTA PHARMACEUTICALS INC    COMMON     60877T100      915      79554 SH  -    DEFINED 05              79554         0        0
D MOMENTA PHARMACEUTICALS INC    COMMON     60877T100       32       2797 SH  -    DEFINED 08               2797         0        0
D MONARCH CASINO RES             COMMON     609027107        4        407 SH  -    OTHER   02                  0       407        0
D MONARCH CASINO RES             COMMON     609027107    15072    1541074 SH  -    DEFINED 04            1416213         0   124861

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 550
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MONARCH CASINO RES             COMMON     609027107       61       6229 SH  -    DEFINED 04               6229         0        0
D MONARCH CASINO RES             COMMON     609027107       12       1254 SH  -    DEFINED 04               1254         0        0
D MONARCH CASINO RES             COMMON     609027107        4        383 SH  -    OTHER   04                  0       383        0
D MONARCH CASINO RES             COMMON     609027107       51       5209 SH  -    DEFINED 05               5209         0        0
D MONOLITHIC PWR SYS INC         COMMON     609839105      257      25283 SH  -    DEFINED 04              25283         0        0
D MONOLITHIC PWR SYS INC         COMMON     609839105      141      13806 SH  -    DEFINED 05              13806         0        0
D MONOTYPE IMAGING HOLDINGS INC  COMMON     61022P100       13       1033 SH  -    OTHER   02                  0      1033        0
D MONOTYPE IMAGING HOLDINGS INC  COMMON     61022P100    24423    2015114 SH  -    DEFINED 04            1873289         0   141825
D MONOTYPE IMAGING HOLDINGS INC  COMMON     61022P100      245      20206 SH  -    DEFINED 04              20206         0        0
D MONOTYPE IMAGING HOLDINGS INC  COMMON     61022P100      220      18192 SH  -    DEFINED 05              18192         0        0
D MONRO MUFFLER BRKE             COMMON     610236101        2         55 SH  -    DEFINED 02                 55         0        0
D MONRO MUFFLER BRKE             COMMON     610236101       11        338 SH  -    OTHER   02                  0       338        0
D MONRO MUFFLER BRKE             COMMON     610236101      717      21749 SH  -    DEFINED 04              21749         0        0
D MONRO MUFFLER BRKE             COMMON     610236101      470      14263 SH  -    DEFINED 05              14263         0        0
D MONSANTO                       COMMON     61166W101    13253     220739 SH  -    DEFINED 02             194592      1589    24558
D MONSANTO                       COMMON     61166W101     5010      83439 SH  -    DEFINED 02              81399       597     1443
D MONSANTO                       COMMON     61166W101      501       8352 SH  -    DEFINED 02               6427         0     1925
D MONSANTO                       COMMON     61166W101    17633     293688 SH  -    OTHER   02              52666    228236    12104
D MONSANTO                       COMMON     61166W101     2666      44404 SH  -    OTHER   02              23112     10567    10725
D MONSANTO                       COMMON     61166W101       84       1394 SH  -    OTHER   02                  0      1394        0
D MONSANTO                       COMMON     61166W101       86       1432 SH  -    OTHER   02                  0      1432        0
D MONSANTO                       COMMON     61166W101      217       3620 SH  -    OTHER   02                  0      3620        0
D MONSANTO                       COMMON     61166W101   127604    2125321 SH  -    DEFINED 04            1869012         0   256309
D MONSANTO                       COMMON     61166W101     5201      86624 SH  -    DEFINED 04              86624         0        0
D MONSANTO                       COMMON     61166W101    11427     190327 SH  -    DEFINED 04             190327         0        0
D MONSANTO                       COMMON     61166W101    10717     178494 SH  -    OTHER   04                  0    178494        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 551
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MONSANTO                       COMMON     61166W101    24684     411118 SH  -    DEFINED 05             411118         0        0
D MONSANTO                       COMMON     61166W101     1172      19512 SH  -    DEFINED 06              19512         0        0
D MONSANTO                       COMMON     61166W101     3953      65838 SH  -    DEFINED 08              65838         0        0
D MONSANTO                       COMMON     61166W101      682      11365 SH  -    DEFINED 01               9680       922      763
D MONSANTO                       COMMON     61166W101      957      15939 SH  -    OTHER   01               4378     10043     1518
D MONSANTO                       COMMON     61166W101     1462      24355 SH  -    OTHER   10                  0         0    24355
D MONSANTO                       OPTION     61166W903     1723      28700 SH  C    DEFINED 05              28700         0        0
D MONSANTO                       OPTION     61166W903     3002      50000 SH  C    DEFINED 08              50000         0        0
D MONSANTO                       OPTION     61166W952    10639     177200 SH  P    DEFINED 05             177200         0        0
D MONSANTO                       OPTION     61166W952    15730     262000 SH  P    DEFINED 08             262000         0        0
D MONSTER WORLDWIDE INC          COMMON     611742107        0         36 SH  -    DEFINED 02                 36         0        0
D MONSTER WORLDWIDE INC          COMMON     611742107       11       1509 SH  -    DEFINED 02               1489         0       20
D MONSTER WORLDWIDE INC          COMMON     611742107       43       6006 SH  -    OTHER   02                  0      6006        0
D MONSTER WORLDWIDE INC          COMMON     611742107        0         55 SH  -    OTHER   02                  0        28       27
D MONSTER WORLDWIDE INC          COMMON     611742107      165      22995 SH  -    DEFINED 04              19297         0     3698
D MONSTER WORLDWIDE INC          COMMON     611742107      151      21015 SH  -    DEFINED 04              21015         0        0
D MONSTER WORLDWIDE INC          COMMON     611742107       16       2166 SH  -    DEFINED 05               2166         0        0
D MONSTER WORLDWIDE INC          COMMON     611742107      159      22151 SH  -    OTHER   10                  0         0    22151
D MOODYS CORP                    COMMON     615369105      166       5458 SH  -    DEFINED 02               5458         0        0
D MOODYS CORP                    COMMON     615369105       75       2456 SH  -    DEFINED 02               2320         0      136
D MOODYS CORP                    COMMON     615369105      177       5808 SH  -    OTHER   02               1112      4454      242
D MOODYS CORP                    COMMON     615369105        1         17 SH  -    OTHER   02                  0        17        0
D MOODYS CORP                    COMMON     615369105    40263    1322267 SH  -    DEFINED 04             701334         0   620933
D MOODYS CORP                    COMMON     615369105    21029     690612 SH  -    DEFINED 04             690612         0        0
D MOODYS CORP                    COMMON     615369105     2807      92194 SH  -    DEFINED 04              52218         0    39976
D MOODYS CORP                    COMMON     615369105       62       2046 SH  -    OTHER   04                  0      2046        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 552
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MOODYS CORP                    COMMON     615369105     8888     291896 SH  -    DEFINED 05             291896         0        0
D MOODYS CORP                    COMMON     615369105       12        382 SH  -    DEFINED 06                382         0        0
D MOODYS CORP                    COMMON     615369105      509      16720 SH  -    DEFINED 08              16720         0        0
D MOODYS CORP                    COMMON     615369105    11799     387479 SH  -    DEFINED 09             363309     24170        0
D MOODYS CORP                    COMMON     615369105      719      23621 SH  -    DEFINED 09              23621         0        0
D MOODYS CORP                    COMMON     615369105     5207     171017 SH  -    DEFINED 09             171017         0        0
D MOODYS CORP                    COMMON     615369105      137       4488 SH  -    OTHER   09                  0      4488        0
D MOODYS CORP                    COMMON     615369105        2         58 SH  -    OTHER   01                  0        58        0
D MOODYS CORP                    COMMON     615369105       26        855 SH  -    OTHER   10                  0         0      855
D MOODYS CORP                    OPTION     615369907      368      12100 SH  C    DEFINED 05              12100         0        0
D MOOG INC                       COMMON     615394202       20        600 SH  -    DEFINED 02                600         0        0
D MOOG INC                       COMMON     615394202        5        166 SH  -    DEFINED 02                166         0        0
D MOOG INC                       COMMON     615394202      163       4985 SH  -    OTHER   02                  0      4000      985
D MOOG INC                       COMMON     615394202      480      14705 SH  -    DEFINED 04              14705         0        0
D MOOG INC                       COMMON     615394202     1063      32601 SH  -    DEFINED 04              32601         0        0
D MOOG INC                       COMMON     615394202      696      21330 SH  -    DEFINED 05              21330         0        0
D MOOG INC                       COMMON     615394202       33       1000 SH  -    DEFINED 01               1000         0        0
D MORGAN STANLEY                 COMMON     617446448     9323     690049 SH  -    DEFINED 02             597049      5082    87918
D MORGAN STANLEY                 COMMON     617446448     3321     245801 SH  -    DEFINED 02             233724       195    11882
D MORGAN STANLEY                 COMMON     617446448       66       4895 SH  -    DEFINED 02               4895         0        0
D MORGAN STANLEY                 COMMON     617446448      811      60028 SH  -    DEFINED 02              29009         0    31019
D MORGAN STANLEY                 COMMON     617446448     4180     309397 SH  -    OTHER   02             193442     69450    46179
D MORGAN STANLEY                 COMMON     617446448      781      57785 SH  -    OTHER   02              47626      2045     8114
D MORGAN STANLEY                 COMMON     617446448       52       3886 SH  -    OTHER   02                  0      3886        0
D MORGAN STANLEY                 COMMON     617446448       49       3599 SH  -    OTHER   02                  0      3599        0
D MORGAN STANLEY                 COMMON     617446448      124       9195 SH  -    OTHER   02                  0      9195        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 553
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MORGAN STANLEY                 COMMON     617446448   200931   14872771 SH  -    DEFINED 04           12694466         0  2178305
D MORGAN STANLEY                 COMMON     617446448     7269     538066 SH  -    DEFINED 04             538066         0        0
D MORGAN STANLEY                 COMMON     617446448    24234    1793756 SH  -    DEFINED 04            1793756         0        0
D MORGAN STANLEY                 COMMON     617446448       72       5350 SH  -    DEFINED 04               5350         0        0
D MORGAN STANLEY                 COMMON     617446448      120       8882 SH  -    DEFINED 04                  0         0     8882
D MORGAN STANLEY                 COMMON     617446448     6337     469083 SH  -    OTHER   04                  0    469083        0
D MORGAN STANLEY                 COMMON     617446448    11429     845965 SH  -    DEFINED 05             845965         0        0
D MORGAN STANLEY                 COMMON     617446448       33       2408 SH  -    DEFINED 06               2408         0        0
D MORGAN STANLEY                 COMMON     617446448    19552    1447209 SH  -    DEFINED 08            1447209         0        0
D MORGAN STANLEY                 COMMON     617446448     7644     565791 SH  -    DEFINED 09             565791         0        0
D MORGAN STANLEY                 COMMON     617446448     5000     370128 SH  -    DEFINED 09                  0         0        0
D MORGAN STANLEY                 COMMON     617446448      736      54450 SH  -    OTHER   09                  0     54450        0
D MORGAN STANLEY                 COMMON     617446448      976      72278 SH  -    DEFINED 01              60108      2471     9699
D MORGAN STANLEY                 COMMON     617446448      194      14341 SH  -    OTHER   01               8225      2426     3690
D MORGAN STANLEY                 COMMON     617446448      155      11478 SH  -    OTHER   10                  0         0    11478
D MORGAN STANLEY                 OPTION     617446901   745793   55203018 SH  C    DEFINED 04           55203018         0        0
D MORGAN STANLEY                 OPTION     617446901     5480     405600 SH  C    DEFINED 05             405600         0        0
D MORGAN STANLEY                 OPTION     617446901     8106     600000 SH  C    DEFINED 08             600000         0        0
D MORGAN STANLEY                 OPTION     617446950     5821     430900 SH  P    DEFINED 05             430900         0        0
D MORGAN STANLEY                 OPTION     617446950     1351     100000 SH  P    DEFINED 08             100000         0        0
D MORGANS HOTEL GROUP CO         COMMON     61748W108     7402    1235775 SH  -    DEFINED 04             887555         0   348220
D MORGANS HOTEL GROUP CO         COMMON     61748W108     4943     825200 SH  -    DEFINED 04             825200         0        0
D MORGANS HOTEL GROUP CO         COMMON     61748W108     1169     195140 SH  -    DEFINED 04             195140         0        0
D MORGANS HOTEL GROUP CO         COMMON     61748W108        2        300 SH  -    DEFINED 05                300         0        0
D MORGANS HOTEL GROUP CO         COMMON     61748W108        8       1407 SH  -    DEFINED 08               1407         0        0
D MORNINGSTAR INC                COMMON     617700109        6        114 SH  -    DEFINED 02                  0       114        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 554
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MORNINGSTAR INC                COMMON     617700109      390       6915 SH  -    OTHER   02                  0      6915        0
D MORNINGSTAR INC                COMMON     617700109       14        245 SH  -    OTHER   02                  0         0      245
D MORNINGSTAR INC                COMMON     617700109    21690     384294 SH  -    DEFINED 04             337837         0    46457
D MORNINGSTAR INC                COMMON     617700109     3787      67100 SH  -    DEFINED 04              67100         0        0
D MORNINGSTAR INC                COMMON     617700109      755      13374 SH  -    DEFINED 04              13374         0        0
D MORNINGSTAR INC                COMMON     617700109       22        381 SH  -    DEFINED 05                381         0        0
D MORNINGSTAR INC                COMMON     617700109        2         42 SH  -    OTHER   10                  0         0       42
D MOSAIC CO NEW                  COMMON     61945C103        1         17 SH  -    DEFINED 02                 17         0        0
D MOSAIC CO NEW                  COMMON     61945C103       36        735 SH  -    DEFINED 02                735         0        0
D MOSAIC CO NEW                  COMMON     61945C103      156       3193 SH  -    DEFINED 02               3193         0        0
D MOSAIC CO NEW                  COMMON     61945C103      304       6210 SH  -    OTHER   02               1250      4670      235
D MOSAIC CO NEW                  COMMON     61945C103       56       1151 SH  -    OTHER   02                300         0      851
D MOSAIC CO NEW                  COMMON     61945C103     3312      67627 SH  -    DEFINED 04              59695         0     7932
D MOSAIC CO NEW                  COMMON     61945C103     2878      58772 SH  -    DEFINED 05              58772         0        0
D MOSAIC CO NEW                  COMMON     61945C103      609      12437 SH  -    DEFINED 06              12437         0        0
D MOSAIC CO NEW                  COMMON     61945C103       98       2000 SH  -    DEFINED 09               2000         0        0
D MOSAIC CO NEW                  COMMON     61945C103        5         99 SH  -    OTHER   01                  0        99        0
D MOSAIC CO NEW                  COMMON     61945C103     1468      29972 SH  -    OTHER   10                  0         0    29972
D MOSAIC CO NEW                  OPTION     61945C905      353       7200 SH  C    DEFINED 05               7200         0        0
D MOSAIC CO NEW                  OPTION     61945C954      362       7400 SH  P    DEFINED 05               7400         0        0
D MOSAIC CO NEW                  OPTION     61945C954    10264     209600 SH  P    DEFINED 08             209600         0        0
D MOTOROLA SOLUTIONS INC         COMMON     620076307       61       1466 SH  -    DEFINED 02                666       800        0
D MOTOROLA SOLUTIONS INC         COMMON     620076307      196       4666 SH  -    DEFINED 02               4316         0      350
D MOTOROLA SOLUTIONS INC         COMMON     620076307      154       3685 SH  -    DEFINED 02               3480         0      205
D MOTOROLA SOLUTIONS INC         COMMON     620076307     8064     192469 SH  -    OTHER   02              23977    166948     1544
D MOTOROLA SOLUTIONS INC         COMMON     620076307       89       2136 SH  -    OTHER   02                898       888      350

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 555
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MOTOROLA SOLUTIONS INC         COMMON     620076307     9369     223612 SH  -    DEFINED 04             155967         0    67645
D MOTOROLA SOLUTIONS INC         COMMON     620076307     4172      99559 SH  -    DEFINED 04              99559         0        0
D MOTOROLA SOLUTIONS INC         COMMON     620076307     3121      74480 SH  -    DEFINED 04              42220         0    32260
D MOTOROLA SOLUTIONS INC         COMMON     620076307     1150      27438 SH  -    DEFINED 05              27438         0        0
D MOTOROLA SOLUTIONS INC         COMMON     620076307    12673     302449 SH  -    DEFINED 09             283289     19160        0
D MOTOROLA SOLUTIONS INC         COMMON     620076307      796      19004 SH  -    DEFINED 09              19004         0        0
D MOTOROLA SOLUTIONS INC         COMMON     620076307     5733     136820 SH  -    DEFINED 09             136820         0        0
D MOTOROLA SOLUTIONS INC         COMMON     620076307      151       3609 SH  -    OTHER   09                  0      3609        0
D MOTOROLA SOLUTIONS INC         COMMON     620076307      171       4080 SH  -    OTHER   01                  0      4080        0
D MOTOROLA SOLUTIONS INC         COMMON     620076307       14        342 SH  -    OTHER   10                  0         0      342
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105       28        738 SH  -    DEFINED 02                738         0        0
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105      124       3273 SH  -    DEFINED 02               3273         0        0
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105      120       3175 SH  -    DEFINED 02               3014         0      161
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105      900      23825 SH  -    OTHER   02              13500      9063     1159
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105       12        315 SH  -    OTHER   02                299         9        7
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105     5805     153660 SH  -    DEFINED 04             139272         0    14388
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105     3954     104654 SH  -    DEFINED 04             104654         0        0
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105      737      19516 SH  -    DEFINED 04              19516         0        0
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105    20314     537686 SH  -    DEFINED 05             537686         0        0
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105    16816     445115 SH  -    DEFINED 09             247622         0        0
D MOTOROLA MOBILITY HLDGS INC    COMMON     620097105        6        165 SH  -    OTHER   01                  0       165        0
D MOTOROLA MOBILITY HLDGS INC    OPTION     620097907       30        800 SH  C    DEFINED 05                800         0        0
D MOTOROLA MOBILITY HLDGS INC    OPTION     620097956      113       3000 SH  P    DEFINED 05               3000         0        0
D MOTRICITY INC                  COMMON     620107102        3       1547 SH  -    OTHER   02                  0      1547        0
D MOTRICITY INC                  COMMON     620107102      339     200351 SH  -    DEFINED 05             200351         0        0
D MOTRICITY INC                  COMMON     620107102        4       2238 SH  -    DEFINED 08               2238         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 556
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MOTRICITY INC                  COMMON     620107102        0        200 SH  -    OTHER   10                  0         0      200
D MOUNTAIN PROV DIAM             COMMON     62426E402    15738    3895500 SH  -    DEFINED 09            3895500         0        0
D MOVE INC COM                   COMMON     62458M108     3622    2498141 SH  -    DEFINED 05            2498141         0        0
D MOVE INC COM                   COMMON     62458M108       14       9594 SH  -    DEFINED 08               9594         0        0
D MOVADO GROUP INC               COMMON     624580106        3        287 SH  -    OTHER   02                  0       287        0
D MOVADO GROUP INC               COMMON     624580106      402      33025 SH  -    DEFINED 04              29725         0     3300
D MOVADO GROUP INC               COMMON     624580106      145      11884 SH  -    DEFINED 04              11884         0        0
D MOVADO GROUP INC               COMMON     624580106      100       8195 SH  -    DEFINED 05               8195         0        0
D MUELLER INDS INC               COMMON     624756102      161       4168 SH  -    DEFINED 02               4168         0        0
D MUELLER INDS INC               COMMON     624756102        6        153 SH  -    OTHER   02                  0       153        0
D MUELLER INDS INC               COMMON     624756102     2284      59175 SH  -    DEFINED 04              53775         0     5400
D MUELLER INDS INC               COMMON     624756102     2467      63931 SH  -    DEFINED 04              63931         0        0
D MUELLER INDS INC               COMMON     624756102      705      18271 SH  -    DEFINED 05              18271         0        0
D MUELLER INDS INC               COMMON     624756102       17        452 SH  -    DEFINED 08                452         0        0
D MUELLER WTR PRODS INC          COMMON     624758108        7       2753 SH  -    OTHER   02                  0      2753        0
D MUELLER WTR PRODS INC          COMMON     624758108       78      31500 SH  -    DEFINED 04              31500         0        0
D MUELLER WTR PRODS INC          COMMON     624758108      383     154500 SH  -    DEFINED 04             154500         0        0
D MUELLER WTR PRODS INC          COMMON     624758108        6       2597 SH  -    DEFINED 05               2597         0        0
D MUELLER WTR PRODS INC          COMMON     624758108       30      12278 SH  -    DEFINED 08              12278         0        0
D MUELLER WTR PRODS INC          COMMON     624758108        4       1809 SH  -    OTHER   01                  0      1809        0
D MULTIMEDIA GAMES HLDG CO INC   COMMON     625453105       84      20695 SH  -    DEFINED 04              20695         0        0
D MULTIMEDIA GAMES HLDG CO INC   COMMON     625453105       49      12017 SH  -    DEFINED 05              12017         0        0
D MURPHY OIL CORP                COMMON     626717102    10019     226886 SH  -    DEFINED 02             226886         0        0
D MURPHY OIL CORP                COMMON     626717102        1         15 SH  -    DEFINED 02                 15         0        0
D MURPHY OIL CORP                COMMON     626717102      107       2425 SH  -    DEFINED 02               2230         0      195
D MURPHY OIL CORP                COMMON     626717102      520      11770 SH  -    OTHER   02               5000      6770        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 557
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MURPHY OIL CORP                COMMON     626717102        8        174 SH  -    OTHER   02                151         8       15
D MURPHY OIL CORP                COMMON     626717102     1521      34450 SH  -    DEFINED 04              28910         0     5540
D MURPHY OIL CORP                COMMON     626717102     2532      57328 SH  -    DEFINED 04              57328         0        0
D MURPHY OIL CORP                COMMON     626717102     6249     141500 SH  -    DEFINED 05             141500         0        0
D MURPHY OIL CORP                COMMON     626717102       96       2173 SH  -    DEFINED 06               2173         0        0
D MURPHY OIL CORP                COMMON     626717102     1531      34680 SH  -    OTHER   10                  0         0    34680
D MURPHY OIL CORP                OPTION     626717904     2349      53200 SH  C    DEFINED 05              53200         0        0
D MYERS INDS INC                 COMMON     628464109       43       4220 SH  -    OTHER   02                  0      1420     2800
D MYERS INDS INC                 COMMON     628464109     1575     155150 SH  -    DEFINED 04             143250         0    11900
D MYERS INDS INC                 COMMON     628464109     1349     132930 SH  -    DEFINED 04             132930         0        0
D MYERS INDS INC                 COMMON     628464109      196      19317 SH  -    DEFINED 05              19317         0        0
D MYLAN INC                      BOND       628530AG2    74893    6975000 PRN -    DEFINED 05                  0         0        0
D MYLAN INC                      BOND       628530AG2    78834    7342000 PRN -    DEFINED 09                  0         0        0
D MYLAN INC                      BOND       628530AG2    26253    2445000 PRN -    DEFINED 09                  0         0        0
D MYLAN INC                      BOND       628530AJ6        3       2000 PRN -    DEFINED 02                  0         0        0
D MYLAN INC                      BOND       628530AJ6    40152   27691000 PRN -    DEFINED 05                  0         0        0
D MYLAN INC                      COMMON     628530107      393      23151 SH  -    DEFINED 02               5441      2200    15510
D MYLAN INC                      COMMON     628530107      181      10631 SH  -    DEFINED 02               5317         0     5314
D MYLAN INC                      COMMON     628530107      245      14408 SH  -    DEFINED 02               7907         0     6501
D MYLAN INC                      COMMON     628530107     4893     287992 SH  -    OTHER   02               2100    282759     3133
D MYLAN INC                      COMMON     628530107       46       2707 SH  -    OTHER   02                  0      2007      700
D MYLAN INC                      COMMON     628530107      907      53405 SH  -    OTHER   02                  0     53405        0
D MYLAN INC                      COMMON     628530107    48665    2864334 SH  -    DEFINED 04            1703830         0  1160504
D MYLAN INC                      COMMON     628530107     2169     127682 SH  -    DEFINED 04             127682         0        0
D MYLAN INC                      COMMON     628530107     4453     262085 SH  -    DEFINED 04             262085         0        0
D MYLAN INC                      COMMON     628530107      121       7150 SH  -    DEFINED 04               7150         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 558
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D MYLAN INC                      COMMON     628530107       78       4578 SH  -    DEFINED 04                  0         0     4578
D MYLAN INC                      COMMON     628530107     4295     252793 SH  -    DEFINED 05             252793         0        0
D MYLAN INC                      COMMON     628530107   109509    6445487 SH  -    DEFINED 08            6445487         0        0
D MYLAN INC                      COMMON     628530107     3384     199185 SH  -    DEFINED 09             199185         0        0
D MYLAN INC                      COMMON     628530107     2824     166200 SH  -    OTHER   09                  0    166200        0
D MYLAN INC                      COMMON     628530107      151       8864 SH  -    OTHER   01                  0      8864        0
D MYLAN INC                      COMMON     628530107      885      52071 SH  -    OTHER   10                  0         0    52071
D MYRIAD GENETICS IN             COMMON     62855J104      112       6000 SH  -    DEFINED 02               6000         0        0
D MYRIAD GENETICS IN             COMMON     62855J104       78       4171 SH  -    DEFINED 02               4171         0        0
D MYRIAD GENETICS IN             COMMON     62855J104       41       2205 SH  -    OTHER   02               2000       205        0
D MYRIAD GENETICS IN             COMMON     62855J104      336      17949 SH  -    DEFINED 05              17949         0        0
D MYRIAD GENETICS IN             COMMON     62855J104       86       4590 SH  -    DEFINED 09               4590         0        0
D MYRIAD GENETICS IN             OPTION     62855J906        4        200 SH  C    DEFINED 05                200         0        0
D NBT BANCORP INC                COMMON     628778102        1         76 SH  -    OTHER   02                  0        76        0
D NBT BANCORP INC                COMMON     628778102       15        790 SH  -    OTHER   02                  0         0      790
D NBT BANCORP INC                COMMON     628778102     1457      78270 SH  -    DEFINED 04              72670         0     5600
D NBT BANCORP INC                COMMON     628778102      446      23932 SH  -    DEFINED 04              23932         0        0
D NBT BANCORP INC                COMMON     628778102      292      15698 SH  -    DEFINED 05              15698         0        0
D NCI BUILDING SYS INC           COMMON     628852204        3        429 SH  -    OTHER   02                  0       429        0
D NCI BUILDING SYS INC           COMMON     628852204     6556     867240 SH  -    DEFINED 04             803530         0    63710
D NCI BUILDING SYS INC           COMMON     628852204      126      16643 SH  -    DEFINED 04              16643         0        0
D NCI BUILDING SYS INC           COMMON     628852204      109      14361 SH  -    DEFINED 05              14361         0        0
D NCR CORPORATION                COMMON     62886E108       66       3918 SH  -    OTHER   02                104      3732        0
D NCR CORPORATION                COMMON     62886E108        6        380 SH  -    OTHER   02                  0         0      380
D NCR CORPORATION                COMMON     62886E108     1905     112798 SH  -    DEFINED 04             112798         0        0
D NCR CORPORATION                COMMON     62886E108     2049     121285 SH  -    DEFINED 04             121285         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 559
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NCR CORPORATION                COMMON     62886E108       46       2698 SH  -    DEFINED 05               2698         0        0
D NCR CORPORATION                COMMON     62886E108     2915     172567 SH  -    DEFINED 08             172567         0        0
D NCR CORPORATION                COMMON     62886E108        0          4 SH  -    OTHER   10                  0         0        4
D NGP CAP RES CO                 COMMON     62912R107      349      53380 SH  -    DEFINED 04              53380         0        0
D NGP CAP RES CO                 COMMON     62912R107        2        328 SH  -    DEFINED 05                328         0        0
D NGP CAP RES CO                 COMMON     62912R107        8       1271 SH  -    DEFINED 08               1271         0        0
D NGP CAP RES CO                 COMMON     62912R107      248      37950 SH  -    OTHER   10                  0         0    37950
D NII HLDGS INC                  COMMON     62913F201    16320     605549 SH  -    DEFINED 02             605549         0        0
D NII HLDGS INC                  COMMON     62913F201       42       1550 SH  -    OTHER   02                  0       519     1031
D NII HLDGS INC                  COMMON     62913F201       88       3266 SH  -    OTHER   02                  0         0     3266
D NII HLDGS INC                  COMMON     62913F201    27723    1028678 SH  -    DEFINED 04            1028678         0        0
D NII HLDGS INC                  COMMON     62913F201      598      22200 SH  -    DEFINED 04                  0         0    22200
D NII HLDGS INC                  COMMON     62913F201    34258    1271161 SH  -    DEFINED 04             991900         0   279261
D NII HLDGS INC                  COMMON     62913F201      101       3730 SH  -    DEFINED 05               3730         0        0
D NII HLDGS INC                  COMMON     62913F201     5316     197241 SH  -    DEFINED 08             197241         0        0
D NII HLDGS INC                  COMMON     62913F201    71075    2637284 SH  -    DEFINED 09            2612907         0    24377
D NII HLDGS INC                  COMMON     62913F201      604      22400 SH  -    DEFINED 09              22400         0        0
D NII HLDGS INC                  COMMON     62913F201     7323     271729 SH  -    DEFINED 09             271729         0        0
D NII HLDGS INC                  COMMON     62913F201     2032      75400 SH  -    DEFINED 09                  0         0        0
D NIC INC                        COMMON     62914B100      105       9185 SH  -    DEFINED 05               9185         0        0
D NIC INC                        COMMON     62914B100       42       3702 SH  -    DEFINED 08               3702         0        0
D NPS PHARMACEUTICAL             COMMON     62936P103        1        142 SH  -    OTHER   02                  0       142        0
D NPS PHARMACEUTICAL             COMMON     62936P103      896     137610 SH  -    DEFINED 05             137610         0        0
D NPS PHARMACEUTICAL             COMMON     62936P103       14       2151 SH  -    DEFINED 08               2151         0        0
D NPS PHARMACEUTICAL             COMMON     62936P103      340      52230 SH  -    DEFINED 09              52230         0        0
D NRG ENERGY INC                 COMMON     629377508        1         51 SH  -    DEFINED 02                 51         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 560
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NRG ENERGY INC                 COMMON     629377508       60       2835 SH  -    DEFINED 02               2780         0       55
D NRG ENERGY INC                 COMMON     629377508      118       5568 SH  -    OTHER   02                  0      5568        0
D NRG ENERGY INC                 COMMON     629377508       11        520 SH  -    OTHER   02                502        18        0
D NRG ENERGY INC                 COMMON     629377508     8345     393428 SH  -    DEFINED 04             342121         0    51307
D NRG ENERGY INC                 COMMON     629377508     5217     245981 SH  -    DEFINED 04             245981         0        0
D NRG ENERGY INC                 COMMON     629377508        4        200 SH  -    DEFINED 04                200         0        0
D NRG ENERGY INC                 COMMON     629377508     2449     115444 SH  -    DEFINED 05             115444         0        0
D NRG ENERGY INC                 COMMON     629377508     5472     257975 SH  -    DEFINED 08             257975         0        0
D NRG ENERGY INC                 COMMON     629377508       25       1200 SH  -    DEFINED 09               1200         0        0
D NVR INC                        COMMON     62944T105      352        583 SH  -    DEFINED 02                321         0      262
D NVR INC                        COMMON     62944T105      250        414 SH  -    DEFINED 02                303         0      111
D NVR INC                        COMMON     62944T105      317        525 SH  -    DEFINED 02                150         0      375
D NVR INC                        COMMON     62944T105      158        261 SH  -    OTHER   02                  0       226       30
D NVR INC                        COMMON     62944T105        6         10 SH  -    OTHER   02                 10         0        0
D NVR INC                        COMMON     62944T105   101551     168136 SH  -    DEFINED 04             131986         0    36150
D NVR INC                        COMMON     62944T105     3477       5757 SH  -    DEFINED 04               5757         0        0
D NVR INC                        COMMON     62944T105     9235      15291 SH  -    DEFINED 04              15291         0        0
D NVR INC                        COMMON     62944T105       60        100 SH  -    DEFINED 04                100         0        0
D NVR INC                        COMMON     62944T105       85        141 SH  -    DEFINED 04                  0         0      141
D NVR INC                        COMMON     62944T105       71        117 SH  -    DEFINED 05                117         0        0
D NVR INC                        COMMON     62944T105      282        467 SH  -    DEFINED 08                467         0        0
D NVR INC                        COMMON     62944T105      295        489 SH  -    DEFINED 09                489         0        0
D NVR INC                        COMMON     62944T105        6         10 SH  -    OTHER   01                  0        10        0
D NVE CORP                       COMMON     629445206        4         67 SH  -    OTHER   02                  0        67        0
D NVE CORP                       COMMON     629445206       47        776 SH  -    DEFINED 05                776         0        0
D NVE CORP                       COMMON     629445206       18        303 SH  -    DEFINED 08                303         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 561
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NVE CORP                       COMMON     629445206      273       4506 SH  -    OTHER   10                  0         0     4506
D NYSE EURONEXT                  COMMON     629491101      352      15160 SH  -    DEFINED 02               6334         0     8826
D NYSE EURONEXT                  COMMON     629491101        1         30 SH  -    DEFINED 02                 30         0        0
D NYSE EURONEXT                  COMMON     629491101       74       3179 SH  -    DEFINED 02               3017         0      162
D NYSE EURONEXT                  COMMON     629491101     1349      58044 SH  -    OTHER   02              34907      9591    13546
D NYSE EURONEXT                  COMMON     629491101       14        601 SH  -    OTHER   02                113        10      478
D NYSE EURONEXT                  COMMON     629491101     3899     167754 SH  -    DEFINED 04              91259         0    76495
D NYSE EURONEXT                  COMMON     629491101      980      42158 SH  -    DEFINED 04              42158         0        0
D NYSE EURONEXT                  COMMON     629491101     5053     217429 SH  -    DEFINED 05             217429         0        0
D NYSE EURONEXT                  COMMON     629491101        9        408 SH  -    DEFINED 06                408         0        0
D NYSE EURONEXT                  COMMON     629491101    44505    1915038 SH  -    DEFINED 08            1915038         0        0
D NYSE EURONEXT                  COMMON     629491101       25       1089 SH  -    DEFINED 08               1089         0        0
D NYSE EURONEXT                  COMMON     629491101      979      42129 SH  -    DEFINED 09              42129         0        0
D NYSE EURONEXT                  COMMON     629491101        1         57 SH  -    OTHER   01                  0        57        0
D NYSE EURONEXT                  COMMON     629491101       52       2218 SH  -    OTHER   10                  0         0     2218
D NABI BIOPHARMACEUT             COMMON     629519109        4       2372 SH  -    OTHER   02                  0      2372        0
D NABI BIOPHARMACEUT             COMMON     629519109       48      28800 SH  -    DEFINED 04              28800         0        0
D NABI BIOPHARMACEUT             COMMON     629519109      119      70810 SH  -    DEFINED 05              70810         0        0
D NABI BIOPHARMACEUT             COMMON     629519109        4       2432 SH  -    DEFINED 08               2432         0        0
D NACCO INDS INC                 COMMON     629579103       80       1264 SH  -    OTHER   02                  0       469      795
D NACCO INDS INC                 COMMON     629579103      569       8975 SH  -    DEFINED 04               8575         0      400
D NACCO INDS INC                 COMMON     629579103     1148      18100 SH  -    DEFINED 04              18100         0        0
D NACCO INDS INC                 COMMON     629579103       56        884 SH  -    DEFINED 05                884         0        0
D NACCO INDS INC                 COMMON     629579103       22        345 SH  -    DEFINED 08                345         0        0
D NALCO HOLDING COMPANY          COMMON     62985Q101       72       2045 SH  -    DEFINED 02               2045         0        0
D NALCO HOLDING COMPANY          COMMON     62985Q101       70       2000 SH  -    DEFINED 02               2000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 562
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NALCO HOLDING COMPANY          COMMON     62985Q101       52       1491 SH  -    OTHER   02                  0      1491        0
D NALCO HOLDING COMPANY          COMMON     62985Q101       84       2404 SH  -    OTHER   02                  7        35     2362
D NALCO HOLDING COMPANY          COMMON     62985Q101       66       1893 SH  -    DEFINED 04               1893         0        0
D NALCO HOLDING COMPANY          COMMON     62985Q101    53508    1529685 SH  -    DEFINED 05            1529685         0        0
D NALCO HOLDING COMPANY          COMMON     62985Q101     6900     197250 SH  -    DEFINED 08             197250         0        0
D NALCO HOLDING COMPANY          COMMON     62985Q101     3109      88872 SH  -    DEFINED 09              88872         0        0
D NALCO HOLDING COMPANY          COMMON     62985Q101      807      23082 SH  -    OTHER   01              23000        82        0
D NANOPHASE TECHS CP             COMMON     630079101      333     482898 SH  -    DEFINED 05             482898         0        0
D NARA BANCORP INC               COMMON     63080P105        1        138 SH  -    OTHER   02                  0       138        0
D NARA BANCORP INC               COMMON     63080P105     1753     288824 SH  -    DEFINED 04             248424         0    40400
D NARA BANCORP INC               COMMON     63080P105      565      93043 SH  -    DEFINED 04              93043         0        0
D NARA BANCORP INC               COMMON     63080P105      156      25632 SH  -    DEFINED 05              25632         0        0
D NASDAQ OMX GROUP INC           BOND       631103AA6       26      25000 PRN -    OTHER   10                  0         0        0
D NASDAQ OMX GROUP INC           COMMON     631103108      201       8695 SH  -    DEFINED 02               4595         0     4100
D NASDAQ OMX GROUP INC           COMMON     631103108       23        996 SH  -    DEFINED 02                996         0        0
D NASDAQ OMX GROUP INC           COMMON     631103108       35       1508 SH  -    DEFINED 02               1469         0       39
D NASDAQ OMX GROUP INC           COMMON     631103108      155       6693 SH  -    OTHER   02                161      6453        0
D NASDAQ OMX GROUP INC           COMMON     631103108        3        125 SH  -    OTHER   02                 60        65        0
D NASDAQ OMX GROUP INC           COMMON     631103108    10117     437209 SH  -    DEFINED 04             433559         0     3650
D NASDAQ OMX GROUP INC           COMMON     631103108     5319     229856 SH  -    DEFINED 04             229856         0        0
D NASDAQ OMX GROUP INC           COMMON     631103108     2742     118489 SH  -    DEFINED 04              66989         0    51500
D NASDAQ OMX GROUP INC           COMMON     631103108        3        125 SH  -    OTHER   04                  0       125        0
D NASDAQ OMX GROUP INC           COMMON     631103108      833      36003 SH  -    DEFINED 05              36003         0        0
D NASDAQ OMX GROUP INC           COMMON     631103108        6        252 SH  -    DEFINED 06                252         0        0
D NASDAQ OMX GROUP INC           COMMON     631103108      563      24344 SH  -    DEFINED 08              24344         0        0
D NASDAQ OMX GROUP INC           COMMON     631103108    10851     468936 SH  -    DEFINED 09             437013     31923        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 563
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NASDAQ OMX GROUP INC           COMMON     631103108      704      30419 SH  -    DEFINED 09              30419         0        0
D NASDAQ OMX GROUP INC           COMMON     631103108     5070     219115 SH  -    DEFINED 09             219115         0        0
D NASDAQ OMX GROUP INC           COMMON     631103108      718      31045 SH  -    OTHER   09                  0     31045        0
D NASDAQ OMX GROUP INC           COMMON     631103108        1         50 SH  -    DEFINED 01                 50         0        0
D NASDAQ OMX GROUP INC           COMMON     631103108       24       1030 SH  -    OTHER   10                  0         0     1030
D NASH FINCH CO                  BOND       631158AD4      204     470000 PRN -    DEFINED 05                  0         0        0
D NASH FINCH CO                  BOND       631158AD4      318     730000 PRN -    DEFINED 09                  0         0        0
D NASH FINCH CO                  COMMON     631158102        2         82 SH  -    OTHER   02                  0        82        0
D NASH FINCH CO                  COMMON     631158102       40       1500 SH  -    DEFINED 04               1500         0        0
D NASH FINCH CO                  COMMON     631158102     1207      44810 SH  -    DEFINED 04              44810         0        0
D NASH FINCH CO                  COMMON     631158102      224       8310 SH  -    DEFINED 05               8310         0        0
D NASH FINCH CO                  COMMON     631158102       12        461 SH  -    DEFINED 08                461         0        0
D NASH FINCH CO                  COMMON     631158102        8        288 SH  -    OTHER   10                  0         0      288
D NATIONAL BK GREECE S A         PREF ADR   633643507      171      45000 SH  -    DEFINED 05              45000         0        0
D NATIONAL BK GREECE S A         PREF ADR   633643507      551     144558 SH  -    DEFINED 08             144558         0        0
D NATIONAL BANKSHARES INC VA     COMMON     634865109      251      10400 SH  -    DEFINED 04               7900         0     2500
D NATIONAL BANKSHARES INC VA     COMMON     634865109        0          1 SH  -    DEFINED 05                  1         0        0
D NATIONAL BANKSHARES INC VA     COMMON     634865109       10        407 SH  -    DEFINED 08                407         0        0
D NATIONAL CINEMEDIA INC         COMMON     635309107    11440     788390 SH  -    DEFINED 04             566120         0   222270
D NATIONAL CINEMEDIA INC         COMMON     635309107     6364     438600 SH  -    DEFINED 04             438600         0        0
D NATIONAL CINEMEDIA INC         COMMON     635309107     1810     124730 SH  -    DEFINED 04             124730         0        0
D NATIONAL CINEMEDIA INC         COMMON     635309107      102       6997 SH  -    DEFINED 05               6997         0        0
D NATIONAL CINEMEDIA INC         COMMON     635309107       47       3255 SH  -    DEFINED 08               3255         0        0
D NATIONAL HEALTHCARE CORP       COMMON     635906100    13812     427604 SH  -    DEFINED 04             400724         0    26880
D NATIONAL HEALTHCARE CORP       COMMON     635906100       42       1293 SH  -    DEFINED 04               1293         0        0
D NATIONAL HEALTHCARE CORP       COMMON     635906100       13        400 SH  -    OTHER   04                  0       400        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 564
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NATIONAL HEALTHCARE CORP       COMMON     635906100       24        741 SH  -    DEFINED 05                741         0        0
D NATIONAL HEALTHCARE CORP       COMMON     635906100       23        703 SH  -    DEFINED 08                703         0        0
D NATIONAL FINL PARTNERS CORP    COMMON     63607P208       10        948 SH  -    OTHER   02                  0       948        0
D NATIONAL FINL PARTNERS CORP    COMMON     63607P208     5480     500900 SH  -    DEFINED 04             463100         0    37800
D NATIONAL FINL PARTNERS CORP    COMMON     63607P208      320      29216 SH  -    DEFINED 04              29216         0        0
D NATIONAL FINL PARTNERS CORP    COMMON     63607P208      234      21378 SH  -    DEFINED 05              21378         0        0
D NATIONAL FUEL GAS CO N J       COMMON     636180101      127       2600 SH  -    DEFINED 02                  0         0     2600
D NATIONAL FUEL GAS CO N J       COMMON     636180101      117       2400 SH  -    DEFINED 02               2400         0        0
D NATIONAL FUEL GAS CO N J       COMMON     636180101     2484      51028 SH  -    OTHER   02               7196     39663     4169
D NATIONAL FUEL GAS CO N J       COMMON     636180101      350       7181 SH  -    OTHER   02               3525      1956     1700
D NATIONAL FUEL GAS CO N J       COMMON     636180101      161       3300 SH  -    DEFINED 04                  0         0     3300
D NATIONAL FUEL GAS CO N J       COMMON     636180101     2427      49857 SH  -    DEFINED 04              49857         0        0
D NATIONAL FUEL GAS CO N J       COMMON     636180101      899      18477 SH  -    DEFINED 05              18477         0        0
D NATIONAL FUEL GAS CO N J       COMMON     636180101      193       3967 SH  -    DEFINED 08               3967         0        0
D NATIONAL FUEL GAS CO N J       COMMON     636180101      162       3325 SH  -    OTHER   01                  0      2975        0
D NATIONAL FUEL GAS CO N J       COMMON     636180101        1         30 SH  -    OTHER   10                  0         0       30
D NATIONAL GRID PLC              ADR        636274300        6        129 SH  -    DEFINED 02                113        16        0
D NATIONAL GRID PLC              ADR        636274300       83       1675 SH  -    DEFINED 02               1675         0        0
D NATIONAL GRID PLC              ADR        636274300      542      10923 SH  -    OTHER   02                  0     10923        0
D NATIONAL GRID PLC              ADR        636274300      131       2650 SH  -    OTHER   02                500         0     2150
D NATIONAL GRID PLC              ADR        636274300       54       1089 SH  -    OTHER   01                  0      1061        0
D NATIONAL GRID PLC              ADR        636274300      435       8768 SH  -    OTHER   10                  0         0     8768
D NATIONAL HEALTH INVS INC       COMMON     63633D104    18439     437671 SH  -    DEFINED 04             367412         0    70259
D NATIONAL HEALTH INVS INC       COMMON     63633D104     2469      58600 SH  -    DEFINED 04              58600         0        0
D NATIONAL HEALTH INVS INC       COMMON     63633D104       19        450 SH  -    DEFINED 04                450         0        0
D NATIONAL HEALTH INVS INC       COMMON     63633D104        6        140 SH  -    OTHER   04                  0       140        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 565
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NATIONAL HEALTH INVS INC       COMMON     63633D104       27        638 SH  -    DEFINED 05                638         0        0
D NATIONAL HEALTH INVS INC       COMMON     63633D104       14        325 SH  -    OTHER   10                  0         0      325
D NATL INSTRUMENTS               COMMON     636518102        5        225 SH  -    DEFINED 02                225         0        0
D NATL INSTRUMENTS               COMMON     636518102      301      13183 SH  -    OTHER   02                  0     11083     2100
D NATL INSTRUMENTS               COMMON     636518102       35       1537 SH  -    OTHER   02                  0         0     1537
D NATL INSTRUMENTS               COMMON     636518102     1811      79209 SH  -    DEFINED 04              79209         0        0
D NATL INSTRUMENTS               COMMON     636518102       33       1440 SH  -    DEFINED 05               1440         0        0
D NATL INSTRUMENTS               COMMON     636518102       15        675 SH  -    OTHER   01                  0       675        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101      624      12185 SH  -    DEFINED 02               3365         0     8820
D NATIONAL OILWELL VARCO INC     COMMON     637071101      152       2969 SH  -    DEFINED 02               2969         0        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101      266       5184 SH  -    DEFINED 02               4882         0      302
D NATIONAL OILWELL VARCO INC     COMMON     637071101     3225      62961 SH  -    OTHER   02              14994     43245     4630
D NATIONAL OILWELL VARCO INC     COMMON     637071101      406       7928 SH  -    OTHER   02                941      1009     5978
D NATIONAL OILWELL VARCO INC     COMMON     637071101   112735    2201004 SH  -    DEFINED 04            1259521         0   941483
D NATIONAL OILWELL VARCO INC     COMMON     637071101    18241     356123 SH  -    DEFINED 04             356123         0        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101     9122     178100 SH  -    DEFINED 04             178100         0        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101      108       2106 SH  -    DEFINED 04               2106         0        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101     2379      46438 SH  -    DEFINED 04              29503         0    16935
D NATIONAL OILWELL VARCO INC     COMMON     637071101       93       1820 SH  -    DEFINED 04                  0         0     1820
D NATIONAL OILWELL VARCO INC     COMMON     637071101      566      11053 SH  -    OTHER   04                  0     11053        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101     7912     154464 SH  -    DEFINED 05             154464         0        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101      256       4996 SH  -    DEFINED 06               4996         0        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101    10554     206050 SH  -    DEFINED 09             194332     11718        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101      529      10335 SH  -    DEFINED 09              10335         0        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101     4421      86307 SH  -    DEFINED 09              86307         0        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101      895      17466 SH  -    OTHER   09                  0     17466        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 566
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NATIONAL OILWELL VARCO INC     COMMON     637071101      256       4990 SH  -    OTHER   01                100      4740        0
D NATIONAL OILWELL VARCO INC     COMMON     637071101     2235      43644 SH  -    OTHER   10                  0         0    43644
D NATIONAL PENN BANCSHARES INC   COMMON     637138108        1        106 SH  -    OTHER   02                  0       106        0
D NATIONAL PENN BANCSHARES INC   COMMON     637138108     1102     157260 SH  -    DEFINED 04             157260         0        0
D NATIONAL PENN BANCSHARES INC   COMMON     637138108      613      87484 SH  -    DEFINED 04              87484         0        0
D NATIONAL PENN BANCSHARES INC   COMMON     637138108      424      60421 SH  -    DEFINED 05              60421         0        0
D NATIONAL PRESTO INDS INC       COMMON     637215104       48        550 SH  -    OTHER   02                  0         0      550
D NATIONAL PRESTO INDS INC       COMMON     637215104      309       3557 SH  -    DEFINED 04               3557         0        0
D NATIONAL PRESTO INDS INC       COMMON     637215104      236       2712 SH  -    DEFINED 05               2712         0        0
D NATIONAL PRESTO INDS INC       COMMON     637215104      217       2500 SH  -    OTHER   01               2500         0        0
D NATIONAL RETAIL PROPERTIES INC BOND       637417AC0     5141    4446000 PRN -    DEFINED 05                  0         0        0
D NATIONAL RETAIL PROPERTIES INC BOND       637417AC0    14059   12159000 PRN -    DEFINED 09                  0         0        0
D NATIONAL RETAIL PROPERTIES INC BOND       637417AC0     1420    1228000 PRN -    DEFINED 09                  0         0        0
D NATIONAL RETAIL PROPERTIES INC COMMON     637417106    42916    1597190 SH  -    DEFINED 04            1494151         0   103039
D NATIONAL RETAIL PROPERTIES INC COMMON     637417106     1640      61026 SH  -    DEFINED 04              61026         0        0
D NATIONAL RETAIL PROPERTIES INC COMMON     637417106     2332      86800 SH  -    DEFINED 04              86800         0        0
D NATIONAL RETAIL PROPERTIES INC COMMON     637417106     5858     218027 SH  -    DEFINED 05             218027         0        0
D NATIONAL RETAIL PROPERTIES INC COMMON     637417106       67       2500 SH  -    DEFINED 09               2500         0        0
D NATIONAL RETAIL PROPERTIES INC COMMON     637417106      416      15500 SH  -    OTHER   09                  0     15500        0
D NATL SEMICONDUCTOR             COMMON     637640103     3628     145168 SH  -    DEFINED 04             145168         0        0
D NATL SEMICONDUCTOR             OPTION     637640905       72       2900 SH  C    DEFINED 05               2900         0        0
D NAVIGATORS GROUP INC           COMMON     638904102       66       1533 SH  -    OTHER   02                  0      1533        0
D NAVIGATORS GROUP INC           COMMON     638904102      897      20750 SH  -    DEFINED 04              18550         0     2200
D NAVIGATORS GROUP INC           COMMON     638904102      393       9094 SH  -    DEFINED 04               9094         0        0
D NAVIGATORS GROUP INC           COMMON     638904102      235       5444 SH  -    DEFINED 05               5444         0        0
D NAVIGATORS GROUP INC           COMMON     638904102       49       1141 SH  -    OTHER   01                  0      1141        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 567
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NATURAL RESOURCE PARTNERS L P  COMMON     63900P103       36       1400 SH  -    OTHER   02               1400         0        0
D NATURAL RESOURCE PARTNERS L P  COMMON     63900P103    26459    1043329 SH  -    DEFINED 10            1043329         0        0
D NATURES SUNSHINE PRODUCTS INC  COMMON     639027101     1359      96500 SH  -    DEFINED 04              85300         0    11200
D NATURES SUNSHINE PRODUCTS INC  COMMON     639027101       38       2698 SH  -    DEFINED 05               2698         0        0
D NATURES SUNSHINE PRODUCTS INC  COMMON     639027101       11        809 SH  -    DEFINED 08                809         0        0
D NATUS MEDICAL INC DEL          COMMON     639050103      198      20870 SH  -    DEFINED 04              20870         0        0
D NATUS MEDICAL INC DEL          COMMON     639050103      148      15572 SH  -    DEFINED 05              15572         0        0
D NAVISTAR INTL CORP             COMMON     63934E108        2         50 SH  -    DEFINED 02                 50         0        0
D NAVISTAR INTL CORP             COMMON     63934E108       72       2251 SH  -    OTHER   02               1600       651        0
D NAVISTAR INTL CORP             COMMON     63934E108       32       1010 SH  -    OTHER   02               1000         0       10
D NAVISTAR INTL CORP             COMMON     63934E108    16870     525217 SH  -    DEFINED 04             448717         0    76500
D NAVISTAR INTL CORP             COMMON     63934E108     7484     232989 SH  -    DEFINED 04             232989         0        0
D NAVISTAR INTL CORP             COMMON     63934E108      161       5001 SH  -    OTHER   04                  0      5001        0
D NAVISTAR INTL CORP             COMMON     63934E108      639      19884 SH  -    DEFINED 05              19884         0        0
D NAVISTAR INTL CORP             COMMON     63934E108     9393     292423 SH  -    DEFINED 08             292423         0        0
D NAVIGANT CONSULTING INC        COMMON     63935N107     1033     111400 SH  -    DEFINED 04             111400         0        0
D NAVIGANT CONSULTING INC        COMMON     63935N107      341      36781 SH  -    DEFINED 04              36781         0        0
D NAVIGANT CONSULTING INC        COMMON     63935N107      257      27751 SH  -    DEFINED 05              27751         0        0
D NEENAH PAPER INC               COMMON     640079109        2        153 SH  -    OTHER   02                  0       153        0
D NEENAH PAPER INC               COMMON     640079109      818      57700 SH  -    DEFINED 04              53400         0     4300
D NEENAH PAPER INC               COMMON     640079109     1313      92597 SH  -    DEFINED 04              92597         0        0
D NEENAH PAPER INC               COMMON     640079109      133       9399 SH  -    DEFINED 05               9399         0        0
D NEKTAR THERAPEUTICS            COMMON     640268108        1        296 SH  -    OTHER   02                  0       172        0
D NEKTAR THERAPEUTICS            COMMON     640268108        3        616 SH  -    OTHER   02                  0         0      616
D NEKTAR THERAPEUTICS            COMMON     640268108     2789     574960 SH  -    DEFINED 04             413430         0   161530
D NEKTAR THERAPEUTICS            COMMON     640268108     1854     382300 SH  -    DEFINED 04             382300         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 568
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NEKTAR THERAPEUTICS            COMMON     640268108      438      90400 SH  -    DEFINED 04              90400         0        0
D NEKTAR THERAPEUTICS            COMMON     640268108      686     141385 SH  -    DEFINED 05             141385         0        0
D NEKTAR THERAPEUTICS            COMMON     640268108       16       3251 SH  -    DEFINED 08               3251         0        0
D NEKTAR THERAPEUTICS            COMMON     640268108        1        200 SH  -    OTHER   10                  0         0      200
D NELNET INC                     COMMON     64031N108     4042     215250 SH  -    DEFINED 04             194750         0    20500
D NELNET INC                     COMMON     64031N108       59       3117 SH  -    DEFINED 04               3117         0        0
D NELNET INC                     COMMON     64031N108      176       9347 SH  -    OTHER   04                  0      9347        0
D NELNET INC                     COMMON     64031N108       50       2645 SH  -    DEFINED 05               2645         0        0
D NELNET INC                     COMMON     64031N108       28       1500 SH  -    DEFINED 08               1500         0        0
D NELNET INC                     COMMON     64031N108      104       5518 SH  -    DEFINED 09               5518         0        0
D NEOGEN CORP                    COMMON     640491106       49       1405 SH  -    DEFINED 02               1405         0        0
D NEOGEN CORP                    COMMON     640491106       72       2075 SH  -    OTHER   02                  0       125     1950
D NEOGEN CORP                    COMMON     640491106      570      16395 SH  -    DEFINED 04              16395         0        0
D NEOGEN CORP                    COMMON     640491106      377      10859 SH  -    DEFINED 05              10859         0        0
D NEOPHOTONICS CORP              COMMON     64051T100        3        384 SH  -    OTHER   02                  0       384        0
D NEOPHOTONICS CORP              COMMON     64051T100       65       9400 SH  -    DEFINED 04               9400         0        0
D NEOPHOTONICS CORP              COMMON     64051T100       14       2062 SH  -    DEFINED 08               2062         0        0
D NEOPROBE CORP                  COMMON     640518106        4       1283 SH  -    OTHER   02                  0      1283        0
D NEOPROBE CORP                  COMMON     640518106      335     113178 SH  -    DEFINED 05             113178         0        0
D NEOPROBE CORP                  COMMON     640518106       17       5614 SH  -    DEFINED 08               5614         0        0
D NETAPP INC                     BOND       64110DAB0        5       4000 PRN -    DEFINED 02                  0         0        0
D NETAPP INC                     BOND       64110DAB0     5456    4500000 PRN -    DEFINED 05                  0         0        0
D NETAPP INC                     BOND       64110DAB0     5803    4786000 PRN -    DEFINED 09                  0         0        0
D NETAPP INC                     BOND       64110DAB0      976     805000 PRN -    DEFINED 09                  0         0        0
D NETAPP INC                     COMMON     64110D104     5734     168985 SH  -    DEFINED 02             140745       645    27595
D NETAPP INC                     COMMON     64110D104     1832      53989 SH  -    DEFINED 02              50815        55     3119

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 569
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NETAPP INC                     COMMON     64110D104      475      14006 SH  -    DEFINED 02               6936         0     7070
D NETAPP INC                     COMMON     64110D104     2194      64663 SH  -    OTHER   02              34004     23181     7478
D NETAPP INC                     COMMON     64110D104      232       6828 SH  -    OTHER   02               6445       353       30
D NETAPP INC                     COMMON     64110D104       23        686 SH  -    OTHER   02                  0       686        0
D NETAPP INC                     COMMON     64110D104       25        737 SH  -    OTHER   02                  0       737        0
D NETAPP INC                     COMMON     64110D104       89       2630 SH  -    OTHER   02                  0      2630        0
D NETAPP INC                     COMMON     64110D104   134089    3951928 SH  -    DEFINED 04            3013297         0   938631
D NETAPP INC                     COMMON     64110D104    34845    1026976 SH  -    DEFINED 04            1026976         0        0
D NETAPP INC                     COMMON     64110D104     9249     272604 SH  -    DEFINED 04             272604         0        0
D NETAPP INC                     COMMON     64110D104       17        500 SH  -    DEFINED 04                500         0        0
D NETAPP INC                     COMMON     64110D104       50       1465 SH  -    DEFINED 04                  0         0     1465
D NETAPP INC                     COMMON     64110D104     4676     137827 SH  -    OTHER   04                  0    137827        0
D NETAPP INC                     COMMON     64110D104     9939     292919 SH  -    DEFINED 05             292919         0        0
D NETAPP INC                     COMMON     64110D104    53276    1570175 SH  -    DEFINED 08            1570175         0        0
D NETAPP INC                     COMMON     64110D104       92       2700 SH  -    DEFINED 09               2700         0        0
D NETAPP INC                     COMMON     64110D104     1044      30764 SH  -    OTHER   09                  0     30764        0
D NETAPP INC                     COMMON     64110D104      295       8701 SH  -    DEFINED 01               7451       730      520
D NETAPP INC                     COMMON     64110D104      134       3938 SH  -    OTHER   01               2127       717     1094
D NETAPP INC                     COMMON     64110D104     2268      66853 SH  -    OTHER   10                  0         0    66853
D NETFLIX INC                    COMMON     64110L106       75        661 SH  -    DEFINED 02                661         0        0
D NETFLIX INC                    COMMON     64110L106       72        636 SH  -    DEFINED 02                605         0       31
D NETFLIX INC                    COMMON     64110L106       50        439 SH  -    OTHER   02                  0       339      100
D NETFLIX INC                    COMMON     64110L106        7         59 SH  -    OTHER   02                  0         9       50
D NETFLIX INC                    COMMON     64110L106    37493     331002 SH  -    DEFINED 04             171970         0   159032
D NETFLIX INC                    COMMON     64110L106    15423     136161 SH  -    DEFINED 04             136161         0        0
D NETFLIX INC                    COMMON     64110L106     2076      18330 SH  -    DEFINED 04              18330         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 570
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NETFLIX INC                    COMMON     64110L106       57        499 SH  -    OTHER   04                  0       499        0
D NETFLIX INC                    COMMON     64110L106     3851      33996 SH  -    DEFINED 05              33996         0        0
D NETFLIX INC                    COMMON     64110L106        1          5 SH  -    OTHER   01                  0         5        0
D NETFLIX INC                    COMMON     64110L106       33        295 SH  -    OTHER   10                  0         0      295
D NETEASE.COM INC                ADR        64110W102       14        365 SH  -    DEFINED 02                  0       365        0
D NETEASE.COM INC                ADR        64110W102      423      11095 SH  -    OTHER   02                  0     11095        0
D NETEASE.COM INC                ADR        64110W102       29        750 SH  -    OTHER   02                  0         0      750
D NETEASE.COM INC                ADR        64110W102      107       2813 SH  -    DEFINED 05               2813         0        0
D NETGEAR INC                    COMMON     64111Q104        5        201 SH  -    DEFINED 02                  0       201        0
D NETGEAR INC                    COMMON     64111Q104      310      11963 SH  -    OTHER   02                  0     11963        0
D NETGEAR INC                    COMMON     64111Q104       47       1828 SH  -    OTHER   02                  0         0     1828
D NETGEAR INC                    COMMON     64111Q104     1113      42981 SH  -    DEFINED 04              37281         0     5700
D NETGEAR INC                    COMMON     64111Q104      810      31278 SH  -    DEFINED 04              31278         0        0
D NETGEAR INC                    COMMON     64111Q104      527      20364 SH  -    DEFINED 05              20364         0        0
D NETSCOUT SYSTEMS               COMMON     64115T104      820      71830 SH  -    DEFINED 04              61430         0    10400
D NETSCOUT SYSTEMS               COMMON     64115T104      400      35001 SH  -    DEFINED 04              35001         0        0
D NETSCOUT SYSTEMS               COMMON     64115T104      231      20227 SH  -    DEFINED 05              20227         0        0
D NETLOGIC MICROSYSTEMS INC      COMMON     64118B100        7        150 SH  -    OTHER   02                  0       150        0
D NETLOGIC MICROSYSTEMS INC      COMMON     64118B100      747      15522 SH  -    DEFINED 04              15522         0        0
D NETLOGIC MICROSYSTEMS INC      COMMON     64118B100    26783     556590 SH  -    DEFINED 05             556590         0        0
D NETLOGIC MICROSYSTEMS INC      COMMON     64118B100      194       4033 SH  -    DEFINED 08               4033         0        0
D NETLOGIC MICROSYSTEMS INC      COMMON     64118B100    17016     353607 SH  -    DEFINED 09             196527         0        0
D NETLOGIC MICROSYSTEMS INC      COMMON     64118B100        6        119 SH  -    OTHER   10                  0         0      119
D NETSUITE INC                   COMMON     64118Q107        4        149 SH  -    OTHER   02                  0       149        0
D NETSUITE INC                   COMMON     64118Q107    21686     802906 SH  -    DEFINED 04             682549         0   120357
D NETSUITE INC                   COMMON     64118Q107     6357     235350 SH  -    DEFINED 04             235350         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 571
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NETSUITE INC                   COMMON     64118Q107     1299      48100 SH  -    DEFINED 04              48100         0        0
D NETSUITE INC                   COMMON     64118Q107       35       1282 SH  -    DEFINED 05               1282         0        0
D NETSUITE INC                   COMMON     64118Q107       44       1638 SH  -    DEFINED 08               1638         0        0
D NETSPEND HLDGS INC             COMMON     64118V106       10       1849 SH  -    OTHER   02                  0      1849        0
D NETSPEND HLDGS INC             COMMON     64118V106       37       7182 SH  -    DEFINED 05               7182         0        0
D NETSPEND HLDGS INC             COMMON     64118V106        9       1677 SH  -    DEFINED 08               1677         0        0
D NETWORK EQUIP TECHNOLOGIES     COMMON     641208103       40      20473 SH  -    DEFINED 04              20473         0        0
D NETWORK EQUIP TECHNOLOGIES     COMMON     641208103       26      13530 SH  -    DEFINED 05              13530         0        0
D NEUROCRINE BIOSCIE             COMMON     64125C109        3        464 SH  -    OTHER   02                  0       464        0
D NEUROCRINE BIOSCIE             COMMON     64125C109      425      71082 SH  -    DEFINED 05              71082         0        0
D NEUROCRINE BIOSCIE             COMMON     64125C109       17       2839 SH  -    DEFINED 08               2839         0        0
D NEUROCRINE BIOSCIE             COMMON     64125C109      243      40674 SH  -    DEFINED 09              40674         0        0
D NEUSTAR INC                    COMMON     64126X201       53       2100 SH  -    DEFINED 02                  0         0     2100
D NEUSTAR INC                    COMMON     64126X201       40       1596 SH  -    OTHER   02                 46       353     1197
D NEUSTAR INC                    COMMON     64126X201      442      17575 SH  -    DEFINED 04              17575         0        0
D NEUSTAR INC                    COMMON     64126X201     1438      57212 SH  -    DEFINED 04              57212         0        0
D NEUSTAR INC                    COMMON     64126X201       28       1115 SH  -    DEFINED 05               1115         0        0
D NEUTRAL TANDEM INC             COMMON     64128B108      223      23072 SH  -    DEFINED 04              23072         0        0
D NEUTRAL TANDEM INC             COMMON     64128B108      143      14729 SH  -    DEFINED 05              14729         0        0
D NEUTRAL TANDEM INC             COMMON     64128B108       51       5284 SH  -    DEFINED 01               5284         0        0
D NEVSUN RES LTD                 COMMON     64156L101    60074   11943046 SH  -    DEFINED 09           11943046         0        0
D NEVSUN RES LTD                 COMMON     64156L101     3521     700000 SH  -    DEFINED 09             700000         0        0
D NEW GOLD INC CDA               COMMON     644535106      412      40000 SH  -    DEFINED 05              40000         0        0
D NEW GOLD INC CDA               COMMON     644535106      267      25912 SH  -    DEFINED 06              25912         0        0
D NEW GOLD INC CDA               COMMON     644535106     2000     194408 SH  -    DEFINED 08             194408         0        0
D NEW JERSEY RES                 COMMON     646025106       33        766 SH  -    OTHER   02                  0       766        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 572
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NEW JERSEY RES                 COMMON     646025106        0         10 SH  -    OTHER   02                  5         5        0
D NEW JERSEY RES                 COMMON     646025106     6382     149915 SH  -    DEFINED 04             133065         0    16850
D NEW JERSEY RES                 COMMON     646025106     2254      52938 SH  -    DEFINED 04              52938         0        0
D NEW JERSEY RES                 COMMON     646025106     1047      24592 SH  -    DEFINED 05              24592         0        0
D NEW ORIENTAL ED & TECH GRP INC ADR        647581107        7        290 SH  -    DEFINED 02                290         0        0
D NEW ORIENTAL ED & TECH GRP INC ADR        647581107    19018     827940 SH  -    DEFINED 02             827940         0        0
D NEW ORIENTAL ED & TECH GRP INC ADR        647581107        1         41 SH  -    OTHER   02                  0        41        0
D NEW ORIENTAL ED & TECH GRP INC ADR        647581107     5577     242800 SH  -    DEFINED 04             242800         0        0
D NEW ORIENTAL ED & TECH GRP INC ADR        647581107    34061    1482840 SH  -    DEFINED 04            1131196         0   351644
D NEW ORIENTAL ED & TECH GRP INC ADR        647581107    75845    3301932 SH  -    DEFINED 09            3274696         0    27236
D NEW ORIENTAL ED & TECH GRP INC ADR        647581107      570      24800 SH  -    DEFINED 09              24800         0        0
D NEW ORIENTAL ED & TECH GRP INC ADR        647581107     8301     361404 SH  -    DEFINED 09             361404         0        0
D NEW ORIENTAL ED & TECH GRP INC ADR        647581107     1780      77500 SH  -    DEFINED 09                  0         0        0
D NEW ORIENTAL ED & TECH GRP INC ADR        647581107    65276    2841785 SH  -    OTHER   09                  0   2841785        0
D NEW ORIENTAL ED & TECH GRP INC OPTION     647581909        5        200 SH  C    DEFINED 05                200         0        0
D NEW YORK CMNTY BANCORP INC     COMMON     649445103        3        250 SH  -    DEFINED 02                250         0        0
D NEW YORK CMNTY BANCORP INC     COMMON     649445103        5        400 SH  -    DEFINED 02                400         0        0
D NEW YORK CMNTY BANCORP INC     COMMON     649445103      382      32120 SH  -    OTHER   02                290     27754     4076
D NEW YORK CMNTY BANCORP INC     COMMON     649445103      431      36203 SH  -    OTHER   02               2130       788    33285
D NEW YORK CMNTY BANCORP INC     COMMON     649445103     1065      89517 SH  -    DEFINED 04              89517         0        0
D NEW YORK CMNTY BANCORP INC     COMMON     649445103     6881     578274 SH  -    DEFINED 04             578274         0        0
D NEW YORK CMNTY BANCORP INC     COMMON     649445103        1         70 SH  -    OTHER   04                  0        70        0
D NEW YORK CMNTY BANCORP INC     COMMON     649445103     6081     510970 SH  -    DEFINED 05             510970         0        0
D NEW YORK CMNTY BANCORP INC     COMMON     649445103        9        793 SH  -    DEFINED 06                793         0        0
D NEW YORK CMNTY BANCORP INC     COMMON     649445103     1762     148044 SH  -    DEFINED 08             148044         0        0
D NEW YORK CMNTY BANCORP INC     COMMON     649445103      179      15066 SH  -    OTHER   10                  0         0    15066

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 573
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NEW YORK TIMES CO              COMMON     650111107        0         41 SH  -    DEFINED 02                 41         0        0
D NEW YORK TIMES CO              COMMON     650111107      104      17875 SH  -    OTHER   02                  0     17875        0
D NEW YORK TIMES CO              COMMON     650111107       10       1642 SH  -    OTHER   02                  0        42     1600
D NEW YORK TIMES CO              COMMON     650111107      491      84584 SH  -    DEFINED 04              84584         0        0
D NEW YORK TIMES CO              COMMON     650111107       11       1881 SH  -    DEFINED 05               1881         0        0
D NEW YORK TIMES CO              COMMON     650111107      197      33904 SH  -    DEFINED 08              33904         0        0
D NEW YORK TIMES CO              COMMON     650111107        5        937 SH  -    OTHER   01                  0       937        0
D NEWCASTLE INVT CORP            COMMON     65105M108     1374     337635 SH  -    DEFINED 05             337635         0        0
D NEWCASTLE INVT CORP            COMMON     65105M108       26       6317 SH  -    DEFINED 08               6317         0        0
D NEWCASTLE INVT CORP            COMMON     65105M108       69      17000 SH  -    OTHER   10                  0         0    17000
D NEWELL RUBBERMAID              COMMON     651229106       10        837 SH  -    DEFINED 02                837         0        0
D NEWELL RUBBERMAID              COMMON     651229106        1         52 SH  -    DEFINED 02                 52         0        0
D NEWELL RUBBERMAID              COMMON     651229106       42       3537 SH  -    DEFINED 02               3358         0      179
D NEWELL RUBBERMAID              COMMON     651229106      239      20172 SH  -    OTHER   02                  0     17397     2775
D NEWELL RUBBERMAID              COMMON     651229106      152      12815 SH  -    OTHER   02               3024        41     9750
D NEWELL RUBBERMAID              COMMON     651229106     3695     311312 SH  -    DEFINED 04             162665         0   148647
D NEWELL RUBBERMAID              COMMON     651229106     1467     123604 SH  -    DEFINED 04             123604         0        0
D NEWELL RUBBERMAID              COMMON     651229106     1601     134841 SH  -    DEFINED 05             134841         0        0
D NEWELL RUBBERMAID              COMMON     651229106     2830     238381 SH  -    OTHER   10                  0         0   238381
D NEWFIELD EXPL CO               COMMON     651290108       59       1482 SH  -    DEFINED 02               1482         0        0
D NEWFIELD EXPL CO               COMMON     651290108      118       2974 SH  -    DEFINED 02               2974         0        0
D NEWFIELD EXPL CO               COMMON     651290108       65       1646 SH  -    DEFINED 02               1525         0      121
D NEWFIELD EXPL CO               COMMON     651290108      673      16957 SH  -    OTHER   02               4965      7192     4800
D NEWFIELD EXPL CO               COMMON     651290108       70       1752 SH  -    OTHER   02               1705        42        5
D NEWFIELD EXPL CO               COMMON     651290108    89715    2260401 SH  -    DEFINED 04            1808468         0   451933
D NEWFIELD EXPL CO               COMMON     651290108    15341     386526 SH  -    DEFINED 04             386526         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 574
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NEWFIELD EXPL CO               COMMON     651290108     1242      31300 SH  -    DEFINED 04              31300         0        0
D NEWFIELD EXPL CO               COMMON     651290108      692      17442 SH  -    OTHER   04                  0     17442        0
D NEWFIELD EXPL CO               COMMON     651290108     3554      89545 SH  -    OTHER   04                  0     89545        0
D NEWFIELD EXPL CO               COMMON     651290108      133       3346 SH  -    DEFINED 05               3346         0        0
D NEWFIELD EXPL CO               COMMON     651290108       63       1593 SH  -    DEFINED 06               1593         0        0
D NEWFIELD EXPL CO               COMMON     651290108     1563      39376 SH  -    DEFINED 08              39376         0        0
D NEWFIELD EXPL CO               COMMON     651290108        5        135 SH  -    OTHER   01                  0       135        0
D NEWFIELD EXPL CO               COMMON     651290108     1223      30808 SH  -    OTHER   10                  0         0    30808
D NEWMARKET CORP                 COMMON     651587107        7         43 SH  -    DEFINED 02                 43         0        0
D NEWMARKET CORP                 COMMON     651587107       12         79 SH  -    OTHER   02                  0        74        0
D NEWMARKET CORP                 COMMON     651587107      394       2592 SH  -    DEFINED 04               2592         0        0
D NEWMARKET CORP                 COMMON     651587107     4333      28532 SH  -    DEFINED 04              28532         0        0
D NEWMARKET CORP                 COMMON     651587107       47        312 SH  -    DEFINED 05                312         0        0
D NEWMARKET CORP                 COMMON     651587107      142        935 SH  -    DEFINED 08                935         0        0
D NEWMARKET CORP                 COMMON     651587107        4         24 SH  -    OTHER   10                  0         0       24
D NEWMONT MINING CORP            BOND       651639AH9     3290    2259000 PRN -    DEFINED 05                  0         0        0
D NEWMONT MINING CORP            BOND       651639AH9    34046   23379000 PRN -    DEFINED 09                  0         0        0
D NEWMONT MINING CORP            BOND       651639AH9     7852    5392000 PRN -    DEFINED 09                  0         0        0
D NEWMONT MINING CORP            BOND       651639AJ5        6       4000 PRN -    DEFINED 02                  0         0        0
D NEWMONT MINING CORP            BOND       651639AJ5     4871    3258000 PRN -    DEFINED 05                  0         0        0
D NEWMONT MINING CORP            BOND       651639AK2        6       4000 PRN -    DEFINED 02                  0         0        0
D NEWMONT MINING CORP            BOND       651639AK2     2309    1672000 PRN -    DEFINED 05                  0         0        0
D NEWMONT MINING CORP            BOND       651639AK2    16463   11919000 PRN -    DEFINED 09                  0         0        0
D NEWMONT MINING CORP            BOND       651639AK2     1670    1209000 PRN -    DEFINED 09                  0         0        0
D NEWMONT MINING CORP            COMMON     651639106       94       1493 SH  -    DEFINED 02                193      1300        0
D NEWMONT MINING CORP            COMMON     651639106       59        944 SH  -    DEFINED 02                444         0      500

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 575
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NEWMONT MINING CORP            COMMON     651639106      381       6056 SH  -    DEFINED 02               5695         0      361
D NEWMONT MINING CORP            COMMON     651639106    14257     226487 SH  -    OTHER   02               1065    212506    12850
D NEWMONT MINING CORP            COMMON     651639106      794      12618 SH  -    OTHER   02               7500      1332     3786
D NEWMONT MINING CORP            COMMON     651639106    56444     896646 SH  -    DEFINED 04             687198         0   209448
D NEWMONT MINING CORP            COMMON     651639106     5012      79614 SH  -    DEFINED 04              79614         0        0
D NEWMONT MINING CORP            COMMON     651639106      105       1675 SH  -    DEFINED 04               1675         0        0
D NEWMONT MINING CORP            COMMON     651639106      203       3226 SH  -    DEFINED 04               3226         0        0
D NEWMONT MINING CORP            COMMON     651639106     3631      57684 SH  -    DEFINED 04              38434         0    19250
D NEWMONT MINING CORP            COMMON     651639106       70       1113 SH  -    DEFINED 04                  0         0     1113
D NEWMONT MINING CORP            COMMON     651639106        8        120 SH  -    OTHER   04                  0       120        0
D NEWMONT MINING CORP            COMMON     651639106     1031      16375 SH  -    OTHER   04                  0     16375        0
D NEWMONT MINING CORP            COMMON     651639106    14510     230501 SH  -    DEFINED 05             230501         0        0
D NEWMONT MINING CORP            COMMON     651639106      684      10867 SH  -    DEFINED 06              10867         0        0
D NEWMONT MINING CORP            COMMON     651639106    35337     561347 SH  -    DEFINED 08             561347         0        0
D NEWMONT MINING CORP            COMMON     651639106    71364    1133669 SH  -    DEFINED 09             991914     11820        0
D NEWMONT MINING CORP            COMMON     651639106      702      11155 SH  -    DEFINED 09              11155         0        0
D NEWMONT MINING CORP            COMMON     651639106     5200      82600 SH  -    DEFINED 09              82600         0        0
D NEWMONT MINING CORP            COMMON     651639106     7229     114836 SH  -    OTHER   09                  0    114836        0
D NEWMONT MINING CORP            COMMON     651639106      403       6409 SH  -    OTHER   01                258      6151        0
D NEWMONT MINING CORP            COMMON     651639106     7471     118675 SH  -    OTHER   10                  0         0   118675
D NEWPARK RES INC                BOND       651718AC2     1717    1866000 PRN -    DEFINED 05                  0         0        0
D NEWPARK RES INC                COMMON     651718504       26       4347 SH  -    OTHER   02                  0      1807     2540
D NEWPARK RES INC                COMMON     651718504      184      30205 SH  -    OTHER   02               1300         0    28905
D NEWPARK RES INC                COMMON     651718504      866     142200 SH  -    DEFINED 04             117800         0    24400
D NEWPARK RES INC                COMMON     651718504       40       6597 SH  -    DEFINED 05               6597         0        0
D NEWPARK RES INC                COMMON     651718504       33       5361 SH  -    DEFINED 08               5361         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 576
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NEWPORT CORP                   COMMON     651824104       12       1073 SH  -    OTHER   02                  0       593      480
D NEWPORT CORP                   COMMON     651824104     1201     111096 SH  -    DEFINED 04              89796         0    21300
D NEWPORT CORP                   COMMON     651824104      754      69741 SH  -    DEFINED 04              69741         0        0
D NEWPORT CORP                   COMMON     651824104      235      21763 SH  -    DEFINED 05              21763         0        0
D NEWS CORP                      COMMON     65248E104      983      63487 SH  -    DEFINED 02              19271       390    43826
D NEWS CORP                      COMMON     65248E104      109       7055 SH  -    DEFINED 02               6815         0      240
D NEWS CORP                      COMMON     65248E104      215      13917 SH  -    DEFINED 02              13917         0        0
D NEWS CORP                      COMMON     65248E104      433      27973 SH  -    DEFINED 02              26337         0     1636
D NEWS CORP                      COMMON     65248E104     5922     382540 SH  -    OTHER   02              63112    299272    19126
D NEWS CORP                      COMMON     65248E104      271      17485 SH  -    OTHER   02               2140      9594     5751
D NEWS CORP                      COMMON     65248E104    24458    1580005 SH  -    DEFINED 04            1020175         0   559830
D NEWS CORP                      COMMON     65248E104     5706     368600 SH  -    DEFINED 04             368600         0        0
D NEWS CORP                      COMMON     65248E104       84       5400 SH  -    DEFINED 04               5400         0        0
D NEWS CORP                      COMMON     65248E104     1217      78608 SH  -    DEFINED 05              78608         0        0
D NEWS CORP                      COMMON     65248E104      443      28590 SH  -    DEFINED 09              28590         0        0
D NEWS CORP                      COMMON     65248E104     2724     175940 SH  -    OTHER   09                  0    175940        0
D NEWS CORP                      COMMON     65248E104      116       7500 SH  -    DEFINED 01               7500         0        0
D NEWS CORP                      COMMON     65248E104      205      13224 SH  -    OTHER   01                  0     12299        0
D NEWS CORP                      COMMON     65248E104      481      31098 SH  -    OTHER   10                  0         0    31098
D NEWS CORP                      COMMON     65248E203       23       1470 SH  -    DEFINED 02               1470         0        0
D NEWS CORP                      COMMON     65248E203      284      18179 SH  -    OTHER   02              16585       480        0
D NEWS CORP                      COMMON     65248E203       67       4297 SH  -    DEFINED 04               4297         0        0
D NEWS CORP                      COMMON     65248E203     5984     383559 SH  -    DEFINED 04             383559         0        0
D NEWS CORP                      COMMON     65248E203        7        445 SH  -    OTHER   04                  0       445        0
D NEWS CORP                      COMMON     65248E203        3        218 SH  -    OTHER   04                  0       218        0
D NEWS CORP                      COMMON     65248E203      149       9561 SH  -    DEFINED 05               9561         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 577
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NEWS CORP                      COMMON     65248E203     1389      89026 SH  -    DEFINED 08              89026         0        0
D NEWS CORP                      COMMON     65248E203     5826     373484 SH  -    DEFINED 09             331451         0    42033
D NEWS CORP                      COMMON     65248E203     2113     135460 SH  -    OTHER   09                  0    135460        0
D NEWS CORP                      COMMON     65248E203     1163      74580 SH  -    OTHER   10                  0         0    74580
D NEWTEK BUSINESS SVCS INC       COMMON     652526104       22      16000 SH  -    DEFINED 04              16000         0        0
D NEXEN INC                      COMMON     65334H102      242      15591 SH  -    DEFINED 02               3624     11967        0
D NEXEN INC                      COMMON     65334H102       17       1108 SH  -    DEFINED 02               1108         0        0
D NEXEN INC                      COMMON     65334H102      698      45032 SH  -    OTHER   02              11831     32331      870
D NEXEN INC                      COMMON     65334H102      233      15020 SH  -    OTHER   02                720       410    13890
D NEXEN INC                      COMMON     65334H102        2        104 SH  -    OTHER   04                  0       104        0
D NEXEN INC                      COMMON     65334H102      471      30414 SH  -    DEFINED 05              30414         0        0
D NEXEN INC                      COMMON     65334H102      322      20788 SH  -    DEFINED 06              20788         0        0
D NEXEN INC                      COMMON     65334H102       55       3564 SH  -    OTHER   01                  0      3564        0
D NEXEN INC                      COMMON     65334H102      384      24771 SH  -    OTHER   10                  0         0    24771
D NEXSTAR BROADCASTING GROUP INC COMMON     65336K103      395      59801 SH  -    DEFINED 04              54501         0     5300
D NEXSTAR BROADCASTING GROUP INC COMMON     65336K103        4        653 SH  -    DEFINED 08                653         0        0
D NEXTERA ENERGY INC             COMMON     65339F101    77340    1431701 SH  -    DEFINED 02            1359264      4280    68157
D NEXTERA ENERGY INC             COMMON     65339F101    21390     395961 SH  -    DEFINED 02             393707        85     2169
D NEXTERA ENERGY INC             COMMON     65339F101      864      15991 SH  -    DEFINED 02               7855         0     8136
D NEXTERA ENERGY INC             COMMON     65339F101    18165     336260 SH  -    OTHER   02              88760    225435    21674
D NEXTERA ENERGY INC             COMMON     65339F101     4737      87682 SH  -    OTHER   02              63183     12341    12158
D NEXTERA ENERGY INC             COMMON     65339F101     9229     170839 SH  -    OTHER   02                  0    170839        0
D NEXTERA ENERGY INC             COMMON     65339F101     4122      76307 SH  -    OTHER   02                  0     76307        0
D NEXTERA ENERGY INC             COMMON     65339F101     3988      73825 SH  -    OTHER   02                  0     73825        0
D NEXTERA ENERGY INC             COMMON     65339F101   391696    7250935 SH  -    DEFINED 04            5947007         0  1303928
D NEXTERA ENERGY INC             COMMON     65339F101    12550     232323 SH  -    DEFINED 04             232323         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 578
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NEXTERA ENERGY INC             COMMON     65339F101    27748     513670 SH  -    DEFINED 04             513670         0        0
D NEXTERA ENERGY INC             COMMON     65339F101      152       2814 SH  -    DEFINED 04               2814         0        0
D NEXTERA ENERGY INC             COMMON     65339F101      470       8707 SH  -    DEFINED 04               8707         0        0
D NEXTERA ENERGY INC             COMMON     65339F101      194       3596 SH  -    DEFINED 04                  0         0     3596
D NEXTERA ENERGY INC             COMMON     65339F101    11624     215187 SH  -    OTHER   04                  0    215187        0
D NEXTERA ENERGY INC             COMMON     65339F101     9513     176096 SH  -    DEFINED 05             176096         0        0
D NEXTERA ENERGY INC             COMMON     65339F101     2689      49771 SH  -    DEFINED 09              49771         0        0
D NEXTERA ENERGY INC             COMMON     65339F101      146       2704 SH  -    DEFINED 09                  0         0     2704
D NEXTERA ENERGY INC             COMMON     65339F101     4640      85896 SH  -    OTHER   09                  0     85896        0
D NEXTERA ENERGY INC             COMMON     65339F101     1745      32301 SH  -    DEFINED 01              19662      1075    11564
D NEXTERA ENERGY INC             COMMON     65339F101     1236      22884 SH  -    OTHER   01               4999     15160     2725
D NEXTERA ENERGY INC             COMMON     65339F101     3386      62685 SH  -    OTHER   10                  0         0    62685
D NEXTERA ENERGY INC             OPTION     65339F903       16        300 SH  C    DEFINED 05                300         0        0
D NICOR INC                      COMMON     654086107        0          5 SH  -    DEFINED 02                  5         0        0
D NICOR INC                      COMMON     654086107       30        546 SH  -    DEFINED 02                525         0       21
D NICOR INC                      COMMON     654086107      454       8254 SH  -    OTHER   02               7450       804        0
D NICOR INC                      COMMON     654086107       27        491 SH  -    OTHER   02                  0        37      454
D NICOR INC                      COMMON     654086107     4031      73283 SH  -    DEFINED 04              66754         0     6529
D NICOR INC                      COMMON     654086107     6323     114951 SH  -    DEFINED 04             114951         0        0
D NICOR INC                      COMMON     654086107     3032      55121 SH  -    DEFINED 05              55121         0        0
D NICOR INC                      COMMON     654086107     1136      20647 SH  -    DEFINED 08              20647         0        0
D NICOR INC                      COMMON     654086107     3288      59763 SH  -    DEFINED 09              59763         0        0
D NICOR INC                      COMMON     654086107        6        110 SH  -    OTHER   10                  0         0      110
D NIDEC CORP                     ADR        654090109       24       1196 SH  -    OTHER   02                  0      1196        0
D NIDEC CORP                     ADR        654090109        1         70 SH  -    OTHER   02                 70         0        0
D NIDEC CORP                     ADR        654090109     1003      49991 SH  -    DEFINED 04              49991         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 579
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NIDEC CORP                     ADR        654090109     2770     138010 SH  -    OTHER   04                  0    138010        0
D NIDEC CORP                     ADR        654090109      759      37825 SH  -    OTHER   04                  0     37825        0
D NIDEC CORP                     ADR        654090109        3        156 SH  -    OTHER   01                  0         0        0
D NIKE INC                       COMMON     654106103    23819     278547 SH  -    DEFINED 02             237687      3145    37715
D NIKE INC                       COMMON     654106103     7361      86079 SH  -    DEFINED 02              83157        77     2845
D NIKE INC                       COMMON     654106103      741       8661 SH  -    DEFINED 02               8661         0        0
D NIKE INC                       COMMON     654106103     1108      12961 SH  -    DEFINED 02               6807         0     6154
D NIKE INC                       COMMON     654106103    10381     121396 SH  -    OTHER   02              61793     50666     8875
D NIKE INC                       COMMON     654106103     1809      21159 SH  -    OTHER   02              16680       453     4026
D NIKE INC                       COMMON     654106103      579       6767 SH  -    OTHER   02                  0      6767        0
D NIKE INC                       COMMON     654106103      186       2180 SH  -    OTHER   02                  0      2180        0
D NIKE INC                       COMMON     654106103     1196      13984 SH  -    OTHER   02                  0     13984        0
D NIKE INC                       COMMON     654106103       53        620 SH  -    OTHER   02                  0       620        0
D NIKE INC                       COMMON     654106103   214026    2502936 SH  -    DEFINED 04            1944472         0   558464
D NIKE INC                       COMMON     654106103     8579     100323 SH  -    DEFINED 04             100323         0        0
D NIKE INC                       COMMON     654106103    21833     255323 SH  -    DEFINED 04             255323         0        0
D NIKE INC                       COMMON     654106103     2955      34552 SH  -    DEFINED 04              34552         0        0
D NIKE INC                       COMMON     654106103      203       2375 SH  -    DEFINED 04               2375         0        0
D NIKE INC                       COMMON     654106103      223       2605 SH  -    DEFINED 04                  0         0     2605
D NIKE INC                       COMMON     654106103    14943     174749 SH  -    OTHER   04                  0    174749        0
D NIKE INC                       COMMON     654106103     7562      88430 SH  -    DEFINED 05              88430         0        0
D NIKE INC                       COMMON     654106103    11944     139683 SH  -    DEFINED 08             139683         0        0
D NIKE INC                       COMMON     654106103     4441      51940 SH  -    DEFINED 09              51940         0        0
D NIKE INC                       COMMON     654106103     1764      20630 SH  -    DEFINED 01              16101       916     3613
D NIKE INC                       COMMON     654106103      457       5344 SH  -    OTHER   01               2585      1189     1570
D NIKE INC                       COMMON     654106103     1208      14130 SH  -    OTHER   10                  0         0    14130

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 580
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NIKE INC                       OPTION     654106905     1043      12200 SH  C    DEFINED 05              12200         0        0
D NIKE INC                       OPTION     654106905      496       5800 SH  C    DEFINED 08               5800         0        0
D NIKE INC                       OPTION     654106954     1958      22900 SH  P    DEFINED 05              22900         0        0
D 99 CENTS ONLY STORES           COMMON     65440K106       15        812 SH  -    OTHER   02                  0       812        0
D 99 CENTS ONLY STORES           COMMON     65440K106      165       8956 SH  -    DEFINED 05               8956         0        0
D 99 CENTS ONLY STORES           COMMON     65440K106       72       3896 SH  -    DEFINED 08               3896         0        0
D 99 CENTS ONLY STORES           COMMON     65440K106     2569     139461 SH  -    DEFINED 09             139461         0        0
D 99 CENTS ONLY STORES           COMMON     65440K106      221      12000 SH  -    OTHER   01              12000         0        0
D NIPPON TELEG & TEL CORP        ADR        654624105       97       4042 SH  -    DEFINED 02               4042         0        0
D NIPPON TELEG & TEL CORP        ADR        654624105       83       3480 SH  -    OTHER   02                  0      1480     2000
D NIPPON TELEG & TEL CORP        ADR        654624105     1558      65036 SH  -    DEFINED 04                  0         0        0
D NIPPON TELEG & TEL CORP        ADR        654624105        2         76 SH  -    OTHER   04                  0        76        0
D NIPPON TELEG & TEL CORP        ADR        654624105     8979     374900 SH  -    OTHER   04                  0    374900        0
D NIPPON TELEG & TEL CORP        ADR        654624105      131       5484 SH  -    OTHER   01                  0      5241        0
D NIPPON TELEG & TEL CORP        ADR        654624105       10        434 SH  -    OTHER   10                  0         0      434
D NISOURCE INC                   COMMON     65473P105       64       3000 SH  -    DEFINED 02               3000         0        0
D NISOURCE INC                   COMMON     65473P105      206       9634 SH  -    DEFINED 02               9634         0        0
D NISOURCE INC                   COMMON     65473P105       75       3496 SH  -    DEFINED 02               3234         0      262
D NISOURCE INC                   COMMON     65473P105      393      18366 SH  -    OTHER   02                350     16267     1749
D NISOURCE INC                   COMMON     65473P105      502      23497 SH  -    OTHER   02               4621       516    18360
D NISOURCE INC                   COMMON     65473P105     2647     123819 SH  -    DEFINED 04             115785         0     8034
D NISOURCE INC                   COMMON     65473P105      964      45080 SH  -    DEFINED 04              45080         0        0
D NISOURCE INC                   COMMON     65473P105      386      18064 SH  -    DEFINED 05              18064         0        0
D NISOURCE INC                   COMMON     65473P105       11        513 SH  -    DEFINED 08                513         0        0
D NISOURCE INC                   COMMON     65473P105        6        270 SH  -    OTHER   01                  0       270        0
D NISOURCE INC                   COMMON     65473P105     1095      51235 SH  -    OTHER   10                  0         0    51235

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 581
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NOKIA OYJ                      ADR        654902204       55       9719 SH  -    DEFINED 02               1749      7970        0
D NOKIA OYJ                      ADR        654902204       22       3950 SH  -    DEFINED 02               3950         0        0
D NOKIA OYJ                      ADR        654902204     2127     375749 SH  -    OTHER   02              18362    352837     4550
D NOKIA OYJ                      ADR        654902204       85      15050 SH  -    OTHER   02               1600      3550     9900
D NOKIA OYJ                      ADR        654902204      476      84021 SH  -    DEFINED 05              84021         0        0
D NOKIA OYJ                      ADR        654902204       87      15380 SH  -    DEFINED 08              15380         0        0
D NOKIA OYJ                      ADR        654902204      294      51910 SH  -    OTHER   01                  0     51639        0
D NOKIA OYJ                      ADR        654902204      329      58213 SH  -    OTHER   10                  0         0    58213
D NOKIA OYJ                      OPTION     654902907      790     139600 SH  C    DEFINED 05             139600         0        0
D NOKIA OYJ                      OPTION     654902956      593     104700 SH  P    DEFINED 05             104700         0        0
D NOBLE ENERGY INC               COMMON     655044105       28        400 SH  -    DEFINED 02                400         0        0
D NOBLE ENERGY INC               COMMON     655044105       50        710 SH  -    DEFINED 02                710         0        0
D NOBLE ENERGY INC               COMMON     655044105      157       2222 SH  -    DEFINED 02               2035         0      187
D NOBLE ENERGY INC               COMMON     655044105     2382      33650 SH  -    OTHER   02               6522     24382     2702
D NOBLE ENERGY INC               COMMON     655044105      455       6432 SH  -    OTHER   02                150        83     6199
D NOBLE ENERGY INC               COMMON     655044105     3814      53872 SH  -    DEFINED 04              48819         0     5053
D NOBLE ENERGY INC               COMMON     655044105     4328      61135 SH  -    DEFINED 04              61135         0        0
D NOBLE ENERGY INC               COMMON     655044105     7246     102345 SH  -    DEFINED 05             102345         0        0
D NOBLE ENERGY INC               COMMON     655044105      148       2085 SH  -    DEFINED 06               2085         0        0
D NOBLE ENERGY INC               COMMON     655044105     6140      86717 SH  -    DEFINED 08              86717         0        0
D NOBLE ENERGY INC               COMMON     655044105       99       1401 SH  -    DEFINED 09               1401         0        0
D NOBLE ENERGY INC               COMMON     655044105       49        687 SH  -    OTHER   01                  0       687        0
D NOBLE ENERGY INC               COMMON     655044105      847      11970 SH  -    OTHER   10                  0         0    11970
D NOBLE ENERGY INC               OPTION     655044907     2457      34700 SH  C    DEFINED 05              34700         0        0
D NOMURA HLDGS INC               ADR        65535H208       42      11841 SH  -    OTHER   02                  0     11841        0
D NOMURA HLDGS INC               ADR        65535H208        1        155 SH  -    OTHER   02                155         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 582
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NOMURA HLDGS INC               ADR        65535H208        2        528 SH  -    OTHER   04                  0       528        0
D NOMURA HLDGS INC               ADR        65535H208      942     264669 SH  -    DEFINED 06             264669         0        0
D NOMURA HLDGS INC               ADR        65535H208       10       2744 SH  -    OTHER   01                  0      2744        0
D NOMURA HLDGS INC               ADR        65535H208        1        345 SH  -    OTHER   10                  0         0      345
D NORANDA ALUM HLDG CORP         COMMON     65542W107        0         48 SH  -    OTHER   02                  0        48        0
D NORANDA ALUM HLDG CORP         COMMON     65542W107     4728     566225 SH  -    DEFINED 04             447225         0   119000
D NORANDA ALUM HLDG CORP         COMMON     65542W107       14       1651 SH  -    DEFINED 05               1651         0        0
D NORANDA ALUM HLDG CORP         COMMON     65542W107       11       1361 SH  -    DEFINED 08               1361         0        0
D NORDSON CORP                   COMMON     655663102     2001      50353 SH  -    OTHER   02                  0     50336        0
D NORDSON CORP                   COMMON     655663102       18        465 SH  -    OTHER   02                  0         3      462
D NORDSON CORP                   COMMON     655663102     5088     128025 SH  -    DEFINED 04             118925         0     9100
D NORDSON CORP                   COMMON     655663102     2282      57416 SH  -    DEFINED 04              57416         0        0
D NORDSON CORP                   COMMON     655663102       57       1433 SH  -    DEFINED 05               1433         0        0
D NORDSTROM INC                  COMMON     655664100       18        400 SH  -    DEFINED 02                400         0        0
D NORDSTROM INC                  COMMON     655664100       27        590 SH  -    DEFINED 02                590         0        0
D NORDSTROM INC                  COMMON     655664100       91       1984 SH  -    DEFINED 02               1887         0       97
D NORDSTROM INC                  COMMON     655664100      424       9287 SH  -    OTHER   02                400      8887        0
D NORDSTROM INC                  COMMON     655664100       18        386 SH  -    OTHER   02                  8        59      319
D NORDSTROM INC                  COMMON     655664100     6849     149935 SH  -    DEFINED 04             113371         0    36564
D NORDSTROM INC                  COMMON     655664100     3280      71793 SH  -    DEFINED 04              71793         0        0
D NORDSTROM INC                  COMMON     655664100      503      11021 SH  -    DEFINED 05              11021         0        0
D NORDSTROM INC                  COMMON     655664100        9        200 SH  -    DEFINED 09                200         0        0
D NORDSTROM INC                  COMMON     655664100        3         69 SH  -    DEFINED 01                  0         0       69
D NORDSTROM INC                  COMMON     655664100       12        265 SH  -    OTHER   01                  0       265        0
D NORDSTROM INC                  COMMON     655664100      446       9768 SH  -    OTHER   10                  0         0     9768
D NORDSTROM INC                  OPTION     655664951       46       1000 SH  P    DEFINED 05               1000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 583
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NORFOLK STHN CORP              COMMON     655844108    57009     934262 SH  -    DEFINED 02             821517      7135   105610
D NORFOLK STHN CORP              COMMON     655844108    20375     333906 SH  -    DEFINED 02             325502       265     8139
D NORFOLK STHN CORP              COMMON     655844108      153       2500 SH  -    DEFINED 02               2500         0        0
D NORFOLK STHN CORP              COMMON     655844108     1651      27055 SH  -    DEFINED 02              10112         0    16943
D NORFOLK STHN CORP              COMMON     655844108    28189     461956 SH  -    OTHER   02             242281    162002    57620
D NORFOLK STHN CORP              COMMON     655844108     5143      84277 SH  -    OTHER   02              76180      3118     4979
D NORFOLK STHN CORP              COMMON     655844108      372       6094 SH  -    OTHER   02                  0      6094        0
D NORFOLK STHN CORP              COMMON     655844108      328       5376 SH  -    OTHER   02                  0      5376        0
D NORFOLK STHN CORP              COMMON     655844108      838      13735 SH  -    OTHER   02                  0     13735        0
D NORFOLK STHN CORP              COMMON     655844108   689026   11291804 SH  -    DEFINED 04            9901247         0  1390557
D NORFOLK STHN CORP              COMMON     655844108    16547     271169 SH  -    DEFINED 04             271169         0        0
D NORFOLK STHN CORP              COMMON     655844108    46502     762084 SH  -    DEFINED 04             762084         0        0
D NORFOLK STHN CORP              COMMON     655844108      208       3414 SH  -    DEFINED 04               3414         0        0
D NORFOLK STHN CORP              COMMON     655844108    11192     183418 SH  -    DEFINED 04             183418         0        0
D NORFOLK STHN CORP              COMMON     655844108    19834     325047 SH  -    DEFINED 04             302996         0    22051
D NORFOLK STHN CORP              COMMON     655844108      388       6362 SH  -    DEFINED 04                  0         0     6362
D NORFOLK STHN CORP              COMMON     655844108       15        253 SH  -    OTHER   04                  0       253        0
D NORFOLK STHN CORP              COMMON     655844108    39114     641000 SH  -    OTHER   04                  0    641000        0
D NORFOLK STHN CORP              COMMON     655844108     4712      77227 SH  -    DEFINED 05              77227         0        0
D NORFOLK STHN CORP              COMMON     655844108    43812     717990 SH  -    DEFINED 09             658882     13344    45764
D NORFOLK STHN CORP              COMMON     655844108      834      13673 SH  -    DEFINED 09              13673         0        0
D NORFOLK STHN CORP              COMMON     655844108     5773      94614 SH  -    DEFINED 09              94614         0        0
D NORFOLK STHN CORP              COMMON     655844108     9801     160621 SH  -    OTHER   09                  0    160621        0
D NORFOLK STHN CORP              COMMON     655844108     5654      92657 SH  -    DEFINED 01              81747      3395     7515
D NORFOLK STHN CORP              COMMON     655844108     1592      26085 SH  -    OTHER   01              15290      4835     5960
D NORFOLK STHN CORP              COMMON     655844108      381       6239 SH  -    OTHER   10                  0         0     6239

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 584
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NORFOLK STHN CORP              OPTION     655844900      171       2800 SH  C    DEFINED 05               2800         0        0
D NORFOLK STHN CORP              OPTION     655844900      525       8600 SH  C    DEFINED 06               8600         0        0
D NORFOLK STHN CORP              OPTION     655844959     3783      62000 SH  P    DEFINED 05              62000         0        0
D NORTH AMERN PALLADIUM LTD      COMMON     656912102     1527     598700 SH  -    DEFINED 09             598700         0        0
D NORTH AMERN PALLADIUM LTD      COMMON     656912102      358     140289 SH  -    OTHER   09                  0    140289        0
D NORTHEAST UTILS                COMMON     664397106      880      26148 SH  -    DEFINED 02              11738         0    14410
D NORTHEAST UTILS                COMMON     664397106     1121      33308 SH  -    DEFINED 02              33158         0      150
D NORTHEAST UTILS                COMMON     664397106      393      11674 SH  -    DEFINED 02               4954         0     6720
D NORTHEAST UTILS                COMMON     664397106      226       6712 SH  -    OTHER   02               4694      1793      225
D NORTHEAST UTILS                COMMON     664397106      465      13813 SH  -    OTHER   02               8252       406     5155
D NORTHEAST UTILS                COMMON     664397106   234699    6974700 SH  -    DEFINED 04            5685159         0  1289541
D NORTHEAST UTILS                COMMON     664397106     3590     106687 SH  -    DEFINED 04             106687         0        0
D NORTHEAST UTILS                COMMON     664397106     4541     134943 SH  -    DEFINED 04             134943         0        0
D NORTHEAST UTILS                COMMON     664397106       30        888 SH  -    DEFINED 04                888         0        0
D NORTHEAST UTILS                COMMON     664397106     1237      36769 SH  -    DEFINED 04              36769         0        0
D NORTHEAST UTILS                COMMON     664397106      196       5821 SH  -    DEFINED 04                  0         0     5821
D NORTHEAST UTILS                COMMON     664397106      580      17247 SH  -    OTHER   04                  0     17247        0
D NORTHEAST UTILS                COMMON     664397106     2944      87484 SH  -    OTHER   04                  0     87484        0
D NORTHEAST UTILS                COMMON     664397106     1313      39018 SH  -    DEFINED 05              39018         0        0
D NORTHEAST UTILS                COMMON     664397106      953      28316 SH  -    DEFINED 09              28316         0        0
D NORTHEAST UTILS                COMMON     664397106      154       4570 SH  -    DEFINED 01               4500         0       70
D NORTHEAST UTILS                COMMON     664397106       13        385 SH  -    OTHER   01                  0       215      170
D NORTHEAST UTILS                COMMON     664397106      554      16452 SH  -    OTHER   10                  0         0    16452
D NORTHERN OIL & GAS INC NEV     COMMON     665531109      117       6043 SH  -    OTHER   02                  0      2393     3650
D NORTHERN OIL & GAS INC NEV     COMMON     665531109      263      13580 SH  -    DEFINED 05              13580         0        0
D NORTHERN OIL & GAS INC NEV     COMMON     665531109      172       8851 SH  -    DEFINED 08               8851         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 585
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NORTHERN TRUST CP              COMMON     665859104      330       9421 SH  -    DEFINED 02               8427       994        0
D NORTHERN TRUST CP              COMMON     665859104     2449      70005 SH  -    DEFINED 02              69851         0      154
D NORTHERN TRUST CP              COMMON     665859104      101       2894 SH  -    DEFINED 02               2777         0      117
D NORTHERN TRUST CP              COMMON     665859104      463      13227 SH  -    OTHER   02               2945     10132      150
D NORTHERN TRUST CP              COMMON     665859104     2146      61361 SH  -    OTHER   02              57088       123     4150
D NORTHERN TRUST CP              COMMON     665859104    54694    1563589 SH  -    DEFINED 04            1459059         0   104530
D NORTHERN TRUST CP              COMMON     665859104     4582     130976 SH  -    DEFINED 04             130976         0        0
D NORTHERN TRUST CP              COMMON     665859104       28        800 SH  -    DEFINED 04                800         0        0
D NORTHERN TRUST CP              COMMON     665859104      920      26300 SH  -    DEFINED 04              26300         0        0
D NORTHERN TRUST CP              COMMON     665859104       19        534 SH  -    DEFINED 04                  0         0      534
D NORTHERN TRUST CP              COMMON     665859104      470      13442 SH  -    OTHER   04                  0     13442        0
D NORTHERN TRUST CP              COMMON     665859104     2379      68008 SH  -    OTHER   04                  0     68008        0
D NORTHERN TRUST CP              COMMON     665859104    11500     328760 SH  -    DEFINED 05             328760         0        0
D NORTHERN TRUST CP              COMMON     665859104       15        417 SH  -    DEFINED 06                417         0        0
D NORTHERN TRUST CP              COMMON     665859104     6187     176861 SH  -    DEFINED 08             176861         0        0
D NORTHERN TRUST CP              COMMON     665859104      302       8623 SH  -    DEFINED 01               8478         0      145
D NORTHERN TRUST CP              COMMON     665859104       21        596 SH  -    OTHER   01                  0       421      175
D NORTHERN TRUST CP              COMMON     665859104       35       1002 SH  -    OTHER   10                  0         0     1002
D NORTHERN TRUST CP              OPTION     665859906     8339     238400 SH  C    DEFINED 05             238400         0        0
D NORTHGATE MINERALS CORP        COMMON     666416102      251      76000 SH  -    DEFINED 04              76000         0        0
D NORTHGATE MINERALS CORP        COMMON     666416102      495     150000 SH  -    DEFINED 05             150000         0        0
D NORTHGATE MINERALS CORP        COMMON     666416102        2        688 SH  -    DEFINED 08                688         0        0
D NORTHGATE MINERALS CORP        COMMON     666416102     6870    2081829 SH  -    DEFINED 09            1312929         0        0
D NORTHROP GRUMMAN               COMMON     666807102       94       1810 SH  -    DEFINED 02               1650         0      160
D NORTHROP GRUMMAN               COMMON     666807102      544      10419 SH  -    DEFINED 02              10419         0        0
D NORTHROP GRUMMAN               COMMON     666807102      167       3204 SH  -    DEFINED 02               3204         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 586
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NORTHROP GRUMMAN               COMMON     666807102     2030      38916 SH  -    OTHER   02              22687      9829     6400
D NORTHROP GRUMMAN               COMMON     666807102      945      18120 SH  -    OTHER   02              17414        76      630
D NORTHROP GRUMMAN               COMMON     666807102    14925     286079 SH  -    DEFINED 04             199618         0    86461
D NORTHROP GRUMMAN               COMMON     666807102     5309     101757 SH  -    DEFINED 04             101757         0        0
D NORTHROP GRUMMAN               COMMON     666807102       47        900 SH  -    DEFINED 04                900         0        0
D NORTHROP GRUMMAN               COMMON     666807102        9        175 SH  -    DEFINED 04                175         0        0
D NORTHROP GRUMMAN               COMMON     666807102       31        597 SH  -    DEFINED 04                  0         0      597
D NORTHROP GRUMMAN               COMMON     666807102     2043      39154 SH  -    DEFINED 05              39154         0        0
D NORTHROP GRUMMAN               COMMON     666807102      684      13107 SH  -    DEFINED 08              13107         0        0
D NORTHROP GRUMMAN               COMMON     666807102      146       2800 SH  -    DEFINED 09               2800         0        0
D NORTHROP GRUMMAN               COMMON     666807102       47        896 SH  -    DEFINED 01                500         0      396
D NORTHROP GRUMMAN               COMMON     666807102       69       1323 SH  -    OTHER   10                  0         0     1323
D NORTHSTAR RLTY FIN CORP        COMMON     66704R100       68      20608 SH  -    DEFINED 05              20608         0        0
D NORTHSTAR RLTY FIN CORP        COMMON     66704R100       20       6171 SH  -    DEFINED 08               6171         0        0
D NORTHWEST BANCSHARES INC MD    COMMON     667340103      107       9014 SH  -    OTHER   02                 94      8920        0
D NORTHWEST BANCSHARES INC MD    COMMON     667340103        7        600 SH  -    OTHER   02                  0         0      600
D NORTHWEST BANCSHARES INC MD    COMMON     667340103      687      57647 SH  -    DEFINED 05              57647         0        0
D NORTHWEST NAT GAS CO           COMMON     667655104       18        408 SH  -    OTHER   02                 26       382        0
D NORTHWEST NAT GAS CO           COMMON     667655104        3         72 SH  -    OTHER   02                  5        12       55
D NORTHWEST NAT GAS CO           COMMON     667655104    35092     795729 SH  -    DEFINED 04             743454         0    52275
D NORTHWEST NAT GAS CO           COMMON     667655104      549      12451 SH  -    DEFINED 05              12451         0        0
D NORTHWEST NAT GAS CO           COMMON     667655104       37        832 SH  -    OTHER   10                  0         0      832
D NORTHWESTERN CORP              COMMON     668074305       42       1322 SH  -    OTHER   02                  0      1209        0
D NORTHWESTERN CORP              COMMON     668074305       54       1700 SH  -    OTHER   02                  0      1700        0
D NORTHWESTERN CORP              COMMON     668074305    49505    1549931 SH  -    DEFINED 04            1455728         0    94203
D NORTHWESTERN CORP              COMMON     668074305     7519     235414 SH  -    DEFINED 04             235414         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 587
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NORTHWESTERN CORP              COMMON     668074305      582      18237 SH  -    DEFINED 05              18237         0        0
D NOVAGOLD RES INC               BOND       66987EAA5      277     274000 PRN -    DEFINED 05                  0         0        0
D NOVAGOLD RES INC               COMMON     66987E206      134      20824 SH  -    DEFINED 02               2365     18459        0
D NOVAGOLD RES INC               COMMON     66987E206      449      69585 SH  -    OTHER   02              18094     48046     3445
D NOVAGOLD RES INC               COMMON     66987E206     1297     201084 SH  -    DEFINED 05             201084         0        0
D NOVAGOLD RES INC               COMMON     66987E206      837     129700 SH  -    DEFINED 08             129700         0        0
D NOVAGOLD RES INC               COMMON     66987E206      241      37395 SH  -    OTHER   10                  0         0    37395
D NOVATEL WIRELESS INC           COMMON     66987M604        4       1310 SH  -    OTHER   02                337       268      705
D NOVATEL WIRELESS INC           COMMON     66987M604       67      22025 SH  -    DEFINED 04              22025         0        0
D NOVATEL WIRELESS INC           COMMON     66987M604       45      15019 SH  -    DEFINED 05              15019         0        0
D NOVARTIS A G                   ADR        66987V109     3006      53892 SH  -    DEFINED 02              53821        71        0
D NOVARTIS A G                   ADR        66987V109       47        845 SH  -    DEFINED 02                845         0        0
D NOVARTIS A G                   ADR        66987V109    13539     242762 SH  -    OTHER   02             113785    120800     8177
D NOVARTIS A G                   ADR        66987V109     1521      27270 SH  -    OTHER   02              14480        50    12740
D NOVARTIS A G                   ADR        66987V109     2022      36264 SH  -    DEFINED 04              36264         0        0
D NOVARTIS A G                   ADR        66987V109     4874      87392 SH  -    OTHER   04                  0     87392        0
D NOVARTIS A G                   ADR        66987V109    15592     279579 SH  -    OTHER   04                  0    279579        0
D NOVARTIS A G                   ADR        66987V109       65       1162 SH  -    DEFINED 05               1162         0        0
D NOVARTIS A G                   ADR        66987V109    23847     427595 SH  -    DEFINED 06             427595         0        0
D NOVARTIS A G                   ADR        66987V109       56       1000 SH  -    DEFINED 01               1000         0        0
D NOVARTIS A G                   ADR        66987V109      334       5987 SH  -    OTHER   01                  0      5839        0
D NOVARTIS A G                   ADR        66987V109      499       8942 SH  -    OTHER   10                  0         0     8942
D NOVARTIS A G                   OPTION     66987V950     8366     150000 SH  P    DEFINED 05             150000         0        0
D NOVAVAX INC                    COMMON     670002104        0        245 SH  -    OTHER   02                  0       245        0
D NOVAVAX INC                    COMMON     670002104      230     143640 SH  -    DEFINED 05             143640         0        0
D NOVAVAX INC                    COMMON     670002104        9       5879 SH  -    DEFINED 08               5879         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 588
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NOVELLUS SYS INC               COMMON     670008101     8807     323083 SH  -    DEFINED 02             285756      4125    33202
D NOVELLUS SYS INC               COMMON     670008101     2757     101131 SH  -    DEFINED 02              98077       109     2945
D NOVELLUS SYS INC               COMMON     670008101      241       8834 SH  -    DEFINED 02               3158         0     5676
D NOVELLUS SYS INC               COMMON     670008101     2177      79861 SH  -    OTHER   02              57030     13516     9300
D NOVELLUS SYS INC               COMMON     670008101      216       7913 SH  -    OTHER   02               7271       507      135
D NOVELLUS SYS INC               COMMON     670008101       57       2083 SH  -    OTHER   02                  0      2083        0
D NOVELLUS SYS INC               COMMON     670008101       58       2115 SH  -    OTHER   02                  0      2115        0
D NOVELLUS SYS INC               COMMON     670008101      146       5370 SH  -    OTHER   02                  0      5370        0
D NOVELLUS SYS INC               COMMON     670008101    61024    2238575 SH  -    DEFINED 04            1827690         0   410885
D NOVELLUS SYS INC               COMMON     670008101     3992     146441 SH  -    DEFINED 04             146441         0        0
D NOVELLUS SYS INC               COMMON     670008101     3391     124377 SH  -    DEFINED 04             124377         0        0
D NOVELLUS SYS INC               COMMON     670008101       77       2829 SH  -    DEFINED 04               2829         0        0
D NOVELLUS SYS INC               COMMON     670008101       46       1674 SH  -    DEFINED 04               1674         0        0
D NOVELLUS SYS INC               COMMON     670008101       54       1969 SH  -    DEFINED 04                  0         0     1969
D NOVELLUS SYS INC               COMMON     670008101     7506     275336 SH  -    OTHER   04                  0    275336        0
D NOVELLUS SYS INC               COMMON     670008101      228       8350 SH  -    DEFINED 05               8350         0        0
D NOVELLUS SYS INC               COMMON     670008101      235       8634 SH  -    DEFINED 09               8634         0        0
D NOVELLUS SYS INC               COMMON     670008101      459      16840 SH  -    DEFINED 01              14125      1430     1285
D NOVELLUS SYS INC               COMMON     670008101      181       6642 SH  -    OTHER   01               2891      1413     2338
D NOVELLUS SYS INC               COMMON     670008101        1         25 SH  -    OTHER   10                  0         0       25
D NOVO-NORDISK A S               ADR        670100205     2498      25104 SH  -    DEFINED 02              25104         0        0
D NOVO-NORDISK A S               ADR        670100205      818       8218 SH  -    DEFINED 02               8218         0        0
D NOVO-NORDISK A S               ADR        670100205     1221      12270 SH  -    OTHER   02               7225      4475        0
D NOVO-NORDISK A S               ADR        670100205       70        700 SH  -    OTHER   02                  0         0      700
D NOVO-NORDISK A S               ADR        670100205    31278     314292 SH  -    DEFINED 04             145380         0   168912
D NOVO-NORDISK A S               ADR        670100205    23417     235300 SH  -    DEFINED 04             235300         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 589
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NOVO-NORDISK A S               ADR        670100205     5362      53880 SH  -    DEFINED 04              53880         0        0
D NOVO-NORDISK A S               ADR        670100205       28        278 SH  -    OTHER   04                  0       278        0
D NOVO-NORDISK A S               ADR        670100205     1324      13300 SH  -    DEFINED 06              13300         0        0
D NOVO-NORDISK A S               ADR        670100205       34        345 SH  -    DEFINED 01                345         0        0
D NOVO-NORDISK A S               ADR        670100205      324       3251 SH  -    OTHER   01               3000       200        0
D NOVO-NORDISK A S               ADR        670100205      223       2239 SH  -    OTHER   10                  0         0     2239
D NU SKIN ENTERPRISE             COMMON     67018T105        5        120 SH  -    DEFINED 02                120         0        0
D NU SKIN ENTERPRISE             COMMON     67018T105       32        781 SH  -    OTHER   02                  0       781        0
D NU SKIN ENTERPRISE             COMMON     67018T105        2         47 SH  -    OTHER   02                  8        20       19
D NU SKIN ENTERPRISE             COMMON     67018T105      653      16127 SH  -    DEFINED 04              16127         0        0
D NU SKIN ENTERPRISE             COMMON     67018T105     2736      67519 SH  -    DEFINED 04              67519         0        0
D NU SKIN ENTERPRISE             COMMON     67018T105      160       3951 SH  -    DEFINED 05               3951         0        0
D NU SKIN ENTERPRISE             COMMON     67018T105      218       5388 SH  -    DEFINED 08               5388         0        0
D NU SKIN ENTERPRISE             COMMON     67018T105      333       8211 SH  -    OTHER   10                  0         0     8211
D NSTAR                          COMMON     67019E107       40        888 SH  -    DEFINED 02                888         0        0
D NSTAR                          COMMON     67019E107      141       3153 SH  -    OTHER   02                  0       762     2391
D NSTAR                          COMMON     67019E107        2         49 SH  -    OTHER   02                  7        12       30
D NSTAR                          COMMON     67019E107    96476    2153000 SH  -    DEFINED 04            2017600         0   135400
D NSTAR                          COMMON     67019E107     3307      73793 SH  -    DEFINED 04              73793         0        0
D NSTAR                          COMMON     67019E107     2164      48300 SH  -    DEFINED 04              48300         0        0
D NSTAR                          COMMON     67019E107     1242      27724 SH  -    OTHER   04                  0     27724        0
D NSTAR                          COMMON     67019E107     6338     141431 SH  -    OTHER   04                  0    141431        0
D NSTAR                          COMMON     67019E107       87       1932 SH  -    DEFINED 05               1932         0        0
D NSTAR                          COMMON     67019E107     1343      29966 SH  -    DEFINED 08              29966         0        0
D NSTAR                          COMMON     67019E107     1033      23047 SH  -    DEFINED 09              23047         0        0
D NSTAR                          COMMON     67019E107        1         30 SH  -    OTHER   10                  0         0       30

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 590
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NTELOS HLDGS CORP              COMMON     67020Q107       12        656 SH  -    OTHER   02                  0       656        0
D NTELOS HLDGS CORP              COMMON     67020Q107    22350    1260584 SH  -    DEFINED 04            1191123         0    69461
D NTELOS HLDGS CORP              COMMON     67020Q107      366      20626 SH  -    DEFINED 04              20626         0        0
D NTELOS HLDGS CORP              COMMON     67020Q107      308      17360 SH  -    DEFINED 05              17360         0        0
D NTELOS HLDGS CORP              COMMON     67020Q107      626      35313 SH  -    OTHER   10                  0         0    35313
D NUANCE COMMUNICATIONS INC      BOND       67020YAB6      118      94000 PRN -    DEFINED 05                  0         0        0
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100       26       1297 SH  -    DEFINED 02               1297         0        0
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100      151       7420 SH  -    DEFINED 02               7420         0        0
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100      261      12855 SH  -    OTHER   02               8954      1337     2500
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100       55       2705 SH  -    OTHER   02               1695         0     1010
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100    64488    3170497 SH  -    DEFINED 04            1869201         0  1301296
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100    20644    1014950 SH  -    DEFINED 04            1014950         0        0
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100     1321      64960 SH  -    DEFINED 04              64960         0        0
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100       99       4875 SH  -    OTHER   04                  0      4875        0
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100      319      15696 SH  -    DEFINED 05              15696         0        0
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100      648      31834 SH  -    DEFINED 08              31834         0        0
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100        5        266 SH  -    OTHER   01                  0       266        0
D NUANCE COMMUNICATIONS INC      COMMON     67020Y100       95       4685 SH  -    OTHER   10                  0         0     4685
D NUCOR CORP                     COMMON     670346105      144       4566 SH  -    DEFINED 02               4566         0        0
D NUCOR CORP                     COMMON     670346105       45       1432 SH  -    DEFINED 02               1432         0        0
D NUCOR CORP                     COMMON     670346105      123       3890 SH  -    DEFINED 02               3648         0      242
D NUCOR CORP                     COMMON     670346105     1302      41164 SH  -    OTHER   02              18300     22538      245
D NUCOR CORP                     COMMON     670346105      277       8746 SH  -    OTHER   02               6230        60     2456
D NUCOR CORP                     COMMON     670346105     2153      68058 SH  -    DEFINED 04              58996         0     9062
D NUCOR CORP                     COMMON     670346105     1613      50988 SH  -    DEFINED 04              50988         0        0
D NUCOR CORP                     COMMON     670346105     1805      57035 SH  -    DEFINED 05              57035         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 591
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NUCOR CORP                     COMMON     670346105      223       7062 SH  -    DEFINED 06               7062         0        0
D NUCOR CORP                     COMMON     670346105       21        660 SH  -    OTHER   01                  0       660        0
D NUCOR CORP                     COMMON     670346105      387      12234 SH  -    OTHER   10                  0         0    12234
D NUCOR CORP                     OPTION     670346907     1911      60400 SH  C    DEFINED 05              60400         0        0
D NUCOR CORP                     OPTION     670346956       13        400 SH  P    DEFINED 05                400         0        0
D NUSTAR ENERGY LP               COMMON     67058H102      157       3000 SH  -    OTHER   02               3000         0        0
D NUSTAR ENERGY LP               COMMON     67058H102       16        300 SH  -    OTHER   02                300         0        0
D NUSTAR ENERGY LP               COMMON     67058H102        5        100 SH  -    DEFINED 05                100         0        0
D NUSTAR ENERGY LP               COMMON     67058H102    48313     924111 SH  -    DEFINED 10             924111         0        0
D NUSTAR ENERGY LP               COMMON     67058H102     1152      22036 SH  -    OTHER   10                  0         0    22036
D NUSTAR GP HOLDINGS LLC         COMMON     67059L102      123       4000 SH  -    DEFINED 02               4000         0        0
D NUSTAR GP HOLDINGS LLC         COMMON     67059L102     1118      36475 SH  -    OTHER   02               1925     34550        0
D NUSTAR GP HOLDINGS LLC         COMMON     67059L102     1875      61150 SH  -    OTHER   02              39100     13050     9000
D NUSTAR GP HOLDINGS LLC         COMMON     67059L102     2284      74500 SH  -    DEFINED 04              74500         0        0
D NUSTAR GP HOLDINGS LLC         COMMON     67059L102       46       1502 SH  -    DEFINED 04               1502         0        0
D NUSTAR GP HOLDINGS LLC         COMMON     67059L102       15        484 SH  -    OTHER   04                  0       484        0
D NUSTAR GP HOLDINGS LLC         COMMON     67059L102    19067     621888 SH  -    DEFINED 10             621888         0        0
D NUVEEN PREM INCOME MUN FD      COMMON     67062T100       14       1000 SH  -    DEFINED 02               1000         0        0
D NUVEEN PREM INCOME MUN FD      COMMON     67062T100     5369     389350 SH  -    DEFINED 04             389350         0        0
D NVIDIA CORP                    COMMON     67066G104       10        820 SH  -    DEFINED 02                820         0        0
D NVIDIA CORP                    COMMON     67066G104        7        577 SH  -    DEFINED 02                577         0        0
D NVIDIA CORP                    COMMON     67066G104       92       7331 SH  -    DEFINED 02               6958         0      373
D NVIDIA CORP                    COMMON     67066G104      334      26737 SH  -    OTHER   02                426     22708     3603
D NVIDIA CORP                    COMMON     67066G104       41       3313 SH  -    OTHER   02                  0        63     3250
D NVIDIA CORP                    COMMON     67066G104     8691     694698 SH  -    DEFINED 04             559813         0   134885
D NVIDIA CORP                    COMMON     67066G104     1270     101494 SH  -    DEFINED 04             101494         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 592
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NVIDIA CORP                    COMMON     67066G104       56       4500 SH  -    DEFINED 04               4500         0        0
D NVIDIA CORP                    COMMON     67066G104       37       2987 SH  -    DEFINED 04                  0         0     2987
D NVIDIA CORP                    COMMON     67066G104        0         21 SH  -    OTHER   04                  0        21        0
D NVIDIA CORP                    COMMON     67066G104     3286     262703 SH  -    DEFINED 05             262703         0        0
D NVIDIA CORP                    COMMON     67066G104    11739     938393 SH  -    DEFINED 08             938393         0        0
D NVIDIA CORP                    COMMON     67066G104        0          1 SH  -    DEFINED 09                  1         0        0
D NVIDIA CORP                    COMMON     67066G104        1         93 SH  -    OTHER   01                  0        93        0
D NVIDIA CORP                    COMMON     67066G104      675      53968 SH  -    OTHER   10                  0         0    53968
D NVIDIA CORP                    OPTION     67066G906      584      46700 SH  C    DEFINED 05              46700         0        0
D NVIDIA CORP                    OPTION     67066G955      752      60100 SH  P    DEFINED 05              60100         0        0
D NUVEEN SR INCOME FD            COMMON     67067Y104      135      20000 SH  -    DEFINED 02              20000         0        0
D NUTRI SYS INC NEW              COMMON     67069D108        1         54 SH  -    OTHER   02                  0        54        0
D NUTRI SYS INC NEW              COMMON     67069D108      252      20814 SH  -    DEFINED 04              20814         0        0
D NUTRI SYS INC NEW              COMMON     67069D108      196      16155 SH  -    DEFINED 05              16155         0        0
D NUTRI SYS INC NEW              OPTION     67069D900       28       2300 SH  C    DEFINED 05               2300         0        0
D NUVASIVE INC                   BOND       670704AC9     5149    6167000 PRN -    DEFINED 09                  0         0        0
D NUVASIVE INC                   BOND       670704AC9     1110    1329000 PRN -    DEFINED 09                  0         0        0
D NUVASIVE INC                   COMMON     670704105        1         54 SH  -    OTHER   02                 54         0        0
D NUVASIVE INC                   COMMON     670704105       12        700 SH  -    OTHER   02                700         0        0
D NUVASIVE INC                   COMMON     670704105      532      31156 SH  -    DEFINED 05              31156         0        0
D NUVEEN MULT STRAT INCM GR FD 2 COMMON     67073D102     8009    1018900 SH  -    DEFINED 04            1018900         0        0
D NV ENERGY INC                  COMMON     67073Y106      766      52098 SH  -    DEFINED 02               1328         0    50770
D NV ENERGY INC                  COMMON     67073Y106       15       1025 SH  -    DEFINED 02               1025         0        0
D NV ENERGY INC                  COMMON     67073Y106      151      10272 SH  -    OTHER   02               6000      3237     1035
D NV ENERGY INC                  COMMON     67073Y106        5        333 SH  -    OTHER   02                333         0        0
D NV ENERGY INC                  COMMON     67073Y106   108475    7374215 SH  -    DEFINED 04            6203470         0  1170745

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 593
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D NV ENERGY INC                  COMMON     67073Y106     7824     531915 SH  -    DEFINED 04             531915         0        0
D NV ENERGY INC                  COMMON     67073Y106     1313      89280 SH  -    DEFINED 04              89280         0        0
D NV ENERGY INC                  COMMON     67073Y106     1556     105751 SH  -    DEFINED 04             105751         0        0
D NV ENERGY INC                  COMMON     67073Y106      692      47014 SH  -    OTHER   04                  0     47014        0
D NV ENERGY INC                  COMMON     67073Y106     3649     248080 SH  -    OTHER   04                  0    248080        0
D NV ENERGY INC                  COMMON     67073Y106       75       5110 SH  -    DEFINED 05               5110         0        0
D NV ENERGY INC                  COMMON     67073Y106     1647     111942 SH  -    DEFINED 08             111942         0        0
D NV ENERGY INC                  COMMON     67073Y106      395      26880 SH  -    DEFINED 09              26880         0        0
D NV ENERGY INC                  COMMON     67073Y106      102       6920 SH  -    OTHER   10                  0         0     6920
D NYMOX PHARMACEUTICAL CORP      COMMON     67076P102      103      12600 SH  -    OTHER   02              12600         0        0
D NYMOX PHARMACEUTICAL CORP      COMMON     67076P102      209      25608 SH  -    DEFINED 05              25608         0        0
D NYMOX PHARMACEUTICAL CORP      COMMON     67076P102       12       1455 SH  -    DEFINED 08               1455         0        0
D O CHARLEYS INC                 COMMON     670823103      896     150900 SH  -    DEFINED 04             140100         0    10800
D O CHARLEYS INC                 COMMON     670823103     1339     225394 SH  -    DEFINED 04             225394         0        0
D O CHARLEYS INC                 COMMON     670823103       52       8685 SH  -    DEFINED 05               8685         0        0
D OGE ENERGY CORP                COMMON     670837103        1         20 SH  -    DEFINED 02                 20         0        0
D OGE ENERGY CORP                COMMON     670837103       43        905 SH  -    OTHER   02                  0       905        0
D OGE ENERGY CORP                COMMON     670837103       29        617 SH  -    OTHER   02                603        14        0
D OGE ENERGY CORP                COMMON     670837103      759      15875 SH  -    DEFINED 04              15875         0        0
D OGE ENERGY CORP                COMMON     670837103     1392      29134 SH  -    DEFINED 04              29134         0        0
D OGE ENERGY CORP                COMMON     670837103      418       8755 SH  -    DEFINED 05               8755         0        0
D OGE ENERGY CORP                COMMON     670837103      325       6794 SH  -    DEFINED 08               6794         0        0
D OGE ENERGY CORP                COMMON     670837103        5        100 SH  -    OTHER   10                  0         0      100
D OM GROUP INC                   COMMON     670872100       20        765 SH  -    OTHER   02                  0       765        0
D OM GROUP INC                   COMMON     670872100    27907    1074604 SH  -    DEFINED 03            1074604         0        0
D OM GROUP INC                   COMMON     670872100      451      17373 SH  -    DEFINED 04              17373         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 594
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OM GROUP INC                   COMMON     670872100     2689     103531 SH  -    DEFINED 04             103531         0        0
D OM GROUP INC                   COMMON     670872100      476      18341 SH  -    DEFINED 05              18341         0        0
D OM GROUP INC                   COMMON     670872100        4        157 SH  -    DEFINED 08                157         0        0
D NUVEEN MUN VALUE FD INC        COMMON     670928100       97      10000 SH  -    DEFINED 02              10000         0        0
D NUVEEN MUN VALUE FD INC        COMMON     670928100        4        379 SH  -    DEFINED 02                379         0        0
D NUVEEN MUN VALUE FD INC        COMMON     670928100       19       2000 SH  -    OTHER   02               2000         0        0
D NUVEEN MUN VALUE FD INC        COMMON     670928100    25585    2629500 SH  -    DEFINED 04            2629500         0        0
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107        3         40 SH  -    DEFINED 02                 40         0        0
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107        9        132 SH  -    DEFINED 02                132         0        0
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107      109       1642 SH  -    DEFINED 02               1567         0       75
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107     3697      55491 SH  -    OTHER   02               6900     26492    22066
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107      247       3713 SH  -    OTHER   02                300        12     3401
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107    39691     595688 SH  -    DEFINED 04             289476         0   306212
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107    26071     391278 SH  -    DEFINED 04             391278         0        0
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107     6315      94770 SH  -    DEFINED 04              94770         0        0
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107       27        399 SH  -    OTHER   04                  0       399        0
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107      944      14163 SH  -    DEFINED 05              14163         0        0
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107      400       6000 SH  -    OTHER   01               6000         0        0
D O REILLY AUTOMOTIVE INC NEW    COMMON     67103H107        3         46 SH  -    OTHER   10                  0         0       46
D OSI SYSTEMS INC                COMMON     671044105       93       2780 SH  -    OTHER   02                  0         0     2780
D OSI SYSTEMS INC                COMMON     671044105      875      26102 SH  -    DEFINED 04              26102         0        0
D OSI SYSTEMS INC                COMMON     671044105      336      10027 SH  -    DEFINED 05              10027         0        0
D OSI SYSTEMS INC                COMMON     671044105       26        765 SH  -    OTHER   10                  0         0      765
D OYO GEOSPACE CORP              COMMON     671074102        5         89 SH  -    OTHER   02                  0        89        0
D OYO GEOSPACE CORP              COMMON     671074102      439       7800 SH  -    DEFINED 04               5800         0     2000
D OYO GEOSPACE CORP              COMMON     671074102      129       2297 SH  -    DEFINED 05               2297         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 595
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OYO GEOSPACE CORP              COMMON     671074102      109       1929 SH  -    OTHER   10                  0         0     1929
D OASIS PETROLEUM IN             COMMON     674215108       38       1720 SH  -    OTHER   02                  0      1720        0
D OASIS PETROLEUM IN             COMMON     674215108        5        240 SH  -    OTHER   02                  0         0      240
D OASIS PETROLEUM IN             COMMON     674215108     2054      92001 SH  -    DEFINED 05              92001         0        0
D OASIS PETROLEUM IN             COMMON     674215108       77       3469 SH  -    DEFINED 08               3469         0        0
D OASIS PETROLEUM IN             COMMON     674215108       11        500 SH  -    OTHER   10                  0         0      500
D OCCIDENTAL PETRLM              COMMON     674599105    36168     505853 SH  -    DEFINED 02             440208      2626    63019
D OCCIDENTAL PETRLM              COMMON     674599105    12893     180327 SH  -    DEFINED 02             172423       146     7758
D OCCIDENTAL PETRLM              COMMON     674599105     7728     108082 SH  -    DEFINED 02             108082         0        0
D OCCIDENTAL PETRLM              COMMON     674599105     2887      40382 SH  -    DEFINED 02              17623         0    22759
D OCCIDENTAL PETRLM              COMMON     674599105    18279     255657 SH  -    OTHER   02             136819    100927    17516
D OCCIDENTAL PETRLM              COMMON     674599105     2082      29118 SH  -    OTHER   02              27346       754     1018
D OCCIDENTAL PETRLM              COMMON     674599105      632       8842 SH  -    OTHER   02                  0      8842        0
D OCCIDENTAL PETRLM              COMMON     674599105      254       3546 SH  -    OTHER   02                  0      3546        0
D OCCIDENTAL PETRLM              COMMON     674599105     1363      19065 SH  -    OTHER   02                  0     19065        0
D OCCIDENTAL PETRLM              COMMON     674599105       40        556 SH  -    OTHER   02                  0       556        0
D OCCIDENTAL PETRLM              COMMON     674599105   864099   12085303 SH  -    DEFINED 04           10049088         0  2036215
D OCCIDENTAL PETRLM              COMMON     674599105    46444     649565 SH  -    DEFINED 04             649565         0        0
D OCCIDENTAL PETRLM              COMMON     674599105    85604    1197252 SH  -    DEFINED 04            1197252         0        0
D OCCIDENTAL PETRLM              COMMON     674599105      251       3508 SH  -    DEFINED 04               3508         0        0
D OCCIDENTAL PETRLM              COMMON     674599105     7074      98933 SH  -    DEFINED 04              98933         0        0
D OCCIDENTAL PETRLM              COMMON     674599105    56926     796174 SH  -    DEFINED 04             770435         0    25739
D OCCIDENTAL PETRLM              COMMON     674599105      552       7717 SH  -    DEFINED 04                  0         0     7717
D OCCIDENTAL PETRLM              COMMON     674599105        9        120 SH  -    OTHER   04                  0       120        0
D OCCIDENTAL PETRLM              COMMON     674599105    25534     357122 SH  -    OTHER   04                  0    357122        0
D OCCIDENTAL PETRLM              COMMON     674599105    32543     455152 SH  -    DEFINED 05             455152         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 596
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OCCIDENTAL PETRLM              COMMON     674599105      930      13005 SH  -    DEFINED 06              13005         0        0
D OCCIDENTAL PETRLM              COMMON     674599105   124997    1748209 SH  -    DEFINED 09            1583263     14138    52634
D OCCIDENTAL PETRLM              COMMON     674599105     1854      25935 SH  -    DEFINED 09              25935         0        0
D OCCIDENTAL PETRLM              COMMON     674599105    11760     164477 SH  -    DEFINED 09             164477         0        0
D OCCIDENTAL PETRLM              COMMON     674599105     6439      90049 SH  -    DEFINED 09              41859         0        0
D OCCIDENTAL PETRLM              COMMON     674599105    11257     157446 SH  -    OTHER   09                  0    157446        0
D OCCIDENTAL PETRLM              COMMON     674599105     1966      27496 SH  -    DEFINED 01              23797      1804     1895
D OCCIDENTAL PETRLM              COMMON     674599105     1285      17970 SH  -    OTHER   01              12377      2007     3586
D OCCIDENTAL PETRLM              COMMON     674599105      243       3393 SH  -    OTHER   10                  0         0     3393
D OCCIDENTAL PETRLM              OPTION     674599907     5298      74100 SH  C    DEFINED 05              74100         0        0
D OCCIDENTAL PETRLM              OPTION     674599907    13707     191700 SH  C    DEFINED 08             191700         0        0
D OCCIDENTAL PETRLM              OPTION     674599956     3139      43900 SH  P    DEFINED 05              43900         0        0
D OCCIDENTAL PETRLM              OPTION     674599956    67639     946000 SH  P    DEFINED 08             946000         0        0
D OCEANEERING INTL INC           COMMON     675232102        4        119 SH  -    DEFINED 02                119         0        0
D OCEANEERING INTL INC           COMMON     675232102       43       1218 SH  -    OTHER   02                  0      1218        0
D OCEANEERING INTL INC           COMMON     675232102      116       3270 SH  -    OTHER   02               1000         0     2270
D OCEANEERING INTL INC           COMMON     675232102      689      19500 SH  -    DEFINED 04              19500         0        0
D OCEANEERING INTL INC           COMMON     675232102     1307      36991 SH  -    DEFINED 04              36991         0        0
D OCEANEERING INTL INC           COMMON     675232102     1215      34388 SH  -    DEFINED 05              34388         0        0
D OCEANEERING INTL INC           COMMON     675232102        5        153 SH  -    DEFINED 08                153         0        0
D OCEANEERING INTL INC           COMMON     675232102      732      20721 SH  -    OTHER   10                  0         0    20721
D OCEANFIRST FINL CORP           COMMON     675234108        0         33 SH  -    OTHER   02                  0        33        0
D OCEANFIRST FINL CORP           COMMON     675234108     1346     115300 SH  -    DEFINED 04             103700         0    11600
D OCEANFIRST FINL CORP           COMMON     675234108      328      28100 SH  -    DEFINED 04              28100         0        0
D OCEANFIRST FINL CORP           COMMON     675234108        4        346 SH  -    DEFINED 05                346         0        0
D OCEANFIRST FINL CORP           COMMON     675234108       10        865 SH  -    DEFINED 08                865         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 597
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OCH ZIFF CAP MGMT GROUP        COMMON     67551U105       51       5590 SH  -    DEFINED 02               5590         0        0
D OCH ZIFF CAP MGMT GROUP        COMMON     67551U105     7147     782780 SH  -    DEFINED 04             782780         0        0
D OCH ZIFF CAP MGMT GROUP        COMMON     67551U105        1        100 SH  -    DEFINED 05                100         0        0
D OCH ZIFF CAP MGMT GROUP        COMMON     67551U105      719      78755 SH  -    OTHER   10                  0         0    78755
D OCLARO INC                     COMMON     67555N206        8       2127 SH  -    OTHER   02                  0      2127        0
D OCLARO INC                     COMMON     67555N206       26       7094 SH  -    DEFINED 05               7094         0        0
D OCLARO INC                     COMMON     67555N206       11       2964 SH  -    DEFINED 08               2964         0        0
D OCWEN FINL CORP                COMMON     675746309      232      17554 SH  -    OTHER   02                 84      5890    11580
D OCWEN FINL CORP                COMMON     675746309    11309     856115 SH  -    DEFINED 04             800315         0    55800
D OCWEN FINL CORP                COMMON     675746309     1042      78900 SH  -    DEFINED 04              78900         0        0
D OCWEN FINL CORP                COMMON     675746309       95       7210 SH  -    DEFINED 05               7210         0        0
D OCWEN FINL CORP                COMMON     675746309       57       4327 SH  -    DEFINED 08               4327         0        0
D ODYSSEY MARINE EXPLORATION INC COMMON     676118102       50      20224 SH  -    DEFINED 05              20224         0        0
D ODYSSEY MARINE EXPLORATION INC COMMON     676118102       10       4247 SH  -    DEFINED 08               4247         0        0
D OFFICEMAX INC DEL              COMMON     67622P101        3        663 SH  -    OTHER   02                  0       663        0
D OFFICEMAX INC DEL              COMMON     67622P101        0         33 SH  -    OTHER   02                  0        33        0
D OFFICEMAX INC DEL              COMMON     67622P101     6694    1380150 SH  -    DEFINED 04            1359650         0    20500
D OFFICEMAX INC DEL              COMMON     67622P101     2025     417600 SH  -    DEFINED 04             417600         0        0
D OFFICEMAX INC DEL              COMMON     67622P101      774     159515 SH  -    DEFINED 05             159515         0        0
D OFFICEMAX INC DEL              COMMON     67622P101       36       7399 SH  -    DEFINED 08               7399         0        0
D OFFICEMAX INC DEL              COMMON     67622P101        6       1270 SH  -    OTHER   10                  0         0     1270
D OFFICEMAX INC DEL              OPTION     67622P903       10       2000 SH  C    DEFINED 05               2000         0        0
D OFFICE DEPOT INC               COMMON     676220106        1        380 SH  -    DEFINED 02                380         0        0
D OFFICE DEPOT INC               COMMON     676220106        3       1262 SH  -    OTHER   02                  0      1262        0
D OFFICE DEPOT INC               COMMON     676220106        0         51 SH  -    OTHER   02                 51         0        0
D OFFICE DEPOT INC               COMMON     676220106    23830   11568071 SH  -    DEFINED 05           11568071         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 598
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OFFICE DEPOT INC               COMMON     676220106        0          2 SH  -    DEFINED 08                  2         0        0
D OFFICE DEPOT INC               COMMON     676220106      138      66880 SH  -    DEFINED 08              66880         0        0
D OFFICE DEPOT INC               COMMON     676220106       31      15000 SH  -    OTHER   10                  0         0    15000
D OFFICE DEPOT INC               OPTION     676220908     6147    2984000 SH  C    DEFINED 08            2984000         0        0
D OIL SVC HOLDRS TR              COMMON     678002106       10        100 SH  -    DEFINED 02                100         0        0
D OIL SVC HOLDRS TR              COMMON     678002106      320       3100 SH  -    OTHER   02               3100         0        0
D OIL SVC HOLDRS TR              COMMON     678002106       10        100 SH  -    OTHER   02                  0         0      100
D OIL SVC HOLDRS TR              COMMON     678002106    31094     301559 SH  -    DEFINED 05             301559         0        0
D OIL SVC HOLDRS TR              COMMON     678002106      534       5180 SH  -    DEFINED 08               5180         0        0
D OIL SVC HOLDRS TR              COMMON     678002106     2384      23120 SH  -    DEFINED 08              23120         0        0
D OIL SVC HOLDRS TR              COMMON     678002106       68        664 SH  -    OTHER   10                  0         0      664
D OIL SVC HOLDRS TR              OPTION     678002908      113       1100 SH  C    DEFINED 05               1100         0        0
D OIL SVC HOLDRS TR              OPTION     678002957      629       6100 SH  P    DEFINED 05               6100         0        0
D OIL STS INTL INC               COMMON     678026105       57       1110 SH  -    DEFINED 02               1110         0        0
D OIL STS INTL INC               COMMON     678026105       99       1948 SH  -    OTHER   02                  0      1306      642
D OIL STS INTL INC               COMMON     678026105     2276      44700 SH  -    DEFINED 04              44700         0        0
D OIL STS INTL INC               COMMON     678026105     5949     116824 SH  -    DEFINED 04             116824         0        0
D OIL STS INTL INC               COMMON     678026105     2382      46788 SH  -    DEFINED 04              26472         0    20316
D OIL STS INTL INC               COMMON     678026105      341       6689 SH  -    DEFINED 05               6689         0        0
D OIL STS INTL INC               COMMON     678026105     1449      28465 SH  -    DEFINED 08              28465         0        0
D OIL STS INTL INC               COMMON     678026105     9312     182870 SH  -    DEFINED 09             170430     12440        0
D OIL STS INTL INC               COMMON     678026105      620      12167 SH  -    DEFINED 09              12167         0        0
D OIL STS INTL INC               COMMON     678026105     4384      86097 SH  -    DEFINED 09              86097         0        0
D OIL STS INTL INC               COMMON     678026105      111       2187 SH  -    OTHER   09                  0      2187        0
D OIL STS INTL INC               COMMON     678026105        3         58 SH  -    OTHER   10                  0         0       58
D OLD DOMINION FGHT LINES INC    COMMON     679580100        4        142 SH  -    DEFINED 02                142         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 599
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OLD DOMINION FGHT LINES INC    COMMON     679580100        4        139 SH  -    OTHER   02                  0        96        0
D OLD DOMINION FGHT LINES INC    COMMON     679580100    34220    1181226 SH  -    DEFINED 04             744753         0   436473
D OLD DOMINION FGHT LINES INC    COMMON     679580100    10857     374773 SH  -    DEFINED 04             374773         0        0
D OLD DOMINION FGHT LINES INC    COMMON     679580100     1683      58085 SH  -    DEFINED 04              58085         0        0
D OLD DOMINION FGHT LINES INC    COMMON     679580100       75       2597 SH  -    OTHER   04                  0      2597        0
D OLD DOMINION FGHT LINES INC    COMMON     679580100     1899      65534 SH  -    DEFINED 05              65534         0        0
D OLD NATL BANCORP IND           COMMON     680033107       13       1430 SH  -    DEFINED 02               1430         0        0
D OLD NATL BANCORP IND           COMMON     680033107        5        516 SH  -    OTHER   02                  0       516        0
D OLD NATL BANCORP IND           COMMON     680033107      175      18793 SH  -    OTHER   02              11608         0     7185
D OLD NATL BANCORP IND           COMMON     680033107      622      66687 SH  -    DEFINED 04              66687         0        0
D OLD NATL BANCORP IND           COMMON     680033107      439      47058 SH  -    DEFINED 05              47058         0        0
D OLD REP INTL CORP              BOND       680223AF1      106     104000 PRN -    DEFINED 02                  0         0        0
D OLD REP INTL CORP              BOND       680223AF1      142     140000 PRN -    OTHER   02                  0         0        0
D OLD REP INTL CORP              BOND       680223AF1     2985    2937000 PRN -    DEFINED 05                  0         0        0
D OLD REP INTL CORP              COMMON     680223104      142      15934 SH  -    DEFINED 02              15934         0        0
D OLD REP INTL CORP              COMMON     680223104      445      49938 SH  -    DEFINED 02              48778         0     1160
D OLD REP INTL CORP              COMMON     680223104      479      53648 SH  -    OTHER   02               5878     46437     1333
D OLD REP INTL CORP              COMMON     680223104      362      40639 SH  -    OTHER   02              15485      1245    23909
D OLD REP INTL CORP              COMMON     680223104    76017    8522072 SH  -    DEFINED 04            8135172         0   386900
D OLD REP INTL CORP              COMMON     680223104     1408     157900 SH  -    DEFINED 04             157900         0        0
D OLD REP INTL CORP              COMMON     680223104       18       1978 SH  -    DEFINED 04               1978         0        0
D OLD REP INTL CORP              COMMON     680223104     1380     154725 SH  -    DEFINED 04             154725         0        0
D OLD REP INTL CORP              COMMON     680223104      756      84766 SH  -    OTHER   04                  0     84766        0
D OLD REP INTL CORP              COMMON     680223104     3884     435402 SH  -    OTHER   04                  0    435402        0
D OLD REP INTL CORP              COMMON     680223104       63       7013 SH  -    DEFINED 05               7013         0        0
D OLD REP INTL CORP              COMMON     680223104        4        471 SH  -    DEFINED 06                471         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 600
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OLD REP INTL CORP              COMMON     680223104      901     101015 SH  -    DEFINED 08             101015         0        0
D OLD REP INTL CORP              COMMON     680223104      132      14845 SH  -    DEFINED 01              14600         0      245
D OLD REP INTL CORP              COMMON     680223104        6        665 SH  -    OTHER   01                  0       370      295
D OLD REP INTL CORP              COMMON     680223104        1         89 SH  -    OTHER   10                  0         0       89
D OLIN CORP                      COMMON     680665205        2        117 SH  -    DEFINED 02                117         0        0
D OLIN CORP                      COMMON     680665205      103       5699 SH  -    OTHER   02                  0      5379      320
D OLIN CORP                      COMMON     680665205      475      26380 SH  -    DEFINED 04              26380         0        0
D OLIN CORP                      COMMON     680665205     2056     114186 SH  -    DEFINED 04             114186         0        0
D OLIN CORP                      COMMON     680665205       45       2498 SH  -    DEFINED 05               2498         0        0
D OLIN CORP                      COMMON     680665205      277      15356 SH  -    DEFINED 08              15356         0        0
D OLIN CORP                      COMMON     680665205     1244      69070 SH  -    OTHER   10                  0         0    69070
D OLYMPIC STEEL INC              COMMON     68162K106       57       3351 SH  -    OTHER   02                  0      3351        0
D OLYMPIC STEEL INC              COMMON     68162K106      107       6298 SH  -    DEFINED 04               6298         0        0
D OLYMPIC STEEL INC              COMMON     68162K106      109       6407 SH  -    DEFINED 05               6407         0        0
D OLYMPIC STEEL INC              COMMON     68162K106       54       3180 SH  -    OTHER   01                  0      3180        0
D OLYMPIC STEEL INC              COMMON     68162K106        6        347 SH  -    OTHER   10                  0         0      347
D OMNICARE INC                   BOND       681904AL2     4419    4890000 PRN -    DEFINED 09                  0         0        0
D OMNICARE INC                   BOND       681904AN8     2047    1830000 PRN -    DEFINED 05                  0         0        0
D OMNICARE                       COMMON     681904108     1362      53574 SH  -    OTHER   02               1700      1771    50103
D OMNICARE                       COMMON     681904108       71       2800 SH  -    OTHER   02                  0         0     2800
D OMNICARE                       COMMON     681904108     2753     108268 SH  -    DEFINED 04              85068         0    23200
D OMNICARE                       COMMON     681904108     4404     173190 SH  -    DEFINED 04             173190         0        0
D OMNICARE                       COMMON     681904108      323      12716 SH  -    DEFINED 05              12716         0        0
D OMNICARE                       COMMON     681904108      869      34183 SH  -    DEFINED 08              34183         0        0
D OMNICOM GROUP INC              BOND       681919AV8    22395   22852000 PRN -    DEFINED 05                  0         0        0
D OMNICOM GROUP INC              BOND       681919AV8    24500   25000000 PRN -    DEFINED 08                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 601
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OMNICOM GROUP INC              BOND       681919AV8     2940    3000000 PRN -    DEFINED 09                  0         0        0
D OMNICOM GROUP INC              COMMON     681919106      502      13627 SH  -    DEFINED 02              11052      2575        0
D OMNICOM GROUP INC              COMMON     681919106      515      13976 SH  -    DEFINED 02              11316      1560     1100
D OMNICOM GROUP INC              COMMON     681919106      126       3426 SH  -    DEFINED 02               3221         0      205
D OMNICOM GROUP INC              COMMON     681919106    16487     447539 SH  -    OTHER   02               5749    427789    12301
D OMNICOM GROUP INC              COMMON     681919106     1900      51580 SH  -    OTHER   02               9134     24510    17936
D OMNICOM GROUP INC              COMMON     681919106     3239      87933 SH  -    DEFINED 04              79932         0     8001
D OMNICOM GROUP INC              COMMON     681919106     3343      90743 SH  -    DEFINED 04              90743         0        0
D OMNICOM GROUP INC              COMMON     681919106        1         20 SH  -    OTHER   04                  0        20        0
D OMNICOM GROUP INC              COMMON     681919106     5292     143639 SH  -    DEFINED 05             143639         0        0
D OMNICOM GROUP INC              COMMON     681919106      267       7234 SH  -    DEFINED 01               7100         0      134
D OMNICOM GROUP INC              COMMON     681919106      809      21961 SH  -    OTHER   01                750     20761        0
D OMNICOM GROUP INC              COMMON     681919106      758      20567 SH  -    OTHER   10                  0         0    20567
D OMEGA HEALTHCARE INVS INC      COMMON     681936100    11559     725603 SH  -    DEFINED 04             624803         0   100800
D OMEGA HEALTHCARE INVS INC      COMMON     681936100     1135      71273 SH  -    DEFINED 04              71273         0        0
D OMEGA HEALTHCARE INVS INC      COMMON     681936100     1110      69700 SH  -    DEFINED 04              69700         0        0
D OMEGA HEALTHCARE INVS INC      COMMON     681936100      126       7907 SH  -    DEFINED 05               7907         0        0
D OMEGA HEALTHCARE INVS INC      COMMON     681936100       40       2500 SH  -    DEFINED 09               2500         0        0
D OMEGA HEALTHCARE INVS INC      COMMON     681936100      166      10400 SH  -    OTHER   09                  0     10400        0
D OMEGA HEALTHCARE INVS INC      COMMON     681936100      199      12475 SH  -    OTHER   10                  0         0    12475
D OMNIVISION TECHNOL             COMMON     682128103        1         64 SH  -    OTHER   02                  0        64        0
D OMNIVISION TECHNOL             COMMON     682128103      516      36740 SH  -    DEFINED 04              36740         0        0
D OMNIVISION TECHNOL             COMMON     682128103      897      63902 SH  -    DEFINED 04              63902         0        0
D OMNIVISION TECHNOL             COMMON     682128103      815      58056 SH  -    DEFINED 05              58056         0        0
D OMNIVISION TECHNOL             COMMON     682128103     1089      77595 SH  -    DEFINED 08              77595         0        0
D OMNIVISION TECHNOL             COMMON     682128103       55       3946 SH  -    DEFINED 09               3946         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 602
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OMNIVISION TECHNOL             COMMON     682128103      453      32255 SH  -    OTHER   10                  0         0    32255
D OMNIVISION TECHNOL             OPTION     682128954        1        100 SH  P    DEFINED 05                100         0        0
D OMNOVA SOLUTIONS INC           COMMON     682129101       62      17387 SH  -    OTHER   02                  0      6807    10580
D OMNOVA SOLUTIONS INC           COMMON     682129101        4       1250 SH  -    DEFINED 05               1250         0        0
D OMNOVA SOLUTIONS INC           COMMON     682129101       10       2675 SH  -    DEFINED 08               2675         0        0
D OMNICELL INC                   COMMON     68213N109       32       2310 SH  -    OTHER   02                  0       421     1889
D OMNICELL INC                   COMMON     68213N109       78       5680 SH  -    OTHER   02                  0       243     5437
D OMNICELL INC                   COMMON     68213N109    37719    2737213 SH  -    DEFINED 04            2383762         0   353451
D OMNICELL INC                   COMMON     68213N109     9301     674995 SH  -    DEFINED 04             674995         0        0
D OMNICELL INC                   COMMON     68213N109     1816     131762 SH  -    DEFINED 04             131762         0        0
D OMNICELL INC                   COMMON     68213N109      217      15773 SH  -    DEFINED 05              15773         0        0
D OMNICELL INC                   COMMON     68213N109      247      17929 SH  -    DEFINED 09              17929         0        0
D OMNICOM GROUP INC              BOND       682134AA9    16091   15641000 PRN -    DEFINED 09                  0         0        0
D OMNICARE CAP TR II             PREF CONV  68214Q200      342       9000 SH  -    OTHER   02                  0         0        0
D OMNICARE CAP TR II             PREF CONV  68214Q200     3042      80050 SH  -    DEFINED 09                  0         0        0
D ON ASSIGNMENT, INC.            COMMON     682159108      182      25736 SH  -    DEFINED 04              25736         0        0
D ON ASSIGNMENT, INC.            COMMON     682159108      123      17335 SH  -    DEFINED 05              17335         0        0
D ON SEMICONDUCTOR CORP          BOND       682189AD7       73      62000 PRN -    DEFINED 05                  0         0        0
D ON SEMICONDUCTOR CORP          BOND       682189AE5      809     800000 PRN -    DEFINED 05                  0         0        0
D ON SEMICONDUCTOR CORP          BOND       682189AG0        2       2000 PRN -    DEFINED 02                  0         0        0
D ON SEMICONDUCTOR CORP          BOND       682189AG0      405     380000 PRN -    DEFINED 05                  0         0        0
D ON SEMICONDUCTOR CORP          BOND       682189AG0    10398    9763000 PRN -    DEFINED 09                  0         0        0
D ON SEMICONDUCTOR CORP          BOND       682189AG0     1189    1116000 PRN -    DEFINED 09                  0         0        0
D ON SEMICONDUCTOR               COMMON     682189105        2        210 SH  -    DEFINED 02                  0         0      210
D ON SEMICONDUCTOR               COMMON     682189105       12       1629 SH  -    DEFINED 02                443      1186        0
D ON SEMICONDUCTOR               COMMON     682189105      821     114407 SH  -    OTHER   02               1359    102930    10118

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 603
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ON SEMICONDUCTOR               COMMON     682189105      355      49409 SH  -    OTHER   02               3536      5150    40723
D ON SEMICONDUCTOR               COMMON     682189105     1068     148768 SH  -    DEFINED 04             148768         0        0
D ON SEMICONDUCTOR               COMMON     682189105     1451     202150 SH  -    DEFINED 04             202150         0        0
D ON SEMICONDUCTOR               COMMON     682189105      788     109817 SH  -    DEFINED 05             109817         0        0
D ON SEMICONDUCTOR               COMMON     682189105        1        154 SH  -    OTHER   01                  0       154        0
D ONCOGENEX PHARMACEUTICALS INC  COMMON     68230A106      127      13000 SH  -    DEFINED 05              13000         0        0
D ONCOGENEX PHARMACEUTICALS INC  COMMON     68230A106        6        576 SH  -    DEFINED 08                576         0        0
D ONCOTHYREON INC                COMMON     682324108      267      44613 SH  -    DEFINED 05              44613         0        0
D ONCOTHYREON INC                COMMON     682324108       15       2454 SH  -    DEFINED 08               2454         0        0
D 1-800-FLOWERS.COM              COMMON     68243Q106        7       3142 SH  -    OTHER   02                  0      3142        0
D 1-800-FLOWERS.COM              COMMON     68243Q106       58      25000 SH  -    DEFINED 03                  0         0    25000
D 1-800-FLOWERS.COM              COMMON     68243Q106        2        769 SH  -    DEFINED 05                769         0        0
D 1-800-FLOWERS.COM              COMMON     68243Q106        4       1513 SH  -    DEFINED 08               1513         0        0
D ONEOK PARTNERS LP              COMMON     68268N103      351       7520 SH  -    DEFINED 02               7520         0        0
D ONEOK PARTNERS LP              COMMON     68268N103       75       1600 SH  -    DEFINED 02               1600         0        0
D ONEOK PARTNERS LP              COMMON     68268N103      582      12494 SH  -    OTHER   02               8800         0     3694
D ONEOK PARTNERS LP              COMMON     68268N103      466      10000 SH  -    OTHER   01              10000         0        0
D ONEOK PARTNERS LP              COMMON     68268N103    92487    1983849 SH  -    DEFINED 10            1983849         0        0
D ONEOK PARTNERS LP              COMMON     68268N103     1991      42708 SH  -    OTHER   10                  0         0    42708
D ONEOK INC NEW                  COMMON     682680103      726      10989 SH  -    DEFINED 02               6249         0     4740
D ONEOK INC NEW                  COMMON     682680103     1135      17182 SH  -    DEFINED 02              16787         0      395
D ONEOK INC NEW                  COMMON     682680103       88       1329 SH  -    DEFINED 02               1193         0      136
D ONEOK INC NEW                  COMMON     682680103     3112      47126 SH  -    OTHER   02               5350     38742     3034
D ONEOK INC NEW                  COMMON     682680103      370       5601 SH  -    OTHER   02               1295      3395      911
D ONEOK INC NEW                  COMMON     682680103   179241    2714130 SH  -    DEFINED 04            2584383         0   129747
D ONEOK INC NEW                  COMMON     682680103     7418     112333 SH  -    DEFINED 04             112333         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 604
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ONEOK INC NEW                  COMMON     682680103       71       1069 SH  -    DEFINED 04               1069         0        0
D ONEOK INC NEW                  COMMON     682680103     2902      43943 SH  -    DEFINED 04              43943         0        0
D ONEOK INC NEW                  COMMON     682680103     1666      25220 SH  -    OTHER   04                  0     25220        0
D ONEOK INC NEW                  COMMON     682680103     8476     128346 SH  -    OTHER   04                  0    128346        0
D ONEOK INC NEW                  COMMON     682680103     2049      31022 SH  -    DEFINED 05              31022         0        0
D ONEOK INC NEW                  COMMON     682680103        3         43 SH  -    DEFINED 09                 43         0        0
D ONEOK INC NEW                  COMMON     682680103      171       2585 SH  -    DEFINED 01               2500         0       85
D ONEOK INC NEW                  COMMON     682680103      323       4893 SH  -    OTHER   01                  0      4788      105
D ONEOK INC NEW                  COMMON     682680103        9        139 SH  -    OTHER   10                  0         0      139
D ONLINE RES CORP                COMMON     68273G101      107      42100 SH  -    DEFINED 04              42100         0        0
D ONLINE RES CORP                COMMON     68273G101        0          1 SH  -    DEFINED 05                  1         0        0
D ONLINE RES CORP                COMMON     68273G101        0         17 SH  -    DEFINED 08                 17         0        0
D ONYX PHARMACEUTICA             COMMON     683399109       42       1392 SH  -    OTHER   02               1300        92        0
D ONYX PHARMACEUTICA             COMMON     683399109     9300     309891 SH  -    DEFINED 04             201131         0   108760
D ONYX PHARMACEUTICA             COMMON     683399109     4482     149350 SH  -    DEFINED 04             149350         0        0
D ONYX PHARMACEUTICA             COMMON     683399109      935      31170 SH  -    DEFINED 04              31170         0        0
D ONYX PHARMACEUTICA             COMMON     683399109     4078     135880 SH  -    DEFINED 05             135880         0        0
D ONYX PHARMACEUTICA             COMMON     683399109      111       3696 SH  -    DEFINED 08               3696         0        0
D OPEN TEXT CO                   COMMON     683715106        7        140 SH  -    OTHER   02                  0       140        0
D OPEN TEXT CO                   COMMON     683715106       82       1581 SH  -    DEFINED 06               1581         0        0
D OPEN TEXT CO                   COMMON     683715106     1002      19220 SH  -    DEFINED 08              19220         0        0
D OPEN TEXT CO                   COMMON     683715106        6        122 SH  -    OTHER   10                  0         0      122
D OPENWAVE SYS INC               COMMON     683718308        4       2415 SH  -    OTHER   02                  0      2415        0
D OPENWAVE SYS INC               COMMON     683718308       14       8752 SH  -    DEFINED 05               8752         0        0
D OPENWAVE SYS INC               COMMON     683718308        8       4846 SH  -    DEFINED 08               4846         0        0
D OPENTABLE INC                  COMMON     68372A104       12        258 SH  -    DEFINED 02                258         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 605
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OPENTABLE INC                  COMMON     68372A104       73       1595 SH  -    DEFINED 02               1595         0        0
D OPENTABLE INC                  COMMON     68372A104    28615     621935 SH  -    DEFINED 04             352510         0   269425
D OPENTABLE INC                  COMMON     68372A104      653      14200 SH  -    DEFINED 04              14200         0        0
D OPENTABLE INC                  COMMON     68372A104       44        955 SH  -    OTHER   04                  0       955        0
D OPENTABLE INC                  COMMON     68372A104      155       3374 SH  -    DEFINED 05               3374         0        0
D OPENTABLE INC                  COMMON     68372A104       66       1434 SH  -    DEFINED 08               1434         0        0
D OPENTABLE INC                  COMMON     68372A104       18        400 SH  -    OTHER   10                  0         0      400
D OPKO HEALTH INC                COMMON     68375N103       20       4607 SH  -    OTHER   02                279        53     4275
D OPKO HEALTH INC                COMMON     68375N103      815     188170 SH  -    DEFINED 05             188170         0        0
D OPKO HEALTH INC                COMMON     68375N103       37       8632 SH  -    DEFINED 08               8632         0        0
D OPKO HEALTH INC                COMMON     68375N103        2        467 SH  -    OTHER   01                  0       467        0
D OPKO HEALTH INC                COMMON     68375N103       49      11374 SH  -    OTHER   10                  0         0    11374
D OPLINK COMMUNICATIONS INC      COMMON     68375Q403       40       2675 SH  -    OTHER   02                  0         0     2675
D OPLINK COMMUNICATIONS INC      COMMON     68375Q403     2114     139650 SH  -    DEFINED 04             126450         0    13200
D OPLINK COMMUNICATIONS INC      COMMON     68375Q403     1134      74893 SH  -    DEFINED 04              74893         0        0
D OPLINK COMMUNICATIONS INC      COMMON     68375Q403      146       9673 SH  -    DEFINED 05               9673         0        0
D OPPENHEIMER HLDGS INC          COMMON     683797104        2         94 SH  -    OTHER   02                  0        94        0
D OPPENHEIMER HLDGS INC          COMMON     683797104       96       6000 SH  -    DEFINED 04               6000         0        0
D OPPENHEIMER HLDGS INC          COMMON     683797104      468      29200 SH  -    DEFINED 04              29200         0        0
D OPPENHEIMER HLDGS INC          COMMON     683797104       48       3019 SH  -    DEFINED 05               3019         0        0
D OPPENHEIMER HLDGS INC          COMMON     683797104       10        616 SH  -    DEFINED 08                616         0        0
D ORACLE CORP                    COMMON     68389X105    45028    1566731 SH  -    DEFINED 02            1383457      7680   175594
D ORACLE CORP                    COMMON     68389X105    14541     505958 SH  -    DEFINED 02             488791       385    16782
D ORACLE CORP                    COMMON     68389X105     3404     118456 SH  -    DEFINED 02             118456         0        0
D ORACLE CORP                    COMMON     68389X105     2974     103484 SH  -    DEFINED 02              60135         0    43349
D ORACLE CORP                    COMMON     68389X105    22599     786313 SH  -    OTHER   02             359230    355597    71043

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 606
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ORACLE CORP                    COMMON     68389X105     6319     219873 SH  -    OTHER   02             158343      4365    57165
D ORACLE CORP                    COMMON     68389X105      821      28552 SH  -    OTHER   02                  0     28552        0
D ORACLE CORP                    COMMON     68389X105      231       8048 SH  -    OTHER   02                  0      8048        0
D ORACLE CORP                    COMMON     68389X105     3800     132227 SH  -    OTHER   02                  0    132227        0
D ORACLE CORP                    COMMON     68389X105       32       1111 SH  -    OTHER   02                  0      1111        0
D ORACLE CORP                    COMMON     68389X105   771252   26835481 SH  -    DEFINED 04           21237032         0  5598449
D ORACLE CORP                    COMMON     68389X105    51449    1790165 SH  -    DEFINED 04            1790165         0        0
D ORACLE CORP                    COMMON     68389X105    74271    2584230 SH  -    DEFINED 04            2584230         0        0
D ORACLE CORP                    COMMON     68389X105      211       7342 SH  -    DEFINED 04               7342         0        0
D ORACLE CORP                    COMMON     68389X105     7428     258451 SH  -    DEFINED 04             258451         0        0
D ORACLE CORP                    COMMON     68389X105    37732    1312891 SH  -    DEFINED 04            1220510         0    92381
D ORACLE CORP                    COMMON     68389X105      537      18680 SH  -    DEFINED 04                  0         0    18680
D ORACLE CORP                    COMMON     68389X105    26244     913140 SH  -    OTHER   04                  0    913140        0
D ORACLE CORP                    COMMON     68389X105   111546    3881224 SH  -    DEFINED 05            3881224         0        0
D ORACLE CORP                    COMMON     68389X105    81171    2824335 SH  -    DEFINED 09            2706062     51203    28522
D ORACLE CORP                    COMMON     68389X105     1653      57507 SH  -    DEFINED 09              57507         0        0
D ORACLE CORP                    COMMON     68389X105    14974     521024 SH  -    DEFINED 09             521024         0        0
D ORACLE CORP                    COMMON     68389X105     2753      95793 SH  -    DEFINED 09              95793         0        0
D ORACLE CORP                    COMMON     68389X105     4957     172470 SH  -    OTHER   09                  0    172470        0
D ORACLE CORP                    COMMON     68389X105     2252      78356 SH  -    DEFINED 01              68831      4800     4725
D ORACLE CORP                    COMMON     68389X105     1277      44418 SH  -    OTHER   01              15262     20303     8445
D ORACLE CORP                    COMMON     68389X105     7159     249082 SH  -    OTHER   10                  0         0   249082
D ORACLE CORP                    OPTION     68389X907     6214     216200 SH  C    DEFINED 05             216200         0        0
D ORACLE CORP                    OPTION     68389X907     9010     313500 SH  C    DEFINED 08             313500         0        0
D ORACLE CORP                    OPTION     68389X956     4538     157900 SH  P    DEFINED 05             157900         0        0
D ORACLE CORP                    OPTION     68389X956     3360     116900 SH  P    DEFINED 08             116900         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 607
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ORBITAL SCIENCES CORP          BOND       685564AN6       14      14000 PRN -    DEFINED 05                  0         0        0
D ORBITAL SCIENCES CORP          COMMON     685564106        3        263 SH  -    OTHER   02                  0       263        0
D ORBITAL SCIENCES CORP          COMMON     685564106      520      40590 SH  -    DEFINED 04              40590         0        0
D ORBITAL SCIENCES CORP          COMMON     685564106      427      33375 SH  -    DEFINED 05              33375         0        0
D ORBITAL SCIENCES CORP          COMMON     685564106        2        135 SH  -    OTHER   01                  0       135        0
D ORBITZ WORLDWIDE INC           COMMON     68557K109        4       1687 SH  -    OTHER   02                  0      1687        0
D ORBITZ WORLDWIDE INC           COMMON     68557K109        5       2331 SH  -    OTHER   02                  0         0     2331
D ORBITZ WORLDWIDE INC           COMMON     68557K109     2180    1004706 SH  -    DEFINED 03            1004706         0        0
D ORBITZ WORLDWIDE INC           COMMON     68557K109      144      66300 SH  -    DEFINED 04              66300         0        0
D ORBITZ WORLDWIDE INC           COMMON     68557K109        6       2584 SH  -    DEFINED 05               2584         0        0
D ORBITZ WORLDWIDE INC           COMMON     68557K109        3       1433 SH  -    DEFINED 08               1433         0        0
D OREXIGEN THERAPEUTICS INC      COMMON     686164104      559     280800 SH  -    DEFINED 04             252600         0    28200
D OREXIGEN THERAPEUTICS INC      COMMON     686164104      117      58853 SH  -    DEFINED 05              58853         0        0
D OREXIGEN THERAPEUTICS INC      COMMON     686164104        4       1973 SH  -    DEFINED 08               1973         0        0
D ORIENTAL FINL GROUP INC        COMMON     68618W100       98      10153 SH  -    OTHER   02                  0      9608      545
D ORIENTAL FINL GROUP INC        COMMON     68618W100     5049     522150 SH  -    DEFINED 04             469350         0    52800
D ORIENTAL FINL GROUP INC        COMMON     68618W100     1483     153400 SH  -    DEFINED 04             153400         0        0
D ORIENTAL FINL GROUP INC        COMMON     68618W100        7        686 SH  -    DEFINED 05                686         0        0
D ORIENTAL FINL GROUP INC        COMMON     68618W100       25       2546 SH  -    DEFINED 08               2546         0        0
D ORIENTAL FINL GROUP INC        COMMON     68618W100       99      10220 SH  -    OTHER   01                  0     10220        0
D ORION MARINE GROUP INC         COMMON     68628V308        3        546 SH  -    OTHER   02                  0       546        0
D ORION MARINE GROUP INC         COMMON     68628V308      113      19524 SH  -    DEFINED 04              19524         0        0
D ORION MARINE GROUP INC         COMMON     68628V308       86      14907 SH  -    DEFINED 05              14907         0        0
D ORITANI FINL CORP DEL          COMMON     68633D103        5        410 SH  -    OTHER   02                  0       410        0
D ORITANI FINL CORP DEL          COMMON     68633D103      312      24235 SH  -    DEFINED 05              24235         0        0
D ORIX CORP                      ADR        686330101        3         75 SH  -    DEFINED 02                 75         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 608
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ORIX CORP                      ADR        686330101      330       8510 SH  -    OTHER   02                  0      8145      365
D ORIX CORP                      ADR        686330101       10        250 SH  -    OTHER   02                  0         0      250
D ORIX CORP                      ADR        686330101       76       1968 SH  -    OTHER   01                  0      1850        0
D ORIX CORP                      ADR        686330101        3         69 SH  -    OTHER   10                  0         0       69
D ORRSTOWN FINL SVCS INC         COMMON     687380105      334      26027 SH  -    DEFINED 04              26027         0        0
D ORRSTOWN FINL SVCS INC         COMMON     687380105        0          1 SH  -    DEFINED 05                  1         0        0
D ORRSTOWN FINL SVCS INC         COMMON     687380105        5        418 SH  -    DEFINED 08                418         0        0
D OSHKOSH CORP                   COMMON     688239201        4        263 SH  -    DEFINED 02                170         0       93
D OSHKOSH CORP                   COMMON     688239201      521      33120 SH  -    DEFINED 02              32597       523        0
D OSHKOSH CORP                   COMMON     688239201     1109      70440 SH  -    OTHER   02                604     54289    15481
D OSHKOSH CORP                   COMMON     688239201      331      21055 SH  -    OTHER   02                328      2287    18440
D OSHKOSH CORP                   COMMON     688239201     3253     206700 SH  -    DEFINED 04             206700         0        0
D OSHKOSH CORP                   COMMON     688239201     1512      96046 SH  -    DEFINED 04              96046         0        0
D OSHKOSH CORP                   COMMON     688239201       44       2811 SH  -    DEFINED 05               2811         0        0
D OSHKOSH CORP                   COMMON     688239201      156       9918 SH  -    DEFINED 08               9918         0        0
D OSHKOSH CORP                   COMMON     688239201     1256      79800 SH  -    OTHER   09                  0     79800        0
D OSHKOSH CORP                   COMMON     688239201       16       1000 SH  -    DEFINED 01               1000         0        0
D OSHKOSH CORP                   COMMON     688239201        5        315 SH  -    OTHER   10                  0         0      315
D OSIRIS THERAPEUTICS INC NEW    COMMON     68827R108        2        331 SH  -    OTHER   02                  0       331        0
D OSIRIS THERAPEUTICS INC NEW    COMMON     68827R108      148      28879 SH  -    DEFINED 05              28879         0        0
D OSIRIS THERAPEUTICS INC NEW    COMMON     68827R108        5        983 SH  -    DEFINED 08                983         0        0
D OUTDOOR CHANNEL HLDGS INC      COMMON     690027206      452      78950 SH  -    DEFINED 04              72650         0     6300
D OUTDOOR CHANNEL HLDGS INC      COMMON     690027206        8       1468 SH  -    DEFINED 05               1468         0        0
D OUTDOOR CHANNEL HLDGS INC      COMMON     690027206        5        932 SH  -    DEFINED 08                932         0        0
D OVERSEAS SHIPHOLDING GROUP INC COMMON     690368105        1         98 SH  -    DEFINED 02                  0        98        0
D OVERSEAS SHIPHOLDING GROUP INC COMMON     690368105      106       7692 SH  -    OTHER   02                  0      7302      390

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 609
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OVERSEAS SHIPHOLDING GROUP INC COMMON     690368105        3        206 SH  -    OTHER   02                  0         0      206
D OVERSEAS SHIPHOLDING GROUP INC COMMON     690368105      111       8044 SH  -    DEFINED 05               8044         0        0
D OVERSEAS SHIPHOLDING GROUP INC COMMON     690368105       49       3571 SH  -    DEFINED 08               3571         0        0
D OVERSEAS SHIPHOLDING GROUP INC COMMON     690368105        0          1 SH  -    OTHER   10                  0         0        1
D OWENS & MINOR INC NEW          COMMON     690732102        1         45 SH  -    DEFINED 02                 45         0        0
D OWENS & MINOR INC NEW          COMMON     690732102      202       7081 SH  -    OTHER   02                  0       616     6465
D OWENS & MINOR INC NEW          COMMON     690732102     2596      91150 SH  -    DEFINED 04              69500         0    21650
D OWENS & MINOR INC NEW          COMMON     690732102      676      23748 SH  -    DEFINED 04              23748         0        0
D OWENS & MINOR INC NEW          COMMON     690732102      185       6500 SH  -    DEFINED 05               6500         0        0
D OWENS & MINOR INC NEW          COMMON     690732102      372      13053 SH  -    DEFINED 08              13053         0        0
D OWENS CORNING NEW              COMMON     690742101       18        844 SH  -    OTHER   02                  0       820        0
D OWENS CORNING NEW              COMMON     690742101        0         10 SH  -    OTHER   02                  5         5        0
D OWENS CORNING NEW              COMMON     690742101      987      45507 SH  -    DEFINED 04               9577         0    35930
D OWENS CORNING NEW              COMMON     690742101      401      18475 SH  -    DEFINED 05              18475         0        0
D OWENS CORNING NEW              COMMON     690742101     1355      62518 SH  -    DEFINED 08              62518         0        0
D OWENS CORNING NEW              COMMON     690742101     8050     371325 SH  -    DEFINED 09             345064     26261        0
D OWENS CORNING NEW              COMMON     690742101      536      24713 SH  -    DEFINED 09              24713         0        0
D OWENS CORNING NEW              COMMON     690742101     3843     177270 SH  -    DEFINED 09             177270         0        0
D OWENS CORNING NEW              COMMON     690742101       96       4428 SH  -    OTHER   09                  0      4428        0
D OWENS CORNING NEW              COMMON     690742101      248      11428 SH  -    OTHER   10                  0         0    11428
D OWENS CORNING NEW              WARRANT    690742127       34      25973 SH  -    DEFINED 05              25973         0        0
D OWENS-ILLINOIS INC             COMMON     690768403        3        220 SH  -    DEFINED 02                  0       220        0
D OWENS-ILLINOIS INC             COMMON     690768403        2        162 SH  -    DEFINED 02                 32         0      130
D OWENS-ILLINOIS INC             COMMON     690768403       30       1998 SH  -    DEFINED 02               1892         0      106
D OWENS-ILLINOIS INC             COMMON     690768403      777      51369 SH  -    OTHER   02                333     43704     7260
D OWENS-ILLINOIS INC             COMMON     690768403       79       5254 SH  -    OTHER   02                710      1549     2995

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 610
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D OWENS-ILLINOIS INC             COMMON     690768403      442      29231 SH  -    DEFINED 04              24530         0     4701
D OWENS-ILLINOIS INC             COMMON     690768403      400      26422 SH  -    DEFINED 04              26422         0        0
D OWENS-ILLINOIS INC             COMMON     690768403     4168     275647 SH  -    DEFINED 05             275647         0        0
D OWENS-ILLINOIS INC             COMMON     690768403       36       2357 SH  -    DEFINED 06               2357         0        0
D OWENS-ILLINOIS INC             COMMON     690768403       20       1307 SH  -    OTHER   01                  0      1307        0
D OWENS-ILLINOIS INC             COMMON     690768403      159      10500 SH  -    OTHER   10                  0         0    10500
D OXFORD INDS INC                COMMON     691497309        1         34 SH  -    OTHER   02                 34         0        0
D OXFORD INDS INC                COMMON     691497309    16565     482944 SH  -    DEFINED 04             390444         0    92500
D OXFORD INDS INC                COMMON     691497309    10978     320069 SH  -    DEFINED 04             320069         0        0
D OXFORD INDS INC                COMMON     691497309     1188      34640 SH  -    DEFINED 04              34640         0        0
D OXFORD INDS INC                COMMON     691497309      261       7597 SH  -    DEFINED 05               7597         0        0
D OXFORD INDS INC                COMMON     691497309        9        264 SH  -    OTHER   10                  0         0      264
D PAA NAT GAS STORAGE L P        COMMON     693139107     8297     509046 SH  -    DEFINED 10             509046         0        0
D PC-TEL INC                     COMMON     69325Q105       83      13468 SH  -    DEFINED 04              13468         0        0
D PC-TEL INC                     COMMON     69325Q105       51       8357 SH  -    DEFINED 05               8357         0        0
D PDF SOLUTIONS INC              COMMON     693282105       43      10456 SH  -    DEFINED 05              10456         0        0
D PDF SOLUTIONS INC              COMMON     693282105        6       1430 SH  -    DEFINED 08               1430         0        0
D PDL BIOPHARMA INC              COMMON     69329Y104        5        817 SH  -    OTHER   02                  0       817        0
D PDL BIOPHARMA INC              COMMON     69329Y104     1434     258383 SH  -    DEFINED 05             258383         0        0
D PDL BIOPHARMA INC              COMMON     69329Y104      193      34722 SH  -    DEFINED 08              34722         0        0
D PG&E CORP                      COMMON     69331C108      761      18002 SH  -    DEFINED 02               5932         0    12070
D PG&E CORP                      COMMON     69331C108      213       5046 SH  -    DEFINED 02               5046         0        0
D PG&E CORP                      COMMON     69331C108      209       4942 SH  -    DEFINED 02               4636         0      306
D PG&E CORP                      COMMON     69331C108     1143      27032 SH  -    OTHER   02               2626     24235      130
D PG&E CORP                      COMMON     69331C108      370       8746 SH  -    OTHER   02               7530         5     1211
D PG&E CORP                      COMMON     69331C108    24575     580973 SH  -    DEFINED 04             553742         0    27231

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 611
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PG&E CORP                      COMMON     69331C108     5235     123756 SH  -    DEFINED 04             123756         0        0
D PG&E CORP                      COMMON     69331C108       32        757 SH  -    DEFINED 04                757         0        0
D PG&E CORP                      COMMON     69331C108      113       2681 SH  -    DEFINED 04               2681         0        0
D PG&E CORP                      COMMON     69331C108      252       5958 SH  -    OTHER   04                  0      5958        0
D PG&E CORP                      COMMON     69331C108     2872      67902 SH  -    DEFINED 05              67902         0        0
D PG&E CORP                      COMMON     69331C108     2385      56375 SH  -    DEFINED 08              56375         0        0
D PG&E CORP                      COMMON     69331C108      207       4900 SH  -    DEFINED 01               4900         0        0
D PG&E CORP                      COMMON     69331C108       33        783 SH  -    OTHER   01                  0       783        0
D PG&E CORP                      COMMON     69331C108       18        428 SH  -    OTHER   10                  0         0      428
D PHH CORP                       BOND       693320AH6       69      70000 PRN -    DEFINED 05                  0         0        0
D PHH CORP                       BOND       693320AN3     1584    1654000 PRN -    DEFINED 05                  0         0        0
D PHH CORP                       BOND       693320AN3    41173   43000000 PRN -    DEFINED 08                  0         0        0
D PHH CORP                       COMMON     693320202       42       2586 SH  -    OTHER   02                  0      2586        0
D PHH CORP                       COMMON     693320202        6        362 SH  -    OTHER   02                 13        19      330
D PHH CORP                       COMMON     693320202     9669     601305 SH  -    DEFINED 04             558105         0    43200
D PHH CORP                       COMMON     693320202     1849     115000 SH  -    DEFINED 04             115000         0        0
D PHH CORP                       COMMON     693320202      260      16178 SH  -    DEFINED 05              16178         0        0
D PHH CORP                       COMMON     693320202     6020     374363 SH  -    DEFINED 08             374363         0        0
D PHH CORP                       COMMON     693320202        7        415 SH  -    OTHER   10                  0         0      415
D P F CHANGS CHINA BISTRO INC    COMMON     69333Y108       24        873 SH  -    OTHER   02                  0         0      873
D P F CHANGS CHINA BISTRO INC    COMMON     69333Y108       71       2620 SH  -    OTHER   02                  0       112     2508
D P F CHANGS CHINA BISTRO INC    COMMON     69333Y108      424      15552 SH  -    DEFINED 04              15552         0        0
D P F CHANGS CHINA BISTRO INC    COMMON     69333Y108     2388      87681 SH  -    DEFINED 04              87681         0        0
D P F CHANGS CHINA BISTRO INC    COMMON     69333Y108      662      24289 SH  -    DEFINED 05              24289         0        0
D PMC-SIERRA INC                 COMMON     69344F106        5        800 SH  -    DEFINED 02                800         0        0
D PMC-SIERRA INC                 COMMON     69344F106       16       2735 SH  -    OTHER   02                788      1947        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 612
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PMC-SIERRA INC                 COMMON     69344F106        2        266 SH  -    OTHER   02                  0         0      266
D PMC-SIERRA INC                 COMMON     69344F106     3013     503923 SH  -    DEFINED 04             428823         0    75100
D PMC-SIERRA INC                 COMMON     69344F106       21       3530 SH  -    DEFINED 05               3530         0        0
D PMC-SIERRA INC                 COMMON     69344F106      689     115150 SH  -    DEFINED 08             115150         0        0
D PMI GROUP INC                  BOND       69344MAK7       31     100000 PRN -    DEFINED 05                  0         0        0
D PMI GROUP INC                  COMMON     69344M101       49     245900 SH  -    DEFINED 04             245900         0        0
D PMI GROUP INC                  COMMON     69344M101       43     212533 SH  -    DEFINED 05             212533         0        0
D PMI GROUP INC                  COMMON     69344M101        3      16859 SH  -    DEFINED 08              16859         0        0
D PNC FINL SVCS GROUP INC        COMMON     693475105      412       8553 SH  -    DEFINED 02               7253         0     1300
D PNC FINL SVCS GROUP INC        COMMON     693475105      416       8635 SH  -    DEFINED 02               5810         0     2825
D PNC FINL SVCS GROUP INC        COMMON     693475105      310       6423 SH  -    DEFINED 02               6064         0      359
D PNC FINL SVCS GROUP INC        COMMON     693475105     2687      55752 SH  -    OTHER   02              25307     22041     8332
D PNC FINL SVCS GROUP INC        COMMON     693475105     1393      28897 SH  -    OTHER   02              26833       135     1929
D PNC FINL SVCS GROUP INC        COMMON     693475105    59378    1232174 SH  -    DEFINED 04            1067408         0   164766
D PNC FINL SVCS GROUP INC        COMMON     693475105     5348     110987 SH  -    DEFINED 04             110987         0        0
D PNC FINL SVCS GROUP INC        COMMON     693475105      269       5584 SH  -    DEFINED 04               5584         0        0
D PNC FINL SVCS GROUP INC        COMMON     693475105     3172      65819 SH  -    DEFINED 04              37607         0    28212
D PNC FINL SVCS GROUP INC        COMMON     693475105     1995      41389 SH  -    OTHER   04                  0     41389        0
D PNC FINL SVCS GROUP INC        COMMON     693475105    91531    1899383 SH  -    DEFINED 05            1899383         0        0
D PNC FINL SVCS GROUP INC        COMMON     693475105       48       1006 SH  -    DEFINED 06               1006         0        0
D PNC FINL SVCS GROUP INC        COMMON     693475105      582      12069 SH  -    DEFINED 08              12069         0        0
D PNC FINL SVCS GROUP INC        COMMON     693475105    16277     337758 SH  -    DEFINED 09             321175     16484       99
D PNC FINL SVCS GROUP INC        COMMON     693475105      869      18037 SH  -    DEFINED 09              18037         0        0
D PNC FINL SVCS GROUP INC        COMMON     693475105     9836     204107 SH  -    DEFINED 09             142657         0        0
D PNC FINL SVCS GROUP INC        COMMON     693475105     1414      29345 SH  -    OTHER   09                  0     29345        0
D PNC FINL SVCS GROUP INC        COMMON     693475105      291       6031 SH  -    OTHER   10                  0         0     6031

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 613
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PNC FINL SVCS GROUP INC        WARRANT    693475121      117      13080 SH  -    OTHER   10                  0         0    13080
D PNC FINL SVCS GROUP INC        OPTION     693475907     2424      50300 SH  C    DEFINED 05              50300         0        0
D PNC FINL SVCS GROUP INC        OPTION     693475907     2410      50000 SH  C    DEFINED 08              50000         0        0
D POSCO                          ADR        693483109        2         21 SH  -    DEFINED 02                 21         0        0
D POSCO                          ADR        693483109    23180     304964 SH  -    DEFINED 02             304964         0        0
D POSCO                          ADR        693483109     2121      27904 SH  -    DEFINED 04              27904         0        0
D POSCO                          ADR        693483109     1363      17930 SH  -    DEFINED 05              17930         0        0
D POSCO                          ADR        693483109    19470     256148 SH  -    DEFINED 09             246055         0    10093
D POSCO                          ADR        693483109     1414      18604 SH  -    DEFINED 09              18604         0        0
D POSCO                          ADR        693483109     3904      51365 SH  -    DEFINED 09              11500         0        0
D POSCO                          ADR        693483109      336       4422 SH  -    OTHER   09                  0      4422        0
D PNM RES INC                    COMMON     69349H107        6        341 SH  -    OTHER   02                  0       341        0
D PNM RES INC                    COMMON     69349H107     1198      72939 SH  -    DEFINED 04              72939         0        0
D PNM RES INC                    COMMON     69349H107     4418     268920 SH  -    DEFINED 04             268920         0        0
D PNM RES INC                    COMMON     69349H107      104       6341 SH  -    DEFINED 05               6341         0        0
D PNM RES INC                    COMMON     69349H107      317      19291 SH  -    DEFINED 08              19291         0        0
D PPG INDS SEC INC               COMMON     693506107     1596      22582 SH  -    DEFINED 02               9342         0    13240
D PPG INDS SEC INC               COMMON     693506107     1831      25906 SH  -    DEFINED 02              25801         0      105
D PPG INDS SEC INC               COMMON     693506107      137       1944 SH  -    DEFINED 02               1815         0      129
D PPG INDS SEC INC               COMMON     693506107     1203      17028 SH  -    OTHER   02              10768      5499      728
D PPG INDS SEC INC               COMMON     693506107     1187      16800 SH  -    OTHER   02              14368        59     2373
D PPG INDS SEC INC               COMMON     693506107    87202    1234102 SH  -    DEFINED 04             810112         0   423990
D PPG INDS SEC INC               COMMON     693506107    13292     188119 SH  -    DEFINED 04             188119         0        0
D PPG INDS SEC INC               COMMON     693506107      217       3064 SH  -    DEFINED 04               3064         0        0
D PPG INDS SEC INC               COMMON     693506107      249       3525 SH  -    DEFINED 04               3525         0        0
D PPG INDS SEC INC               COMMON     693506107      819      11592 SH  -    OTHER   04                  0     11592        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 614
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PPG INDS SEC INC               COMMON     693506107     8980     127083 SH  -    DEFINED 05             127083         0        0
D PPG INDS SEC INC               COMMON     693506107      163       2301 SH  -    DEFINED 06               2301         0        0
D PPG INDS SEC INC               COMMON     693506107    16844     238383 SH  -    DEFINED 08             238383         0        0
D PPG INDS SEC INC               COMMON     693506107     1411      19973 SH  -    DEFINED 09              19973         0        0
D PPG INDS SEC INC               COMMON     693506107      227       3217 SH  -    DEFINED 01               3100         0      117
D PPG INDS SEC INC               COMMON     693506107      547       7737 SH  -    OTHER   01               7350       262      125
D PPG INDS SEC INC               COMMON     693506107      355       5028 SH  -    OTHER   10                  0         0     5028
D PPG INDS SEC INC               OPTION     693506909     2523      35700 SH  C    DEFINED 05              35700         0        0
D PPL CORP                       COMMON     69351T106       62       2179 SH  -    DEFINED 02               2179         0        0
D PPL CORP                       COMMON     69351T106       76       2672 SH  -    DEFINED 02               2672         0        0
D PPL CORP                       COMMON     69351T106      202       7075 SH  -    DEFINED 02               6658         0      417
D PPL CORP                       COMMON     69351T106      535      18739 SH  -    OTHER   02               5959     11980      800
D PPL CORP                       COMMON     69351T106      177       6210 SH  -    OTHER   02               5000       324      886
D PPL CORP                       COMMON     69351T106    13669     478953 SH  -    DEFINED 04             305112         0   173841
D PPL CORP                       COMMON     69351T106     4943     173198 SH  -    DEFINED 04             173198         0        0
D PPL CORP                       COMMON     69351T106       92       3241 SH  -    DEFINED 04               3241         0        0
D PPL CORP                       COMMON     69351T106       43       1500 SH  -    DEFINED 04               1500         0        0
D PPL CORP                       COMMON     69351T106      404      14157 SH  -    OTHER   04                  0     14157        0
D PPL CORP                       COMMON     69351T106     4083     143078 SH  -    DEFINED 05             143078         0        0
D PPL CORP                       COMMON     69351T106      225       7901 SH  -    DEFINED 09               7901         0        0
D PPL CORP                       COMMON     69351T106      177       6202 SH  -    DEFINED 01               6000         0      202
D PPL CORP                       COMMON     69351T106        5        167 SH  -    OTHER   01                  0       167        0
D PPL CORP                       COMMON     69351T106       23        800 SH  -    OTHER   10                  0         0      800
D PPL CORP                       UNIT       69351T114     8496     156200 SH  -    DEFINED 04             156200         0        0
D PPL CORP                       UNIT       69351T114    22316     410300 SH  -    DEFINED 09             216600         0   193700
D PPL CORP                       UNIT       69351T114     2592      47650 SH  -    DEFINED 09                  0         0    47650

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 615
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PPL CORP                       UNIT       69351T601        4         76 SH  -    DEFINED 02                 76         0        0
D PPL CORP                       UNIT       69351T601      237       4290 SH  -    OTHER   10                  0         0     4290
D PS BUSINESS PKS INC CALIF      COMMON     69360J107     4101      82775 SH  -    DEFINED 04              76275         0     6500
D PS BUSINESS PKS INC CALIF      COMMON     69360J107     4121      83183 SH  -    DEFINED 04              83183         0        0
D PS BUSINESS PKS INC CALIF      COMMON     69360J107      467       9432 SH  -    DEFINED 05               9432         0        0
D PS BUSINESS PKS INC CALIF      COMMON     69360J107        6        113 SH  -    DEFINED 06                113         0        0
D PVH CORP                       COMMON     693656100       17        300 SH  -    DEFINED 02                300         0        0
D PVH CORP                       COMMON     693656100       11        189 SH  -    DEFINED 02                189         0        0
D PVH CORP                       COMMON     693656100      507       8706 SH  -    OTHER   02                  0       700     7970
D PVH CORP                       COMMON     693656100       48        818 SH  -    OTHER   02                  0         8      810
D PVH CORP                       COMMON     693656100    64212    1102547 SH  -    DEFINED 04            1062047         0    40500
D PVH CORP                       COMMON     693656100     1441      24748 SH  -    DEFINED 04              24748         0        0
D PVH CORP                       COMMON     693656100      733      12585 SH  -    OTHER   04                  0     12585        0
D PVH CORP                       COMMON     693656100     3712      63733 SH  -    OTHER   04                  0     63733        0
D PVH CORP                       COMMON     693656100      499       8574 SH  -    DEFINED 05               8574         0        0
D PVH CORP                       COMMON     693656100      164       2818 SH  -    DEFINED 08               2818         0        0
D PVH CORP                       COMMON     693656100        1         15 SH  -    OTHER   10                  0         0       15
D PSS WORLD MED INC              COMMON     69366A100    37653    1912305 SH  -    DEFINED 04            1777975         0   134330
D PSS WORLD MED INC              COMMON     69366A100      127       6433 SH  -    DEFINED 04               6433         0        0
D PSS WORLD MED INC              COMMON     69366A100      577      29283 SH  -    DEFINED 05              29283         0        0
D PSS WORLD MED INC              COMMON     69366A100     2835     143983 SH  -    DEFINED 08             143983         0        0
D PSS WORLD MED INC              COMMON     69366A100        3        134 SH  -    OTHER   10                  0         0      134
D PACCAR INC                     COMMON     693718108    22455     663944 SH  -    DEFINED 02             555475      2580   105889
D PACCAR INC                     COMMON     693718108     7036     208044 SH  -    DEFINED 02             191136       195    16713
D PACCAR INC                     COMMON     693718108     5359     158443 SH  -    DEFINED 02             158443         0        0
D PACCAR INC                     COMMON     693718108     1360      40224 SH  -    DEFINED 02              14286         0    25938

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 616
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PACCAR INC                     COMMON     693718108     9093     268852 SH  -    OTHER   02             151614     84810    32413
D PACCAR INC                     COMMON     693718108      481      14226 SH  -    OTHER   02              12994       937      295
D PACCAR INC                     COMMON     693718108      145       4277 SH  -    OTHER   02                  0      4277        0
D PACCAR INC                     COMMON     693718108      126       3734 SH  -    OTHER   02                  0      3734        0
D PACCAR INC                     COMMON     693718108      329       9714 SH  -    OTHER   02                  0      9714        0
D PACCAR INC                     COMMON     693718108   462468   13674386 SH  -    DEFINED 04           11651030         0  2023356
D PACCAR INC                     COMMON     693718108     2891      85479 SH  -    DEFINED 04              85479         0        0
D PACCAR INC                     COMMON     693718108    40315    1192057 SH  -    DEFINED 04            1192057         0        0
D PACCAR INC                     COMMON     693718108     3561     105292 SH  -    DEFINED 04             105292         0        0
D PACCAR INC                     COMMON     693718108    21247     628224 SH  -    DEFINED 04             626123         0     2101
D PACCAR INC                     COMMON     693718108      363      10726 SH  -    DEFINED 04                  0         0    10726
D PACCAR INC                     COMMON     693718108    15599     461223 SH  -    OTHER   04                  0    461223        0
D PACCAR INC                     COMMON     693718108     1288      38080 SH  -    DEFINED 05              38080         0        0
D PACCAR INC                     COMMON     693718108    52981    1566564 SH  -    DEFINED 09            1521158         0    33403
D PACCAR INC                     COMMON     693718108      914      27033 SH  -    DEFINED 09              27033         0        0
D PACCAR INC                     COMMON     693718108     1605      47457 SH  -    DEFINED 09              47457         0        0
D PACCAR INC                     COMMON     693718108     4604     136140 SH  -    DEFINED 09              29356         0        0
D PACCAR INC                     COMMON     693718108      407      12026 SH  -    OTHER   09                  0     12026        0
D PACCAR INC                     COMMON     693718108     2150      63586 SH  -    DEFINED 01              58621      2450     2515
D PACCAR INC                     COMMON     693718108      803      23750 SH  -    OTHER   01              16960      2725     4065
D PACCAR INC                     COMMON     693718108      511      15100 SH  -    OTHER   10                  0         0    15100
D PACCAR INC                     OPTION     693718900      846      25000 SH  C    DEFINED 05              25000         0        0
D PACER INTL INC TENN            COMMON     69373H106        5       1262 SH  -    OTHER   02                298       964        0
D PACER INTL INC TENN            COMMON     69373H106     1279     341130 SH  -    DEFINED 04             323330         0    17800
D PACER INTL INC TENN            COMMON     69373H106      516     137500 SH  -    DEFINED 04             137500         0        0
D PACER INTL INC TENN            COMMON     69373H106       10       2689 SH  -    DEFINED 05               2689         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 617
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PACER INTL INC TENN            COMMON     69373H106        8       2049 SH  -    DEFINED 08               2049         0        0
D PACIFIC BIOSCIENCES CALIF INC  COMMON     69404D108        2        574 SH  -    OTHER   02                  0       574        0
D PACIFIC BIOSCIENCES CALIF INC  COMMON     69404D108      513     159850 SH  -    DEFINED 04             142550         0    17300
D PACIFIC BIOSCIENCES CALIF INC  COMMON     69404D108       91      28500 SH  -    DEFINED 04              28500         0        0
D PACIFIC BIOSCIENCES CALIF INC  COMMON     69404D108       52      16131 SH  -    DEFINED 05              16131         0        0
D PACIFIC BIOSCIENCES CALIF INC  COMMON     69404D108        6       1965 SH  -    DEFINED 08               1965         0        0
D PACIRA PHARMACEUTICALS INC     COMMON     695127100       18       1796 SH  -    DEFINED 05               1796         0        0
D PACIRA PHARMACEUTICALS INC     COMMON     695127100        5        473 SH  -    DEFINED 08                473         0        0
D PACIRA PHARMACEUTICALS INC     COMMON     695127100      287      28901 SH  -    DEFINED 09              28901         0        0
D PACKAGING CORP OF              COMMON     695156109        4        153 SH  -    DEFINED 02                153         0        0
D PACKAGING CORP OF              COMMON     695156109      907      38919 SH  -    OTHER   02              35000      2581     1338
D PACKAGING CORP OF              COMMON     695156109       52       2241 SH  -    DEFINED 05               2241         0        0
D PACWEST BANCORP DEL            COMMON     695263103        2        125 SH  -    OTHER   02                  0       125        0
D PACWEST BANCORP DEL            COMMON     695263103     2692     193100 SH  -    DEFINED 04             175100         0    18000
D PACWEST BANCORP DEL            COMMON     695263103      330      23640 SH  -    DEFINED 04              23640         0        0
D PACWEST BANCORP DEL            COMMON     695263103      217      15599 SH  -    DEFINED 05              15599         0        0
D PAETEC HOLDING CORP            COMMON     695459107        8       1579 SH  -    OTHER   02                  0      1579        0
D PAETEC HOLDING CORP            COMMON     695459107       41       7796 SH  -    DEFINED 05               7796         0        0
D PAETEC HOLDING CORP            COMMON     695459107       39       7449 SH  -    DEFINED 08               7449         0        0
D PAETEC HOLDING CORP            COMMON     695459107     2959     559311 SH  -    DEFINED 09             559311         0        0
D PAETEC HOLDING CORP            COMMON     695459107        0          8 SH  -    OTHER   10                  0         0        8
D PALL CORP                      COMMON     696429307      276       6520 SH  -    DEFINED 02               6350       170        0
D PALL CORP                      COMMON     696429307      140       3295 SH  -    DEFINED 02               3205         0       90
D PALL CORP                      COMMON     696429307       58       1373 SH  -    DEFINED 02               1341         0       32
D PALL CORP                      COMMON     696429307     1943      45835 SH  -    OTHER   02               6770     34535     4530
D PALL CORP                      COMMON     696429307      199       4700 SH  -    OTHER   02               1955      1004     1741

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 618
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PALL CORP                      COMMON     696429307    49505    1167571 SH  -    DEFINED 04             644882         0   522689
D PALL CORP                      COMMON     696429307      790      18638 SH  -    DEFINED 04              18638         0        0
D PALL CORP                      COMMON     696429307       92       2161 SH  -    OTHER   04                  0      2161        0
D PALL CORP                      COMMON     696429307       91       2153 SH  -    DEFINED 05               2153         0        0
D PALL CORP                      COMMON     696429307       35        830 SH  -    OTHER   01                  0       830        0
D PALL CORP                      COMMON     696429307       18        430 SH  -    OTHER   10                  0         0      430
D PALOMAR MED TECHNOLOGIES INC   COMMON     697529303       49       6214 SH  -    DEFINED 04               6214         0        0
D PALOMAR MED TECHNOLOGIES INC   COMMON     697529303       81      10337 SH  -    DEFINED 05              10337         0        0
D PAMPA ENERGIA S A              ADR        697660207       45       3900 SH  -    DEFINED 05               3900         0        0
D PAMPA ENERGIA S A              ADR        697660207      445      38515 SH  -    DEFINED 09              38515         0        0
D PAN AMER SILVER                COMMON     697900108      117       4358 SH  -    DEFINED 06               4358         0        0
D PAN AMER SILVER                COMMON     697900108      625      23347 SH  -    DEFINED 08              23347         0        0
D PAN AMER SILVER                COMMON     697900108    35901    1341100 SH  -    DEFINED 09            1341100         0        0
D PAN AMER SILVER                COMMON     697900108     2350      87800 SH  -    DEFINED 09              87800         0        0
D PANDORA MEDIA INC              COMMON     698354107     1303      88925 SH  -    DEFINED 04              78425         0    10500
D PANDORA MEDIA INC              COMMON     698354107     5560     379538 SH  -    DEFINED 05             379538         0        0
D PANERA BREAD CO                COMMON     69840W108      189       1822 SH  -    OTHER   02                  0       263     1559
D PANERA BREAD CO                COMMON     69840W108     2330      22420 SH  -    DEFINED 04              22420         0        0
D PANERA BREAD CO                COMMON     69840W108      548       5277 SH  -    DEFINED 05               5277         0        0
D PANERA BREAD CO                COMMON     69840W108      503       4838 SH  -    DEFINED 08               4838         0        0
D PANERA BREAD CO                COMMON     69840W108      468       4500 SH  -    OTHER   01               4500         0        0
D PANERA BREAD CO                COMMON     69840W108      906       8715 SH  -    OTHER   10                  0         0     8715
D PANERA BREAD CO                OPTION     69840W900      218       2100 SH  C    DEFINED 05               2100         0        0
D PANERA BREAD CO                OPTION     69840W959      208       2000 SH  P    DEFINED 05               2000         0        0
D PANHANDLE OIL AND GAS INC      COMMON     698477106      209       7350 SH  -    DEFINED 04               6850         0      500
D PANHANDLE OIL AND GAS INC      COMMON     698477106        3        104 SH  -    DEFINED 05                104         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 619
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PANHANDLE OIL AND GAS INC      COMMON     698477106       12        433 SH  -    DEFINED 08                433         0        0
D PANTRY INC                     COMMON     698657103        3        260 SH  -    OTHER   02                  0       260        0
D PANTRY INC                     COMMON     698657103       11        900 SH  -    DEFINED 04                900         0        0
D PANTRY INC                     COMMON     698657103       58       4800 SH  -    DEFINED 04               4800         0        0
D PANTRY INC                     COMMON     698657103        4        348 SH  -    DEFINED 05                348         0        0
D PANTRY INC                     COMMON     698657103      105       8629 SH  -    DEFINED 08               8629         0        0
D PANTRY INC                     COMMON     698657103       10        821 SH  -    OTHER   10                  0         0      821
D PAPA JOHNS INTL                COMMON     698813102        3         90 SH  -    OTHER   02                 39        51        0
D PAPA JOHNS INTL                COMMON     698813102    57427    1889032 SH  -    DEFINED 04            1767075         0   121957
D PAPA JOHNS INTL                COMMON     698813102      449      14768 SH  -    DEFINED 04              14768         0        0
D PAPA JOHNS INTL                COMMON     698813102      274       9002 SH  -    DEFINED 05               9002         0        0
D PAR PHARMACEUTICAL COS INC     COMMON     69888P106        2         57 SH  -    OTHER   02                  0        57        0
D PAR PHARMACEUTICAL COS INC     COMMON     69888P106     3561     133781 SH  -    DEFINED 04             121181         0    12600
D PAR PHARMACEUTICAL COS INC     COMMON     69888P106      614      23072 SH  -    DEFINED 04              23072         0        0
D PAR PHARMACEUTICAL COS INC     COMMON     69888P106      453      17035 SH  -    DEFINED 05              17035         0        0
D PARAMETRIC TECHNOLOGY CORP     COMMON     699173209       57       3718 SH  -    OTHER   02                 70       245     3403
D PARAMETRIC TECHNOLOGY CORP     COMMON     699173209      210      13658 SH  -    OTHER   02                  0       435    13223
D PARAMETRIC TECHNOLOGY CORP     COMMON     699173209     1554     101040 SH  -    DEFINED 04              76980         0    24060
D PARAMETRIC TECHNOLOGY CORP     COMMON     699173209     1588     103265 SH  -    DEFINED 05             103265         0        0
D PARAMETRIC TECHNOLOGY CORP     COMMON     699173209      189      12313 SH  -    DEFINED 08              12313         0        0
D PARAMETRIC TECHNOLOGY CORP     COMMON     699173209        1         66 SH  -    OTHER   01                  0        66        0
D PARAMOUNT GOLD & SILVER CORP   COMMON     69924P102        2        871 SH  -    OTHER   02                  0       871        0
D PARAMOUNT GOLD & SILVER CORP   COMMON     69924P102       44      18474 SH  -    DEFINED 05              18474         0        0
D PARAMOUNT GOLD & SILVER CORP   COMMON     69924P102       17       7013 SH  -    DEFINED 08               7013         0        0
D PAREXEL INTL CP                COMMON     699462107       76       3989 SH  -    OTHER   02                 58         0     3931
D PAREXEL INTL CP                COMMON     699462107      225      11870 SH  -    OTHER   02                  0       505    11365

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 620
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PAREXEL INTL CP                COMMON     699462107      575      30387 SH  -    DEFINED 05              30387         0        0
D PAREXEL INTL CP                COMMON     699462107        5        270 SH  -    OTHER   10                  0         0      270
D PARK ELECTROCHEMICAL CORP      COMMON     700416209        4        191 SH  -    OTHER   02                  0       191        0
D PARK ELECTROCHEMICAL CORP      COMMON     700416209      241      11300 SH  -    DEFINED 04              11300         0        0
D PARK ELECTROCHEMICAL CORP      COMMON     700416209     1479      69216 SH  -    DEFINED 04              69216         0        0
D PARK ELECTROCHEMICAL CORP      COMMON     700416209      261      12206 SH  -    DEFINED 05              12206         0        0
D PARK NATL CORP                 COMMON     700658107       70       1320 SH  -    OTHER   02                  0       440      880
D PARK NATL CORP                 COMMON     700658107      824      15590 SH  -    DEFINED 04              15590         0        0
D PARK NATL CORP                 COMMON     700658107       15        287 SH  -    DEFINED 05                287         0        0
D PARK NATL CORP                 COMMON     700658107       99       1879 SH  -    DEFINED 08               1879         0        0
D PARK OHIO HLDGS CORP           COMMON     700666100        3        250 SH  -    OTHER   02                  0       250        0
D PARK OHIO HLDGS CORP           COMMON     700666100      137      11400 SH  -    DEFINED 04              10400         0     1000
D PARK OHIO HLDGS CORP           COMMON     700666100       32       2630 SH  -    DEFINED 05               2630         0        0
D PARK OHIO HLDGS CORP           COMMON     700666100        6        519 SH  -    DEFINED 08                519         0        0
D PARKER DRILLING CO             COMMON     701081101      174      39725 SH  -    DEFINED 04              39125         0      600
D PARKER DRILLING CO             COMMON     701081101       30       6888 SH  -    DEFINED 05               6888         0        0
D PARKER DRILLING CO             COMMON     701081101       30       6871 SH  -    DEFINED 08               6871         0        0
D PARKER-HANNIFIN CP             COMMON     701094104      844      13362 SH  -    DEFINED 02               6472         0     6890
D PARKER-HANNIFIN CP             COMMON     701094104      767      12150 SH  -    DEFINED 02              12150         0        0
D PARKER-HANNIFIN CP             COMMON     701094104      119       1892 SH  -    DEFINED 02               1787         0      105
D PARKER-HANNIFIN CP             COMMON     701094104      646      10235 SH  -    OTHER   02               1849      8378        0
D PARKER-HANNIFIN CP             COMMON     701094104       79       1259 SH  -    OTHER   02                755        39      465
D PARKER-HANNIFIN CP             COMMON     701094104    63146    1000259 SH  -    DEFINED 04             703626         0   296633
D PARKER-HANNIFIN CP             COMMON     701094104    26650     422146 SH  -    DEFINED 04             422146         0        0
D PARKER-HANNIFIN CP             COMMON     701094104     2987      47320 SH  -    DEFINED 04              47320         0        0
D PARKER-HANNIFIN CP             COMMON     701094104      125       1975 SH  -    DEFINED 04               1975         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 621
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PARKER-HANNIFIN CP             COMMON     701094104      369       5850 SH  -    OTHER   04                  0      5850        0
D PARKER-HANNIFIN CP             COMMON     701094104      212       3355 SH  -    DEFINED 05               3355         0        0
D PARKER-HANNIFIN CP             COMMON     701094104      642      10173 SH  -    DEFINED 09              10173         0        0
D PARKER-HANNIFIN CP             COMMON     701094104     2203      34900 SH  -    OTHER   09                  0     34900        0
D PARKER-HANNIFIN CP             COMMON     701094104        1         20 SH  -    DEFINED 01                 20         0        0
D PARKER-HANNIFIN CP             COMMON     701094104        7        114 SH  -    OTHER   01                  0       114        0
D PARKER-HANNIFIN CP             COMMON     701094104        4         65 SH  -    OTHER   10                  0         0       65
D PARKWAY PPTYS INC              COMMON     70159Q104     3990     362390 SH  -    DEFINED 04             353690         0     8700
D PARKWAY PPTYS INC              COMMON     70159Q104     1005      91273 SH  -    DEFINED 04              91273         0        0
D PARKWAY PPTYS INC              COMMON     70159Q104      126      11466 SH  -    DEFINED 05              11466         0        0
D PARKWAY PPTYS INC              COMMON     70159Q104        1        104 SH  -    DEFINED 06                104         0        0
D PATRIOT COAL CORP              COMMON     70336T104       11       1265 SH  -    OTHER   02                  0      1265        0
D PATRIOT COAL CORP              COMMON     70336T104      277      32781 SH  -    DEFINED 05              32781         0        0
D PATRIOT COAL CORP              COMMON     70336T104     1939     229228 SH  -    DEFINED 08             229228         0        0
D PATRIOT COAL CORP              COMMON     70336T104        3        400 SH  -    OTHER   10                  0         0      400
D PATTERSON COMPANIES INC        COMMON     703395103     1164      40673 SH  -    DEFINED 02              40673         0        0
D PATTERSON COMPANIES INC        COMMON     703395103        1         24 SH  -    DEFINED 02                 24         0        0
D PATTERSON COMPANIES INC        COMMON     703395103       32       1131 SH  -    DEFINED 02               1079         0       52
D PATTERSON COMPANIES INC        COMMON     703395103      265       9246 SH  -    OTHER   02                 41      9205        0
D PATTERSON COMPANIES INC        COMMON     703395103      186       6509 SH  -    OTHER   02                  5        53     6451
D PATTERSON COMPANIES INC        COMMON     703395103     2916     101865 SH  -    DEFINED 04              99101         0     2764
D PATTERSON COMPANIES INC        COMMON     703395103      442      15453 SH  -    DEFINED 04              15453         0        0
D PATTERSON COMPANIES INC        COMMON     703395103     1502      52447 SH  -    DEFINED 05              52447         0        0
D PATTERSON UTI ENEG             COMMON     703481101       38       2203 SH  -    OTHER   02                  0      1902      301
D PATTERSON UTI ENEG             COMMON     703481101    30128    1737495 SH  -    DEFINED 04            1601412         0   136083
D PATTERSON UTI ENEG             COMMON     703481101     4880     281428 SH  -    DEFINED 04             281428         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 622
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PATTERSON UTI ENEG             COMMON     703481101      115       6650 SH  -    DEFINED 05               6650         0        0
D PATTERSON UTI ENEG             COMMON     703481101      825      47584 SH  -    DEFINED 08              47584         0        0
D PATTERSON UTI ENEG             COMMON     703481101        4        239 SH  -    OTHER   01                  0       239        0
D PAYCHEX INC                    COMMON     704326107      121       4598 SH  -    DEFINED 02               3423         0     1175
D PAYCHEX INC                    COMMON     704326107      666      25265 SH  -    DEFINED 02              25265         0        0
D PAYCHEX INC                    COMMON     704326107      105       3998 SH  -    DEFINED 02               3715         0      283
D PAYCHEX INC                    COMMON     704326107      675      25589 SH  -    OTHER   02               8385     14520     2529
D PAYCHEX INC                    COMMON     704326107      177       6719 SH  -    OTHER   02                910       123     5686
D PAYCHEX INC                    COMMON     704326107     2272      86160 SH  -    DEFINED 04              76933         0     9227
D PAYCHEX INC                    COMMON     704326107     1370      51955 SH  -    DEFINED 04              51955         0        0
D PAYCHEX INC                    COMMON     704326107     5871     222657 SH  -    DEFINED 04             193360         0        0
D PAYCHEX INC                    COMMON     704326107    17310     656438 SH  -    DEFINED 05             656438         0        0
D PAYCHEX INC                    COMMON     704326107     5005     189809 SH  -    DEFINED 09             189809         0        0
D PAYCHEX INC                    COMMON     704326107       38       1446 SH  -    OTHER   09                  0      1446        0
D PAYCHEX INC                    COMMON     704326107      871      33045 SH  -    OTHER   01              33000        45        0
D PAYCHEX INC                    COMMON     704326107      306      11590 SH  -    OTHER   10                  0         0    11590
D PAYCHEX INC                    OPTION     704326909        8        300 SH  C    DEFINED 05                300         0        0
D PEABODY ENERGY CORP            BOND       704549AG9      725     700000 PRN -    OTHER   02                  0         0        0
D PEABODY ENERGY CORP            BOND       704549AG9       67      65000 PRN -    DEFINED 05                  0         0        0
D PEABODY ENERGY CORP            BOND       704549AG9    20222   19538000 PRN -    DEFINED 09                  0         0        0
D PEABODY ENERGY CORP            BOND       704549AG9     2900    2802000 PRN -    DEFINED 09                  0         0        0
D PEABODY ENERGY CORP            COMMON     704549104       47       1400 SH  -    DEFINED 02               1400         0        0
D PEABODY ENERGY CORP            COMMON     704549104       14        406 SH  -    DEFINED 02                406         0        0
D PEABODY ENERGY CORP            COMMON     704549104      112       3297 SH  -    DEFINED 02               3121         0      176
D PEABODY ENERGY CORP            COMMON     704549104      562      16599 SH  -    OTHER   02               4999      7220     4380
D PEABODY ENERGY CORP            COMMON     704549104        8        245 SH  -    OTHER   02                  0        20      225

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 623
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PEABODY ENERGY CORP            COMMON     704549104     2986      88126 SH  -    DEFINED 04              80372         0     7754
D PEABODY ENERGY CORP            COMMON     704549104     3542     104560 SH  -    DEFINED 04             104560         0        0
D PEABODY ENERGY CORP            COMMON     704549104      811      23943 SH  -    DEFINED 05              23943         0        0
D PEABODY ENERGY CORP            COMMON     704549104      148       4359 SH  -    DEFINED 06               4359         0        0
D PEABODY ENERGY CORP            COMMON     704549104     2412      71187 SH  -    DEFINED 08              71187         0        0
D PEABODY ENERGY CORP            COMMON     704549104      129       3800 SH  -    DEFINED 09               3800         0        0
D PEABODY ENERGY CORP            COMMON     704549104       14        400 SH  -    DEFINED 01                400         0        0
D PEABODY ENERGY CORP            COMMON     704549104        6        175 SH  -    OTHER   01                  0       175        0
D PEABODY ENERGY CORP            COMMON     704549104     1630      48099 SH  -    OTHER   10                  0         0    48099
D PEBBLEBROOK HOTEL TR           COMMON     70509V100        3        163 SH  -    OTHER   02                  0       163        0
D PEBBLEBROOK HOTEL TR           COMMON     70509V100      138       8831 SH  -    DEFINED 05               8831         0        0
D PEBBLEBROOK HOTEL TR           COMMON     70509V100       24       1550 SH  -    DEFINED 06               1550         0        0
D PEETS COFFEE & TEA INC         COMMON     705560100        4         77 SH  -    OTHER   02                  0        77        0
D PEETS COFFEE & TEA INC         COMMON     705560100        0          3 SH  -    OTHER   02                  3         0        0
D PEETS COFFEE & TEA INC         COMMON     705560100      504       9050 SH  -    DEFINED 04               9050         0        0
D PEETS COFFEE & TEA INC         COMMON     705560100      337       6065 SH  -    DEFINED 05               6065         0        0
D PEETS COFFEE & TEA INC         COMMON     705560100      751      13489 SH  -    OTHER   10                  0         0    13489
D PEGASYSTEMS INC                COMMON     705573103       14        450 SH  -    OTHER   02                  0         0      450
D PEGASYSTEMS INC                COMMON     705573103      386      12616 SH  -    DEFINED 04              12616         0        0
D PEGASYSTEMS INC                COMMON     705573103       59       1914 SH  -    DEFINED 05               1914         0        0
D PEGASYSTEMS INC                COMMON     705573103       31       1019 SH  -    DEFINED 08               1019         0        0
D PENDRELL CORP                  COMMON     70686R104       50      22412 SH  -    DEFINED 05              22412         0        0
D PENDRELL CORP                  COMMON     70686R104       42      18802 SH  -    DEFINED 08              18802         0        0
D PENGROWTH ENERGY CORP          COMMON     70706P104     1242     138200 SH  -    OTHER   02             138200         0        0
D PENGROWTH ENERGY CORP          COMMON     70706P104      117      12986 SH  -    DEFINED 06              12986         0        0
D PENGROWTH ENERGY CORP          COMMON     70706P104      704      78356 SH  -    DEFINED 08              78356         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 624
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PENN NATL GAMING INC           COMMON     707569109       16        481 SH  -    OTHER   02                  0       481        0
D PENN NATL GAMING INC           COMMON     707569109    58203    1748371 SH  -    DEFINED 04            1635768         0   112603
D PENN NATL GAMING INC           COMMON     707569109     1584      47569 SH  -    DEFINED 04              47569         0        0
D PENN NATL GAMING INC           COMMON     707569109       77       2321 SH  -    DEFINED 05               2321         0        0
D PENN NATL GAMING INC           COMMON     707569109       96       2893 SH  -    DEFINED 08               2893         0        0
D PENN VA CORP                   COMMON     707882106       27       4875 SH  -    OTHER   02                  0         0     4875
D PENN VA CORP                   COMMON     707882106      495      88902 SH  -    DEFINED 04              88902         0        0
D PENN VA CORP                   COMMON     707882106      139      25026 SH  -    DEFINED 05              25026         0        0
D PENN VA CORP                   COMMON     707882106       45       8000 SH  -    OTHER   10                  0         0     8000
D PENN VA RESOURCES PARTNERS LP  COMMON     707884102      122       5200 SH  -    DEFINED 02               5200         0        0
D PENN VA RESOURCES PARTNERS LP  COMMON     707884102     1389      59394 SH  -    OTHER   02               2850     47234     9310
D PENN VA RESOURCES PARTNERS LP  COMMON     707884102     1213      51850 SH  -    OTHER   02              30500     18550     2800
D PENN VA RESOURCES PARTNERS LP  COMMON     707884102        0          6 SH  -    DEFINED 04                  6         0        0
D PENN VA RESOURCES PARTNERS LP  COMMON     707884102      327      14000 SH  -    OTHER   01              14000         0        0
D PENN VA RESOURCES PARTNERS LP  COMMON     707884102    28581    1221915 SH  -    DEFINED 10            1221915         0        0
D PENN VA RESOURCES PARTNERS LP  COMMON     707884102     1062      45402 SH  -    OTHER   10                  0         0    45402
D PENN WEST PETE LTD NEW         COMMON     707887105        0         23 SH  -    DEFINED 02                 23         0        0
D PENN WEST PETE LTD NEW         COMMON     707887105       15       1000 SH  -    DEFINED 02               1000         0        0
D PENN WEST PETE LTD NEW         COMMON     707887105      111       7493 SH  -    DEFINED 05               7493         0        0
D PENN WEST PETE LTD NEW         COMMON     707887105      270      18304 SH  -    DEFINED 06              18304         0        0
D PENN WEST PETE LTD NEW         COMMON     707887105       58       3929 SH  -    OTHER   10                  0         0     3929
D PENNANTPARK INVT CORP          COMMON     708062104       55       6192 SH  -    OTHER   02                  0      6192        0
D PENNANTPARK INVT CORP          COMMON     708062104     8058     903417 SH  -    DEFINED 04             648735         0   254682
D PENNANTPARK INVT CORP          COMMON     708062104     5262     589887 SH  -    DEFINED 04             589887         0        0
D PENNANTPARK INVT CORP          COMMON     708062104     1273     142714 SH  -    DEFINED 04             142714         0        0
D PENNANTPARK INVT CORP          COMMON     708062104       28       3140 SH  -    DEFINED 05               3140         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 625
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PENNANTPARK INVT CORP          COMMON     708062104       13       1479 SH  -    DEFINED 08               1479         0        0
D PENNANTPARK INVT CORP          COMMON     708062104      292      32735 SH  -    OTHER   10                  0         0    32735
D PENNEY(JC)CO INC               COMMON     708160106      379      14150 SH  -    DEFINED 02              14150         0        0
D PENNEY(JC)CO INC               COMMON     708160106       46       1735 SH  -    DEFINED 02               1647         0       88
D PENNEY(JC)CO INC               COMMON     708160106     1332      49721 SH  -    OTHER   02              15630     32177     1914
D PENNEY(JC)CO INC               COMMON     708160106      153       5728 SH  -    OTHER   02               5505        27      196
D PENNEY(JC)CO INC               COMMON     708160106    45756    1708579 SH  -    DEFINED 03            1708579         0        0
D PENNEY(JC)CO INC               COMMON     708160106      681      25444 SH  -    DEFINED 04              21352         0     4092
D PENNEY(JC)CO INC               COMMON     708160106     1023      38203 SH  -    DEFINED 04              38203         0        0
D PENNEY(JC)CO INC               COMMON     708160106     2337      87263 SH  -    DEFINED 05              87263         0        0
D PENNEY(JC)CO INC               COMMON     708160106     1967      73467 SH  -    OTHER   10                  0         0    73467
D PENNEY(JC)CO INC               OPTION     708160908       37       1400 SH  C    DEFINED 05               1400         0        0
D PENNEY(JC)CO INC               OPTION     708160957       35       1300 SH  P    DEFINED 05               1300         0        0
D PENNSYLVANIA RL ESTATE INVT TR COMMON     709102107     4519     584570 SH  -    DEFINED 04             541970         0    42600
D PENNSYLVANIA RL ESTATE INVT TR COMMON     709102107     1332     172257 SH  -    DEFINED 04             172257         0        0
D PENNSYLVANIA RL ESTATE INVT TR COMMON     709102107       28       3573 SH  -    DEFINED 04               3573         0        0
D PENNSYLVANIA RL ESTATE INVT TR COMMON     709102107      908     117400 SH  -    DEFINED 04             117400         0        0
D PENNSYLVANIA RL ESTATE INVT TR COMMON     709102107       81      10510 SH  -    OTHER   04                  0     10510        0
D PENNSYLVANIA RL ESTATE INVT TR COMMON     709102107      250      32333 SH  -    DEFINED 05              32333         0        0
D PENNSYLVANIA RL ESTATE INVT TR COMMON     709102107        2        268 SH  -    DEFINED 06                268         0        0
D PENNSYLVANIA RL ESTATE INVT TR COMMON     709102107       25       3200 SH  -    DEFINED 09               3200         0        0
D PENNSYLVANIA RL ESTATE INVT TR COMMON     709102107      110      14200 SH  -    OTHER   09                  0     14200        0
D PENNYMAC MTG INVT TR           COMMON     70931T103        1         60 SH  -    OTHER   02                  0        60        0
D PENNYMAC MTG INVT TR           COMMON     70931T103       10        650 SH  -    DEFINED 05                650         0        0
D PENNYMAC MTG INVT TR           COMMON     70931T103     1734     109069 SH  -    DEFINED 08             109069         0        0
D PENNYMAC MTG INVT TR           COMMON     70931T103      194      12222 SH  -    OTHER   10                  0         0    12222

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 626
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PENSKE AUTOMOTIVE GRP INC      COMMON     70959W103       21       1342 SH  -    OTHER   02                  0      1342        0
D PENSKE AUTOMOTIVE GRP INC      COMMON     70959W103       20       1245 SH  -    OTHER   02                  0         0     1245
D PENSKE AUTOMOTIVE GRP INC      COMMON     70959W103      178      11107 SH  -    DEFINED 04              11107         0        0
D PENSKE AUTOMOTIVE GRP INC      COMMON     70959W103      862      53877 SH  -    DEFINED 04              53877         0        0
D PENSKE AUTOMOTIVE GRP INC      COMMON     70959W103      109       6834 SH  -    DEFINED 05               6834         0        0
D PENSKE AUTOMOTIVE GRP INC      COMMON     70959W103       42       2643 SH  -    DEFINED 08               2643         0        0
D PENSON WORLDWIDE INC           COMMON     709600100        5       3550 SH  -    DEFINED 02               3550         0        0
D PENSON WORLDWIDE INC           COMMON     709600100       73      50302 SH  -    DEFINED 05              50302         0        0
D PENSON WORLDWIDE INC           COMMON     709600100        0          9 SH  -    DEFINED 08                  9         0        0
D PENTAIR INC                    COMMON     709631105       68       2135 SH  -    OTHER   02                186      1949        0
D PENTAIR INC                    COMMON     709631105        1         41 SH  -    OTHER   02                  5        31        5
D PENTAIR INC                    COMMON     709631105     1660      51850 SH  -    DEFINED 04              15450         0    36400
D PENTAIR INC                    COMMON     709631105     1600      49985 SH  -    DEFINED 04              49985         0        0
D PENTAIR INC                    COMMON     709631105       59       1835 SH  -    DEFINED 05               1835         0        0
D PENTAIR INC                    COMMON     709631105      860      26873 SH  -    DEFINED 08              26873         0        0
D PENTAIR INC                    COMMON     709631105        2         58 SH  -    OTHER   10                  0         0       58
D PENTAIR INC                    OPTION     709631907       10        300 SH  C    DEFINED 05                300         0        0
D PEOPLES BANCORP INC            COMMON     709789101      536      48725 SH  -    DEFINED 04              46325         0     2400
D PEOPLES BANCORP INC            COMMON     709789101       11       1038 SH  -    DEFINED 05               1038         0        0
D PEOPLES BANCORP INC            COMMON     709789101        8        705 SH  -    DEFINED 08                705         0        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105    52388    4595451 SH  -    DEFINED 02            4508765         0    86686
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105    12716    1115463 SH  -    DEFINED 02            1113994         0     1469
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105       51       4473 SH  -    DEFINED 02               4339         0      134
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105      352      30903 SH  -    OTHER   02              17682     13046      175
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105      375      32880 SH  -    OTHER   02               6970       149    25761
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105     8032     704524 SH  -    OTHER   02                  0    704524        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 627
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105     3552     311568 SH  -    OTHER   02                  0    311568        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105     3318     291082 SH  -    OTHER   02                  0    291082        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105    87482    7673862 SH  -    DEFINED 04            7312611         0   361251
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105     2312     202827 SH  -    DEFINED 04             202827         0        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105       28       2438 SH  -    DEFINED 04               2438         0        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105     1551     136020 SH  -    DEFINED 04             136020         0        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105      750      65825 SH  -    OTHER   04                  0     65825        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105     3813     334463 SH  -    OTHER   04                  0    334463        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105     3652     320391 SH  -    DEFINED 05             320391         0        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105        8        710 SH  -    DEFINED 06                710         0        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105      791      69398 SH  -    DEFINED 08              69398         0        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105      483      42380 SH  -    DEFINED 09              42380         0        0
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105      308      27044 SH  -    DEFINED 01              26834         0      210
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105        7        580 SH  -    OTHER   01                  0       325      255
D PEOPLES UNITED FINANCIAL INC   COMMON     712704105       60       5235 SH  -    OTHER   10                  0         0     5235
D PEP BOYS MANNY MOE             COMMON     713278109      227      23035 SH  -    OTHER   02                  0      8420    14615
D PEP BOYS MANNY MOE             COMMON     713278109       15       1569 SH  -    OTHER   02                  0        20     1549
D PEP BOYS MANNY MOE             COMMON     713278109      364      36855 SH  -    DEFINED 04              36855         0        0
D PEP BOYS MANNY MOE             COMMON     713278109      243      24588 SH  -    DEFINED 05              24588         0        0
D PEP BOYS MANNY MOE             COMMON     713278109       34       3424 SH  -    DEFINED 08               3424         0        0
D PEPCO HOLDINGS INC             COMMON     713291102        9        450 SH  -    DEFINED 02                450         0        0
D PEPCO HOLDINGS INC             COMMON     713291102       57       2994 SH  -    DEFINED 02               2948         0       46
D PEPCO HOLDINGS INC             COMMON     713291102      141       7441 SH  -    OTHER   02                336      5631     1474
D PEPCO HOLDINGS INC             COMMON     713291102       29       1547 SH  -    OTHER   02                884       139      524
D PEPCO HOLDINGS INC             COMMON     713291102     1508      79721 SH  -    DEFINED 04              73239         0     6482
D PEPCO HOLDINGS INC             COMMON     713291102     2773     146568 SH  -    DEFINED 04             146568         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 628
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PEPCO HOLDINGS INC             COMMON     713291102      796      42082 SH  -    DEFINED 05              42082         0        0
D PEPCO HOLDINGS INC             COMMON     713291102      264      13938 SH  -    OTHER   10                  0         0    13938
D PEPSICO INC                    COMMON     713448108    77165    1246612 SH  -    DEFINED 02            1189835      2140    54637
D PEPSICO INC                    COMMON     713448108    29893     482929 SH  -    DEFINED 02             478779         0     4150
D PEPSICO INC                    COMMON     713448108     1515      24467 SH  -    DEFINED 02              19884         0     4583
D PEPSICO INC                    COMMON     713448108    47325     764545 SH  -    OTHER   02             386233    306546    69963
D PEPSICO INC                    COMMON     713448108    22394     361779 SH  -    OTHER   02             276917     27315    57547
D PEPSICO INC                    COMMON     713448108     9412     152058 SH  -    OTHER   02                  0    152058        0
D PEPSICO INC                    COMMON     713448108     3962      64012 SH  -    OTHER   02                  0     64012        0
D PEPSICO INC                    COMMON     713448108     5293      85513 SH  -    OTHER   02                  0     85513        0
D PEPSICO INC                    COMMON     713448108   169770    2742647 SH  -    DEFINED 04            1643437         0  1099210
D PEPSICO INC                    COMMON     713448108    17281     279171 SH  -    DEFINED 04             279171         0        0
D PEPSICO INC                    COMMON     713448108      440       7109 SH  -    DEFINED 04               7109         0        0
D PEPSICO INC                    COMMON     713448108      392       6325 SH  -    DEFINED 04               6325         0        0
D PEPSICO INC                    COMMON     713448108      353       5705 SH  -    DEFINED 04                  0         0     5705
D PEPSICO INC                    COMMON     713448108      267       4308 SH  -    OTHER   04                  0      4308        0
D PEPSICO INC                    COMMON     713448108    91505    1478265 SH  -    DEFINED 05            1478265         0        0
D PEPSICO INC                    COMMON     713448108     9172     148174 SH  -    DEFINED 08             148174         0        0
D PEPSICO INC                    COMMON     713448108     2065      33355 SH  -    DEFINED 09              33355         0        0
D PEPSICO INC                    COMMON     713448108    43981     710518 SH  -    DEFINED 01             710242         0      276
D PEPSICO INC                    COMMON     713448108      957      15459 SH  -    OTHER   01              10231      5228        0
D PEPSICO INC                    COMMON     713448108     9140     147651 SH  -    OTHER   10                  0         0   147651
D PEPSICO INC                    OPTION     713448900    19709     318400 SH  C    DEFINED 05             318400         0        0
D PEPSICO INC                    OPTION     713448900     5800      93700 SH  C    DEFINED 08              93700         0        0
D PEPSICO INC                    OPTION     713448959    17734     286500 SH  P    DEFINED 05             286500         0        0
D PEPSICO INC                    OPTION     713448959     7428     120000 SH  P    DEFINED 08             120000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 629
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PEREGRINE PHARMACEUTICALS INC  COMMON     713661304      296     271773 SH  -    DEFINED 05             271773         0        0
D PEREGRINE PHARMACEUTICALS INC  COMMON     713661304        4       4126 SH  -    DEFINED 08               4126         0        0
D PERFECT WORLD CO LTD           ADR        71372U104      345      30900 SH  -    DEFINED 02              30900         0        0
D PERFECT WORLD CO LTD           ADR        71372U104     3097     277500 SH  -    DEFINED 04             277500         0        0
D PERFECT WORLD CO LTD           ADR        71372U104    11692    1047627 SH  -    DEFINED 09             761827    285800        0
D PERFICIENT INC                 COMMON     71375U101      521      71197 SH  -    DEFINED 04              71197         0        0
D PERFICIENT INC                 COMMON     71375U101      172      23461 SH  -    DEFINED 05              23461         0        0
D PERICOM SEMICONDUC             COMMON     713831105        3        392 SH  -    OTHER   02                  0       392        0
D PERICOM SEMICONDUC             COMMON     713831105       45       6100 SH  -    OTHER   02                  0      6100        0
D PERICOM SEMICONDUC             COMMON     713831105      127      17205 SH  -    DEFINED 04              17205         0        0
D PERICOM SEMICONDUC             COMMON     713831105       91      12334 SH  -    DEFINED 05              12334         0        0
D PERKINELMER INC                COMMON     714046109       25       1313 SH  -    DEFINED 02               1303         0       10
D PERKINELMER INC                COMMON     714046109      212      11026 SH  -    OTHER   02                  0      8901     2125
D PERKINELMER INC                COMMON     714046109      222      11559 SH  -    OTHER   02                  0      2364     9195
D PERKINELMER INC                COMMON     714046109     1482      77141 SH  -    DEFINED 04              30904         0    46237
D PERKINELMER INC                COMMON     714046109      352      18300 SH  -    DEFINED 04              18300         0        0
D PERKINELMER INC                COMMON     714046109       38       1980 SH  -    DEFINED 05               1980         0        0
D PERMIAN BASIN RTY TR           COMMON     714236106      205      10000 SH  -    DEFINED 02              10000         0        0
D PERMIAN BASIN RTY TR           COMMON     714236106      225      11021 SH  -    OTHER   02              11021         0        0
D PERRIGO CO                     COMMON     714290103       21        213 SH  -    DEFINED 02                213         0        0
D PERRIGO CO                     COMMON     714290103      125       1290 SH  -    DEFINED 02               1290         0        0
D PERRIGO CO                     COMMON     714290103     3913      40298 SH  -    OTHER   02               1790     28125    10383
D PERRIGO CO                     COMMON     714290103      320       3298 SH  -    OTHER   02               1700         0     1598
D PERRIGO CO                     COMMON     714290103    16127     166074 SH  -    DEFINED 04              73743         0    92331
D PERRIGO CO                     COMMON     714290103     4533      46681 SH  -    DEFINED 04              46681         0        0
D PERRIGO CO                     COMMON     714290103     1079      11115 SH  -    DEFINED 05              11115         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 630
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PERRIGO CO                     COMMON     714290103     3093      31853 SH  -    DEFINED 06              31853         0        0
D PERRIGO CO                     COMMON     714290103     2992      30815 SH  -    DEFINED 08              30815         0        0
D PERRIGO CO                     COMMON     714290103      122       1257 SH  -    OTHER   10                  0         0     1257
D TELEKOMUNIKASI IND             ADR        715684106     1829      55300 SH  -    DEFINED 06              55300         0        0
D TELEKOMUNIKASI IND             ADR        715684106      916      27699 SH  -    DEFINED 09              27699         0        0
D TELEKOMUNIKASI IND             ADR        715684106       34       1015 SH  -    OTHER   01                  0      1015        0
D TELEKOMUNIKASI IND             ADR        715684106        8        251 SH  -    OTHER   10                  0         0      251
D PETMED EXPRESS INC             COMMON     716382106      146      16193 SH  -    DEFINED 04              16193         0        0
D PETMED EXPRESS INC             COMMON     716382106      121      13480 SH  -    DEFINED 05              13480         0        0
D PETROCHINA CO                  ADR        71646E100       46        380 SH  -    DEFINED 02                  0       380        0
D PETROCHINA CO                  ADR        71646E100     1314      10905 SH  -    OTHER   02                690     10115      100
D PETROCHINA CO                  ADR        71646E100      113        940 SH  -    OTHER   02                600         0      340
D PETROCHINA CO                  ADR        71646E100       30        247 SH  -    DEFINED 05                247         0        0
D PETROCHINA CO                  ADR        71646E100      318       2640 SH  -    OTHER   01               2000       640        0
D PETROCHINA CO                  ADR        71646E100       41        343 SH  -    OTHER   10                  0         0      343
D PETROCHINA CO                  OPTION     71646E902      361       3000 SH  C    DEFINED 05               3000         0        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101        9        436 SH  -    DEFINED 02                436         0        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101    79436    3833782 SH  -    DEFINED 02            3833782         0        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101      725      34974 SH  -    OTHER   02              11694     16515     6765
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101       13        635 SH  -    OTHER   02                  0         0      635
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101    12122     585042 SH  -    DEFINED 04             585042         0        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101     2047      98800 SH  -    DEFINED 04              71100         0    27700
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101   132775    6408082 SH  -    DEFINED 04            5166495         0  1241587
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101        1         58 SH  -    OTHER   04                  0        58        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101      285      13776 SH  -    DEFINED 05              13776         0        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101      114       5500 SH  -    DEFINED 06               5500         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 631
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101     1374      66291 SH  -    DEFINED 08              66291         0        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101   269812   13021800 SH  -    DEFINED 09           12911980         0   109820
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101     1828      88212 SH  -    DEFINED 09              88212         0        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101    16484     795544 SH  -    DEFINED 09             795544         0        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101     7208     347900 SH  -    DEFINED 09                  0         0        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101       87       4205 SH  -    OTHER   01                  0      4205        0
D PETROLEO BRASILEIRO SA PETROBR PREF ADR   71654V101        3        163 SH  -    OTHER   10                  0         0      163
D PETROL BRASILEIROS             ADR        71654V408        1         65 SH  -    DEFINED 02                 65         0        0
D PETROL BRASILEIROS             ADR        71654V408        1         38 SH  -    DEFINED 02                 38         0        0
D PETROL BRASILEIROS             ADR        71654V408      138       6133 SH  -    OTHER   02               5000         0     1133
D PETROL BRASILEIROS             ADR        71654V408        0         20 SH  -    OTHER   02                 20         0        0
D PETROL BRASILEIROS             ADR        71654V408     7173     319490 SH  -    DEFINED 04             319490         0        0
D PETROL BRASILEIROS             ADR        71654V408        2         78 SH  -    OTHER   04                  0        78        0
D PETROL BRASILEIROS             ADR        71654V408    19414     864744 SH  -    DEFINED 05             864744         0        0
D PETROL BRASILEIROS             ADR        71654V408      306      13641 SH  -    DEFINED 06              13641         0        0
D PETROL BRASILEIROS             ADR        71654V408     1807      80483 SH  -    DEFINED 08              80483         0        0
D PETROL BRASILEIROS             ADR        71654V408    46410    2067239 SH  -    DEFINED 08            2067239         0        0
D PETROL BRASILEIROS             ADR        71654V408    32627    1453306 SH  -    DEFINED 09            1424178     29128        0
D PETROL BRASILEIROS             ADR        71654V408     7866     350400 SH  -    DEFINED 09             350400         0        0
D PETROL BRASILEIROS             ADR        71654V408    10643     474095 SH  -    DEFINED 09             474095         0        0
D PETROL BRASILEIROS             ADR        71654V408      380      16927 SH  -    DEFINED 09              16927         0        0
D PETROL BRASILEIROS             ADR        71654V408     9457     421253 SH  -    OTHER   09                  0    421253        0
D PETROL BRASILEIROS             ADR        71654V408      898      40000 SH  -    OTHER   01              40000         0        0
D PETROL BRASILEIROS             ADR        71654V408      730      32503 SH  -    OTHER   10                  0         0    32503
D PETROL BRASILEIROS             OPTION     71654V903    10097     487300 SH  C    DEFINED 05             487300         0        0
D PETROL BRASILEIROS             OPTION     71654V903     6264     302300 SH  C    DEFINED 08             302300         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 632
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PETROL BRASILEIROS             OPTION     71654V952     8885     428800 SH  P    DEFINED 05             428800         0        0
D PETROL BRASILEIROS             OPTION     71654V952    15312     739000 SH  P    DEFINED 08             739000         0        0
D PETROLEUM DEV CORP             COMMON     716578109       58       3000 SH  -    OTHER   02                  0      3000        0
D PETROLEUM DEV CORP             COMMON     716578109     5784     298310 SH  -    DEFINED 04             214260         0    84050
D PETROLEUM DEV CORP             COMMON     716578109     3866     199400 SH  -    DEFINED 04             199400         0        0
D PETROLEUM DEV CORP             COMMON     716578109      915      47180 SH  -    DEFINED 04              47180         0        0
D PETROLEUM DEV CORP             COMMON     716578109      269      13850 SH  -    DEFINED 05              13850         0        0
D PETROLEUM DEV CORP             COMMON     716578109        2         85 SH  -    OTHER   01                  0        85        0
D PETROQUEST ENERGY INC          COMMON     716748108        3        508 SH  -    OTHER   02                  0       508        0
D PETROQUEST ENERGY INC          COMMON     716748108     1209     219775 SH  -    DEFINED 04             204375         0    15400
D PETROQUEST ENERGY INC          COMMON     716748108     2318     421460 SH  -    DEFINED 04             421460         0        0
D PETROQUEST ENERGY INC          COMMON     716748108      187      33923 SH  -    DEFINED 05              33923         0        0
D PETROQUEST ENERGY INC          COMMON     716748108      256      46601 SH  -    OTHER   10                  0         0    46601
D PETSMART INC                   COMMON     716768106       22        520 SH  -    DEFINED 02                520         0        0
D PETSMART INC                   COMMON     716768106        5        114 SH  -    DEFINED 02                114         0        0
D PETSMART INC                   COMMON     716768106     1402      32880 SH  -    OTHER   02                  0       312    32568
D PETSMART INC                   COMMON     716768106      149       3505 SH  -    OTHER   02                  0         0     3505
D PETSMART INC                   COMMON     716768106    48056    1126762 SH  -    DEFINED 04            1085562         0    41200
D PETSMART INC                   COMMON     716768106     2879      67509 SH  -    DEFINED 04              67509         0        0
D PETSMART INC                   COMMON     716768106     1088      25500 SH  -    DEFINED 04              25500         0        0
D PETSMART INC                   COMMON     716768106      603      14139 SH  -    OTHER   04                  0     14139        0
D PETSMART INC                   COMMON     716768106     3001      70353 SH  -    OTHER   04                  0     70353        0
D PETSMART INC                   COMMON     716768106     1841      43166 SH  -    DEFINED 05              43166         0        0
D PETSMART INC                   COMMON     716768106     1630      38211 SH  -    DEFINED 08              38211         0        0
D PETSMART INC                   COMMON     716768106        1         15 SH  -    OTHER   10                  0         0       15
D PHARMACYCLICS INC              COMMON     716933106        1         98 SH  -    OTHER   02                 98         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 633
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PHARMACYCLICS INC              COMMON     716933106      221      18641 SH  -    DEFINED 05              18641         0        0
D PHARMACYCLICS INC              COMMON     716933106       34       2842 SH  -    DEFINED 08               2842         0        0
D PHARMACYCLICS INC              COMMON     716933106      231      19542 SH  -    DEFINED 09              19542         0        0
D PFIZER INC                     COMMON     717081103    53563    3029570 SH  -    DEFINED 02            2637244     44001   348325
D PFIZER INC                     COMMON     717081103    30320    1714916 SH  -    DEFINED 02            1703490       694    10732
D PFIZER INC                     COMMON     717081103      258      14569 SH  -    DEFINED 02              14569         0        0
D PFIZER INC                     COMMON     717081103     2597     146893 SH  -    DEFINED 02             105570         0    41323
D PFIZER INC                     COMMON     717081103    45319    2563302 SH  -    OTHER   02            1435900    837037   289376
D PFIZER INC                     COMMON     717081103    24584    1390502 SH  -    OTHER   02            1216992     42911   130599
D PFIZER INC                     COMMON     717081103      505      28538 SH  -    OTHER   02                  0     28538        0
D PFIZER INC                     COMMON     717081103      350      19794 SH  -    OTHER   02                  0     19794        0
D PFIZER INC                     COMMON     717081103      656      37105 SH  -    OTHER   02                  0     37105        0
D PFIZER INC                     COMMON     717081103   786074   44461204 SH  -    DEFINED 04           35509073         0  8952131
D PFIZER INC                     COMMON     717081103    51162    2893773 SH  -    DEFINED 04            2893773         0        0
D PFIZER INC                     COMMON     717081103    34070    1927027 SH  -    DEFINED 04            1927027         0        0
D PFIZER INC                     COMMON     717081103      566      32034 SH  -    DEFINED 04              32034         0        0
D PFIZER INC                     COMMON     717081103    45923    2597475 SH  -    DEFINED 04            2259041         0   256189
D PFIZER INC                     COMMON     717081103      469      26551 SH  -    DEFINED 04                  0         0    26551
D PFIZER INC                     COMMON     717081103        8        475 SH  -    OTHER   04                  0       475        0
D PFIZER INC                     COMMON     717081103    35893    2030139 SH  -    OTHER   04                  0   2030139        0
D PFIZER INC                     COMMON     717081103   295054   16688550 SH  -    DEFINED 05           16688550         0        0
D PFIZER INC                     COMMON     717081103      161       9086 SH  -    DEFINED 06               9086         0        0
D PFIZER INC                     COMMON     717081103    94710    5356918 SH  -    DEFINED 08            5356918         0        0
D PFIZER INC                     COMMON     717081103    71578    4048542 SH  -    DEFINED 09            3816445    154921    77176
D PFIZER INC                     COMMON     717081103     2804     158611 SH  -    DEFINED 09             158611         0        0
D PFIZER INC                     COMMON     717081103    19439    1099470 SH  -    DEFINED 09            1099470         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 634
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PFIZER INC                     COMMON     717081103     9417     532608 SH  -    OTHER   09                  0    532608        0
D PFIZER INC                     COMMON     717081103     4555     257631 SH  -    DEFINED 01             206241      9028    42362
D PFIZER INC                     COMMON     717081103     2334     132015 SH  -    OTHER   01              80863     30913    19414
D PFIZER INC                     COMMON     717081103    22245    1258192 SH  -    OTHER   10                  0         0  1258192
D PFIZER INC                     OPTION     717081905   147036    8316500 SH  C    DEFINED 05            8316500         0        0
D PFIZER INC                     OPTION     717081905    65618    3711400 SH  C    DEFINED 08            3711400         0        0
D PFIZER INC                     OPTION     717081954    90133    5098000 SH  P    DEFINED 05            5098000         0        0
D PFIZER INC                     OPTION     717081954    38366    2170000 SH  P    DEFINED 08            2170000         0        0
D PHARMACEUTICAL HLDRS TR        COMMON     71712A206    35888     550000 SH  -    DEFINED 05             550000         0        0
D PHARMACEUTICAL HLDRS TR        COMMON     71712A206     1514      23200 SH  -    OTHER   10                  0         0    23200
D PHARMACEUTICAL PRO             COMMON     717124101      130       5075 SH  -    DEFINED 02                  0      5075        0
D PHARMACEUTICAL PRO             COMMON     717124101        8        323 SH  -    DEFINED 02                323         0        0
D PHARMACEUTICAL PRO             COMMON     717124101     1268      49401 SH  -    OTHER   02                  0     44147     5200
D PHARMACEUTICAL PRO             COMMON     717124101      218       8510 SH  -    OTHER   02               8300         0      210
D PHARMACEUTICAL PRO             COMMON     717124101       87       3375 SH  -    DEFINED 04               3375         0        0
D PHARMACEUTICAL PRO             COMMON     717124101     4637     180728 SH  -    DEFINED 04             180728         0        0
D PHARMACEUTICAL PRO             COMMON     717124101      282      11008 SH  -    DEFINED 05              11008         0        0
D PHARMACEUTICAL PRO             COMMON     717124101      530      20645 SH  -    DEFINED 08              20645         0        0
D PHARMACEUTICAL PRO             COMMON     717124101      133       5182 SH  -    DEFINED 09               5182         0        0
D PHARMACEUTICAL PRO             COMMON     717124101       56       2183 SH  -    OTHER   10                  0         0     2183
D PHARMERICA CORP                COMMON     71714F104        0         26 SH  -    OTHER   02                  0        26        0
D PHARMERICA CORP                COMMON     71714F104        0         24 SH  -    OTHER   02                  0         0       24
D PHARMERICA CORP                COMMON     71714F104    10781     755500 SH  -    DEFINED 04             689300         0    66200
D PHARMERICA CORP                COMMON     71714F104     3135     219658 SH  -    DEFINED 04             219658         0        0
D PHARMERICA CORP                COMMON     71714F104     2541     178087 SH  -    DEFINED 05             178087         0        0
D PHARMERICA CORP                COMMON     71714F104     1949     136546 SH  -    DEFINED 09             136546         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 635
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PHARMATHENE INC                COMMON     71714G102        1        712 SH  -    OTHER   02                  0       712        0
D PHARMATHENE INC                COMMON     71714G102       94      53622 SH  -    DEFINED 05              53622         0        0
D PHARMATHENE INC                COMMON     71714G102        4       2475 SH  -    DEFINED 08               2475         0        0
D PHARMASSET INC                 COMMON     71715N106       67        810 SH  -    OTHER   02                 30       639      141
D PHARMASSET INC                 COMMON     71715N106        8        100 SH  -    OTHER   02                  0         0      100
D PHARMASSET INC                 COMMON     71715N106     5520      67020 SH  -    DEFINED 04              63020         0     4000
D PHARMASSET INC                 COMMON     71715N106     3311      40200 SH  -    DEFINED 04              40200         0        0
D PHARMASSET INC                 COMMON     71715N106     2034      24697 SH  -    DEFINED 05              24697         0        0
D PHARMASSET INC                 COMMON     71715N106      257       3118 SH  -    DEFINED 09               3118         0        0
D PHARMASSET INC                 COMMON     71715N106       16        200 SH  -    OTHER   10                  0         0      200
D PHILIP MORRIS INTL INC         COMMON     718172109    13919     223129 SH  -    DEFINED 02             160452      1160    61517
D PHILIP MORRIS INTL INC         COMMON     718172109    13797     221175 SH  -    DEFINED 02             218455         0     2720
D PHILIP MORRIS INTL INC         COMMON     718172109     2196      35203 SH  -    DEFINED 02              24783         0    10420
D PHILIP MORRIS INTL INC         COMMON     718172109    34561     554047 SH  -    OTHER   02             245268    255611    48533
D PHILIP MORRIS INTL INC         COMMON     718172109    16581     265808 SH  -    OTHER   02             220490     10089    35229
D PHILIP MORRIS INTL INC         COMMON     718172109      856      13725 SH  -    OTHER   02                  0     13725        0
D PHILIP MORRIS INTL INC         COMMON     718172109      347       5569 SH  -    OTHER   02                  0      5569        0
D PHILIP MORRIS INTL INC         COMMON     718172109       23        373 SH  -    OTHER   02                  0       373        0
D PHILIP MORRIS INTL INC         COMMON     718172109   429663    6887835 SH  -    DEFINED 04            5782772         0  1105063
D PHILIP MORRIS INTL INC         COMMON     718172109    57865     927623 SH  -    DEFINED 04             927623         0        0
D PHILIP MORRIS INTL INC         COMMON     718172109    33924     543832 SH  -    DEFINED 04             543832         0        0
D PHILIP MORRIS INTL INC         COMMON     718172109      205       3288 SH  -    DEFINED 04               3288         0        0
D PHILIP MORRIS INTL INC         COMMON     718172109    13754     220482 SH  -    DEFINED 04             171533         0    48949
D PHILIP MORRIS INTL INC         COMMON     718172109      220       3526 SH  -    DEFINED 04                  0         0     3526
D PHILIP MORRIS INTL INC         COMMON     718172109        8        125 SH  -    OTHER   04                  0       125        0
D PHILIP MORRIS INTL INC         COMMON     718172109      990      15866 SH  -    OTHER   04                  0     15866        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 636
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PHILIP MORRIS INTL INC         COMMON     718172109    26100     418397 SH  -    DEFINED 05             418397         0        0
D PHILIP MORRIS INTL INC         COMMON     718172109    83211    1333938 SH  -    DEFINED 08            1333938         0        0
D PHILIP MORRIS INTL INC         COMMON     718172109    40263     645446 SH  -    DEFINED 09             615132     30314        0
D PHILIP MORRIS INTL INC         COMMON     718172109     1811      29038 SH  -    DEFINED 09              29038         0        0
D PHILIP MORRIS INTL INC         COMMON     718172109    13181     211298 SH  -    DEFINED 09             211298         0        0
D PHILIP MORRIS INTL INC         COMMON     718172109    13533     216951 SH  -    OTHER   09                  0    216951        0
D PHILIP MORRIS INTL INC         COMMON     718172109     1117      17907 SH  -    DEFINED 01               9193         0     8714
D PHILIP MORRIS INTL INC         COMMON     718172109     1952      31300 SH  -    OTHER   01              16700     13305     1295
D PHILIP MORRIS INTL INC         COMMON     718172109    11221     179876 SH  -    OTHER   10                  0         0   179876
D PHILIP MORRIS INTL INC         OPTION     718172901     8658     138800 SH  C    DEFINED 05             138800         0        0
D PHILIP MORRIS INTL INC         OPTION     718172901     4504      72200 SH  C    DEFINED 08              72200         0        0
D PHILIP MORRIS INTL INC         OPTION     718172950     4741      76000 SH  P    DEFINED 05              76000         0        0
D PHILIPPINE LNG DIS             ADR        718252604       16        330 SH  -    OTHER   02                330         0        0
D PHILIPPINE LNG DIS             ADR        718252604     2227      44960 SH  -    DEFINED 04              44960         0        0
D PHILIPPINE LNG DIS             ADR        718252604     3492      70500 SH  -    DEFINED 09              70500         0        0
D PHILIPPINE LNG DIS             ADR        718252604      114       2300 SH  -    OTHER   09                  0      2300        0
D PHILIPPINE LNG DIS             ADR        718252604       10        200 SH  -    OTHER   10                  0         0      200
D PHOENIX COS INC NEW            COMMON     71902E109        5       4094 SH  -    OTHER   02                  0      4094        0
D PHOENIX COS INC NEW            COMMON     71902E109        2       1452 SH  -    OTHER   02               1135       317        0
D PHOENIX COS INC NEW            COMMON     71902E109       21      17120 SH  -    DEFINED 05              17120         0        0
D PHOENIX COS INC NEW            COMMON     71902E109        9       7189 SH  -    DEFINED 08               7189         0        0
D PHOTRONICS INC                 COMMON     719405102        7       1321 SH  -    OTHER   02                  0      1209        0
D PHOTRONICS INC                 COMMON     719405102      760     152675 SH  -    DEFINED 04             133275         0    19400
D PHOTRONICS INC                 COMMON     719405102      154      30900 SH  -    DEFINED 04              30900         0        0
D PHOTRONICS INC                 COMMON     719405102       30       6075 SH  -    DEFINED 05               6075         0        0
D PHOTRONICS INC                 COMMON     719405102       17       3397 SH  -    DEFINED 08               3397         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 637
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PIEDMONT NAT GAS INC           COMMON     720186105       15        512 SH  -    OTHER   02                  0       512        0
D PIEDMONT NAT GAS INC           COMMON     720186105      694      24011 SH  -    OTHER   02              24000         5        6
D PIEDMONT NAT GAS INC           COMMON     720186105     1068      36975 SH  -    DEFINED 04              33875         0     3100
D PIEDMONT NAT GAS INC           COMMON     720186105      693      24000 SH  -    DEFINED 04              24000         0        0
D PIEDMONT NAT GAS INC           COMMON     720186105      971      33596 SH  -    DEFINED 05              33596         0        0
D PIEDMONT NAT GAS INC           COMMON     720186105        3        100 SH  -    OTHER   10                  0         0      100
D PIEDMONT OFFICE REALTY TR INC  COMMON     720190206     1756     108607 SH  -    DEFINED 04               2207         0   106400
D PIEDMONT OFFICE REALTY TR INC  COMMON     720190206       42       2612 SH  -    DEFINED 05               2612         0        0
D PIEDMONT OFFICE REALTY TR INC  COMMON     720190206       13        829 SH  -    DEFINED 06                829         0        0
D PIEDMONT OFFICE REALTY TR INC  COMMON     720190206        0         24 SH  -    OTHER   10                  0         0       24
D PIER 1 IMPORTS INC             COMMON     720279108       64       6567 SH  -    OTHER   02                  0      2327     4240
D PIER 1 IMPORTS INC             COMMON     720279108      763      78038 SH  -    DEFINED 04              78038         0        0
D PIER 1 IMPORTS INC             COMMON     720279108     1804     184448 SH  -    DEFINED 04             184448         0        0
D PIER 1 IMPORTS INC             COMMON     720279108     2621     268033 SH  -    DEFINED 04             153180         0   114853
D PIER 1 IMPORTS INC             COMMON     720279108       16       1617 SH  -    DEFINED 05               1617         0        0
D PIER 1 IMPORTS INC             COMMON     720279108       62       6298 SH  -    DEFINED 08               6298         0        0
D PIER 1 IMPORTS INC             COMMON     720279108    10346    1057842 SH  -    DEFINED 09             985250     72592        0
D PIER 1 IMPORTS INC             COMMON     720279108      673      68801 SH  -    DEFINED 09              68801         0        0
D PIER 1 IMPORTS INC             COMMON     720279108     5187     530412 SH  -    DEFINED 09             530412         0        0
D PIER 1 IMPORTS INC             COMMON     720279108      119      12207 SH  -    OTHER   09                  0     12207        0
D PILGRIMS PRIDE CORP NEW        COMMON     72147K108        6       1320 SH  -    OTHER   02                  0      1320        0
D PILGRIMS PRIDE CORP NEW        COMMON     72147K108       66      15525 SH  -    DEFINED 05              15525         0        0
D PILGRIMS PRIDE CORP NEW        COMMON     72147K108       13       2975 SH  -    DEFINED 08               2975         0        0
D PILGRIMS PRIDE CORP NEW        COMMON     72147K108        4        959 SH  -    OTHER   01                  0       959        0
D PIMCO ETF TR                   COMMON     72201R403      356       6243 SH  -    OTHER   10                  0         0     6243
D PINNACLE AIRL CORP             COMMON     723443107      120      41000 SH  -    DEFINED 04              41000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 638
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PINNACLE AIRL CORP             COMMON     723443107        0         12 SH  -    DEFINED 08                 12         0        0
D PINNACLE ENTMT INC             COMMON     723456109        1        132 SH  -    OTHER   02                  0       132        0
D PINNACLE ENTMT INC             COMMON     723456109        7        744 SH  -    OTHER   02                  0         0      744
D PINNACLE ENTMT INC             COMMON     723456109      395      43529 SH  -    DEFINED 04              43529         0        0
D PINNACLE ENTMT INC             COMMON     723456109      263      28960 SH  -    DEFINED 05              28960         0        0
D PINNACLE FINL PARTNERS INC     COMMON     72346Q104       83       7578 SH  -    OTHER   02                  0        37     7541
D PINNACLE FINL PARTNERS INC     COMMON     72346Q104      248      22683 SH  -    OTHER   02                  0       969    21714
D PINNACLE FINL PARTNERS INC     COMMON     72346Q104     4989     456010 SH  -    DEFINED 04             416510         0    39500
D PINNACLE FINL PARTNERS INC     COMMON     72346Q104      265      24263 SH  -    DEFINED 04              24263         0        0
D PINNACLE FINL PARTNERS INC     COMMON     72346Q104      198      18101 SH  -    DEFINED 05              18101         0        0
D PINNACLE WEST CAP              COMMON     723484101       43       1000 SH  -    DEFINED 02               1000         0        0
D PINNACLE WEST CAP              COMMON     723484101       74       1722 SH  -    DEFINED 02               1722         0        0
D PINNACLE WEST CAP              COMMON     723484101       58       1353 SH  -    DEFINED 02               1258         0       95
D PINNACLE WEST CAP              COMMON     723484101      151       3506 SH  -    OTHER   02                  0      2910      596
D PINNACLE WEST CAP              COMMON     723484101       72       1686 SH  -    OTHER   02                500         0     1186
D PINNACLE WEST CAP              COMMON     723484101     1521      35424 SH  -    DEFINED 04              32300         0     3124
D PINNACLE WEST CAP              COMMON     723484101      754      17557 SH  -    DEFINED 04              17557         0        0
D PINNACLE WEST CAP              COMMON     723484101      531      12364 SH  -    DEFINED 05              12364         0        0
D PIONEER DRILLING CO            COMMON     723655106       13       1791 SH  -    OTHER   02                  0      1791        0
D PIONEER DRILLING CO            COMMON     723655106      477      66400 SH  -    DEFINED 04              61400         0     5000
D PIONEER DRILLING CO            COMMON     723655106      870     121112 SH  -    DEFINED 04             121112         0        0
D PIONEER DRILLING CO            COMMON     723655106      261      36401 SH  -    DEFINED 05              36401         0        0
D PIONEER NAT RES CO             COMMON     723787107     4765      72455 SH  -    DEFINED 02              66417       720     5318
D PIONEER NAT RES CO             COMMON     723787107     1403      21326 SH  -    DEFINED 02              20936        25      365
D PIONEER NAT RES CO             COMMON     723787107       95       1446 SH  -    DEFINED 02               1345         0      101
D PIONEER NAT RES CO             COMMON     723787107     2877      43737 SH  -    OTHER   02              17785     17986     7966

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 639
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PIONEER NAT RES CO             COMMON     723787107      189       2871 SH  -    OTHER   02               1466       138     1267
D PIONEER NAT RES CO             COMMON     723787107       32        493 SH  -    OTHER   02                  0       493        0
D PIONEER NAT RES CO             COMMON     723787107       33        507 SH  -    OTHER   02                  0       507        0
D PIONEER NAT RES CO             COMMON     723787107       86       1310 SH  -    OTHER   02                  0      1310        0
D PIONEER NAT RES CO             COMMON     723787107    21054     320122 SH  -    DEFINED 04             179729         0   140393
D PIONEER NAT RES CO             COMMON     723787107     1236      18794 SH  -    DEFINED 04              18794         0        0
D PIONEER NAT RES CO             COMMON     723787107     4009      60956 SH  -    DEFINED 04              60956         0        0
D PIONEER NAT RES CO             COMMON     723787107     2782      42296 SH  -    DEFINED 04              23882         0    18414
D PIONEER NAT RES CO             COMMON     723787107     3954      60123 SH  -    OTHER   04                  0     60123        0
D PIONEER NAT RES CO             COMMON     723787107     7190     109313 SH  -    DEFINED 05             109313         0        0
D PIONEER NAT RES CO             COMMON     723787107       82       1244 SH  -    DEFINED 06               1244         0        0
D PIONEER NAT RES CO             COMMON     723787107    11297     171768 SH  -    DEFINED 09             160640     11128        0
D PIONEER NAT RES CO             COMMON     723787107      713      10840 SH  -    DEFINED 09              10840         0        0
D PIONEER NAT RES CO             COMMON     723787107     5192      78947 SH  -    DEFINED 09              78947         0        0
D PIONEER NAT RES CO             COMMON     723787107      128       1944 SH  -    OTHER   09                  0      1944        0
D PIONEER NAT RES CO             COMMON     723787107      275       4187 SH  -    DEFINED 01               3587       345      255
D PIONEER NAT RES CO             COMMON     723787107       96       1465 SH  -    OTHER   01                589       367      509
D PIONEER NAT RES CO             COMMON     723787107      294       4469 SH  -    OTHER   10                  0         0     4469
D PIONEER SOUTHWST ENRG PRTNR LP COMMON     72388B106      133       5500 SH  -    DEFINED 02               5500         0        0
D PIONEER SOUTHWST ENRG PRTNR LP COMMON     72388B106     5107     211303 SH  -    DEFINED 10             211303         0        0
D PIPER JAFFRAY COS              COMMON     724078100       61       3402 SH  -    OTHER   02                  0         0     3402
D PIPER JAFFRAY COS              COMMON     724078100       91       5100 SH  -    DEFINED 04               5100         0        0
D PIPER JAFFRAY COS              COMMON     724078100      842      46934 SH  -    DEFINED 04              46934         0        0
D PIPER JAFFRAY COS              COMMON     724078100      135       7534 SH  -    DEFINED 05               7534         0        0
D PITNEY BOWES INC               COMMON     724479100       15        800 SH  -    DEFINED 02                800         0        0
D PITNEY BOWES INC               COMMON     724479100       49       2600 SH  -    DEFINED 02               2329         0      271

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 640
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PITNEY BOWES INC               COMMON     724479100      559      29733 SH  -    OTHER   02                  0      5533    24200
D PITNEY BOWES INC               COMMON     724479100        0         20 SH  -    OTHER   02                  0        20        0
D PITNEY BOWES INC               COMMON     724479100     1175      62525 SH  -    DEFINED 04              56738         0     5787
D PITNEY BOWES INC               COMMON     724479100     1098      58391 SH  -    DEFINED 04              58391         0        0
D PITNEY BOWES INC               COMMON     724479100     1837      97687 SH  -    DEFINED 05              97687         0        0
D PITNEY BOWES INC               COMMON     724479100      341      18141 SH  -    DEFINED 08              18141         0        0
D PITNEY BOWES INC               COMMON     724479100      138       7347 SH  -    OTHER   10                  0         0     7347
D PLAINS ALL AMERN PIPELINE L P  COMMON     726503105      236       4000 SH  -    DEFINED 02               4000         0        0
D PLAINS ALL AMERN PIPELINE L P  COMMON     726503105       47        800 SH  -    DEFINED 02                800         0        0
D PLAINS ALL AMERN PIPELINE L P  COMMON     726503105      690      11715 SH  -    OTHER   02               2150      9565        0
D PLAINS ALL AMERN PIPELINE L P  COMMON     726503105       71       1200 SH  -    OTHER   02                300         0      900
D PLAINS ALL AMERN PIPELINE L P  COMMON     726503105       12        200 SH  -    DEFINED 05                200         0        0
D PLAINS ALL AMERN PIPELINE L P  COMMON     726503105   133280    2262054 SH  -    DEFINED 10            2262054         0        0
D PLAINS ALL AMERN PIPELINE L P  COMMON     726503105     4221      71646 SH  -    OTHER   10                  0         0    71646
D PLAINS EXPL& PRODTN CO         COMMON     726505100       27       1205 SH  -    DEFINED 02                305       900        0
D PLAINS EXPL& PRODTN CO         COMMON     726505100        9        400 SH  -    DEFINED 02                  0         0      400
D PLAINS EXPL& PRODTN CO         COMMON     726505100     3396     149545 SH  -    OTHER   02              10100    136845     2600
D PLAINS EXPL& PRODTN CO         COMMON     726505100       30       1300 SH  -    OTHER   02                  0       900      400
D PLAINS EXPL& PRODTN CO         COMMON     726505100     1145      50402 SH  -    DEFINED 04              50402         0        0
D PLAINS EXPL& PRODTN CO         COMMON     726505100      109       4799 SH  -    DEFINED 05               4799         0        0
D PLAINS EXPL& PRODTN CO         COMMON     726505100       38       1663 SH  -    DEFINED 06               1663         0        0
D PLAINS EXPL& PRODTN CO         COMMON     726505100     1364      60053 SH  -    DEFINED 08              60053         0        0
D PLAINS EXPL& PRODTN CO         COMMON     726505100      387      17042 SH  -    DEFINED 09              17042         0        0
D PLAINS EXPL& PRODTN CO         COMMON     726505100      102       4504 SH  -    OTHER   01                  0      4504        0
D PLANTRONICS INC NEW            COMMON     727493108       23        818 SH  -    OTHER   02                  0       818        0
D PLANTRONICS INC NEW            COMMON     727493108        1         39 SH  -    OTHER   02                  9        22        8

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 641
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PLANTRONICS INC NEW            COMMON     727493108     4381     153981 SH  -    DEFINED 04             137981         0    16000
D PLANTRONICS INC NEW            COMMON     727493108     3392     119234 SH  -    DEFINED 04             119234         0        0
D PLANTRONICS INC NEW            COMMON     727493108       98       3440 SH  -    DEFINED 05               3440         0        0
D PLANTRONICS INC NEW            COMMON     727493108      105       3705 SH  -    DEFINED 08               3705         0        0
D PLANTRONICS INC NEW            COMMON     727493108        1         34 SH  -    OTHER   10                  0         0       34
D PLATINUM GROUP METALS LTD      COMMON     72765Q205    14116   13704389 SH  -    DEFINED 09           13704389         0        0
D PLEXUS CORP                    COMMON     729132100        1         56 SH  -    OTHER   02                  0        56        0
D PLEXUS CORP                    COMMON     729132100       75       3337 SH  -    OTHER   02                  0      1406     1931
D PLEXUS CORP                    COMMON     729132100      507      22400 SH  -    DEFINED 04              17100         0     5300
D PLEXUS CORP                    COMMON     729132100      375      16575 SH  -    DEFINED 05              16575         0        0
D PLEXUS CORP                    COMMON     729132100        6        246 SH  -    OTHER   10                  0         0      246
D PLUM CREEK TIMBER CO INC       COMMON     729251108       68       1967 SH  -    DEFINED 02               1867         0      100
D PLUM CREEK TIMBER CO INC       COMMON     729251108     2994      86253 SH  -    DEFINED 04              42315         0    43938
D PLUM CREEK TIMBER CO INC       COMMON     729251108      907      26122 SH  -    DEFINED 04              26122         0        0
D PLUM CREEK TIMBER CO INC       COMMON     729251108       14        400 SH  -    DEFINED 04                400         0        0
D PLUM CREEK TIMBER CO INC       COMMON     729251108     6249     180025 SH  -    DEFINED 05             180025         0        0
D PLUM CREEK TIMBER CO INC       COMMON     729251108      135       3883 SH  -    DEFINED 06               3883         0        0
D PLUM CREEK TIMBER CO INC       COMMON     729251108      579      16693 SH  -    DEFINED 08              16693         0        0
D PLUM CREEK TIMBER CO INC       COMMON     729251108       14        390 SH  -    DEFINED 09                390         0        0
D PLUM CREEK TIMBER CO INC       COMMON     729251108      294       8458 SH  -    OTHER   10                  0         0     8458
D PLURISTEM THERAPEUTICS INC     COMMON     72940R102      456     210303 SH  -    OTHER   10                  0         0   210303
D POLARIS INDS INC               COMMON     731068102      232       4649 SH  -    OTHER   02                 22      1797     2830
D POLARIS INDS INC               COMMON     731068102       43        854 SH  -    OTHER   02                  0         0      854
D POLARIS INDS INC               COMMON     731068102     3030      60646 SH  -    DEFINED 04              50746         0     9900
D POLARIS INDS INC               COMMON     731068102     2671      53458 SH  -    DEFINED 04              53458         0        0
D POLARIS INDS INC               COMMON     731068102      148       2965 SH  -    DEFINED 04               2965         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 642
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D POLARIS INDS INC               COMMON     731068102      450       8999 SH  -    OTHER   04                  0      8999        0
D POLARIS INDS INC               COMMON     731068102      229       4591 SH  -    DEFINED 05               4591         0        0
D POLARIS INDS INC               COMMON     731068102        3         68 SH  -    OTHER   10                  0         0       68
D POLYCOM INC                    COMMON     73172K104        8        420 SH  -    DEFINED 02                420         0        0
D POLYCOM INC                    COMMON     73172K104       99       5400 SH  -    DEFINED 02               5400         0        0
D POLYCOM INC                    COMMON     73172K104      217      11823 SH  -    OTHER   02                 64     11759        0
D POLYCOM INC                    COMMON     73172K104      113       6174 SH  -    OTHER   02                 12        22     6140
D POLYCOM INC                    COMMON     73172K104    33866    1843545 SH  -    DEFINED 04            1076560         0   766985
D POLYCOM INC                    COMMON     73172K104     6680     363633 SH  -    DEFINED 04             363633         0        0
D POLYCOM INC                    COMMON     73172K104       49       2650 SH  -    OTHER   04                  0      2650        0
D POLYCOM INC                    COMMON     73172K104     1376      74885 SH  -    DEFINED 05              74885         0        0
D POLYCOM INC                    COMMON     73172K104     4509     245436 SH  -    DEFINED 08             245436         0        0
D POLYCOM INC                    COMMON     73172K104       70       3811 SH  -    OTHER   09                  0      3811        0
D POLYCOM INC                    COMMON     73172K104        7        400 SH  -    OTHER   01                  0       400        0
D POLYONE CORP                   COMMON     73179P106       86       8010 SH  -    OTHER   02                  0      2690     5320
D POLYONE CORP                   COMMON     73179P106     4883     455902 SH  -    DEFINED 04             407602         0    48300
D POLYONE CORP                   COMMON     73179P106     1151     107483 SH  -    DEFINED 04             107483         0        0
D POLYONE CORP                   COMMON     73179P106      463      43252 SH  -    DEFINED 05              43252         0        0
D POLYONE CORP                   COMMON     73179P106       10        889 SH  -    DEFINED 08                889         0        0
D POLYPORE INTERNATIONAL INC     COMMON     73179V103        9        162 SH  -    OTHER   02                  0       162        0
D POLYPORE INTERNATIONAL INC     COMMON     73179V103       34        600 SH  -    OTHER   02                  0         0      600
D POLYPORE INTERNATIONAL INC     COMMON     73179V103     1901      33639 SH  -    DEFINED 04              33639         0        0
D POLYPORE INTERNATIONAL INC     COMMON     73179V103       58       1018 SH  -    DEFINED 05               1018         0        0
D POLYPORE INTERNATIONAL INC     COMMON     73179V103      509       9000 SH  -    OTHER   01               9000         0        0
D POLYPORE INTERNATIONAL INC     COMMON     73179V103      799      14137 SH  -    OTHER   10                  0         0    14137
D PONIARD PHARMACEUTICALS INC    COMMON     732449301        3      25000 SH  -    DEFINED 05              25000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 643
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D POOL CORPORATION               COMMON     73278L105      152       5825 SH  -    DEFINED 02               5825         0        0
D POOL CORPORATION               COMMON     73278L105      489      18694 SH  -    DEFINED 02              18579         0      115
D POOL CORPORATION               COMMON     73278L105       71       2693 SH  -    OTHER   02               2170       523        0
D POOL CORPORATION               COMMON     73278L105       42       1617 SH  -    OTHER   02               1382        55      180
D POOL CORPORATION               COMMON     73278L105    31942    1220095 SH  -    DEFINED 04            1104235         0   115860
D POOL CORPORATION               COMMON     73278L105      876      33453 SH  -    DEFINED 04              33453         0        0
D POOL CORPORATION               COMMON     73278L105      590      22544 SH  -    DEFINED 05              22544         0        0
D POOL CORPORATION               COMMON     73278L105      135       5150 SH  -    DEFINED 01               5100         0       50
D POOL CORPORATION               COMMON     73278L105        8        295 SH  -    OTHER   01                  0       165      130
D POPE RES DEL LTD PARTNERSHIP   COMMON     732857107      603      14700 SH  -    OTHER   02                  0     14700        0
D POPULAR INC                    COMMON     733174106       22      14902 SH  -    OTHER   02                  0     11732     3170
D POPULAR INC                    COMMON     733174106        4       2739 SH  -    OTHER   02                220         0     2519
D POPULAR INC                    COMMON     733174106     2512    1674763 SH  -    DEFINED 04            1461033         0   213730
D POPULAR INC                    COMMON     733174106       99      65673 SH  -    OTHER   04                  0     65673        0
D POPULAR INC                    COMMON     733174106       56      37420 SH  -    DEFINED 05              37420         0        0
D POPULAR INC                    COMMON     733174106      200     133350 SH  -    DEFINED 08             133350         0        0
D PORTFOLIO RECOVERY ASSOCS INC  COMMON     73640Q105       10        167 SH  -    OTHER   02                  0       167        0
D PORTFOLIO RECOVERY ASSOCS INC  COMMON     73640Q105       75       1200 SH  -    OTHER   02                  0         0     1200
D PORTFOLIO RECOVERY ASSOCS INC  COMMON     73640Q105     2542      40850 SH  -    DEFINED 04              32750         0     8100
D PORTFOLIO RECOVERY ASSOCS INC  COMMON     73640Q105      779      12513 SH  -    DEFINED 04              12513         0        0
D PORTFOLIO RECOVERY ASSOCS INC  COMMON     73640Q105      623      10019 SH  -    DEFINED 05              10019         0        0
D PORTLAND GEN ELEC CO           COMMON     736508847       59       2504 SH  -    OTHER   02                  0      2504        0
D PORTLAND GEN ELEC CO           COMMON     736508847        0         12 SH  -    OTHER   02                  6         6        0
D PORTLAND GEN ELEC CO           COMMON     736508847    14484     611386 SH  -    DEFINED 04             527886         0    83500
D PORTLAND GEN ELEC CO           COMMON     736508847     4013     169396 SH  -    DEFINED 04             169396         0        0
D PORTLAND GEN ELEC CO           COMMON     736508847      101       4275 SH  -    DEFINED 05               4275         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 644
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PORTLAND GEN ELEC CO           COMMON     736508847      269      11370 SH  -    DEFINED 08              11370         0        0
D PORTLAND GEN ELEC CO           COMMON     736508847        1         50 SH  -    OTHER   01                  0        50        0
D POST PROPERTIES                COMMON     737464107    19598     564137 SH  -    DEFINED 04             485716         0    78421
D POST PROPERTIES                COMMON     737464107     1259      36255 SH  -    DEFINED 04              36255         0        0
D POST PROPERTIES                COMMON     737464107      877      25243 SH  -    DEFINED 05              25243         0        0
D POST PROPERTIES                COMMON     737464107       13        366 SH  -    DEFINED 06                366         0        0
D POTASH CORP SASK               COMMON     73755L107       40        930 SH  -    DEFINED 02                930         0        0
D POTASH CORP SASK               COMMON     73755L107       47       1088 SH  -    DEFINED 02               1088         0        0
D POTASH CORP SASK               COMMON     73755L107     2800      64792 SH  -    OTHER   02              17849     24838    22105
D POTASH CORP SASK               COMMON     73755L107     1580      36564 SH  -    OTHER   02                  0       195    36369
D POTASH CORP SASK               COMMON     73755L107      960      22223 SH  -    DEFINED 04              22223         0        0
D POTASH CORP SASK               COMMON     73755L107    26427     611448 SH  -    DEFINED 04             405548         0   205900
D POTASH CORP SASK               COMMON     73755L107        2         51 SH  -    OTHER   04                  0        51        0
D POTASH CORP SASK               COMMON     73755L107     1593      36866 SH  -    DEFINED 05              36866         0        0
D POTASH CORP SASK               COMMON     73755L107     2403      55604 SH  -    DEFINED 06              55604         0        0
D POTASH CORP SASK               COMMON     73755L107     5177     119775 SH  -    DEFINED 08             119775         0        0
D POTASH CORP SASK               COMMON     73755L107      143       3300 SH  -    DEFINED 09               3300         0        0
D POTASH CORP SASK               COMMON     73755L107       26        600 SH  -    DEFINED 01                600         0        0
D POTASH CORP SASK               COMMON     73755L107      686      15879 SH  -    OTHER   01              13500      2379        0
D POTASH CORP SASK               COMMON     73755L107     1043      24133 SH  -    OTHER   10                  0         0    24133
D POTLATCH CORP NEW              COMMON     737630103     2993      94950 SH  -    DEFINED 04              94950         0        0
D POTLATCH CORP NEW              COMMON     737630103      914      28996 SH  -    DEFINED 04              28996         0        0
D POTLATCH CORP NEW              COMMON     737630103       19        607 SH  -    DEFINED 05                607         0        0
D POTLATCH CORP NEW              COMMON     737630103      237       7512 SH  -    DEFINED 08               7512         0        0
D POTLATCH CORP NEW              COMMON     737630103      103       3261 SH  -    OTHER   10                  0         0     3261
D POWELL INDS INC                COMMON     739128106        3         92 SH  -    OTHER   02                  0        92        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 645
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D POWELL INDS INC                COMMON     739128106       52       1680 SH  -    OTHER   02                  0         0     1680
D POWELL INDS INC                COMMON     739128106      180       5800 SH  -    DEFINED 04               5800         0        0
D POWELL INDS INC                COMMON     739128106      194       6256 SH  -    DEFINED 04               6256         0        0
D POWELL INDS INC                COMMON     739128106      159       5129 SH  -    DEFINED 05               5129         0        0
D POWER INTEGRATIONS             COMMON     739276103        3        108 SH  -    OTHER   02                  0       108        0
D POWER INTEGRATIONS             COMMON     739276103      415      13565 SH  -    DEFINED 05              13565         0        0
D POWER ONE INC NEW              COMMON     73930R102       68      15010 SH  -    OTHER   02                  0      5050     9960
D POWER ONE INC NEW              COMMON     73930R102     1593     353982 SH  -    DEFINED 04             353982         0        0
D POWER ONE INC NEW              COMMON     73930R102       23       5162 SH  -    DEFINED 05               5162         0        0
D POWER ONE INC NEW              COMMON     73930R102        4        817 SH  -    DEFINED 08                817         0        0
D POWERSHARES QQQ TRUST          COMMON     73935A104      522       9944 SH  -    DEFINED 02               9944         0        0
D POWERSHARES QQQ TRUST          COMMON     73935A104      443       8447 SH  -    DEFINED 02               7947         0      500
D POWERSHARES QQQ TRUST          COMMON     73935A104      102       1950 SH  -    OTHER   02               1950         0        0
D POWERSHARES QQQ TRUST          COMMON     73935A104      204       3880 SH  -    OTHER   02               3880         0        0
D POWERSHARES QQQ TRUST          COMMON     73935A104     7718     147033 SH  -    DEFINED 05             147033         0        0
D POWERSHARES QQQ TRUST          COMMON     73935A104       79       1496 SH  -    DEFINED 08               1496         0        0
D POWERSHARES QQQ TRUST          COMMON     73935A104   254221    4843219 SH  -    DEFINED 08            4843219         0        0
D POWERSHARES QQQ TRUST          COMMON     73935A104     2687      51198 SH  -    OTHER   10                  0         0    51198
D POWERSHARES QQQ TRUST          OPTION     73935A906    45666     870000 SH  C    DEFINED 08             870000         0        0
D POWERSHARES QQQ TRUST          OPTION     73935A955     4330      82500 SH  P    DEFINED 05              82500         0        0
D POWERSHARES INDIA ETF TR       COMMON     73935L100      358      19646 SH  -    OTHER   10                  0         0    19646
D POWERSHARES DB CMDTY IDX TRACK COMMON     73935S105   147308    5720715 SH  -    DEFINED 02            4596612     20171  1103932
D POWERSHARES DB CMDTY IDX TRACK COMMON     73935S105   332783   12923601 SH  -    DEFINED 02           12788850     26489   103934
D POWERSHARES DB CMDTY IDX TRACK COMMON     73935S105    19024     738800 SH  -    OTHER   02             482411    134476   121913
D POWERSHARES DB CMDTY IDX TRACK COMMON     73935S105    50163    1948083 SH  -    OTHER   02            1713853    119009   115221
D POWERSHARES DB CMDTY IDX TRACK COMMON     73935S105    11314     439369 SH  -    DEFINED 01             330363     32160    76845

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 646
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D POWERSHARES DB CMDTY IDX TRACK COMMON     73935S105     4104     159373 SH  -    OTHER   01             111604     38536     9233
D POWERSHARES DB CMDTY IDX TRACK COMMON     73935S105     4724     183441 SH  -    OTHER   10                  0         0   183441
D POWERSHARES ETF TRUST          COMMON     73935X153      305      13902 SH  -    OTHER   10                  0         0    13902
D POWERSHARES ETF TRUST          COMMON     73935X229     1707     105689 SH  -    OTHER   10                  0         0   105689
D POWERSHARES ETF TRUST          COMMON     73935X302      280      34135 SH  -    OTHER   10                  0         0    34135
D POWERSHARES ETF TRUST          COMMON     73935X500       16       3000 SH  -    OTHER   02                  0         0     3000
D POWERSHARES ETF TRUST          COMMON     73935X500     6123    1123491 SH  -    DEFINED 08            1123491         0        0
D POWERSHARES ETF TRUST          COMMON     73935X500       49       8951 SH  -    OTHER   10                  0         0     8951
D POWERSHARES ETF TRUST          COMMON     73935X575      333      22168 SH  -    OTHER   10                  0         0    22168
D POWERSHARES ETF TRUST          COMMON     73935X708      189      11054 SH  -    OTHER   10                  0         0    11054
D POWERSHARES ETF TRUST          COMMON     73935X716      349      25400 SH  -    OTHER   10                  0         0    25400
D POWERSHARES ETF TRUST          COMMON     73935X849      897      50000 SH  -    DEFINED 05              50000         0        0
D POWERSHS DB MULTI SECT COMM TR COMMON     73936B200       13        236 SH  -    DEFINED 02                236         0        0
D POWERSHS DB MULTI SECT COMM TR COMMON     73936B200     1351      23918 SH  -    OTHER   10                  0         0    23918
D POWERSHS DB MULTI SECT COMM TR COMMON     73936B408     2085      70276 SH  -    DEFINED 05              70276         0        0
D POWERSHS DB MULTI SECT COMM TR COMMON     73936B408      805      27137 SH  -    OTHER   10                  0         0    27137
D POWERSHS DB MULTI SECT COMM TR COMMON     73936B606     1357      23878 SH  -    OTHER   10                  0         0    23878
D POWERSHS DB US DOLLAR INDEX TR COMMON     73936D107     1561      70000 SH  -    DEFINED 05              70000         0        0
D POWERSHS DB US DOLLAR INDEX TR COMMON     73936D107      999      44770 SH  -    OTHER   10                  0         0    44770
D POWERSHS DB US DOLLAR INDEX TR OPTION     73936D909    16729     750000 SH  C    DEFINED 05             750000         0        0
D POWERSHARES ETF TRUST II       COMMON     73936Q108      533      32362 SH  -    OTHER   10                  0         0    32362
D POWERSHARES ETF TRUST II       COMMON     73936Q207      289      20244 SH  -    OTHER   10                  0         0    20244
D POWERSHARES ETF TRUST II       COMMON     73936Q793      600      28883 SH  -    OTHER   10                  0         0    28883
D POWERSHARES GLOBAL ETF TRUST   COMMON     73936T433      350      13981 SH  -    OTHER   10                  0         0    13981
D POWERSHARES GLOBAL ETF TRUST   COMMON     73936T557      559      31833 SH  -    OTHER   10                  0         0    31833
D POWERWAVE TECHS                COMMON     739363109       62      35790 SH  -    OTHER   02                  0         0    35790

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 647
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D POWERWAVE TECHS                COMMON     739363109      185     107330 SH  -    OTHER   02                  0      4595   102735
D POWERWAVE TECHS                COMMON     739363109      354     205599 SH  -    DEFINED 05             205599         0        0
D POWERWAVE TECHS                COMMON     739363109        8       4925 SH  -    DEFINED 08               4925         0        0
D POWERSHARES ETF TR II          COMMON     73937B407      279       9666 SH  -    OTHER   10                  0         0     9666
D POWERSHARES ETF TR II          COMMON     73937B829      453      27530 SH  -    OTHER   10                  0         0    27530
D PRAXAIR INC                    COMMON     74005P104     7534      80593 SH  -    DEFINED 02              62648       365    17580
D PRAXAIR INC                    COMMON     74005P104     5128      54856 SH  -    DEFINED 02              53671         0     1185
D PRAXAIR INC                    COMMON     74005P104      347       3711 SH  -    DEFINED 02               3482         0      229
D PRAXAIR INC                    COMMON     74005P104    19880     212662 SH  -    OTHER   02              91557     90069    30601
D PRAXAIR INC                    COMMON     74005P104     6844      73210 SH  -    OTHER   02              65607      1799     5804
D PRAXAIR INC                    COMMON     74005P104    40622     434549 SH  -    DEFINED 04             222448         0   212101
D PRAXAIR INC                    COMMON     74005P104    25441     272156 SH  -    DEFINED 04             272156         0        0
D PRAXAIR INC                    COMMON     74005P104     6078      65020 SH  -    DEFINED 04              65020         0        0
D PRAXAIR INC                    COMMON     74005P104       29        315 SH  -    OTHER   04                  0       315        0
D PRAXAIR INC                    COMMON     74005P104    17273     184776 SH  -    DEFINED 05             184776         0        0
D PRAXAIR INC                    COMMON     74005P104      403       4306 SH  -    DEFINED 06               4306         0        0
D PRAXAIR INC                    COMMON     74005P104    23584     252285 SH  -    DEFINED 01             252285         0        0
D PRAXAIR INC                    COMMON     74005P104      307       3285 SH  -    OTHER   01                390      2700      110
D PRAXAIR INC                    COMMON     74005P104       87        929 SH  -    OTHER   10                  0         0      929
D PRAXAIR INC                    OPTION     74005P906     3646      39000 SH  C    DEFINED 05              39000         0        0
D PRECISION CASTPARTS CORP       COMMON     740189105       47        300 SH  -    DEFINED 02                300         0        0
D PRECISION CASTPARTS CORP       COMMON     740189105      208       1339 SH  -    DEFINED 02               1339         0        0
D PRECISION CASTPARTS CORP       COMMON     740189105      277       1782 SH  -    DEFINED 02               1660         0      122
D PRECISION CASTPARTS CORP       COMMON     740189105     9730      62587 SH  -    OTHER   02               5317     56823      421
D PRECISION CASTPARTS CORP       COMMON     740189105      268       1721 SH  -    OTHER   02                  0         5     1716
D PRECISION CASTPARTS CORP       COMMON     740189105    53164     341978 SH  -    DEFINED 04             201546         0   140432

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 648
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PRECISION CASTPARTS CORP       COMMON     740189105    25955     166953 SH  -    DEFINED 04             166953         0        0
D PRECISION CASTPARTS CORP       COMMON     740189105     6550      42130 SH  -    DEFINED 04              42130         0        0
D PRECISION CASTPARTS CORP       COMMON     740189105       30        193 SH  -    OTHER   04                  0       193        0
D PRECISION CASTPARTS CORP       COMMON     740189105     1311       8434 SH  -    DEFINED 05               8434         0        0
D PRECISION CASTPARTS CORP       COMMON     740189105      775       4985 SH  -    DEFINED 09               4985         0        0
D PRECISION CASTPARTS CORP       COMMON     740189105        4         24 SH  -    OTHER   01                  0        24        0
D PRECISION CASTPARTS CORP       COMMON     740189105       16        104 SH  -    OTHER   10                  0         0      104
D PRECISION DRILLING CORP        COMMON     74022D308        4        453 SH  -    DEFINED 02                  0       453        0
D PRECISION DRILLING CORP        COMMON     74022D308        3        400 SH  -    DEFINED 02                400         0        0
D PRECISION DRILLING CORP        COMMON     74022D308      566      68244 SH  -    OTHER   02                  0     64989     3255
D PRECISION DRILLING CORP        COMMON     74022D308       54       6490 SH  -    OTHER   02                  0         0     6490
D PRECISION DRILLING CORP        COMMON     74022D308      222      26811 SH  -    DEFINED 05              26811         0        0
D PRECISION DRILLING CORP        COMMON     74022D308       58       6961 SH  -    DEFINED 06               6961         0        0
D PRECISION DRILLING CORP        COMMON     74022D308      448      53995 SH  -    DEFINED 08              53995         0        0
D PRECISION DRILLING CORP        COMMON     74022D308       83      10025 SH  -    OTHER   01                  0     10025        0
D PREMIER FINL BANCORP INC       COMMON     74050M105      167      33505 SH  -    OTHER   02                  0     33505        0
D PREMIERE GLOBAL SVCS INC       COMMON     740585104        1        202 SH  -    OTHER   02                  0       202        0
D PREMIERE GLOBAL SVCS INC       COMMON     740585104     4984     776260 SH  -    DEFINED 04             710960         0    65300
D PREMIERE GLOBAL SVCS INC       COMMON     740585104       57       8892 SH  -    DEFINED 05               8892         0        0
D PREMIERE GLOBAL SVCS INC       COMMON     740585104       10       1556 SH  -    DEFINED 08               1556         0        0
D PREMIERE GLOBAL SVCS INC       COMMON     740585104      102      15888 SH  -    DEFINED 09              15888         0        0
D PRESIDENTIAL LIFE CORP         COMMON     740884101      123      15007 SH  -    DEFINED 04              15007         0        0
D PRESIDENTIAL LIFE CORP         COMMON     740884101       92      11173 SH  -    DEFINED 05              11173         0        0
D PRESTIGE BRANDS HLDGS INC      COMMON     74112D101     1131     125000 SH  -    OTHER   02             125000         0        0
D PRESTIGE BRANDS HLDGS INC      COMMON     74112D101     3720     411050 SH  -    DEFINED 04             372450         0    38600
D PRESTIGE BRANDS HLDGS INC      COMMON     74112D101     1950     215486 SH  -    DEFINED 04             215486         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 649
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PRESTIGE BRANDS HLDGS INC      COMMON     74112D101      237      26205 SH  -    DEFINED 05              26205         0        0
D PRICE T ROWE GROUP             COMMON     74144T108      765      16019 SH  -    DEFINED 02              16019         0        0
D PRICE T ROWE GROUP             COMMON     74144T108     2068      43292 SH  -    DEFINED 02              42593         0      699
D PRICE T ROWE GROUP             COMMON     74144T108      149       3118 SH  -    DEFINED 02               2954         0      164
D PRICE T ROWE GROUP             COMMON     74144T108     6208     129964 SH  -    OTHER   02               8704    119967     1243
D PRICE T ROWE GROUP             COMMON     74144T108      812      17001 SH  -    OTHER   02               6313      1676     9012
D PRICE T ROWE GROUP             COMMON     74144T108   171392    3587851 SH  -    DEFINED 04            2816747         0   771104
D PRICE T ROWE GROUP             COMMON     74144T108    39221     821033 SH  -    DEFINED 04             821033         0        0
D PRICE T ROWE GROUP             COMMON     74144T108     2928      61300 SH  -    DEFINED 04              61300         0        0
D PRICE T ROWE GROUP             COMMON     74144T108     1834      38400 SH  -    DEFINED 04              38400         0        0
D PRICE T ROWE GROUP             COMMON     74144T108      902      18877 SH  -    OTHER   04                  0     18877        0
D PRICE T ROWE GROUP             COMMON     74144T108     4657      97483 SH  -    OTHER   04                  0     97483        0
D PRICE T ROWE GROUP             COMMON     74144T108     3441      72039 SH  -    DEFINED 05              72039         0        0
D PRICE T ROWE GROUP             COMMON     74144T108       23        491 SH  -    DEFINED 06                491         0        0
D PRICE T ROWE GROUP             COMMON     74144T108      729      15253 SH  -    DEFINED 08              15253         0        0
D PRICE T ROWE GROUP             COMMON     74144T108      199       4174 SH  -    DEFINED 01               4000         0      174
D PRICE T ROWE GROUP             COMMON     74144T108     1599      33470 SH  -    OTHER   01              22100     10889      226
D PRICE T ROWE GROUP             COMMON     74144T108        1         22 SH  -    OTHER   10                  0         0       22
D PRICE T ROWE GROUP             OPTION     74144T900      248       5200 SH  C    DEFINED 05               5200         0        0
D PRICELINE COM INC              COMMON     741503403       78        173 SH  -    DEFINED 02                 98        75        0
D PRICELINE COM INC              COMMON     741503403       30         67 SH  -    DEFINED 02                 67         0        0
D PRICELINE COM INC              COMMON     741503403      272        605 SH  -    DEFINED 02                574         0       31
D PRICELINE COM INC              COMMON     741503403     1321       2938 SH  -    OTHER   02                 14      2774      145
D PRICELINE COM INC              COMMON     741503403      100        223 SH  -    OTHER   02                  0         3      220
D PRICELINE COM INC              COMMON     741503403    95383     212216 SH  -    DEFINED 04             139578         0    72638
D PRICELINE COM INC              COMMON     741503403    44197      98333 SH  -    DEFINED 04              98333         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 650
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PRICELINE COM INC              COMMON     741503403     6665      14830 SH  -    DEFINED 04              14830         0        0
D PRICELINE COM INC              COMMON     741503403     2998       6671 SH  -    DEFINED 04               3796         0     2875
D PRICELINE COM INC              COMMON     741503403      105        234 SH  -    OTHER   04                  0       234        0
D PRICELINE COM INC              COMMON     741503403     4779      10633 SH  -    DEFINED 05              10633         0        0
D PRICELINE COM INC              COMMON     741503403    39284      87402 SH  -    DEFINED 08              87402         0        0
D PRICELINE COM INC              COMMON     741503403    12153      27039 SH  -    DEFINED 09              25279      1760        0
D PRICELINE COM INC              COMMON     741503403      774       1721 SH  -    DEFINED 09               1721         0        0
D PRICELINE COM INC              COMMON     741503403     5475      12182 SH  -    DEFINED 09              12182         0        0
D PRICELINE COM INC              COMMON     741503403      232        516 SH  -    OTHER   09                  0       516        0
D PRICELINE COM INC              COMMON     741503403      354        787 SH  -    OTHER   01                774        13        0
D PRICELINE COM INC              COMMON     741503403       20         44 SH  -    OTHER   10                  0         0       44
D PRICESMART INC                 COMMON     741511109        8        130 SH  -    DEFINED 02                130         0        0
D PRICESMART INC                 COMMON     741511109       10        162 SH  -    OTHER   02                  0       162        0
D PRICESMART INC                 COMMON     741511109     2377      38146 SH  -    DEFINED 04              21746         0    16400
D PRICESMART INC                 COMMON     741511109       34        548 SH  -    DEFINED 05                548         0        0
D PRICESMART INC                 COMMON     741511109       67       1075 SH  -    DEFINED 08               1075         0        0
D PRICESMART INC                 COMMON     741511109     9540     153080 SH  -    DEFINED 09             141824     11256        0
D PRICESMART INC                 COMMON     741511109      632      10141 SH  -    DEFINED 09              10141         0        0
D PRICESMART INC                 COMMON     741511109     4389      70428 SH  -    DEFINED 09              70428         0        0
D PRICESMART INC                 COMMON     741511109      109       1755 SH  -    OTHER   09                  0      1755        0
D PRICESMART INC                 COMMON     741511109        4         66 SH  -    OTHER   10                  0         0       66
D PRIMERICA INC                  COMMON     74164M108      599      27781 SH  -    OTHER   02                 56     22945     4780
D PRIMERICA INC                  COMMON     74164M108       39       1791 SH  -    DEFINED 05               1791         0        0
D PRIMERICA INC                  COMMON     74164M108      214       9913 SH  -    DEFINED 08               9913         0        0
D PRIMERICA INC                  COMMON     74164M108       13        605 SH  -    OTHER   10                  0         0      605
D PRIMERO MNG CORP               COMMON     74164W106       34      12500 SH  -    DEFINED 05              12500         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 651
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PRIMUS TELECOMMUNICATIONS GRP  COMMON     741929301     1240     116611 SH  -    DEFINED 05             116611         0        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102       25       1113 SH  -    DEFINED 02                713       400        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102       12        530 SH  -    DEFINED 02                530         0        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102       87       3825 SH  -    DEFINED 02               3613         0      212
D PRINCIPAL FINL GROUP INC       COMMON     74251V102      406      17918 SH  -    OTHER   02               5583     12335        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102        3        149 SH  -    OTHER   02                 41       102        6
D PRINCIPAL FINL GROUP INC       COMMON     74251V102    38940    1717672 SH  -    DEFINED 04            1647797         0    69875
D PRINCIPAL FINL GROUP INC       COMMON     74251V102     2562     112996 SH  -    DEFINED 04             112996         0        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102     3687     162658 SH  -    DEFINED 04             108378         0    54280
D PRINCIPAL FINL GROUP INC       COMMON     74251V102      474      20904 SH  -    OTHER   04                  0     20904        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102     2397     105716 SH  -    OTHER   04                  0    105716        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102     5077     223942 SH  -    DEFINED 05             223942         0        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102       14        614 SH  -    DEFINED 06                614         0        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102     1479      65242 SH  -    DEFINED 08              65242         0        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102    11453     505216 SH  -    DEFINED 09             472632     32584        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102      729      32156 SH  -    DEFINED 09              32156         0        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102     5317     234543 SH  -    DEFINED 09             234543         0        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102      135       5948 SH  -    OTHER   09                  0      5948        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102        1         30 SH  -    DEFINED 01                 30         0        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102        5        200 SH  -    OTHER   01                200         0        0
D PRINCIPAL FINL GROUP INC       COMMON     74251V102        3        114 SH  -    OTHER   10                  0         0      114
D PROASSURANCE CORP              COMMON     74267C106       27        381 SH  -    OTHER   02                 26       135      170
D PROASSURANCE CORP              COMMON     74267C106       34        475 SH  -    OTHER   02                  0         0      475
D PROASSURANCE CORP              COMMON     74267C106    78018    1083283 SH  -    DEFINED 04            1015053         0    68230
D PROASSURANCE CORP              COMMON     74267C106     5076      70481 SH  -    DEFINED 04              70481         0        0
D PROASSURANCE CORP              COMMON     74267C106       33        453 SH  -    DEFINED 04                453         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 652
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PROASSURANCE CORP              COMMON     74267C106       10        132 SH  -    OTHER   04                  0       132        0
D PROASSURANCE CORP              COMMON     74267C106     1053      14619 SH  -    DEFINED 05              14619         0        0
D PROASSURANCE CORP              COMMON     74267C106      974      13523 SH  -    DEFINED 08              13523         0        0
D PROCTER & GAMBLE               COMMON     742718109   138307    2189094 SH  -    DEFINED 02            1973483     18405   197205
D PROCTER & GAMBLE               COMMON     742718109    47958     759067 SH  -    DEFINED 02             744166      2410    12491
D PROCTER & GAMBLE               COMMON     742718109     4315      68290 SH  -    DEFINED 02              41509         0    26781
D PROCTER & GAMBLE               COMMON     742718109   105958    1677079 SH  -    OTHER   02             967551    456498   250690
D PROCTER & GAMBLE               COMMON     742718109    44973     711827 SH  -    OTHER   02             644493     19891    47443
D PROCTER & GAMBLE               COMMON     742718109    10394     164507 SH  -    OTHER   02                  0    164507        0
D PROCTER & GAMBLE               COMMON     742718109     4423      70008 SH  -    OTHER   02                  0     70008        0
D PROCTER & GAMBLE               COMMON     742718109     4539      71840 SH  -    OTHER   02                  0     71840        0
D PROCTER & GAMBLE               COMMON     742718109  1013948   16048566 SH  -    DEFINED 04           12413953         0  3634613
D PROCTER & GAMBLE               COMMON     742718109    55984     886105 SH  -    DEFINED 04             886105         0        0
D PROCTER & GAMBLE               COMMON     742718109    89070    1409780 SH  -    DEFINED 04            1409780         0        0
D PROCTER & GAMBLE               COMMON     742718109      211       3341 SH  -    DEFINED 04               3341         0        0
D PROCTER & GAMBLE               COMMON     742718109    21422     339066 SH  -    DEFINED 04             339066         0        0
D PROCTER & GAMBLE               COMMON     742718109      891      14102 SH  -    DEFINED 04                  0         0    14102
D PROCTER & GAMBLE               COMMON     742718109       12        195 SH  -    OTHER   04                  0       195        0
D PROCTER & GAMBLE               COMMON     742718109    31541     499229 SH  -    OTHER   04                  0    499229        0
D PROCTER & GAMBLE               COMMON     742718109    93986    1487584 SH  -    DEFINED 05            1487584         0        0
D PROCTER & GAMBLE               COMMON     742718109     1064      16840 SH  -    DEFINED 08              16840         0        0
D PROCTER & GAMBLE               COMMON     742718109    27733     438958 SH  -    DEFINED 09             400358         0    38600
D PROCTER & GAMBLE               COMMON     742718109    10433     165128 SH  -    OTHER   09                  0    165128        0
D PROCTER & GAMBLE               COMMON     742718109    54188     857678 SH  -    DEFINED 01             844253      2605    10820
D PROCTER & GAMBLE               COMMON     742718109     1764      27924 SH  -    OTHER   01              18894      3270     5760
D PROCTER & GAMBLE               COMMON     742718109    32230     510131 SH  -    OTHER   10                  0         0   510131

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 653
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PROCTER & GAMBLE               OPTION     742718901    93159    1474500 SH  C    DEFINED 05            1474500         0        0
D PROCTER & GAMBLE               OPTION     742718901     7108     112500 SH  C    DEFINED 08             112500         0        0
D PROCTER & GAMBLE               OPTION     742718950    68588    1085600 SH  P    DEFINED 05            1085600         0        0
D PROCTER & GAMBLE               OPTION     742718950     1024      16200 SH  P    DEFINED 08              16200         0        0
D PRIVATEBANCORP INC             COMMON     742962103       13       1718 SH  -    OTHER   02                  0      1718        0
D PRIVATEBANCORP INC             COMMON     742962103       10       1266 SH  -    OTHER   02                  0         0     1266
D PRIVATEBANCORP INC             COMMON     742962103      307      40879 SH  -    DEFINED 04              40879         0        0
D PRIVATEBANCORP INC             COMMON     742962103      447      59422 SH  -    DEFINED 05              59422         0        0
D PROGENICS PHARMACE             COMMON     743187106        1        243 SH  -    OTHER   02                  0       243        0
D PROGENICS PHARMACE             COMMON     743187106      176      30731 SH  -    DEFINED 05              30731         0        0
D PROGENICS PHARMACE             COMMON     743187106       10       1778 SH  -    DEFINED 08               1778         0        0
D PROGRESS ENERGY INC            COMMON     743263105       88       1700 SH  -    DEFINED 02                  0      1700        0
D PROGRESS ENERGY INC            COMMON     743263105       74       1440 SH  -    DEFINED 02               1440         0        0
D PROGRESS ENERGY INC            COMMON     743263105      188       3628 SH  -    DEFINED 02               3395         0      233
D PROGRESS ENERGY INC            COMMON     743263105      680      13156 SH  -    OTHER   02                220     10092     2829
D PROGRESS ENERGY INC            COMMON     743263105     1001      19363 SH  -    OTHER   02               3980       410    14973
D PROGRESS ENERGY INC            COMMON     743263105    35576     687861 SH  -    DEFINED 04             637966         0    49895
D PROGRESS ENERGY INC            COMMON     743263105     2450      47377 SH  -    DEFINED 04              47377         0        0
D PROGRESS ENERGY INC            COMMON     743263105     1003      19400 SH  -    DEFINED 04              19400         0        0
D PROGRESS ENERGY INC            COMMON     743263105       46        898 SH  -    DEFINED 04                898         0        0
D PROGRESS ENERGY INC            COMMON     743263105      844      16321 SH  -    DEFINED 04              16321         0        0
D PROGRESS ENERGY INC            COMMON     743263105       14        278 SH  -    OTHER   04                  0       278        0
D PROGRESS ENERGY INC            COMMON     743263105    24905     481542 SH  -    DEFINED 05             481542         0        0
D PROGRESS ENERGY INC            COMMON     743263105     9721     187963 SH  -    DEFINED 08             187963         0        0
D PROGRESS ENERGY INC            COMMON     743263105    19208     371385 SH  -    DEFINED 09             206219         0        0
D PROGRESS ENERGY INC            COMMON     743263105       74       1440 SH  -    OTHER   10                  0         0     1440

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 654
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PROGRESS ENERGY INC            OPTION     743263907        5        100 SH  C    DEFINED 05                100         0        0
D PROGRESS SOFTWARE              COMMON     743312100       54       3100 SH  -    OTHER   02                  0      3100        0
D PROGRESS SOFTWARE              COMMON     743312100     1120      63800 SH  -    DEFINED 04              48700         0    15100
D PROGRESS SOFTWARE              COMMON     743312100     1289      73452 SH  -    DEFINED 04              73452         0        0
D PROGRESS SOFTWARE              COMMON     743312100      570      32501 SH  -    DEFINED 05              32501         0        0
D PROGRESSIVE CP(OH)             COMMON     743315103       41       2325 SH  -    DEFINED 02               2325         0        0
D PROGRESSIVE CP(OH)             COMMON     743315103       78       4408 SH  -    DEFINED 02               4408         0        0
D PROGRESSIVE CP(OH)             COMMON     743315103      140       7886 SH  -    DEFINED 02               7361         0      525
D PROGRESSIVE CP(OH)             COMMON     743315103     2864     161243 SH  -    OTHER   02              97532     62325     1386
D PROGRESSIVE CP(OH)             COMMON     743315103       73       4110 SH  -    OTHER   02                 11       159     3940
D PROGRESSIVE CP(OH)             COMMON     743315103     2162     121744 SH  -    DEFINED 04             103458         0    18286
D PROGRESSIVE CP(OH)             COMMON     743315103     1892     106531 SH  -    DEFINED 04             106531         0        0
D PROGRESSIVE CP(OH)             COMMON     743315103    15308     861954 SH  -    DEFINED 05             861954         0        0
D PROGRESSIVE CP(OH)             COMMON     743315103       22       1215 SH  -    DEFINED 06               1215         0        0
D PROGRESSIVE CP(OH)             COMMON     743315103     8603     484421 SH  -    DEFINED 08             484421         0        0
D PROGRESSIVE CP(OH)             COMMON     743315103        8        435 SH  -    DEFINED 01                435         0        0
D PROGRESSIVE CP(OH)             COMMON     743315103       39       2200 SH  -    OTHER   01                  0      2200        0
D PROGRESSIVE CP(OH)             COMMON     743315103       11        625 SH  -    OTHER   10                  0         0      625
D PROLOGIS INC                   COMMON     74340W103     1955      80639 SH  -    DEFINED 02              80639         0        0
D PROLOGIS INC                   COMMON     74340W103      219       9026 SH  -    DEFINED 02               6434         0     2592
D PROLOGIS INC                   COMMON     74340W103    82626    3407239 SH  -    DEFINED 04            2334058         0  1073181
D PROLOGIS INC                   COMMON     74340W103     1658      68384 SH  -    DEFINED 04              68384         0        0
D PROLOGIS INC                   COMMON     74340W103      676      27856 SH  -    DEFINED 04              27856         0        0
D PROLOGIS INC                   COMMON     74340W103      145       5988 SH  -    DEFINED 04               5988         0        0
D PROLOGIS INC                   COMMON     74340W103     4295     177110 SH  -    DEFINED 04             135899         0        0
D PROLOGIS INC                   COMMON     74340W103       15        630 SH  -    DEFINED 04                  0         0      630

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 655
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PROLOGIS INC                   COMMON     74340W103      266      10964 SH  -    OTHER   04                  0     10964        0
D PROLOGIS INC                   COMMON     74340W103     6288     259312 SH  -    DEFINED 05             259312         0        0
D PROLOGIS INC                   COMMON     74340W103      120       4943 SH  -    DEFINED 06               4943         0        0
D PROLOGIS INC                   COMMON     74340W103     1604      66134 SH  -    DEFINED 08              66134         0        0
D PROLOGIS INC                   COMMON     74340W103        0          1 SH  -    OTHER   10                  0         0        1
D PROLOGIS                       BOND       74340XAR2       34      35000 PRN -    DEFINED 05                  0         0        0
D PROLOGIS                       BOND       74340XAT8        1       1000 PRN -    DEFINED 02                  0         0        0
D PROLOGIS                       BOND       74340XAT8     1456    1473000 PRN -    DEFINED 05                  0         0        0
D PROLOGIS                       BOND       74340XAT8    10181   10297000 PRN -    DEFINED 09                  0         0        0
D PROLOGIS                       BOND       74340XAT8     1718    1738000 PRN -    DEFINED 09                  0         0        0
D PROLOGIS                       BOND       743410AQ5     1496    1500000 PRN -    DEFINED 05                  0         0        0
D PROMOTORA DE INFORMACIONES SA  ADR        74343G303      251      56600 SH  -    DEFINED 06              56600         0        0
D PROSHARES TR                   COMMON     74347R297      160       8212 SH  -    DEFINED 08               8212         0        0
D PROSHARES TR                   COMMON     74347R297     1668      85788 SH  -    DEFINED 08              85788         0        0
D PROSHARES TR                   COMMON     74347R297     1161      59729 SH  -    OTHER   10                  0         0    59729
D PROSHARES TR                   COMMON     74347R370     9649     172583 SH  -    OTHER   10                  0         0   172583
D PROSHARES TR                   COMMON     74347R503       46       1000 SH  -    DEFINED 02               1000         0        0
D PROSHARES TR                   COMMON     74347R503        2         40 SH  -    OTHER   02                 40         0        0
D PROSHARES TR                   COMMON     74347R503        4         80 SH  -    DEFINED 05                 80         0        0
D PROSHARES TR                   COMMON     74347R503     6190     134272 SH  -    OTHER   10                  0         0   134272
D PROSHARES TR                   COMMON     74347R602        2         50 SH  -    OTHER   02                 50         0        0
D PROSHARES TR                   COMMON     74347R602     4131     121261 SH  -    OTHER   10                  0         0   121261
D PROSHARES TR                   COMMON     74347R867     3121     153060 SH  -    OTHER   02             141060         0    12000
D PROSHARES TR II                COMMON     74347W650     6156     227248 SH  -    DEFINED 08             227248         0        0
D PROSHARES TR II                COMMON     74347W882     1157      60000 SH  -    DEFINED 05              60000         0        0
D PROSHARES TR                   COMMON     74347X849     1631      50735 SH  -    OTHER   10                  0         0    50735

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 656
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PROSPECT CAPITAL CORPORATION   COMMON     74348T102       27       3163 SH  -    DEFINED 02               3163         0        0
D PROSPECT CAPITAL CORPORATION   COMMON     74348T102        7        864 SH  -    OTHER   02                  0       785        0
D PROSPECT CAPITAL CORPORATION   COMMON     74348T102       13       1494 SH  -    OTHER   02               1494         0        0
D PROSPECT CAPITAL CORPORATION   COMMON     74348T102     3374     401213 SH  -    DEFINED 04             397460         0     3753
D PROSPECT CAPITAL CORPORATION   COMMON     74348T102      524      62306 SH  -    DEFINED 04              62306         0        0
D PROSPECT CAPITAL CORPORATION   COMMON     74348T102      552      65648 SH  -    DEFINED 05              65648         0        0
D PROSPECT CAPITAL CORPORATION   COMMON     74348T102      174      20700 SH  -    OTHER   10                  0         0    20700
D PROSPERITY BANCSHARES INC      COMMON     743606105        3         95 SH  -    OTHER   02                  0        95        0
D PROSPERITY BANCSHARES INC      COMMON     743606105      912      27900 SH  -    DEFINED 04              21400         0     6500
D PROSPERITY BANCSHARES INC      COMMON     743606105     2670      81698 SH  -    DEFINED 04              81698         0        0
D PROSPERITY BANCSHARES INC      COMMON     743606105      161       4923 SH  -    DEFINED 05               4923         0        0
D PROSPERITY BANCSHARES INC      COMMON     743606105      167       5113 SH  -    DEFINED 08               5113         0        0
D PROTECTIVE LIFE CP             COMMON     743674103        6        369 SH  -    DEFINED 02                369         0        0
D PROTECTIVE LIFE CP             COMMON     743674103       88       5622 SH  -    OTHER   02                  0       977     4645
D PROTECTIVE LIFE CP             COMMON     743674103     7457     477070 SH  -    DEFINED 04             432670         0    44400
D PROTECTIVE LIFE CP             COMMON     743674103     2877     184043 SH  -    DEFINED 04             184043         0        0
D PROTECTIVE LIFE CP             COMMON     743674103       24       1518 SH  -    DEFINED 04               1518         0        0
D PROTECTIVE LIFE CP             COMMON     743674103      273      17493 SH  -    OTHER   04                  0     17493        0
D PROTECTIVE LIFE CP             COMMON     743674103       21       1323 SH  -    DEFINED 05               1323         0        0
D PROTECTIVE LIFE CP             COMMON     743674103      297      18971 SH  -    DEFINED 08              18971         0        0
D PROVIDENCE SVC CORP            COMMON     743815102      167      15650 SH  -    DEFINED 04              13950         0     1700
D PROVIDENCE SVC CORP            COMMON     743815102        4        340 SH  -    DEFINED 05                340         0        0
D PROVIDENCE SVC CORP            COMMON     743815102        8        762 SH  -    DEFINED 08                762         0        0
D PROVIDENT FINL SVCS INC        COMMON     74386T105        1         77 SH  -    OTHER   02                  0        77        0
D PROVIDENT FINL SVCS INC        COMMON     74386T105      851      79200 SH  -    DEFINED 04              79200         0        0
D PROVIDENT FINL SVCS INC        COMMON     74386T105      390      36290 SH  -    DEFINED 04              36290         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 657
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PROVIDENT FINL SVCS INC        COMMON     74386T105      326      30354 SH  -    DEFINED 05              30354         0        0
D PROVIDENT FINL SVCS INC        COMMON     74386T105      191      17734 SH  -    OTHER   10                  0         0    17734
D PROVIDENT ENERGY LTD NEW       COMMON     74386V100        8       1000 SH  -    DEFINED 02               1000         0        0
D PROVIDENT ENERGY LTD NEW       COMMON     74386V100       40       4864 SH  -    DEFINED 05               4864         0        0
D PROVIDENT ENERGY LTD NEW       COMMON     74386V100       58       7062 SH  -    DEFINED 06               7062         0        0
D PROVIDENT ENERGY LTD NEW       COMMON     74386V100       99      12100 SH  -    OTHER   10                  0         0    12100
D PRUDENTIAL FINL INC            COMMON     744320102    19938     425483 SH  -    DEFINED 02             364798      3774    56911
D PRUDENTIAL FINL INC            COMMON     744320102     6460     137865 SH  -    DEFINED 02             132977       125     4763
D PRUDENTIAL FINL INC            COMMON     744320102     1079      23036 SH  -    DEFINED 02              10150         0    12886
D PRUDENTIAL FINL INC            COMMON     744320102     6009     128232 SH  -    OTHER   02              84836     30505    12876
D PRUDENTIAL FINL INC            COMMON     744320102      674      14376 SH  -    OTHER   02              12739       586     1051
D PRUDENTIAL FINL INC            COMMON     744320102      123       2617 SH  -    OTHER   02                  0      2617        0
D PRUDENTIAL FINL INC            COMMON     744320102      111       2374 SH  -    OTHER   02                  0      2374        0
D PRUDENTIAL FINL INC            COMMON     744320102      285       6085 SH  -    OTHER   02                  0      6085        0
D PRUDENTIAL FINL INC            COMMON     744320102   502388   10721051 SH  -    DEFINED 04            9130954         0  1590097
D PRUDENTIAL FINL INC            COMMON     744320102    14089     300655 SH  -    DEFINED 04             300655         0        0
D PRUDENTIAL FINL INC            COMMON     744320102    41045     875916 SH  -    DEFINED 04             875916         0        0
D PRUDENTIAL FINL INC            COMMON     744320102      343       7327 SH  -    DEFINED 04               7327         0        0
D PRUDENTIAL FINL INC            COMMON     744320102    16142     344464 SH  -    DEFINED 04             303741         0    40723
D PRUDENTIAL FINL INC            COMMON     744320102      257       5478 SH  -    DEFINED 04                  0         0     5478
D PRUDENTIAL FINL INC            COMMON     744320102        9        192 SH  -    OTHER   04                  0       192        0
D PRUDENTIAL FINL INC            COMMON     744320102    16046     342424 SH  -    OTHER   04                  0    342424        0
D PRUDENTIAL FINL INC            COMMON     744320102     6638     141666 SH  -    DEFINED 05             141666         0        0
D PRUDENTIAL FINL INC            COMMON     744320102       42        891 SH  -    DEFINED 06                891         0        0
D PRUDENTIAL FINL INC            COMMON     744320102     4476      95525 SH  -    DEFINED 08              95525         0        0
D PRUDENTIAL FINL INC            COMMON     744320102    48012    1024586 SH  -    DEFINED 09             967465     25071    32050

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 658
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PRUDENTIAL FINL INC            COMMON     744320102     1133      24169 SH  -    DEFINED 09              24169         0        0
D PRUDENTIAL FINL INC            COMMON     744320102    13779     294053 SH  -    DEFINED 09             175960         0        0
D PRUDENTIAL FINL INC            COMMON     744320102     7678     163848 SH  -    OTHER   09                  0    163848        0
D PRUDENTIAL FINL INC            COMMON     744320102     1113      23761 SH  -    DEFINED 01              20526      1627     1608
D PRUDENTIAL FINL INC            COMMON     744320102      394       8406 SH  -    OTHER   01               3930      1643     2833
D PRUDENTIAL FINL INC            COMMON     744320102     1018      21720 SH  -    OTHER   10                  0         0    21720
D PRUDENTIAL FINL INC            OPTION     744320904     1560      33300 SH  C    DEFINED 05              33300         0        0
D PRUDENTIAL FINL INC            OPTION     744320953      192       4100 SH  P    DEFINED 05               4100         0        0
D PRUDENTIAL FINL INC            OPTION     744320953     8866     189200 SH  P    DEFINED 08             189200         0        0
D PRUDENTIAL                     ADR        74435K204        4        208 SH  -    DEFINED 02                208         0        0
D PRUDENTIAL                     ADR        74435K204       56       3288 SH  -    OTHER   02                  0      3288        0
D PRUDENTIAL                     ADR        74435K204        2         90 SH  -    OTHER   02                 90         0        0
D PRUDENTIAL                     ADR        74435K204     1719     100738 SH  -    DEFINED 04             100738         0        0
D PRUDENTIAL                     ADR        74435K204     4506     264105 SH  -    OTHER   04                  0    264105        0
D PRUDENTIAL                     ADR        74435K204     9540     559223 SH  -    OTHER   04                  0    559223        0
D PRUDENTIAL                     ADR        74435K204     5939     348145 SH  -    DEFINED 06             348145         0        0
D PRUDENTIAL                     ADR        74435K204        3        202 SH  -    OTHER   01                  0         0        0
D PRUDENTIAL                     ADR        74435K204       13        756 SH  -    OTHER   10                  0         0      756
D PSIVIDA CORP                   COMMON     74440J101      145      33883 SH  -    DEFINED 05              33883         0        0
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106     8086     242321 SH  -    DEFINED 02             211654       767    29900
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106     2625      78668 SH  -    DEFINED 02              77619        78      971
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106      341      10211 SH  -    DEFINED 02               6425         0     3786
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106     3372     101056 SH  -    OTHER   02              67233     24289     9497
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106      607      18204 SH  -    OTHER   02              17711       408       85
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106       47       1413 SH  -    OTHER   02                  0      1413        0
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106       50       1498 SH  -    OTHER   02                  0      1498        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 659
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106      128       3835 SH  -    OTHER   02                  0      3835        0
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106   220621    6611354 SH  -    DEFINED 04            5311501         0  1299853
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106     2726      81676 SH  -    DEFINED 04              81676         0        0
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106    19319     578928 SH  -    DEFINED 04             578928         0        0
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106      252       7544 SH  -    DEFINED 04               7544         0        0
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106       84       2532 SH  -    DEFINED 04                  0         0     2532
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106     6110     183094 SH  -    OTHER   04                  0    183094        0
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106      620      18590 SH  -    DEFINED 05              18590         0        0
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106     1138      34100 SH  -    DEFINED 08              34100         0        0
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106     1318      39507 SH  -    DEFINED 09              39507         0        0
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106      405      12143 SH  -    DEFINED 01              10372      1027      744
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106      142       4269 SH  -    OTHER   01               1784      1008     1477
D PUBLIC SVC ENTERPRISE GROUP    COMMON     744573106      110       3310 SH  -    OTHER   10                  0         0     3310
D PUBLIC STORAGE                 COMMON     74460D109     1347      12100 SH  -    DEFINED 02              12100         0        0
D PUBLIC STORAGE                 COMMON     74460D109      193       1737 SH  -    DEFINED 02               1632         0      105
D PUBLIC STORAGE                 COMMON     74460D109    55796     501084 SH  -    DEFINED 04             428527         0    72557
D PUBLIC STORAGE                 COMMON     74460D109     4561      40957 SH  -    DEFINED 04              40957         0        0
D PUBLIC STORAGE                 COMMON     74460D109      479       4300 SH  -    DEFINED 04               4300         0        0
D PUBLIC STORAGE                 COMMON     74460D109      122       1100 SH  -    DEFINED 04               1100         0        0
D PUBLIC STORAGE                 COMMON     74460D109     3230      29010 SH  -    DEFINED 04              22710         0        0
D PUBLIC STORAGE                 COMMON     74460D109    14449     129758 SH  -    DEFINED 05             129758         0        0
D PUBLIC STORAGE                 COMMON     74460D109      168       1506 SH  -    DEFINED 06               1506         0        0
D PUBLIC STORAGE                 COMMON     74460D109     2038      18307 SH  -    DEFINED 08              18307         0        0
D PUBLIC STORAGE                 COMMON     74460D109      302       2710 SH  -    OTHER   09                  0      2710        0
D PUBLIC STORAGE                 COMMON     74460D109        2         17 SH  -    OTHER   10                  0         0       17
D PULSE ELECTRONICS CORP         COMMON     74586W106        1        228 SH  -    OTHER   02                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 660
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D PULSE ELECTRONICS CORP         COMMON     74586W106      312     109150 SH  -    DEFINED 04              97450         0    11700
D PULSE ELECTRONICS CORP         COMMON     74586W106       82      28632 SH  -    DEFINED 04              28632         0        0
D PULSE ELECTRONICS CORP         COMMON     74586W106       59      20703 SH  -    DEFINED 05              20703         0        0
D PULSE ELECTRONICS CORP         COMMON     74586W106       23       7951 SH  -    DEFINED 08               7951         0        0
D PULTE GROUP INC                COMMON     745867101        3        650 SH  -    DEFINED 02                135         0      515
D PULTE GROUP INC                COMMON     745867101       16       3980 SH  -    DEFINED 02               1087      2893        0
D PULTE GROUP INC                COMMON     745867101       16       3949 SH  -    DEFINED 02               3883         0       66
D PULTE GROUP INC                COMMON     745867101     1142     289170 SH  -    OTHER   02               3339    245445    40386
D PULTE GROUP INC                COMMON     745867101      451     114164 SH  -    OTHER   02               1811     12722    99631
D PULTE GROUP INC                COMMON     745867101      237      59977 SH  -    DEFINED 04              50331         0     9646
D PULTE GROUP INC                COMMON     745867101      214      54258 SH  -    DEFINED 04              54258         0        0
D PULTE GROUP INC                COMMON     745867101      526     133278 SH  -    DEFINED 05             133278         0        0
D PULTE GROUP INC                COMMON     745867101      331      83788 SH  -    DEFINED 08              83788         0        0
D PURE BIOSCIENCE INC            COMMON     74621T100        8      10300 SH  -    OTHER   02              10300         0        0
D QLT INC                        COMMON     746927102      307      42000 SH  -    DEFINED 05              42000         0        0
D PYRAMID OIL CO                 COMMON     747215101       76      20625 SH  -    DEFINED 05              20625         0        0
D QLOGIC CORP                    COMMON     747277101      112       8813 SH  -    DEFINED 02               8813         0        0
D QLOGIC CORP                    COMMON     747277101       90       7136 SH  -    OTHER   02                220      6847        0
D QLOGIC CORP                    COMMON     747277101      750      59182 SH  -    DEFINED 04              59182         0        0
D QLOGIC CORP                    COMMON     747277101     1334     105167 SH  -    DEFINED 04             105167         0        0
D QLOGIC CORP                    COMMON     747277101       51       4018 SH  -    DEFINED 05               4018         0        0
D QUAD / GRAPHICS INC            COMMON     747301109        7        374 SH  -    OTHER   02                  0       374        0
D QUAD / GRAPHICS INC            COMMON     747301109      464      25677 SH  -    DEFINED 04              24600         0     1077
D QUAD / GRAPHICS INC            COMMON     747301109       58       3190 SH  -    DEFINED 04               3190         0        0
D QUAD / GRAPHICS INC            COMMON     747301109      406      22443 SH  -    DEFINED 04              22443         0        0
D QUAD / GRAPHICS INC            COMMON     747301109       78       4314 SH  -    DEFINED 05               4314         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 661
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D QUAD / GRAPHICS INC            COMMON     747301109       27       1482 SH  -    DEFINED 08               1482         0        0
D QUAD / GRAPHICS INC            COMMON     747301109       14        758 SH  -    DEFINED 09                758         0        0
D PZENA INVESTMENT MGMT INC      COMMON     74731Q103        1        232 SH  -    OTHER   02                  0       232        0
D PZENA INVESTMENT MGMT INC      COMMON     74731Q103      123      37500 SH  -    DEFINED 04              33200         0     4300
D PZENA INVESTMENT MGMT INC      COMMON     74731Q103        2        560 SH  -    DEFINED 08                560         0        0
D QUAKER CHEM CORP               COMMON     747316107       53       2043 SH  -    OTHER   02               1953        90        0
D QUAKER CHEM CORP               COMMON     747316107      199       7666 SH  -    DEFINED 04               7666         0        0
D QUAKER CHEM CORP               COMMON     747316107      178       6879 SH  -    DEFINED 05               6879         0        0
D QLIK TECHNOLOGIES INC          COMMON     74733T105        1         41 SH  -    OTHER   02                  0        41        0
D QLIK TECHNOLOGIES INC          COMMON     74733T105     1549      71600 SH  -    DEFINED 04              71600         0        0
D QLIK TECHNOLOGIES INC          COMMON     74733T105      188       8695 SH  -    DEFINED 05               8695         0        0
D QLIK TECHNOLOGIES INC          COMMON     74733T105       91       4219 SH  -    DEFINED 08               4219         0        0
D QLIK TECHNOLOGIES INC          COMMON     74733T105        1         49 SH  -    OTHER   10                  0         0       49
D QEP RESOURCES INC              COMMON     74733V100       55       2034 SH  -    DEFINED 02               1134       900        0
D QEP RESOURCES INC              COMMON     74733V100       17        614 SH  -    DEFINED 02                214         0      400
D QEP RESOURCES INC              COMMON     74733V100       61       2247 SH  -    DEFINED 02               2039         0      208
D QEP RESOURCES INC              COMMON     74733V100     4877     180172 SH  -    OTHER   02              15399    151213    13560
D QEP RESOURCES INC              COMMON     74733V100       89       3274 SH  -    OTHER   02                  8      1135     2131
D QEP RESOURCES INC              COMMON     74733V100      853      31493 SH  -    DEFINED 04              26428         0     5065
D QEP RESOURCES INC              COMMON     74733V100      770      28455 SH  -    DEFINED 04              28455         0        0
D QEP RESOURCES INC              COMMON     74733V100      133       4918 SH  -    DEFINED 05               4918         0        0
D QEP RESOURCES INC              COMMON     74733V100       57       2091 SH  -    DEFINED 06               2091         0        0
D QEP RESOURCES INC              COMMON     74733V100      131       4850 SH  -    OTHER   01                  0      4850        0
D QEP RESOURCES INC              COMMON     74733V100        9        342 SH  -    OTHER   10                  0         0      342
D QR ENERGY LP                   COMMON     74734R108     5714     292271 SH  -    DEFINED 10             292271         0        0
D QUALCOMM INC                   COMMON     747525103    37869     778708 SH  -    DEFINED 02             646017      7886   124805

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 662
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D QUALCOMM INC                   COMMON     747525103    12666     260452 SH  -    DEFINED 02             252622       192     7638
D QUALCOMM INC                   COMMON     747525103      709      14586 SH  -    DEFINED 02              14586         0        0
D QUALCOMM INC                   COMMON     747525103     1904      39161 SH  -    DEFINED 02              24534         0    14627
D QUALCOMM INC                   COMMON     747525103    28079     577397 SH  -    OTHER   02             239636    278861    58774
D QUALCOMM INC                   COMMON     747525103     7731     158966 SH  -    OTHER   02             125352      5758    27856
D QUALCOMM INC                   COMMON     747525103      577      11863 SH  -    OTHER   02                  0     11863        0
D QUALCOMM INC                   COMMON     747525103      226       4639 SH  -    OTHER   02                  0      4639        0
D QUALCOMM INC                   COMMON     747525103     1189      24450 SH  -    OTHER   02                  0     24450        0
D QUALCOMM INC                   COMMON     747525103       39        804 SH  -    OTHER   02                  0       804        0
D QUALCOMM INC                   COMMON     747525103   521089   10715390 SH  -    DEFINED 04            8447282         0  2268108
D QUALCOMM INC                   COMMON     747525103    36706     754799 SH  -    DEFINED 04             754799         0        0
D QUALCOMM INC                   COMMON     747525103    38258     786717 SH  -    DEFINED 04             786717         0        0
D QUALCOMM INC                   COMMON     747525103      242       4978 SH  -    DEFINED 04               4978         0        0
D QUALCOMM INC                   COMMON     747525103     2983      61346 SH  -    DEFINED 04              36726         0    24620
D QUALCOMM INC                   COMMON     747525103      329       6771 SH  -    DEFINED 04                  0         0     6771
D QUALCOMM INC                   COMMON     747525103    23867     490796 SH  -    OTHER   04                  0    490796        0
D QUALCOMM INC                   COMMON     747525103    87046    1789962 SH  -    DEFINED 05            1789962         0        0
D QUALCOMM INC                   COMMON     747525103    14161     291207 SH  -    DEFINED 08             291207         0        0
D QUALCOMM INC                   COMMON     747525103    12634     259804 SH  -    DEFINED 09             244697     15107        0
D QUALCOMM INC                   COMMON     747525103      715      14701 SH  -    DEFINED 09              14701         0        0
D QUALCOMM INC                   COMMON     747525103     5139     105675 SH  -    DEFINED 09             105675         0        0
D QUALCOMM INC                   COMMON     747525103     6301     129562 SH  -    OTHER   09                  0    129562        0
D QUALCOMM INC                   COMMON     747525103     3163      65048 SH  -    DEFINED 01              54406      2511     8131
D QUALCOMM INC                   COMMON     747525103     1831      37649 SH  -    OTHER   01              13546     19749     4066
D QUALCOMM INC                   COMMON     747525103     4934     101450 SH  -    OTHER   10                  0         0   101450
D QUALCOMM INC                   OPTION     747525905    27476     565000 SH  C    DEFINED 05             565000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 663
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D QUALCOMM INC                   OPTION     747525905    15596     320700 SH  C    DEFINED 08             320700         0        0
D QUALCOMM INC                   OPTION     747525954     9507     195500 SH  P    DEFINED 05             195500         0        0
D QUALCOMM INC                   OPTION     747525954       73       1500 SH  P    DEFINED 08               1500         0        0
D QUALITY DISTR INC FLA          COMMON     74756M102     3462     386000 SH  -    DEFINED 04             326700         0    59300
D QUALITY DISTR INC FLA          COMMON     74756M102        8        895 SH  -    DEFINED 05                895         0        0
D QUALITY DISTR INC FLA          COMMON     74756M102        8        913 SH  -    DEFINED 08                913         0        0
D QUALITY SYS INC                COMMON     747582104        6         60 SH  -    DEFINED 02                  0        60        0
D QUALITY SYS INC                COMMON     747582104       24        245 SH  -    DEFINED 02                245         0        0
D QUALITY SYS INC                COMMON     747582104      502       5173 SH  -    OTHER   02                  0      3718     1455
D QUALITY SYS INC                COMMON     747582104       12        128 SH  -    OTHER   02                  0         0      128
D QUALITY SYS INC                COMMON     747582104      917       9455 SH  -    DEFINED 05               9455         0        0
D QUALITY SYS INC                COMMON     747582104      605       6238 SH  -    OTHER   10                  0         0     6238
D QUANEX BUILDING PRODUCTS CORP  COMMON     747619104        1         56 SH  -    OTHER   02                  0        56        0
D QUANEX BUILDING PRODUCTS CORP  COMMON     747619104      233      21300 SH  -    DEFINED 04              21300         0        0
D QUANEX BUILDING PRODUCTS CORP  COMMON     747619104     1293     118078 SH  -    DEFINED 04             118078         0        0
D QUANEX BUILDING PRODUCTS CORP  COMMON     747619104      245      22359 SH  -    DEFINED 05              22359         0        0
D QUANEX BUILDING PRODUCTS CORP  COMMON     747619104      848      77434 SH  -    DEFINED 08              77434         0        0
D QUANTA SVCS INC                COMMON     74762E102     1017      54130 SH  -    DEFINED 02              53800       330        0
D QUANTA SVCS INC                COMMON     74762E102        4        200 SH  -    DEFINED 02                  0         0      200
D QUANTA SVCS INC                COMMON     74762E102       48       2556 SH  -    DEFINED 02               2446         0      110
D QUANTA SVCS INC                COMMON     74762E102     2993     159265 SH  -    OTHER   02                230    154095     4940
D QUANTA SVCS INC                COMMON     74762E102      438      23315 SH  -    OTHER   02               2924      4791    15600
D QUANTA SVCS INC                COMMON     74762E102      710      37782 SH  -    DEFINED 04              31706         0     6076
D QUANTA SVCS INC                COMMON     74762E102      653      34779 SH  -    DEFINED 04              34779         0        0
D QUANTA SVCS INC                COMMON     74762E102       95       5062 SH  -    DEFINED 05               5062         0        0
D QUANTA SVCS INC                COMMON     74762E102       87       4630 SH  -    OTHER   09                  0      4630        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 664
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D QUANTA SVCS INC                COMMON     74762E102      326      17326 SH  -    OTHER   01                  0     16920        0
D QUANTUM-DLT & STOR             COMMON     747906204        3       1700 SH  -    DEFINED 04               1700         0        0
D QUANTUM-DLT & STOR             COMMON     747906204       64      35216 SH  -    DEFINED 05              35216         0        0
D QUANTUM-DLT & STOR             COMMON     747906204       21      11700 SH  -    DEFINED 08              11700         0        0
D QUEST DIAGNOSTICS              COMMON     74834L100      389       7883 SH  -    DEFINED 02               4560         0     3323
D QUEST DIAGNOSTICS              COMMON     74834L100       95       1916 SH  -    DEFINED 02               1824         0       92
D QUEST DIAGNOSTICS              COMMON     74834L100     1262      25570 SH  -    OTHER   02               9500      2979    13091
D QUEST DIAGNOSTICS              COMMON     74834L100       96       1944 SH  -    OTHER   02                513        28     1403
D QUEST DIAGNOSTICS              COMMON     74834L100     5045     102202 SH  -    DEFINED 04              63470         0    38732
D QUEST DIAGNOSTICS              COMMON     74834L100     1241      25144 SH  -    DEFINED 04              25144         0        0
D QUEST DIAGNOSTICS              COMMON     74834L100       26        530 SH  -    DEFINED 04                530         0        0
D QUEST DIAGNOSTICS              COMMON     74834L100        5        100 SH  -    DEFINED 04                100         0        0
D QUEST DIAGNOSTICS              COMMON     74834L100       17        354 SH  -    DEFINED 04                  0         0      354
D QUEST DIAGNOSTICS              COMMON     74834L100     2342      47449 SH  -    DEFINED 05              47449         0        0
D QUEST DIAGNOSTICS              COMMON     74834L100       20        400 SH  -    DEFINED 09                400         0        0
D QUEST DIAGNOSTICS              COMMON     74834L100      105       2122 SH  -    OTHER   01                  0      2122        0
D QUEST DIAGNOSTICS              COMMON     74834L100      157       3180 SH  -    OTHER   10                  0         0     3180
D QUEST DIAGNOSTICS              OPTION     74834L902       64       1300 SH  C    DEFINED 05               1300         0        0
D QUEST SOFTWARE INC             COMMON     74834T103        1         69 SH  -    OTHER   02                 69         0        0
D QUEST SOFTWARE INC             COMMON     74834T103      102       6400 SH  -    OTHER   02                  0      3100     3300
D QUEST SOFTWARE INC             COMMON     74834T103     2094     131895 SH  -    DEFINED 04             116295         0    15600
D QUEST SOFTWARE INC             COMMON     74834T103     2799     176270 SH  -    DEFINED 04             176270         0        0
D QUEST SOFTWARE INC             COMMON     74834T103      126       7910 SH  -    DEFINED 05               7910         0        0
D QUEST SOFTWARE INC             COMMON     74834T103       79       4986 SH  -    DEFINED 08               4986         0        0
D QUESTCOR PHARMACEUTICALS INC   COMMON     74835Y101       68       2500 SH  -    DEFINED 02               2500         0        0
D QUESTCOR PHARMACEUTICALS INC   COMMON     74835Y101       63       2319 SH  -    OTHER   02               1600       719        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 665
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D QUESTCOR PHARMACEUTICALS INC   COMMON     74835Y101      736      26989 SH  -    DEFINED 04              26989         0        0
D QUESTCOR PHARMACEUTICALS INC   COMMON     74835Y101     1196      43886 SH  -    DEFINED 04              43886         0        0
D QUESTCOR PHARMACEUTICALS INC   COMMON     74835Y101     1364      50031 SH  -    DEFINED 05              50031         0        0
D QUESTCOR PHARMACEUTICALS INC   COMMON     74835Y101        1         40 SH  -    OTHER   01                  0        40        0
D QUESTAR CORP                   COMMON     748356102       19       1096 SH  -    DEFINED 02               1096         0        0
D QUESTAR CORP                   COMMON     748356102        0         24 SH  -    DEFINED 02                 24         0        0
D QUESTAR CORP                   COMMON     748356102     3867     218368 SH  -    OTHER   02                  0    189418    28950
D QUESTAR CORP                   COMMON     748356102       32       1815 SH  -    OTHER   02                  7        70     1738
D QUESTAR CORP                   COMMON     748356102      417      23555 SH  -    DEFINED 04              23555         0        0
D QUESTAR CORP                   COMMON     748356102     7909     446593 SH  -    DEFINED 04             446593         0        0
D QUESTAR CORP                   COMMON     748356102       48       2712 SH  -    DEFINED 05               2712         0        0
D QUESTAR CORP                   COMMON     748356102      346      19531 SH  -    DEFINED 08              19531         0        0
D QUESTAR CORP                   COMMON     748356102        6        342 SH  -    OTHER   10                  0         0      342
D QUICKSILVER RESOURCES INC      BOND       74837RAB0     5290    5317000 PRN -    DEFINED 05                  0         0        0
D QUICKSILVER RESOURCES INC      COMMON     74837R104      231      30516 SH  -    OTHER   02              23198      1603     5715
D QUICKSILVER RESOURCES INC      COMMON     74837R104        1         92 SH  -    OTHER   02                 21        44       27
D QUICKSILVER RESOURCES INC      COMMON     74837R104       40       5237 SH  -    DEFINED 05               5237         0        0
D QUICKSILVER RESOURCES INC      COMMON     74837R104        9       1126 SH  -    DEFINED 08               1126         0        0
D QUIKSILVER INC                 COMMON     74838C106        3        944 SH  -    OTHER   02                  0       944        0
D QUIKSILVER INC                 COMMON     74838C106      288      94441 SH  -    DEFINED 04              94441         0        0
D QUIKSILVER INC                 COMMON     74838C106      224      73314 SH  -    DEFINED 05              73314         0        0
D QUINSTREET INC                 COMMON     74874Q100      753      72750 SH  -    DEFINED 04              65350         0     7400
D QUINSTREET INC                 COMMON     74874Q100       52       4994 SH  -    DEFINED 05               4994         0        0
D QUINSTREET INC                 COMMON     74874Q100       17       1644 SH  -    DEFINED 08               1644         0        0
D RAIT FINANCIAL TRUST           COMMON     749227609        0          1 SH  -    DEFINED 04                  1         0        0
D RAIT FINANCIAL TRUST           COMMON     749227609       41      12096 SH  -    DEFINED 05              12096         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 666
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RAIT FINANCIAL TRUST           COMMON     749227609        8       2425 SH  -    DEFINED 08               2425         0        0
D RLI CORP                       COMMON     749607107      122       1912 SH  -    OTHER   02                  0       790     1070
D RLI CORP                       COMMON     749607107       16        250 SH  -    OTHER   02                  0         0      250
D RLI CORP                       COMMON     749607107    12907     203011 SH  -    DEFINED 04             188971         0    14040
D RLI CORP                       COMMON     749607107      762      11985 SH  -    DEFINED 04              11985         0        0
D RLI CORP                       COMMON     749607107      578       9096 SH  -    DEFINED 05               9096         0        0
D RLJ LODGING TR                 COMMON     74965L101    26446    2070956 SH  -    DEFINED 04            1940992         0   129964
D RLJ LODGING TR                 COMMON     74965L101       42       3283 SH  -    DEFINED 05               3283         0        0
D RPC INC                        COMMON     749660106        1         69 SH  -    OTHER   02                  0        69        0
D RPC INC                        COMMON     749660106     2727     167088 SH  -    DEFINED 04             152138         0    14950
D RPC INC                        COMMON     749660106     1698     104046 SH  -    DEFINED 04             104046         0        0
D RPC INC                        COMMON     749660106     1542      94512 SH  -    DEFINED 04              53412         0    41100
D RPC INC                        COMMON     749660106       11        674 SH  -    DEFINED 05                674         0        0
D RPC INC                        COMMON     749660106     6015     368578 SH  -    DEFINED 09             342871     25707        0
D RPC INC                        COMMON     749660106      398      24386 SH  -    DEFINED 09              24386         0        0
D RPC INC                        COMMON     749660106     2898     177589 SH  -    DEFINED 09             177589         0        0
D RPC INC                        COMMON     749660106       70       4311 SH  -    OTHER   09                  0      4311        0
D RPC INC                        COMMON     749660106        2        153 SH  -    OTHER   10                  0         0      153
D RPM INTERNATIONAL              COMMON     749685103       19       1000 SH  -    DEFINED 02               1000         0        0
D RPM INTERNATIONAL              COMMON     749685103      109       5846 SH  -    OTHER   02                120      4856      870
D RPM INTERNATIONAL              COMMON     749685103      300      16030 SH  -    OTHER   02                730       410    14890
D RPM INTERNATIONAL              COMMON     749685103      144       7725 SH  -    DEFINED 04               7725         0        0
D RPM INTERNATIONAL              COMMON     749685103      155       8295 SH  -    DEFINED 05               8295         0        0
D RPM INTERNATIONAL              COMMON     749685103      188      10031 SH  -    DEFINED 08              10031         0        0
D RPM INTERNATIONAL              COMMON     749685103      449      24000 SH  -    OTHER   01              24000         0        0
D RPM INTERNATIONAL              COMMON     749685103       39       2074 SH  -    OTHER   10                  0         0     2074

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 667
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RSC HOLDINGS INC               COMMON     74972L102       11       1598 SH  -    OTHER   02                  0      1598        0
D RSC HOLDINGS INC               COMMON     74972L102      721     101130 SH  -    DEFINED 04             101130         0        0
D RSC HOLDINGS INC               COMMON     74972L102       66       9212 SH  -    DEFINED 05               9212         0        0
D RSC HOLDINGS INC               COMMON     74972L102       72      10162 SH  -    DEFINED 08              10162         0        0
D RTI INTL METALS INC            COMMON     74973W107      162       6934 SH  -    OTHER   02               1547      1912     3475
D RTI INTL METALS INC            COMMON     74973W107      439      18805 SH  -    DEFINED 04              18805         0        0
D RTI INTL METALS INC            COMMON     74973W107      488      20909 SH  -    DEFINED 04              20909         0        0
D RTI INTL METALS INC            COMMON     74973W107      413      17720 SH  -    DEFINED 05              17720         0        0
D RTI BIOLOGICS INC              COMMON     74975N105        3       1038 SH  -    OTHER   02                  0      1038        0
D RTI BIOLOGICS INC              COMMON     74975N105     3514    1067950 SH  -    DEFINED 04             913250         0   154700
D RTI BIOLOGICS INC              COMMON     74975N105       16       5005 SH  -    DEFINED 05               5005         0        0
D RTI BIOLOGICS INC              COMMON     74975N105       10       3162 SH  -    DEFINED 08               3162         0        0
D RF MICRO DEVICES I             COMMON     749941100       41       6411 SH  -    OTHER   02               4200      2211        0
D RF MICRO DEVICES I             COMMON     749941100      841     132575 SH  -    DEFINED 04             119375         0    13200
D RF MICRO DEVICES I             COMMON     749941100     1325     208922 SH  -    DEFINED 04             208922         0        0
D RF MICRO DEVICES I             COMMON     749941100      177      27955 SH  -    DEFINED 05              27955         0        0
D RF MICRO DEVICES I             COMMON     749941100      141      22284 SH  -    DEFINED 08              22284         0        0
D RF MICRO DEVICES I             COMMON     749941100      291      45859 SH  -    OTHER   10                  0         0    45859
D RACKSPACE HOSTING INC          COMMON     750086100       75       2200 SH  -    DEFINED 02               2200         0        0
D RACKSPACE HOSTING INC          COMMON     750086100       13        372 SH  -    OTHER   02                  0       372        0
D RACKSPACE HOSTING INC          COMMON     750086100       20        596 SH  -    OTHER   02                  0         0      596
D RACKSPACE HOSTING INC          COMMON     750086100    20240     592849 SH  -    DEFINED 04             352220         0   240629
D RACKSPACE HOSTING INC          COMMON     750086100     7900     231411 SH  -    DEFINED 04             231411         0        0
D RACKSPACE HOSTING INC          COMMON     750086100     1056      30940 SH  -    DEFINED 04              30940         0        0
D RACKSPACE HOSTING INC          COMMON     750086100       76       2232 SH  -    DEFINED 05               2232         0        0
D RACKSPACE HOSTING INC          COMMON     750086100       73       2138 SH  -    OTHER   09                  0      2138        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 668
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RACKSPACE HOSTING INC          COMMON     750086100      912      26712 SH  -    OTHER   10                  0         0    26712
D RADIAN GROUP INC               BOND       750236AK7        8      17000 PRN -    DEFINED 05                  0         0        0
D RADIAN GROUP INC               COMMON     750236101        3       1308 SH  -    OTHER   02                  0      1308        0
D RADIAN GROUP INC               COMMON     750236101      166      76000 SH  -    DEFINED 04              76000         0        0
D RADIAN GROUP INC               COMMON     750236101       62      28117 SH  -    DEFINED 05              28117         0        0
D RADIAN GROUP INC               COMMON     750236101       39      17944 SH  -    DEFINED 08              17944         0        0
D RADIO ONE INC                  COMMON     75040P405       34      28900 SH  -    DEFINED 04              28900         0        0
D RADIO ONE INC                  COMMON     75040P405        5       4329 SH  -    DEFINED 08               4329         0        0
D RADIOSHACK CORP                COMMON     750438103      186      16002 SH  -    OTHER   02               6371      9571       60
D RADIOSHACK CORP                COMMON     750438103        1         65 SH  -    OTHER   02                 10        46        9
D RADIOSHACK CORP                COMMON     750438103      433      37293 SH  -    DEFINED 04              37293         0        0
D RADIOSHACK CORP                COMMON     750438103    12914    1111337 SH  -    DEFINED 05            1111337         0        0
D RADIOSHACK CORP                COMMON     750438103        5        400 SH  -    OTHER   10                  0         0      400
D RADIOSHACK CORP                OPTION     750438905     2481     213500 SH  C    DEFINED 05             213500         0        0
D RADIOSHACK CORP                OPTION     750438954      320      27500 SH  P    DEFINED 05              27500         0        0
D RADISYS CORP                   COMMON     750459109        3        539 SH  -    OTHER   02                  0       539        0
D RADISYS CORP                   COMMON     750459109     1159     189408 SH  -    DEFINED 04             164213         0    25195
D RADISYS CORP                   COMMON     750459109      104      16970 SH  -    DEFINED 04              16970         0        0
D RADISYS CORP                   COMMON     750459109       65      10684 SH  -    DEFINED 05              10684         0        0
D RAILAMERICA INC                COMMON     750753402       13        978 SH  -    OTHER   02                304       674        0
D RAILAMERICA INC                COMMON     750753402     1312     100675 SH  -    DEFINED 04              91675         0     9000
D RAILAMERICA INC                COMMON     750753402       53       4062 SH  -    DEFINED 05               4062         0        0
D RAILAMERICA INC                COMMON     750753402       15       1188 SH  -    DEFINED 08               1188         0        0
D RAMBUS INC DEL                 BOND       750917AC0     1156    1050000 PRN -    DEFINED 05                  0         0        0
D RAMBUS INC                     COMMON     750917106       15       1047 SH  -    OTHER   02                 78       969        0
D RAMBUS INC                     COMMON     750917106        2        169 SH  -    OTHER   02                  0         0      169

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 669
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RAMBUS INC                     COMMON     750917106      145      10381 SH  -    DEFINED 05              10381         0        0
D RAMBUS INC                     COMMON     750917106      168      12015 SH  -    DEFINED 08              12015         0        0
D RAMBUS INC                     COMMON     750917106        8        600 SH  -    OTHER   10                  0         0      600
D RALCORP HLDGS INC NEW          COMMON     751028101       23        300 SH  -    DEFINED 02                300         0        0
D RALCORP HLDGS INC NEW          COMMON     751028101      277       3616 SH  -    OTHER   02                  0      3616        0
D RALCORP HLDGS INC NEW          COMMON     751028101      214       2784 SH  -    OTHER   02                  0      2784        0
D RALCORP HLDGS INC NEW          COMMON     751028101    93197    1214926 SH  -    DEFINED 04            1093926         0   121000
D RALCORP HLDGS INC NEW          COMMON     751028101     1514      19737 SH  -    DEFINED 04              19737         0        0
D RALCORP HLDGS INC NEW          COMMON     751028101     2006      26150 SH  -    DEFINED 04              26150         0        0
D RALCORP HLDGS INC NEW          COMMON     751028101     1021      13313 SH  -    OTHER   04                  0     13313        0
D RALCORP HLDGS INC NEW          COMMON     751028101     5118      66721 SH  -    OTHER   04                  0     66721        0
D RALCORP HLDGS INC NEW          COMMON     751028101      101       1321 SH  -    DEFINED 05               1321         0        0
D RALCORP HLDGS INC NEW          COMMON     751028101     1026      13373 SH  -    DEFINED 08              13373         0        0
D RALCORP HLDGS INC NEW          COMMON     751028101        3         34 SH  -    OTHER   10                  0         0       34
D RALPH LAUREN CORP              COMMON     751212101      401       3094 SH  -    DEFINED 02                 24       170     2900
D RALPH LAUREN CORP              COMMON     751212101        7         52 SH  -    DEFINED 02                 52         0        0
D RALPH LAUREN CORP              COMMON     751212101      101        778 SH  -    DEFINED 02                746         0       32
D RALPH LAUREN CORP              COMMON     751212101      782       6032 SH  -    OTHER   02                 48      5951        0
D RALPH LAUREN CORP              COMMON     751212101      124        955 SH  -    OTHER   02                  0         5      950
D RALPH LAUREN CORP              COMMON     751212101    46145     355781 SH  -    DEFINED 04             173726         0   182055
D RALPH LAUREN CORP              COMMON     751212101     7191      55440 SH  -    DEFINED 04              55440         0        0
D RALPH LAUREN CORP              COMMON     751212101       36        278 SH  -    OTHER   04                  0       278        0
D RALPH LAUREN CORP              COMMON     751212101     1786      13769 SH  -    DEFINED 05              13769         0        0
D RALPH LAUREN CORP              COMMON     751212101      649       5006 SH  -    DEFINED 09               5006         0        0
D RALPH LAUREN CORP              COMMON     751212101        6         44 SH  -    OTHER   01                  0        44        0
D RALPH LAUREN CORP              COMMON     751212101       13        103 SH  -    OTHER   10                  0         0      103

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 670
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RAMCO-GERSHENSON PPTYS TR      COMMON     751452202     1752     213600 SH  -    DEFINED 04             205800         0     7800
D RAMCO-GERSHENSON PPTYS TR      COMMON     751452202      866     105600 SH  -    DEFINED 04             105600         0        0
D RAMCO-GERSHENSON PPTYS TR      COMMON     751452202       21       2615 SH  -    DEFINED 05               2615         0        0
D RAMCO-GERSHENSON PPTYS TR      COMMON     751452202        2        240 SH  -    DEFINED 06                240         0        0
D RANDGOLD RESOURCES             ADR        752344309       15        156 SH  -    OTHER   02                  0       156        0
D RANDGOLD RESOURCES             ADR        752344309      571       5900 SH  -    DEFINED 04               5900         0        0
D RANDGOLD RESOURCES             ADR        752344309       29        295 SH  -    DEFINED 05                295         0        0
D RANDGOLD RESOURCES             ADR        752344309     1686      17434 SH  -    DEFINED 06              17434         0        0
D RANDGOLD RESOURCES             ADR        752344309    87000     899500 SH  -    DEFINED 09             899500         0        0
D RANDGOLD RESOURCES             ADR        752344309     1548      16000 SH  -    DEFINED 09              16000         0        0
D RANDGOLD RESOURCES             ADR        752344309        3         32 SH  -    OTHER   01                  0        26        0
D RANDGOLD RESOURCES             OPTION     752344903     4536      46900 SH  C    DEFINED 05              46900         0        0
D RANGE RES CORP                 COMMON     75281A109        2         31 SH  -    DEFINED 02                 31         0        0
D RANGE RES CORP                 COMMON     75281A109      133       2280 SH  -    DEFINED 02               2280         0        0
D RANGE RES CORP                 COMMON     75281A109      116       1982 SH  -    DEFINED 02               1856         0      126
D RANGE RES CORP                 COMMON     75281A109     8243     141001 SH  -    OTHER   02              16319    116658     7980
D RANGE RES CORP                 COMMON     75281A109      546       9335 SH  -    OTHER   02                437      2593     6305
D RANGE RES CORP                 COMMON     75281A109    19029     325497 SH  -    DEFINED 04             165464         0   160033
D RANGE RES CORP                 COMMON     75281A109     1514      25905 SH  -    DEFINED 04              25905         0        0
D RANGE RES CORP                 COMMON     75281A109      223       3812 SH  -    DEFINED 05               3812         0        0
D RANGE RES CORP                 COMMON     75281A109      111       1903 SH  -    DEFINED 06               1903         0        0
D RANGE RES CORP                 COMMON     75281A109      247       4219 SH  -    OTHER   01                  0      3794        0
D RANGE RES CORP                 COMMON     75281A109       22        381 SH  -    OTHER   10                  0         0      381
D RANGE RES CORP                 OPTION     75281A901      590      10100 SH  C    DEFINED 05              10100         0        0
D RARE ELEMENT RES LTD           COMMON     75381M102     5080    1000000 SH  -    DEFINED 05            1000000         0        0
D RAPTOR PHARMACEUTICAL CORP     COMMON     75382F106     1982     439400 SH  -    DEFINED 04             334400         0   105000

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 671
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RAPTOR PHARMACEUTICAL CORP     COMMON     75382F106     1213     269048 SH  -    DEFINED 05             269048         0        0
D RAPTOR PHARMACEUTICAL CORP     COMMON     75382F106        9       2034 SH  -    DEFINED 08               2034         0        0
D RAPTOR PHARMACEUTICAL CORP     COMMON     75382F106      333      73900 SH  -    DEFINED 09              73900         0        0
D RAYMOND JAMES FINANCIAL INC    COMMON     754730109      114       4400 SH  -    DEFINED 02                  0         0     4400
D RAYMOND JAMES FINANCIAL INC    COMMON     754730109        8        317 SH  -    DEFINED 02                317         0        0
D RAYMOND JAMES FINANCIAL INC    COMMON     754730109      951      36628 SH  -    OTHER   02               2007     30921     3700
D RAYMOND JAMES FINANCIAL INC    COMMON     754730109       26       1000 SH  -    OTHER   02               1000         0        0
D RAYMOND JAMES FINANCIAL INC    COMMON     754730109     2036      78425 SH  -    DEFINED 04              58825         0    19600
D RAYMOND JAMES FINANCIAL INC    COMMON     754730109     4170     160635 SH  -    DEFINED 04             160635         0        0
D RAYMOND JAMES FINANCIAL INC    COMMON     754730109        0          9 SH  -    OTHER   04                  0         9        0
D RAYMOND JAMES FINANCIAL INC    COMMON     754730109       42       1626 SH  -    DEFINED 05               1626         0        0
D RAYMOND JAMES FINANCIAL INC    COMMON     754730109      299      11529 SH  -    DEFINED 08              11529         0        0
D RAYMOND JAMES FINANCIAL INC    COMMON     754730109      111       4270 SH  -    OTHER   01                  0      4270        0
D RAYONIER INC                   COMMON     754907103       46       1258 SH  -    DEFINED 04               1258         0        0
D RAYONIER INC                   COMMON     754907103     2086      56699 SH  -    DEFINED 04              56699         0        0
D RAYONIER INC                   COMMON     754907103     2475      67286 SH  -    DEFINED 05              67286         0        0
D RAYONIER INC                   COMMON     754907103      106       2881 SH  -    DEFINED 06               2881         0        0
D RAYONIER INC                   COMMON     754907103    20712     562971 SH  -    DEFINED 08             562971         0        0
D RAYONIER INC                   COMMON     754907103       23        612 SH  -    OTHER   10                  0         0      612
D RAYONIER TRS HLDGS INC         BOND       75508AAB2     2048    1829000 PRN -    DEFINED 05                  0         0        0
D RAYONIER TRS HLDGS INC         BOND       75508AAB2       16      14000 PRN -    DEFINED 09                  0         0        0
D RAYONIER TRS HLDGS INC         BOND       75508AAB2      138     123000 PRN -    DEFINED 09                  0         0        0
D RAYTHEON CO                    COMMON     755111507    55457    1356924 SH  -    DEFINED 02            1330428         0    26496
D RAYTHEON CO                    COMMON     755111507    13599     332727 SH  -    DEFINED 02             332126         0      601
D RAYTHEON CO                    COMMON     755111507      167       4075 SH  -    DEFINED 02               4075         0        0
D RAYTHEON CO                    COMMON     755111507     5464     133692 SH  -    OTHER   02              40235     66325    27040

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 672
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RAYTHEON CO                    COMMON     755111507      831      20324 SH  -    OTHER   02              17272       336     2716
D RAYTHEON CO                    COMMON     755111507     8206     200772 SH  -    OTHER   02                  0    200772        0
D RAYTHEON CO                    COMMON     755111507     3630      88816 SH  -    OTHER   02                  0     88816        0
D RAYTHEON CO                    COMMON     755111507     3389      82924 SH  -    OTHER   02                  0     82924        0
D RAYTHEON CO                    COMMON     755111507    16713     408934 SH  -    DEFINED 04             244210         0   164724
D RAYTHEON CO                    COMMON     755111507     3941      96435 SH  -    DEFINED 04              96435         0        0
D RAYTHEON CO                    COMMON     755111507       49       1200 SH  -    DEFINED 04               1200         0        0
D RAYTHEON CO                    COMMON     755111507       74       1800 SH  -    DEFINED 04               1800         0        0
D RAYTHEON CO                    COMMON     755111507       33        796 SH  -    DEFINED 04                  0         0      796
D RAYTHEON CO                    COMMON     755111507     5365     131282 SH  -    DEFINED 05             131282         0        0
D RAYTHEON CO                    COMMON     755111507       93       2275 SH  -    DEFINED 08               2275         0        0
D RAYTHEON CO                    COMMON     755111507      388       9500 SH  -    DEFINED 09               9500         0        0
D RAYTHEON CO                    COMMON     755111507      260       6368 SH  -    DEFINED 01               6368         0        0
D RAYTHEON CO                    COMMON     755111507      521      12749 SH  -    OTHER   10                  0         0    12749
D RAYTHEON CO                    OPTION     755111903      204       5000 SH  C    DEFINED 05               5000         0        0
D RBC BEARINGS INC               COMMON     75524B104        2         71 SH  -    OTHER   02                 33        18        0
D RBC BEARINGS INC               COMMON     75524B104    41214    1212543 SH  -    DEFINED 04            1130282         0    82261
D RBC BEARINGS INC               COMMON     75524B104      105       3079 SH  -    DEFINED 05               3079         0        0
D RBC BEARINGS INC               COMMON     75524B104       45       1323 SH  -    DEFINED 08               1323         0        0
D REACHLOCAL INC                 COMMON     75525F104     4595     422680 SH  -    DEFINED 04             304010         0   118670
D REACHLOCAL INC                 COMMON     75525F104      723      66500 SH  -    DEFINED 04              66500         0        0
D REACHLOCAL INC                 COMMON     75525F104       45       4124 SH  -    DEFINED 05               4124         0        0
D REACHLOCAL INC                 COMMON     75525F104        7        605 SH  -    DEFINED 08                605         0        0
D REACHLOCAL INC                 COMMON     75525F104        8        700 SH  -    OTHER   10                  0         0      700
D REALD INC                      COMMON     75604L105        1         72 SH  -    OTHER   02                  0        72        0
D REALD INC                      COMMON     75604L105        3        368 SH  -    OTHER   02                  0         0      368

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 673
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D REALD INC                      COMMON     75604L105     4443     475200 SH  -    DEFINED 04             341330         0   133870
D REALD INC                      COMMON     75604L105     2438     260700 SH  -    DEFINED 04             260700         0        0
D REALD INC                      COMMON     75604L105      701      74980 SH  -    DEFINED 04              74980         0        0
D REALD INC                      COMMON     75604L105     1269     135681 SH  -    DEFINED 05             135681         0        0
D REALD INC                      COMMON     75604L105       22       2362 SH  -    DEFINED 08               2362         0        0
D REALD INC                      COMMON     75604L105      103      11046 SH  -    OTHER   10                  0         0    11046
D REALPAGE INC                   COMMON     75606N109        1         45 SH  -    OTHER   02                  0        45        0
D REALPAGE INC                   COMMON     75606N109    17815     871155 SH  -    DEFINED 04             740504         0   130651
D REALPAGE INC                   COMMON     75606N109     5125     250600 SH  -    DEFINED 04             250600         0        0
D REALPAGE INC                   COMMON     75606N109     1410      68960 SH  -    DEFINED 04              68960         0        0
D REALPAGE INC                   COMMON     75606N109       32       1575 SH  -    DEFINED 05               1575         0        0
D REALPAGE INC                   COMMON     75606N109       38       1866 SH  -    DEFINED 08               1866         0        0
D REALPAGE INC                   COMMON     75606N109       70       3403 SH  -    OTHER   09                  0      3403        0
D REALPAGE INC                   COMMON     75606N109        1         59 SH  -    OTHER   01                  0        59        0
D REALTY INCOME COR              COMMON     756109104     9514     295099 SH  -    DEFINED 04             201999         0    93100
D REALTY INCOME COR              COMMON     756109104     2935      91046 SH  -    DEFINED 04              91046         0        0
D REALTY INCOME COR              COMMON     756109104       74       2300 SH  -    DEFINED 04               2300         0        0
D REALTY INCOME COR              COMMON     756109104     1809      56100 SH  -    DEFINED 04              56100         0        0
D REALTY INCOME COR              COMMON     756109104       49       1529 SH  -    DEFINED 04                  0         0     1529
D REALTY INCOME COR              COMMON     756109104     5330     165325 SH  -    DEFINED 05             165325         0        0
D REALTY INCOME COR              COMMON     756109104       14        438 SH  -    DEFINED 08                438         0        0
D REALTY INCOME COR              COMMON     756109104       52       1600 SH  -    DEFINED 09               1600         0        0
D REALTY INCOME COR              COMMON     756109104      219       6800 SH  -    OTHER   09                  0      6800        0
D REALTY INCOME COR              COMMON     756109104       32       1000 SH  -    OTHER   10                  0         0     1000
D RED HAT                        COMMON     756577102      136       3220 SH  -    DEFINED 02               3220         0        0
D RED HAT                        COMMON     756577102       98       2320 SH  -    DEFINED 02               2224         0       96

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 674
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RED HAT                        COMMON     756577102      131       3099 SH  -    OTHER   02                  0      2625      474
D RED HAT                        COMMON     756577102        1         35 SH  -    OTHER   02                  6        29        0
D RED HAT                        COMMON     756577102    47963    1134950 SH  -    DEFINED 04             568177         0   566773
D RED HAT                        COMMON     756577102    32614     771746 SH  -    DEFINED 04             771746         0        0
D RED HAT                        COMMON     756577102     3527      83450 SH  -    DEFINED 04              83450         0        0
D RED HAT                        COMMON     756577102       25        600 SH  -    DEFINED 04                600         0        0
D RED HAT                        COMMON     756577102       20        478 SH  -    OTHER   04                  0       478        0
D RED HAT                        COMMON     756577102      172       4060 SH  -    DEFINED 05               4060         0        0
D RED HAT                        COMMON     756577102      139       3300 SH  -    DEFINED 09               3300         0        0
D RED HAT                        COMMON     756577102      100       2373 SH  -    OTHER   09                  0      2373        0
D RED ROBIN GOURMET BURGERS INC  COMMON     75689M101        2        102 SH  -    DEFINED 02                  0       102        0
D RED ROBIN GOURMET BURGERS INC  COMMON     75689M101      147       6108 SH  -    OTHER   02                  0      6108        0
D RED ROBIN GOURMET BURGERS INC  COMMON     75689M101        5        215 SH  -    OTHER   02                  0         0      215
D RED ROBIN GOURMET BURGERS INC  COMMON     75689M101      974      40450 SH  -    DEFINED 04              36150         0     4300
D RED ROBIN GOURMET BURGERS INC  COMMON     75689M101      260      10807 SH  -    DEFINED 04              10807         0        0
D RED ROBIN GOURMET BURGERS INC  COMMON     75689M101      144       5981 SH  -    DEFINED 05               5981         0        0
D RED ROBIN GOURMET BURGERS INC  COMMON     75689M101        3        114 SH  -    OTHER   10                  0         0      114
D REDWOOD TR INC                 COMMON     758075402      136      12200 SH  -    DEFINED 04              12200         0        0
D REDWOOD TR INC                 COMMON     758075402      925      82817 SH  -    DEFINED 05              82817         0        0
D REDWOOD TR INC                 COMMON     758075402       50       4478 SH  -    DEFINED 08               4478         0        0
D REDWOOD TR INC                 COMMON     758075402       34       3002 SH  -    OTHER   10                  0         0     3002
D REED ELSEVIER N V              ADR        758204200        2         73 SH  -    DEFINED 02                  0        73        0
D REED ELSEVIER N V              ADR        758204200       15        668 SH  -    DEFINED 02                668         0        0
D REED ELSEVIER N V              ADR        758204200      270      12388 SH  -    OTHER   02                  0     12388        0
D REED ELSEVIER N V              ADR        758204200        2         80 SH  -    OTHER   02                 80         0        0
D REED ELSEVIER N V              ADR        758204200     1243      56985 SH  -    DEFINED 04              56985         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 675
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D REED ELSEVIER N V              ADR        758204200     3429     157145 SH  -    OTHER   04                  0    157145        0
D REED ELSEVIER N V              ADR        758204200      937      42939 SH  -    OTHER   04                  0     42939        0
D REED ELSEVIER N V              ADR        758204200     2728     125000 SH  -    DEFINED 06             125000         0        0
D REED ELSEVIER N V              ADR        758204200       53       2413 SH  -    OTHER   01                  0      2321        0
D REED ELSEVIER N V              ADR        758204200      102       4665 SH  -    OTHER   10                  0         0     4665
D REED ELSEVIER P L C            ADR        758205207       16        519 SH  -    OTHER   02                  0       519        0
D REED ELSEVIER P L C            ADR        758205207    10322     339312 SH  -    DEFINED 06             339312         0        0
D REED ELSEVIER P L C            ADR        758205207        4        116 SH  -    OTHER   01                  0        88        0
D REGAL-BELOIT CORP              COMMON     758750103       20        450 SH  -    DEFINED 02                450         0        0
D REGAL-BELOIT CORP              COMMON     758750103       46       1007 SH  -    OTHER   02                  0       674      280
D REGAL-BELOIT CORP              COMMON     758750103       16        356 SH  -    OTHER   02                  0         0      356
D REGAL-BELOIT CORP              COMMON     758750103    94838    2089861 SH  -    DEFINED 04            1975405         0   114456
D REGAL-BELOIT CORP              COMMON     758750103      418       9209 SH  -    DEFINED 04               9209         0        0
D REGAL-BELOIT CORP              COMMON     758750103     1611      35500 SH  -    DEFINED 04              35500         0        0
D REGAL-BELOIT CORP              COMMON     758750103      932      20545 SH  -    OTHER   04                  0     20545        0
D REGAL-BELOIT CORP              COMMON     758750103     4540     100037 SH  -    OTHER   04                  0    100037        0
D REGAL-BELOIT CORP              COMMON     758750103       70       1543 SH  -    DEFINED 05               1543         0        0
D REGAL-BELOIT CORP              COMMON     758750103       39        866 SH  -    DEFINED 08                866         0        0
D REGAL-BELOIT CORP              COMMON     758750103        2         49 SH  -    OTHER   10                  0         0       49
D REGAL ENTMT GROUP              COMMON     758766109      162      13837 SH  -    DEFINED 02              13837         0        0
D REGAL ENTMT GROUP              COMMON     758766109      576      49102 SH  -    DEFINED 02              48042         0     1060
D REGAL ENTMT GROUP              COMMON     758766109      582      49584 SH  -    OTHER   02               4855     44379      350
D REGAL ENTMT GROUP              COMMON     758766109       60       5152 SH  -    OTHER   02               4407       120      625
D REGAL ENTMT GROUP              COMMON     758766109    13712    1167940 SH  -    DEFINED 04             893010         0   274930
D REGAL ENTMT GROUP              COMMON     758766109     6813     580300 SH  -    DEFINED 04             580300         0        0
D REGAL ENTMT GROUP              COMMON     758766109     1169      99540 SH  -    DEFINED 04              99540         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 676
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D REGAL ENTMT GROUP              COMMON     758766109       19       1605 SH  -    DEFINED 05               1605         0        0
D REGAL ENTMT GROUP              COMMON     758766109      183      15615 SH  -    DEFINED 01              15500         0      115
D REGAL ENTMT GROUP              COMMON     758766109       11        922 SH  -    OTHER   01                  0       632      290
D REGAL ENTMT GROUP              COMMON     758766109      568      48403 SH  -    OTHER   10                  0         0    48403
D REGENCY CTRS CORP              COMMON     758849103      929      26300 SH  -    DEFINED 02              26300         0        0
D REGENCY CTRS CORP              COMMON     758849103   116415    3295067 SH  -    DEFINED 04            2914519         0   380548
D REGENCY CTRS CORP              COMMON     758849103     5275     149313 SH  -    DEFINED 04             149313         0        0
D REGENCY CTRS CORP              COMMON     758849103       59       1680 SH  -    DEFINED 04               1680         0        0
D REGENCY CTRS CORP              COMMON     758849103      325       9200 SH  -    DEFINED 04               9200         0        0
D REGENCY CTRS CORP              COMMON     758849103       49       1400 SH  -    DEFINED 04               1400         0        0
D REGENCY CTRS CORP              COMMON     758849103     7020     198685 SH  -    DEFINED 04             185185         0        0
D REGENCY CTRS CORP              COMMON     758849103       39       1114 SH  -    DEFINED 04                  0         0     1114
D REGENCY CTRS CORP              COMMON     758849103      841      23790 SH  -    OTHER   04                  0     23790        0
D REGENCY CTRS CORP              COMMON     758849103     4322     122335 SH  -    OTHER   04                  0    122335        0
D REGENCY CTRS CORP              COMMON     758849103       81       2298 SH  -    DEFINED 05               2298         0        0
D REGENCY CTRS CORP              COMMON     758849103       45       1285 SH  -    DEFINED 06               1285         0        0
D REGENCY CTRS CORP              COMMON     758849103      939      26589 SH  -    DEFINED 08              26589         0        0
D REGENCY CTRS CORP              COMMON     758849103      468      13242 SH  -    DEFINED 09              13242         0        0
D REGENCY CTRS CORP              COMMON     758849103      403      11400 SH  -    OTHER   09                  0     11400        0
D REGENCY CTRS CORP              COMMON     758849103        1         25 SH  -    OTHER   10                  0         0       25
D REGENCY ENERGY PARTNERS L P    COMMON     75885Y107      116       5200 SH  -    DEFINED 02               5200         0        0
D REGENCY ENERGY PARTNERS L P    COMMON     75885Y107     2329     103970 SH  -    OTHER   02               2625    101345        0
D REGENCY ENERGY PARTNERS L P    COMMON     75885Y107      415      18525 SH  -    OTHER   02                  0     18525        0
D REGENCY ENERGY PARTNERS L P    COMMON     75885Y107      712      31775 SH  -    OTHER   01              12000     19775        0
D REGENCY ENERGY PARTNERS L P    COMMON     75885Y107    45060    2011585 SH  -    DEFINED 10            2011585         0        0
D REGENCY ENERGY PARTNERS L P    COMMON     75885Y107     1405      62723 SH  -    OTHER   10                  0         0    62723

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 677
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D REGENERON PHARMACE             COMMON     75886F107       35        600 SH  -    DEFINED 02                600         0        0
D REGENERON PHARMACE             COMMON     75886F107      180       3093 SH  -    OTHER   02               1900       512      681
D REGENERON PHARMACE             COMMON     75886F107      953      16372 SH  -    DEFINED 04              16372         0        0
D REGENERON PHARMACE             COMMON     75886F107     2408      41366 SH  -    DEFINED 04              41366         0        0
D REGENERON PHARMACE             COMMON     75886F107     3828      65766 SH  -    DEFINED 05              65766         0        0
D REGIS CORP                     COMMON     758932107        7        475 SH  -    OTHER   02                  0         0      475
D REGIS CORP                     COMMON     758932107       65       4600 SH  -    DEFINED 04               4600         0        0
D REGIS CORP                     COMMON     758932107      596      42323 SH  -    DEFINED 04              42323         0        0
D REGIS CORP                     COMMON     758932107       12        874 SH  -    DEFINED 05                874         0        0
D REGIS CORP                     COMMON     758932107      152      10782 SH  -    DEFINED 08              10782         0        0
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100        5       1515 SH  -    DEFINED 02               1515         0        0
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100       50      15131 SH  -    DEFINED 02              14506         0      625
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100      205      61532 SH  -    OTHER   02              25111     31745     4410
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100       13       4027 SH  -    OTHER   02                184       750     3093
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100     6399    1921637 SH  -    DEFINED 04            1266698         0   654939
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100      706     211946 SH  -    DEFINED 04             211946         0        0
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100       10       3150 SH  -    DEFINED 04               3150         0        0
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100        0         27 SH  -    OTHER   04                  0        27        0
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100    14679    4408210 SH  -    DEFINED 05            4408210         0        0
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100        8       2406 SH  -    DEFINED 06               2406         0        0
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100      658     197584 SH  -    DEFINED 08             197584         0        0
D REGIONS FINANCIAL CORP NEW     COMMON     7591EP100       56      16793 SH  -    DEFINED 09              16793         0        0
D REINSURANCE GROUP AMER INC     COMMON     759351604        8        170 SH  -    DEFINED 02                170         0        0
D REINSURANCE GROUP AMER INC     COMMON     759351604      278       6049 SH  -    OTHER   02                  0      3449     2600
D REINSURANCE GROUP AMER INC     COMMON     759351604      151       3295 SH  -    OTHER   02                  0         0     3295
D REINSURANCE GROUP AMER INC     COMMON     759351604     4563      99300 SH  -    DEFINED 04              93900         0     5400

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 678
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D REINSURANCE GROUP AMER INC     COMMON     759351604     5751     125153 SH  -    DEFINED 04             125153         0        0
D REINSURANCE GROUP AMER INC     COMMON     759351604      119       2594 SH  -    OTHER   04                  0      2594        0
D REINSURANCE GROUP AMER INC     COMMON     759351604      152       3318 SH  -    DEFINED 05               3318         0        0
D REINSURANCE GROUP AMER INC     COMMON     759351604      621      13521 SH  -    DEFINED 08              13521         0        0
D REINSURANCE GROUP AMER INC     COMMON     759351604       91       1985 SH  -    OTHER   10                  0         0     1985
D RELIANCE STEEL & ALUMINUM CO   COMMON     759509102        1         30 SH  -    DEFINED 02                 30         0        0
D RELIANCE STEEL & ALUMINUM CO   COMMON     759509102       20        579 SH  -    OTHER   02                 31       548        0
D RELIANCE STEEL & ALUMINUM CO   COMMON     759509102     3367      99013 SH  -    DEFINED 04              98938         0       75
D RELIANCE STEEL & ALUMINUM CO   COMMON     759509102     2231      65594 SH  -    DEFINED 04              65594         0        0
D RELIANCE STEEL & ALUMINUM CO   COMMON     759509102       38       1131 SH  -    DEFINED 05               1131         0        0
D RELIANCE STEEL & ALUMINUM CO   COMMON     759509102      121       3555 SH  -    DEFINED 08               3555         0        0
D RENAISSANCE LEARNI             COMMON     75968L105        3        156 SH  -    OTHER   02                  0       156        0
D RENAISSANCE LEARNI             COMMON     75968L105      104       6200 SH  -    DEFINED 04               6200         0        0
D RENAISSANCE LEARNI             COMMON     75968L105       10        569 SH  -    DEFINED 05                569         0        0
D RENAISSANCE LEARNI             COMMON     75968L105       13        780 SH  -    DEFINED 08                780         0        0
D RENAISSANCE LEARNI             COMMON     75968L105     1552      92503 SH  -    DEFINED 09              92503         0        0
D RENASANT CORP                  COMMON     75970E107       25       1986 SH  -    OTHER   02                  0         0     1986
D RENASANT CORP                  COMMON     75970E107       76       5964 SH  -    OTHER   02                  0       255     5709
D RENASANT CORP                  COMMON     75970E107      973      76430 SH  -    DEFINED 04              74630         0     1800
D RENASANT CORP                  COMMON     75970E107        5        380 SH  -    DEFINED 05                380         0        0
D RENASANT CORP                  COMMON     75970E107       19       1478 SH  -    DEFINED 08               1478         0        0
D RENT A CENTER INC              COMMON     76009N100      130       4720 SH  -    OTHER   02                  0      1610     3110
D RENT A CENTER INC              COMMON     76009N100     9690     353020 SH  -    DEFINED 04             315620         0    37400
D RENT A CENTER INC              COMMON     76009N100     2484      90500 SH  -    DEFINED 04              90500         0        0
D RENT A CENTER INC              COMMON     76009N100      158       5754 SH  -    DEFINED 05               5754         0        0
D RENT A CENTER INC              COMMON     76009N100      277      10074 SH  -    DEFINED 08              10074         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 679
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RENTECH INC                    COMMON     760112102       25      32223 SH  -    OTHER   02              32223         0        0
D RENTECH INC                    COMMON     760112102       35      45130 SH  -    DEFINED 05              45130         0        0
D RENTECH INC                    COMMON     760112102        9      11880 SH  -    DEFINED 08              11880         0        0
D REPUBLIC AWYS HLDGS INC        COMMON     760276105     1405     499850 SH  -    DEFINED 04             499850         0        0
D REPUBLIC AWYS HLDGS INC        COMMON     760276105      623     221700 SH  -    DEFINED 04             221700         0        0
D REPUBLIC AWYS HLDGS INC        COMMON     760276105       29      10228 SH  -    DEFINED 05              10228         0        0
D REPUBLIC AWYS HLDGS INC        COMMON     760276105        8       2744 SH  -    DEFINED 08               2744         0        0
D REPUBLIC BANCORP KY            COMMON     760281204        2        123 SH  -    OTHER   02                  0        85        0
D REPUBLIC BANCORP KY            COMMON     760281204      936      52851 SH  -    DEFINED 04              48294         0     4557
D REPUBLIC BANCORP KY            COMMON     760281204       53       3010 SH  -    DEFINED 05               3010         0        0
D REPUBLIC BANCORP KY            COMMON     760281204       11        602 SH  -    DEFINED 08                602         0        0
D REPUBLIC SVCS INC              COMMON     760759100      311      11091 SH  -    DEFINED 02              11091         0        0
D REPUBLIC SVCS INC              COMMON     760759100      742      26450 SH  -    DEFINED 02              26300         0      150
D REPUBLIC SVCS INC              COMMON     760759100      110       3912 SH  -    DEFINED 02               3689         0      223
D REPUBLIC SVCS INC              COMMON     760759100     6879     245143 SH  -    OTHER   02               2900    152087    90131
D REPUBLIC SVCS INC              COMMON     760759100      298      10614 SH  -    OTHER   02               2758       119     7737
D REPUBLIC SVCS INC              COMMON     760759100   214719    7652126 SH  -    DEFINED 04            7310868         0   341258
D REPUBLIC SVCS INC              COMMON     760759100     4245     151290 SH  -    DEFINED 04             151290         0        0
D REPUBLIC SVCS INC              COMMON     760759100       34       1218 SH  -    DEFINED 04               1218         0        0
D REPUBLIC SVCS INC              COMMON     760759100     4225     150580 SH  -    DEFINED 04             150580         0        0
D REPUBLIC SVCS INC              COMMON     760759100     2313      82419 SH  -    OTHER   04                  0     82419        0
D REPUBLIC SVCS INC              COMMON     760759100    11787     420049 SH  -    OTHER   04                  0    420049        0
D REPUBLIC SVCS INC              COMMON     760759100     3619     128976 SH  -    DEFINED 05             128976         0        0
D REPUBLIC SVCS INC              COMMON     760759100      139       4970 SH  -    DEFINED 01               4900         0       70
D REPUBLIC SVCS INC              COMMON     760759100       45       1589 SH  -    OTHER   01                  0      1414      175
D REPUBLIC SVCS INC              COMMON     760759100     1300      46320 SH  -    OTHER   10                  0         0    46320

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 680
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RESEARCH IN MOTION             COMMON     760975102       16        800 SH  -    OTHER   02                800         0        0
D RESEARCH IN MOTION             COMMON     760975102     1054      51905 SH  -    DEFINED 04              51905         0        0
D RESEARCH IN MOTION             COMMON     760975102      367      18093 SH  -    DEFINED 04              18093         0        0
D RESEARCH IN MOTION             COMMON     760975102      331      16290 SH  -    DEFINED 04              16290         0        0
D RESEARCH IN MOTION             COMMON     760975102     2491     122722 SH  -    DEFINED 05             122722         0        0
D RESEARCH IN MOTION             COMMON     760975102      265      13030 SH  -    DEFINED 06              13030         0        0
D RESEARCH IN MOTION             COMMON     760975102    52161    2569483 SH  -    DEFINED 08            2569483         0        0
D RESEARCH IN MOTION             COMMON     760975102      150       7386 SH  -    OTHER   10                  0         0     7386
D RESMED INC                     COMMON     761152107     1294      44932 SH  -    OTHER   02                 65     44867        0
D RESMED INC                     COMMON     761152107       73       2534 SH  -    OTHER   02                  0         0     2534
D RESMED INC                     COMMON     761152107     1581      54932 SH  -    DEFINED 04              54932         0        0
D RESMED INC                     COMMON     761152107       88       3060 SH  -    DEFINED 05               3060         0        0
D RESMED INC                     COMMON     761152107      139       4824 SH  -    OTHER   01                  0      4824        0
D RESOLUTE ENERGY CORP           COMMON     76116A108      143      12580 SH  -    OTHER   02                  0     12580        0
D RESOLUTE ENERGY CORP           COMMON     76116A108    19040    1676065 SH  -    DEFINED 04            1563225         0   112840
D RESOLUTE ENERGY CORP           COMMON     76116A108       72       6330 SH  -    DEFINED 05               6330         0        0
D RESOLUTE ENERGY CORP           COMMON     76116A108       35       3116 SH  -    DEFINED 08               3116         0        0
D RESOLUTE ENERGY CORP           COMMON     76116A108      118      10420 SH  -    OTHER   01                  0     10420        0
D RESOURCE CAP CORP              COMMON     76120W302        2        359 SH  -    OTHER   02                  0       359        0
D RESOURCE CAP CORP              COMMON     76120W302       62      12490 SH  -    DEFINED 05              12490         0        0
D RESOURCE CAP CORP              COMMON     76120W302       28       5675 SH  -    DEFINED 08               5675         0        0
D RESOURCE CAP CORP              COMMON     76120W302      139      27850 SH  -    OTHER   10                  0         0    27850
D RESOURCES CONNECTION INC       COMMON     76122Q105      332      33969 SH  -    DEFINED 05              33969         0        0
D RESPONSYS INC                  COMMON     761248103      431      39995 SH  -    DEFINED 04              35595         0     4400
D RESPONSYS INC                  COMMON     761248103      217      20100 SH  -    DEFINED 04              20100         0        0
D RESPONSYS INC                  COMMON     761248103       36       3309 SH  -    DEFINED 05               3309         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 681
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RESPONSYS INC                  COMMON     761248103        6        566 SH  -    DEFINED 08                566         0        0
D RETAIL HOLDRS TR               COMMON     76127U101    20560     200800 SH  -    DEFINED 05             200800         0        0
D RETAIL OPPORTUNITY INVTS CORP  COMMON     76131N101       46       4189 SH  -    DEFINED 05               4189         0        0
D RETAIL OPPORTUNITY INVTS CORP  COMMON     76131N101      111      10000 SH  -    OTHER   10                  0         0    10000
D REVETT MINERALS INC            COMMON     761505205      770     199400 SH  -    DEFINED 04             174200         0    25200
D REVETT MINERALS INC            COMMON     761505205       33       8677 SH  -    DEFINED 05               8677         0        0
D REVETT MINERALS INC            COMMON     761505205        6       1482 SH  -    DEFINED 08               1482         0        0
D REVLON INC                     COMMON     761525609        6        465 SH  -    OTHER   02                  0       465        0
D REVLON INC                     COMMON     761525609     1274     103400 SH  -    DEFINED 04              88700         0    14700
D REVLON INC                     COMMON     761525609       41       3318 SH  -    DEFINED 05               3318         0        0
D REVLON INC                     COMMON     761525609        8        638 SH  -    DEFINED 08                638         0        0
D REYNOLDS AMERICAN INC          COMMON     761713106       15        400 SH  -    DEFINED 02                400         0        0
D REYNOLDS AMERICAN INC          COMMON     761713106      170       4538 SH  -    DEFINED 02               4538         0        0
D REYNOLDS AMERICAN INC          COMMON     761713106      230       6129 SH  -    DEFINED 02               3896         0     2233
D REYNOLDS AMERICAN INC          COMMON     761713106      515      13736 SH  -    OTHER   02               2664     10620      400
D REYNOLDS AMERICAN INC          COMMON     761713106      108       2893 SH  -    OTHER   02               2000         7      886
D REYNOLDS AMERICAN INC          COMMON     761713106     2691      71791 SH  -    DEFINED 04              62112         0     9679
D REYNOLDS AMERICAN INC          COMMON     761713106     2468      65842 SH  -    DEFINED 04              65842         0        0
D REYNOLDS AMERICAN INC          COMMON     761713106        2         59 SH  -    OTHER   04                  0        59        0
D REYNOLDS AMERICAN INC          COMMON     761713106     1924      51334 SH  -    DEFINED 05              51334         0        0
D REYNOLDS AMERICAN INC          COMMON     761713106     4054     108161 SH  -    DEFINED 08             108161         0        0
D REYNOLDS AMERICAN INC          COMMON     761713106      525      14000 SH  -    OTHER   01              14000         0        0
D REYNOLDS AMERICAN INC          COMMON     761713106      329       8777 SH  -    OTHER   10                  0         0     8777
D REYNOLDS AMERICAN INC          OPTION     761713908      225       6000 SH  C    DEFINED 05               6000         0        0
D RICHARDSON ELECTRS LTD         COMMON     763165107        3        211 SH  -    OTHER   02                  0       211        0
D RICHARDSON ELECTRS LTD         COMMON     763165107      147      10765 SH  -    DEFINED 04               9976         0      789

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 682
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RICHARDSON ELECTRS LTD         COMMON     763165107        0          1 SH  -    DEFINED 05                  1         0        0
D RICHARDSON ELECTRS LTD         COMMON     763165107       12        848 SH  -    DEFINED 08                848         0        0
D RIGEL PHARMACEUTICALS INC      COMMON     766559603      648      88080 SH  -    DEFINED 05              88080         0        0
D RIGEL PHARMACEUTICALS INC      COMMON     766559603       30       4019 SH  -    DEFINED 08               4019         0        0
D RIGHTNOW TECHNOLOGIES INC      COMMON     76657R106        7        202 SH  -    DEFINED 02                  0       202        0
D RIGHTNOW TECHNOLOGIES INC      COMMON     76657R106      393      11890 SH  -    OTHER   02                  0     11890        0
D RIGHTNOW TECHNOLOGIES INC      COMMON     76657R106       14        430 SH  -    OTHER   02                  0         0      430
D RIGHTNOW TECHNOLOGIES INC      COMMON     76657R106      571      17291 SH  -    DEFINED 04              17291         0        0
D RIGHTNOW TECHNOLOGIES INC      COMMON     76657R106      462      13975 SH  -    DEFINED 05              13975         0        0
D RIMAGE CORP                    COMMON     766721104      297      23500 SH  -    DEFINED 04              23500         0        0
D RIMAGE CORP                    COMMON     766721104        4        277 SH  -    DEFINED 05                277         0        0
D RIMAGE CORP                    COMMON     766721104        7        555 SH  -    DEFINED 08                555         0        0
D RIO TINTO                      ADR        767204100     2439      55336 SH  -    DEFINED 02              55336         0        0
D RIO TINTO                      ADR        767204100        4        100 SH  -    DEFINED 02                100         0        0
D RIO TINTO                      ADR        767204100     1743      39533 SH  -    OTHER   02              13350     12038    14145
D RIO TINTO                      ADR        767204100     1088      24676 SH  -    OTHER   02                 56       155    24465
D RIO TINTO                      ADR        767204100     2000      45383 SH  -    OTHER   02                  0     45383        0
D RIO TINTO                      ADR        767204100     2694      61126 SH  -    DEFINED 04              61126         0        0
D RIO TINTO                      ADR        767204100     7294     165472 SH  -    OTHER   04                  0    165472        0
D RIO TINTO                      ADR        767204100     1989      45121 SH  -    OTHER   04                  0     45121        0
D RIO TINTO                      ADR        767204100      191       4333 SH  -    DEFINED 05               4333         0        0
D RIO TINTO                      ADR        767204100    33335     756244 SH  -    DEFINED 06             756244         0        0
D RIO TINTO                      ADR        767204100       45       1011 SH  -    OTHER   01                  0       675      200
D RIO TINTO                      ADR        767204100      133       3013 SH  -    OTHER   10                  0         0     3013
D RIO TINTO                      OPTION     767204902     1212      27500 SH  C    DEFINED 05              27500         0        0
D RIO TINTO                      OPTION     767204951     6612     150000 SH  P    DEFINED 08             150000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 683
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RITCHIE BROS AUCTIONEERS       COMMON     767744105      536      26533 SH  -    OTHER   02               6146       468    19919
D RITCHIE BROS AUCTIONEERS       COMMON     767744105       53       2637 SH  -    DEFINED 06               2637         0        0
D RITCHIE BROS AUCTIONEERS       COMMON     767744105      434      21508 SH  -    DEFINED 08              21508         0        0
D RITE AID CORPORATION           COMMON     767754104     2577    2629175 SH  -    DEFINED 04            2450575         0   178600
D RITE AID CORPORATION           COMMON     767754104       90      92000 SH  -    DEFINED 04              92000         0        0
D RITE AID CORPORATION           COMMON     767754104      195     198988 SH  -    DEFINED 05             198988         0        0
D RITE AID CORPORATION           COMMON     767754104      180     184155 SH  -    DEFINED 08             184155         0        0
D RITE AID CORPORATION           COMMON     767754104       50      51001 SH  -    OTHER   10                  0         0    51001
D RIVERBED TECHNOLOGY INC        COMMON     768573107        4        184 SH  -    DEFINED 02                184         0        0
D RIVERBED TECHNOLOGY INC        COMMON     768573107       14        695 SH  -    DEFINED 02                695         0        0
D RIVERBED TECHNOLOGY INC        COMMON     768573107       15        731 SH  -    OTHER   02                  0       731        0
D RIVERBED TECHNOLOGY INC        COMMON     768573107     3571     178920 SH  -    DEFINED 04             128490         0    50430
D RIVERBED TECHNOLOGY INC        COMMON     768573107    12496     626067 SH  -    DEFINED 04             626067         0        0
D RIVERBED TECHNOLOGY INC        COMMON     768573107      562      28140 SH  -    DEFINED 04              28140         0        0
D RIVERBED TECHNOLOGY INC        COMMON     768573107     1926      96509 SH  -    DEFINED 05              96509         0        0
D RIVERBED TECHNOLOGY INC        COMMON     768573107     4761     238544 SH  -    DEFINED 08             238544         0        0
D RIVERBED TECHNOLOGY INC        COMMON     768573107      200      10000 SH  -    OTHER   01              10000         0        0
D RIVERBED TECHNOLOGY INC        COMMON     768573107      664      33275 SH  -    OTHER   10                  0         0    33275
D RIVERBED TECHNOLOGY INC        OPTION     768573909      140       7000 SH  C    DEFINED 05               7000         0        0
D RIVERBED TECHNOLOGY INC        OPTION     768573958      337      16900 SH  P    DEFINED 05              16900         0        0
D ROBBINS & MYERS INC            COMMON     770196103       19        554 SH  -    OTHER   02                  0       554        0
D ROBBINS & MYERS INC            COMMON     770196103       86       2465 SH  -    OTHER   02                  0        90     2375
D ROBBINS & MYERS INC            COMMON     770196103     1354      39022 SH  -    DEFINED 04              31922         0     7100
D ROBBINS & MYERS INC            COMMON     770196103      807      23262 SH  -    DEFINED 05              23262         0        0
D ROBERT HALF INTL               COMMON     770323103        1         24 SH  -    DEFINED 02                 24         0        0
D ROBERT HALF INTL               COMMON     770323103       37       1744 SH  -    DEFINED 02               1669         0       75

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 684
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ROBERT HALF INTL               COMMON     770323103       65       3053 SH  -    OTHER   02               1191      1862        0
D ROBERT HALF INTL               COMMON     770323103       10        473 SH  -    OTHER   02                  5        17      451
D ROBERT HALF INTL               COMMON     770323103      547      25791 SH  -    DEFINED 04              21643         0     4148
D ROBERT HALF INTL               COMMON     770323103    11587     546054 SH  -    DEFINED 04             546054         0        0
D ROBERT HALF INTL               COMMON     770323103     1098      51754 SH  -    DEFINED 05              51754         0        0
D ROBERT HALF INTL               COMMON     770323103      531      25000 SH  -    OTHER   01              25000         0        0
D ROBERT HALF INTL               COMMON     770323103       20        943 SH  -    OTHER   10                  0         0      943
D ROCK-TENN CO                   COMMON     772739207       16        325 SH  -    DEFINED 02                325         0        0
D ROCK-TENN CO                   COMMON     772739207      102       2087 SH  -    OTHER   02                 84      2003        0
D ROCK-TENN CO                   COMMON     772739207        0          3 SH  -    OTHER   02                  0         3        0
D ROCK-TENN CO                   COMMON     772739207    97896    2011008 SH  -    DEFINED 04            1925185         0    85823
D ROCK-TENN CO                   COMMON     772739207     8146     167336 SH  -    DEFINED 04             167336         0        0
D ROCK-TENN CO                   COMMON     772739207       41        832 SH  -    DEFINED 04                832         0        0
D ROCK-TENN CO                   COMMON     772739207     1460      30000 SH  -    DEFINED 04              30000         0        0
D ROCK-TENN CO                   COMMON     772739207      701      14394 SH  -    OTHER   04                  0     14394        0
D ROCK-TENN CO                   COMMON     772739207     3601      73981 SH  -    OTHER   04                  0     73981        0
D ROCK-TENN CO                   COMMON     772739207       85       1740 SH  -    DEFINED 05               1740         0        0
D ROCK-TENN CO                   COMMON     772739207        9        187 SH  -    DEFINED 06                187         0        0
D ROCK-TENN CO                   COMMON     772739207     3696      75922 SH  -    DEFINED 08              75922         0        0
D ROCK-TENN CO                   COMMON     772739207        1         28 SH  -    OTHER   10                  0         0       28
D ROCKWELL AUTOMATIO             COMMON     773903109       10        173 SH  -    DEFINED 02                 73       100        0
D ROCKWELL AUTOMATIO             COMMON     773903109      140       2494 SH  -    DEFINED 02               2044       250      200
D ROCKWELL AUTOMATIO             COMMON     773903109       92       1650 SH  -    DEFINED 02               1650         0        0
D ROCKWELL AUTOMATIO             COMMON     773903109     5154      92037 SH  -    OTHER   02               9150     80197     2440
D ROCKWELL AUTOMATIO             COMMON     773903109      423       7546 SH  -    OTHER   02               1095      5447     1004
D ROCKWELL AUTOMATIO             COMMON     773903109     1611      28775 SH  -    DEFINED 04              24675         0     4100

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 685
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ROCKWELL AUTOMATIO             COMMON     773903109     1287      22975 SH  -    DEFINED 04              22975         0        0
D ROCKWELL AUTOMATIO             COMMON     773903109     1138      20325 SH  -    DEFINED 05              20325         0        0
D ROCKWELL AUTOMATIO             COMMON     773903109      637      11374 SH  -    DEFINED 09              11374         0        0
D ROCKWELL AUTOMATIO             COMMON     773903109      664      11853 SH  -    DEFINED 09              11853         0        0
D ROCKWELL AUTOMATIO             COMMON     773903109      266       4750 SH  -    OTHER   01                  0      4550        0
D ROCKWELL AUTOMATIO             COMMON     773903109      120       2143 SH  -    OTHER   10                  0         0     2143
D ROCKWELL COLLINS INC           COMMON     774341101       15        285 SH  -    DEFINED 02                285         0        0
D ROCKWELL COLLINS INC           COMMON     774341101       48        915 SH  -    DEFINED 02                915         0        0
D ROCKWELL COLLINS INC           COMMON     774341101      105       1982 SH  -    DEFINED 02               1771         0      211
D ROCKWELL COLLINS INC           COMMON     774341101     1045      19800 SH  -    OTHER   02               8000      8032     3755
D ROCKWELL COLLINS INC           COMMON     774341101       13        239 SH  -    OTHER   02                  0         0      239
D ROCKWELL COLLINS INC           COMMON     774341101     1609      30496 SH  -    DEFINED 04              26097         0     4399
D ROCKWELL COLLINS INC           COMMON     774341101     1321      25031 SH  -    DEFINED 04              25031         0        0
D ROCKWELL COLLINS INC           COMMON     774341101     4106      77826 SH  -    DEFINED 05              77826         0        0
D ROCKWELL COLLINS INC           COMMON     774341101        0          1 SH  -    DEFINED 06                  1         0        0
D ROCKWELL COLLINS INC           COMMON     774341101      673      12754 SH  -    OTHER   10                  0         0    12754
D ROCKWOOD HLDGS INC             COMMON     774415103        9        265 SH  -    DEFINED 02                265         0        0
D ROCKWOOD HLDGS INC             COMMON     774415103       59       1756 SH  -    OTHER   02                  0       527     1200
D ROCKWOOD HLDGS INC             COMMON     774415103     9763     289780 SH  -    DEFINED 04             275680         0    14100
D ROCKWOOD HLDGS INC             COMMON     774415103     1296      38471 SH  -    DEFINED 04              38471         0        0
D ROCKWOOD HLDGS INC             COMMON     774415103      319       9478 SH  -    DEFINED 05               9478         0        0
D ROCKWOOD HLDGS INC             COMMON     774415103      237       7043 SH  -    DEFINED 06               7043         0        0
D ROCKWOOD HLDGS INC             COMMON     774415103      365      10828 SH  -    DEFINED 08              10828         0        0
D ROCKWOOD HLDGS INC             COMMON     774415103        2         52 SH  -    OTHER   01                  0        52        0
D ROFIN-SINAR TECHNO             COMMON     775043102        1         77 SH  -    OTHER   02                  0        77        0
D ROFIN-SINAR TECHNO             COMMON     775043102       49       2575 SH  -    OTHER   02                  0         0     2575

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 686
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ROFIN-SINAR TECHNO             COMMON     775043102     1273      66311 SH  -    DEFINED 04              66311         0        0
D ROFIN-SINAR TECHNO             COMMON     775043102      310      16126 SH  -    DEFINED 05              16126         0        0
D ROFIN-SINAR TECHNO             COMMON     775043102        0         22 SH  -    OTHER   10                  0         0       22
D ROGERS COMMS INC               COMMON     775109200       28        832 SH  -    DEFINED 02                832         0        0
D ROGERS COMMS INC               COMMON     775109200      123       3600 SH  -    OTHER   02                  0      3600        0
D ROGERS COMMS INC               COMMON     775109200       54       1567 SH  -    DEFINED 05               1567         0        0
D ROGERS COMMS INC               COMMON     775109200      390      11392 SH  -    DEFINED 06              11392         0        0
D ROGERS COMMS INC               COMMON     775109200       12        352 SH  -    OTHER   10                  0         0      352
D ROGERS CORP                    COMMON     775133101      452      11557 SH  -    DEFINED 04              11557         0        0
D ROGERS CORP                    COMMON     775133101      322       8223 SH  -    DEFINED 05               8223         0        0
D ROLLINS INC                    COMMON     775711104       13        678 SH  -    OTHER   02                  0       678        0
D ROLLINS INC                    COMMON     775711104       75       4020 SH  -    OTHER   02                  0         0     4020
D ROLLINS INC                    COMMON     775711104      843      45038 SH  -    DEFINED 04              45038         0        0
D ROLLINS INC                    COMMON     775711104       45       2389 SH  -    DEFINED 05               2389         0        0
D ROLLINS INC                    COMMON     775711104       98       5248 SH  -    DEFINED 08               5248         0        0
D ROLLINS INC                    COMMON     775711104      561      30000 SH  -    OTHER   01              30000         0        0
D ROPER INDS INC NEW             COMMON     776696106      102       1480 SH  -    DEFINED 02               1480         0        0
D ROPER INDS INC NEW             COMMON     776696106       79       1145 SH  -    DEFINED 02               1107         0       38
D ROPER INDS INC NEW             COMMON     776696106     1948      28266 SH  -    OTHER   02               1000     16366    10900
D ROPER INDS INC NEW             COMMON     776696106      470       6817 SH  -    OTHER   02               5700        17     1100
D ROPER INDS INC NEW             COMMON     776696106    15293     221923 SH  -    DEFINED 04             100612         0   121311
D ROPER INDS INC NEW             COMMON     776696106    14887     216037 SH  -    DEFINED 04             216037         0        0
D ROPER INDS INC NEW             COMMON     776696106     1907      27674 SH  -    DEFINED 05              27674         0        0
D ROPER INDS INC NEW             COMMON     776696106      125       1813 SH  -    OTHER   01                  0      1813        0
D ROPER INDS INC NEW             COMMON     776696106       37        541 SH  -    OTHER   10                  0         0      541
D ROSETTA RESOURCES INC          COMMON     777779307       14        412 SH  -    OTHER   02                  0       412        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 687
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ROSETTA RESOURCES INC          COMMON     777779307      351      10246 SH  -    DEFINED 04              10246         0        0
D ROSETTA RESOURCES INC          COMMON     777779307      864      25238 SH  -    DEFINED 04              25238         0        0
D ROSETTA RESOURCES INC          COMMON     777779307      184       5387 SH  -    DEFINED 05               5387         0        0
D ROSETTA RESOURCES INC          COMMON     777779307      105       3064 SH  -    DEFINED 08               3064         0        0
D ROSETTA STONE INC              COMMON     777780107        1        141 SH  -    DEFINED 02                  0       141        0
D ROSETTA STONE INC              COMMON     777780107       79       8684 SH  -    OTHER   02                  0      8684        0
D ROSETTA STONE INC              COMMON     777780107        3        297 SH  -    OTHER   02                  0         0      297
D ROSETTA STONE INC              COMMON     777780107       28       3102 SH  -    DEFINED 05               3102         0        0
D ROSETTA STONE INC              COMMON     777780107        6        700 SH  -    DEFINED 08                700         0        0
D ROSS STORES INC                COMMON     778296103       10        124 SH  -    DEFINED 02                124         0        0
D ROSS STORES INC                COMMON     778296103      133       1690 SH  -    DEFINED 02               1690         0        0
D ROSS STORES INC                COMMON     778296103      110       1402 SH  -    DEFINED 02               1332         0       70
D ROSS STORES INC                COMMON     778296103      124       1571 SH  -    OTHER   02                 45      1509        0
D ROSS STORES INC                COMMON     778296103       64        819 SH  -    OTHER   02                148        16      655
D ROSS STORES INC                COMMON     778296103     2922      37139 SH  -    DEFINED 04              21429         0    15710
D ROSS STORES INC                COMMON     778296103     1599      20320 SH  -    DEFINED 04              20320         0        0
D ROSS STORES INC                COMMON     778296103     3412      43362 SH  -    DEFINED 04              24873         0    18489
D ROSS STORES INC                COMMON     778296103     4717      59944 SH  -    DEFINED 05              59944         0        0
D ROSS STORES INC                COMMON     778296103     1881      23904 SH  -    DEFINED 08              23904         0        0
D ROSS STORES INC                COMMON     778296103    13813     175531 SH  -    DEFINED 09             164621     10910        0
D ROSS STORES INC                COMMON     778296103      857      10893 SH  -    DEFINED 09              10893         0        0
D ROSS STORES INC                COMMON     778296103     6168      78388 SH  -    DEFINED 09              78388         0        0
D ROSS STORES INC                COMMON     778296103      157       1997 SH  -    OTHER   09                  0      1997        0
D ROSS STORES INC                COMMON     778296103      396       5031 SH  -    OTHER   01               5000        31        0
D ROSS STORES INC                COMMON     778296103       27        340 SH  -    OTHER   10                  0         0      340
D ROVI CORP                      BOND       779376AB8      787     681000 PRN -    DEFINED 05                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 688
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ROVI CORP                      COMMON     779376102      137       3192 SH  -    DEFINED 02               3192         0        0
D ROVI CORP                      COMMON     779376102       17        396 SH  -    OTHER   02                  0       396        0
D ROVI CORP                      COMMON     779376102    32206     749334 SH  -    DEFINED 04             387800         0   361534
D ROVI CORP                      COMMON     779376102    15193     353498 SH  -    DEFINED 04             353498         0        0
D ROVI CORP                      COMMON     779376102     2319      53960 SH  -    DEFINED 04              53960         0        0
D ROVI CORP                      COMMON     779376102       12        286 SH  -    OTHER   04                  0       286        0
D ROVI CORP                      COMMON     779376102       96       2232 SH  -    DEFINED 05               2232         0        0
D ROVI CORP                      COMMON     779376102       20        459 SH  -    DEFINED 09                459         0        0
D ROVI CORP                      COMMON     779376102       16        366 SH  -    OTHER   01                366         0        0
D ROVI CORP                      COMMON     779376102        1         31 SH  -    OTHER   10                  0         0       31
D ROWAN COMPANIES, INC.          COMMON     779382100      125       4140 SH  -    DEFINED 02               2140         0     2000
D ROWAN COMPANIES, INC.          COMMON     779382100      315      10431 SH  -    DEFINED 02              10431         0        0
D ROWAN COMPANIES, INC.          COMMON     779382100       47       1556 SH  -    DEFINED 02               1469         0       87
D ROWAN COMPANIES, INC.          COMMON     779382100      101       3353 SH  -    OTHER   02               1430      1923        0
D ROWAN COMPANIES, INC.          COMMON     779382100        0          6 SH  -    OTHER   02                  0         6        0
D ROWAN COMPANIES, INC.          COMMON     779382100      954      31584 SH  -    DEFINED 04              27936         0     3648
D ROWAN COMPANIES, INC.          COMMON     779382100      616      20390 SH  -    DEFINED 04              20390         0        0
D ROWAN COMPANIES, INC.          COMMON     779382100      334      11064 SH  -    DEFINED 05              11064         0        0
D ROWAN COMPANIES, INC.          COMMON     779382100       45       1500 SH  -    DEFINED 06               1500         0        0
D ROWAN COMPANIES, INC.          COMMON     779382100      709      23491 SH  -    DEFINED 08              23491         0        0
D ROWAN COMPANIES, INC.          COMMON     779382100       45       1500 SH  -    OTHER   10                  0         0     1500
D ROYAL BK OF CANADA             COMMON     780087102      192       4200 SH  -    OTHER   02                  0      4200        0
D ROYAL BK OF CANADA             COMMON     780087102       43        943 SH  -    OTHER   02                300         0      643
D ROYAL BK OF CANADA             COMMON     780087102      176       3859 SH  -    OTHER   02                  0      3859        0
D ROYAL BK OF CANADA             COMMON     780087102     1641      35885 SH  -    DEFINED 04              35885         0        0
D ROYAL BK OF CANADA             COMMON     780087102    20059     438741 SH  -    DEFINED 04             438741         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 689
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ROYAL BK OF CANADA             COMMON     780087102      207       4522 SH  -    DEFINED 05               4522         0        0
D ROYAL BK OF CANADA             COMMON     780087102     4924     107702 SH  -    DEFINED 06             107702         0        0
D ROYAL BK OF CANADA             COMMON     780087102       78       1700 SH  -    DEFINED 08               1700         0        0
D ROYAL BK OF CANADA             COMMON     780087102     6716     146898 SH  -    DEFINED 09             146898         0        0
D ROYAL BK OF CANADA             COMMON     780087102     5771     126230 SH  -    DEFINED 09                  0         0        0
D ROYAL BK OF CANADA             COMMON     780087102       46       1000 SH  -    DEFINED 01               1000         0        0
D ROYAL BK OF CANADA             COMMON     780087102      457      10000 SH  -    OTHER   01              10000         0        0
D ROYAL BK OF CANADA             COMMON     780087102      757      16554 SH  -    OTHER   10                  0         0    16554
D ROYAL BK SCOTLAND GROUP PLC    ADR        780097689       11       1572 SH  -    OTHER   02                  0      1572        0
D ROYAL BK SCOTLAND GROUP PLC    ADR        780097689      133      18722 SH  -    DEFINED 05              18722         0        0
D ROYAL BK SCOTLAND GROUP PLC    PREFERRED  780097747      517      50000 SH  -    DEFINED 05                  0         0        0
D ROYAL BK SCOTLAND GROUP PLC    PREF ADR   780097770      796      75000 SH  -    DEFINED 05              75000         0        0
D ROYAL BK SCOTLAND GROUP PLC    PREF ADR   780097796      538      50340 SH  -    DEFINED 05              50340         0        0
D ROYAL DUTCH SHELL PLC-ADR      ADR        780259107       98       1580 SH  -    DEFINED 02                  0      1580        0
D ROYAL DUTCH SHELL PLC-ADR      ADR        780259107      102       1643 SH  -    DEFINED 02                413         0     1230
D ROYAL DUTCH SHELL PLC-ADR      ADR        780259107     8157     131460 SH  -    OTHER   02               2500    127640     1060
D ROYAL DUTCH SHELL PLC-ADR      ADR        780259107     1150      18529 SH  -    OTHER   02               2334      8641     7554
D ROYAL DUTCH SHELL PLC-ADR      ADR        780259107    38428     619315 SH  -    DEFINED 06             619315         0        0
D ROYAL DUTCH SHELL PLC-ADR      ADR        780259107     6205     100000 SH  -    DEFINED 08             100000         0        0
D ROYAL DUTCH SHELL PLC-ADR      ADR        780259107      928      14958 SH  -    OTHER   01               3800     10975        0
D ROYAL DUTCH SHELL PLC-ADR      ADR        780259107       23        363 SH  -    OTHER   10                  0         0      363
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206     6947     112921 SH  -    DEFINED 02              88393        41    24487
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206      486       7892 SH  -    DEFINED 02               7892         0        0
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206    18814     305817 SH  -    OTHER   02              91915    212548      240
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206     2794      45414 SH  -    OTHER   02              22298      3700    19416
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206     3813      61977 SH  -    DEFINED 04              61977         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 690
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206    10337     168034 SH  -    OTHER   04                  0    168034        0
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206    29317     476541 SH  -    OTHER   04                  0    476541        0
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206    18589     302162 SH  -    DEFINED 05             302162         0        0
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206     2267      36853 SH  -    DEFINED 08              36853         0        0
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206      101       1640 SH  -    DEFINED 01               1640         0        0
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206      960      15609 SH  -    OTHER   01              10957      4429        0
D ROYAL DUTCH SHELL PLC - ADR    ADR        780259206      824      13395 SH  -    OTHER   10                  0         0    13395
D ROYAL DUTCH SHELL PLC - ADR    OPTION     780259909      788      12700 SH  C    DEFINED 05              12700         0        0
D ROYAL DUTCH SHELL PLC - ADR    OPTION     780259909     6050      97500 SH  C    DEFINED 08              97500         0        0
D ROYAL GOLD INC                 COMMON     780287108        2         37 SH  -    DEFINED 02                  0        37        0
D ROYAL GOLD INC                 COMMON     780287108      206       3209 SH  -    OTHER   02                  0      3209        0
D ROYAL GOLD INC                 COMMON     780287108        6         86 SH  -    OTHER   02                  0         0       86
D ROYAL GOLD INC                 COMMON     780287108      381       5951 SH  -    DEFINED 04               5951         0        0
D ROYAL GOLD INC                 COMMON     780287108     1166      18200 SH  -    DEFINED 04              18200         0        0
D ROYAL GOLD INC                 COMMON     780287108      574       8961 SH  -    DEFINED 05               8961         0        0
D ROYAL GOLD INC                 OPTION     780287900      641      10000 SH  C    DEFINED 05              10000         0        0
D ROYALE ENERGY INC              COMMON     78074G200      224     107500 SH  -    DEFINED 05             107500         0        0
D RUBICON MINERALS CORP          COMMON     780911103    13626    3961000 SH  -    DEFINED 09            3961000         0        0
D RUBICON TECHNOLOGY INC         COMMON     78112T107        5        488 SH  -    OTHER   02                  0       488        0
D RUBICON TECHNOLOGY INC         COMMON     78112T107       93       8554 SH  -    DEFINED 05               8554         0        0
D RUBICON TECHNOLOGY INC         COMMON     78112T107      521      47646 SH  -    OTHER   10                  0         0    47646
D RUBY TUESDAY INC               COMMON     781182100        7        995 SH  -    OTHER   02                  0         0      995
D RUBY TUESDAY INC               COMMON     781182100     1078     150600 SH  -    DEFINED 04             114900         0    35700
D RUBY TUESDAY INC               COMMON     781182100      481      67126 SH  -    DEFINED 04              67126         0        0
D RUBY TUESDAY INC               COMMON     781182100      230      32190 SH  -    DEFINED 05              32190         0        0
D RUDDICK CORP                   COMMON     781258108        7        183 SH  -    OTHER   02                  0       167        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 691
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RUDDICK CORP                   COMMON     781258108     3200      82075 SH  -    DEFINED 04              82075         0        0
D RUDDICK CORP                   COMMON     781258108      141       3618 SH  -    DEFINED 05               3618         0        0
D RUDDICK CORP                   COMMON     781258108      299       7673 SH  -    DEFINED 08               7673         0        0
D RUDOLPH TECHNOLOGIES INC       COMMON     781270103       39       5837 SH  -    OTHER   02                  0         0     5837
D RUDOLPH TECHNOLOGIES INC       COMMON     781270103      117      17543 SH  -    OTHER   02                  0       749    16794
D RUDOLPH TECHNOLOGIES INC       COMMON     781270103      378      56550 SH  -    DEFINED 04              52150         0     4400
D RUDOLPH TECHNOLOGIES INC       COMMON     781270103      278      41598 SH  -    DEFINED 04              41598         0        0
D RUDOLPH TECHNOLOGIES INC       COMMON     781270103      140      20898 SH  -    DEFINED 05              20898         0        0
D RUDOLPH TECHNOLOGIES INC       COMMON     781270103      852     127371 SH  -    OTHER   10                  0         0   127371
D RUE21 INC                      COMMON     781295100      244      10740 SH  -    DEFINED 04              10740         0        0
D RUE21 INC                      COMMON     781295100      181       7972 SH  -    DEFINED 05               7972         0        0
D RUE21 INC                      COMMON     781295100       48       2095 SH  -    OTHER   10                  0         0     2095
D RUSH ENTERPRISES INC           COMMON     781846209     8713     615300 SH  -    DEFINED 04             441847         0   173453
D RUSH ENTERPRISES INC           COMMON     781846209     5825     411400 SH  -    DEFINED 04             411400         0        0
D RUSH ENTERPRISES INC           COMMON     781846209     1376      97200 SH  -    DEFINED 04              97200         0        0
D RUSH ENTERPRISES INC           COMMON     781846209       66       4674 SH  -    DEFINED 05               4674         0        0
D RUSH ENTERPRISES INC           COMMON     781846209       27       1923 SH  -    DEFINED 08               1923         0        0
D RUTHS HOSPITALITY GROUP INC    COMMON     783332109        3        635 SH  -    OTHER   02                  0       635        0
D RUTHS HOSPITALITY GROUP INC    COMMON     783332109     1127     262779 SH  -    DEFINED 04             206971         0    55808
D RUTHS HOSPITALITY GROUP INC    COMMON     783332109      705     164337 SH  -    DEFINED 04             164337         0        0
D RUTHS HOSPITALITY GROUP INC    COMMON     783332109      440     102678 SH  -    DEFINED 05             102678         0        0
D RYANAIR HLDGS                  ADR        783513104     1971      76529 SH  -    OTHER   02                  0     69999     6530
D RYANAIR HLDGS                  ADR        783513104        1         43 SH  -    DEFINED 06                 43         0        0
D RYANAIR HLDGS                  ADR        783513104        2         73 SH  -    OTHER   01                  0        73        0
D RYDER SYSTEM INC               COMMON     783549108        0          5 SH  -    DEFINED 02                  5         0        0
D RYDER SYSTEM INC               COMMON     783549108       23        608 SH  -    DEFINED 02                590         0       18

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 692
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D RYDER SYSTEM INC               COMMON     783549108       23        617 SH  -    OTHER   02                  0       617        0
D RYDER SYSTEM INC               COMMON     783549108        1         21 SH  -    OTHER   02                  5        12        4
D RYDER SYSTEM INC               COMMON     783549108     1322      35253 SH  -    DEFINED 04              33789         0     1464
D RYDER SYSTEM INC               COMMON     783549108     1458      38869 SH  -    DEFINED 04              38869         0        0
D RYDER SYSTEM INC               COMMON     783549108       70       1873 SH  -    DEFINED 05               1873         0        0
D RYDEX ETF TRUST                COMMON     78355W106     8398     202861 SH  -    OTHER   10                  0         0   202861
D RYDEX ETF TRUST                COMMON     78355W403     2661      67294 SH  -    OTHER   10                  0         0    67294
D RYLAND GROUP INC               COMMON     783764103      330      30950 SH  -    DEFINED 04              30950         0        0
D RYLAND GROUP INC               COMMON     783764103       30       2843 SH  -    DEFINED 05               2843         0        0
D RYLAND GROUP INC               COMMON     783764103      459      43117 SH  -    DEFINED 08              43117         0        0
D S & T BANCORP INC              COMMON     783859101      589      36440 SH  -    DEFINED 04              36440         0        0
D S & T BANCORP INC              COMMON     783859101      466      28847 SH  -    DEFINED 04              28847         0        0
D S & T BANCORP INC              COMMON     783859101      269      16669 SH  -    DEFINED 05              16669         0        0
D SBA COMMUNICATIONS CORP        BOND       78388JAM8     5887    4550000 PRN -    DEFINED 05                  0         0        0
D SBA COMMUNICATIONS CORP        BOND       78388JAN6        6       6000 PRN -    DEFINED 02                  0         0        0
D SBA COMMUNICATIONS CORP        BOND       78388JAN6      519     500000 PRN -    DEFINED 05                  0         0        0
D SBA COMMUNICATIONS CORP        BOND       78388JAN6    11206   10801000 PRN -    DEFINED 09                  0         0        0
D SBA COMMUNICATIONS CORP        BOND       78388JAN6     1614    1556000 PRN -    DEFINED 09                  0         0        0
D SBA COMMUNICATIONS             COMMON     78388J106        5        154 SH  -    DEFINED 02                154         0        0
D SBA COMMUNICATIONS             COMMON     78388J106      164       4769 SH  -    OTHER   02                120      1349     3300
D SBA COMMUNICATIONS             COMMON     78388J106       13        390 SH  -    OTHER   02                  0         0      390
D SBA COMMUNICATIONS             COMMON     78388J106     1524      44196 SH  -    DEFINED 05              44196         0        0
D SBA COMMUNICATIONS             COMMON     78388J106    10602     307482 SH  -    DEFINED 08             307482         0        0
D SAIC INC                       COMMON     78390X101      148      12556 SH  -    DEFINED 02                525     12031        0
D SAIC INC                       COMMON     78390X101        1         52 SH  -    DEFINED 02                 52         0        0
D SAIC INC                       COMMON     78390X101       39       3319 SH  -    DEFINED 02               3184         0      135

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 693
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SAIC INC                       COMMON     78390X101      208      17630 SH  -    OTHER   02              11778      5852        0
D SAIC INC                       COMMON     78390X101        1         56 SH  -    OTHER   02                  0        38       18
D SAIC INC                       COMMON     78390X101     2003     169585 SH  -    DEFINED 04             161677         0     7908
D SAIC INC                       COMMON     78390X101     2151     182129 SH  -    DEFINED 04             182129         0        0
D SAIC INC                       COMMON     78390X101     1648     139561 SH  -    DEFINED 05             139561         0        0
D SAIC INC                       COMMON     78390X101        1         94 SH  -    OTHER   01                  0        94        0
D SAIC INC                       COMMON     78390X101        8        683 SH  -    OTHER   10                  0         0      683
D SEI INVESTMENTS CO             COMMON     784117103       18       1179 SH  -    OTHER   02                  0       757      422
D SEI INVESTMENTS CO             COMMON     784117103       43       2776 SH  -    DEFINED 05               2776         0        0
D SEI INVESTMENTS CO             COMMON     784117103        4        253 SH  -    DEFINED 06                253         0        0
D SEI INVESTMENTS CO             COMMON     784117103      686      44613 SH  -    DEFINED 08              44613         0        0
D SEI INVESTMENTS CO             COMMON     784117103       47       3058 SH  -    OTHER   10                  0         0     3058
D SESI L L C                     BOND       78412FAH7     3125    3141000 PRN -    DEFINED 05                  0         0        0
D SESI L L C                     BOND       78412FAH7       28      28000 PRN -    DEFINED 09                  0         0        0
D SESI L L C                     BOND       78412FAH7     1218    1224000 PRN -    DEFINED 09                  0         0        0
D SK TELECOM LTD                 ADR        78440P108       82       5836 SH  -    DEFINED 02                  0      5836        0
D SK TELECOM LTD                 ADR        78440P108      212      15075 SH  -    OTHER   02               5988      9087        0
D SK TELECOM LTD                 ADR        78440P108     3178     225891 SH  -    DEFINED 04             225891         0        0
D SK TELECOM LTD                 ADR        78440P108      130       9207 SH  -    DEFINED 06               9207         0        0
D SK TELECOM LTD                 ADR        78440P108     3702     263092 SH  -    DEFINED 08             263092         0        0
D SK TELECOM LTD                 ADR        78440P108      797      56645 SH  -    OTHER   09                  0     56645        0
D SK TELECOM LTD                 ADR        78440P108       71       5078 SH  -    OTHER   01                  0      5078        0
D SK TELECOM LTD                 ADR        78440P108       12        839 SH  -    OTHER   10                  0         0      839
D SL GREEN REALTY CO             COMMON     78440X101      727      12500 SH  -    DEFINED 02              12500         0        0
D SL GREEN REALTY CO             COMMON     78440X101    31184     536275 SH  -    DEFINED 04             460725         0    75550
D SL GREEN REALTY CO             COMMON     78440X101     3586      61669 SH  -    DEFINED 04              61669         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 694
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SL GREEN REALTY CO             COMMON     78440X101      256       4400 SH  -    DEFINED 04               4400         0        0
D SL GREEN REALTY CO             COMMON     78440X101       64       1100 SH  -    DEFINED 04               1100         0        0
D SL GREEN REALTY CO             COMMON     78440X101     1605      27600 SH  -    DEFINED 04              21200         0        0
D SL GREEN REALTY CO             COMMON     78440X101     1696      29163 SH  -    DEFINED 05              29163         0        0
D SL GREEN REALTY CO             COMMON     78440X101       54        933 SH  -    DEFINED 06                933         0        0
D SL GREEN REALTY CO             COMMON     78440X101      485       8337 SH  -    DEFINED 08               8337         0        0
D SL GREEN REALTY CO             COMMON     78440X101        0          1 SH  -    OTHER   10                  0         0        1
D SLM CORP                       COMMON     78442P106       39       3149 SH  -    DEFINED 02               3149         0        0
D SLM CORP                       COMMON     78442P106        0         31 SH  -    DEFINED 02                 31         0        0
D SLM CORP                       COMMON     78442P106       78       6276 SH  -    DEFINED 02               5927         0      349
D SLM CORP                       COMMON     78442P106      369      29627 SH  -    OTHER   02                266     29361        0
D SLM CORP                       COMMON     78442P106        8        644 SH  -    OTHER   02                  0        30      614
D SLM CORP                       COMMON     78442P106    11374     913587 SH  -    DEFINED 04             471363         0   442224
D SLM CORP                       COMMON     78442P106     2863     229972 SH  -    DEFINED 04             229972         0        0
D SLM CORP                       COMMON     78442P106       20       1600 SH  -    DEFINED 04               1600         0        0
D SLM CORP                       COMMON     78442P106        5        369 SH  -    OTHER   04                  0       369        0
D SLM CORP                       COMMON     78442P106     1764     141719 SH  -    DEFINED 05             141719         0        0
D SLM CORP                       COMMON     78442P106       12        930 SH  -    DEFINED 06                930         0        0
D SLM CORP                       COMMON     78442P106      919      73786 SH  -    DEFINED 08              73786         0        0
D SLM CORP                       COMMON     78442P106      878      70529 SH  -    DEFINED 09              70529         0        0
D SLM CORP                       COMMON     78442P106      191      15356 SH  -    OTHER   10                  0         0    15356
D SLM CORP                       OPTION     78442P908       12       1000 SH  C    DEFINED 05               1000         0        0
D SM ENERGY CO                   COMMON     78454L100        4         74 SH  -    DEFINED 02                 74         0        0
D SM ENERGY CO                   COMMON     78454L100       84       1391 SH  -    OTHER   02                 94       793      504
D SM ENERGY CO                   COMMON     78454L100      130       2150 SH  -    OTHER   02                700         0     1450
D SM ENERGY CO                   COMMON     78454L100     1201      19803 SH  -    DEFINED 04              19803         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 695
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SM ENERGY CO                   COMMON     78454L100     2493      41109 SH  -    DEFINED 04              41109         0        0
D SM ENERGY CO                   COMMON     78454L100       66       1085 SH  -    DEFINED 05               1085         0        0
D SM ENERGY CO                   COMMON     78454L100     2276      37534 SH  -    DEFINED 08              37534         0        0
D SM ENERGY CO                   COMMON     78454L100      100       1648 SH  -    DEFINED 09               1648         0        0
D SM ENERGY CO                   COMMON     78454L100      485       8000 SH  -    OTHER   01               8000         0        0
D SM ENERGY CO                   COMMON     78454L100        8        134 SH  -    OTHER   10                  0         0      134
D SPDR S&P 500 ETF TR            COMMON     78462F103  1182179   10447893 SH  -    DEFINED 02            9319401     33017  1094828
D SPDR S&P 500 ETF TR            COMMON     78462F103   383551    3389759 SH  -    DEFINED 02            3359537      3775    25215
D SPDR S&P 500 ETF TR            COMMON     78462F103       27        240 SH  -    DEFINED 02                240         0        0
D SPDR S&P 500 ETF TR            COMMON     78462F103   111139     982226 SH  -    OTHER   02             567765    243181   169385
D SPDR S&P 500 ETF TR            COMMON     78462F103    63995     565579 SH  -    OTHER   02             496413     29426    39740
D SPDR S&P 500 ETF TR            COMMON     78462F103      223       1968 SH  -    OTHER   02                  0         0     1968
D SPDR S&P 500 ETF TR            COMMON     78462F103   108271     956876 SH  -    DEFINED 04             953376         0     3500
D SPDR S&P 500 ETF TR            COMMON     78462F103   782507    6915660 SH  -    OTHER   04                  0   6915660        0
D SPDR S&P 500 ETF TR            COMMON     78462F103  4176924   36914928 SH  -    DEFINED 05           36914928         0        0
D SPDR S&P 500 ETF TR            COMMON     78462F103    66501     587728 SH  -    DEFINED 08             587728         0        0
D SPDR S&P 500 ETF TR            COMMON     78462F103   158733    1402857 SH  -    DEFINED 01            1338471      8504    55604
D SPDR S&P 500 ETF TR            COMMON     78462F103    20177     178320 SH  -    OTHER   01              63633     12155   102532
D SPDR S&P 500 ETF TR            COMMON     78462F103     7071      62494 SH  -    OTHER   10                  0         0    62494
D SPDR S&P 500 ETF TR            OPTION     78462F905    19507     172400 SH  C    DEFINED 05             172400         0        0
D SPDR S&P 500 ETF TR            OPTION     78462F905   113150    1000000 SH  C    DEFINED 08            1000000         0        0
D SPDR S&P 500 ETF TR            OPTION     78462F954   329006    2907700 SH  P    DEFINED 05            2907700         0        0
D SPDR S&P 500 ETF TR            OPTION     78462F954   160107    1415000 SH  P    DEFINED 08            1415000         0        0
D S1 CORPORATION                 COMMON     78463B101       50       5500 SH  -    DEFINED 04               5500         0        0
D S1 CORPORATION                 COMMON     78463B101      249      27100 SH  -    DEFINED 04              27100         0        0
D S1 CORPORATION                 COMMON     78463B101       30       3325 SH  -    DEFINED 05               3325         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 696
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D S1 CORPORATION                 COMMON     78463B101       29       3121 SH  -    DEFINED 08               3121         0        0
D S1 CORPORATION                 COMMON     78463B101     1386     151171 SH  -    DEFINED 09             151171         0        0
D SPDR GOLD TRUST                COMMON     78463V107   273914    1732976 SH  -    DEFINED 02            1398810      8610   325555
D SPDR GOLD TRUST                COMMON     78463V107   230359    1457417 SH  -    DEFINED 02            1444747      1936    10441
D SPDR GOLD TRUST                COMMON     78463V107    47982     303569 SH  -    OTHER   02             195082     42084    65703
D SPDR GOLD TRUST                COMMON     78463V107    28237     178649 SH  -    OTHER   02             146374     11871    20404
D SPDR GOLD TRUST                COMMON     78463V107    17229     109000 SH  -    DEFINED 04             109000         0        0
D SPDR GOLD TRUST                COMMON     78463V107    45698     289121 SH  -    DEFINED 05             289121         0        0
D SPDR GOLD TRUST                COMMON     78463V107     9023      57086 SH  -    DEFINED 08              57086         0        0
D SPDR GOLD TRUST                COMMON     78463V107    79080     500317 SH  -    DEFINED 08             500317         0        0
D SPDR GOLD TRUST                COMMON     78463V107     1865      11800 SH  -    OTHER   09                  0     11800        0
D SPDR GOLD TRUST                COMMON     78463V107    19471     123189 SH  -    DEFINED 01              92445      9508    21235
D SPDR GOLD TRUST                COMMON     78463V107     4308      27256 SH  -    OTHER   01              11819     13678     1759
D SPDR GOLD TRUST                COMMON     78463V107   925984    5858433 SH  -    DEFINED 10            5858433         0        0
D SPDR GOLD TRUST                COMMON     78463V107    78475     496491 SH  -    OTHER   10                  0         0   496491
D SPDR GOLD TRUST                OPTION     78463V909    31059     196500 SH  C    DEFINED 05             196500         0        0
D SPDR GOLD TRUST                OPTION     78463V909    41845     264739 SH  C    DEFINED 08             264739         0        0
D SPDR GOLD TRUST                OPTION     78463V958   164398    1040100 SH  P    DEFINED 05            1040100         0        0
D SPDR INDEX SHS FDS             COMMON     78463X301      501       7780 SH  -    OTHER   10                  0         0     7780
D SPDR INDEX SHS FDS             COMMON     78463X541     4160      91299 SH  -    DEFINED 02              91299         0        0
D SPDR INDEX SHS FDS             COMMON     78463X541     1782      39118 SH  -    DEFINED 02              39118         0        0
D SPDR INDEX SHS FDS             COMMON     78463X541      421       9250 SH  -    DEFINED 05               9250         0        0
D SPDR INDEX SHS FDS             COMMON     78463X541       40        870 SH  -    DEFINED 01                870         0        0
D SPDR INDEX SHS FDS             COMMON     78463X707      730      11500 SH  -    OTHER   10                  0         0    11500
D SPDR INDEX SHS FDS             COMMON     78463X764      557      21603 SH  -    OTHER   10                  0         0    21603
D SPDR INDEX SHS FDS             COMMON     78463X863     3205     100000 SH  -    DEFINED 05             100000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 697
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SPDR INDEX SHS FDS             COMMON     78463X863      242       7540 SH  -    OTHER   10                  0         0     7540
D SPDR INDEX SHS FDS             COMMON     78463X889      673      31827 SH  -    OTHER   10                  0         0    31827
D SPX CORP                       COMMON     784635104       26        581 SH  -    OTHER   02                500        81        0
D SPX CORP                       COMMON     784635104       86       1900 SH  -    DEFINED 04                  0         0     1900
D SPX CORP                       COMMON     784635104      886      19559 SH  -    DEFINED 04              19559         0        0
D SPX CORP                       COMMON     784635104       12        275 SH  -    DEFINED 04                275         0        0
D SPX CORP                       COMMON     784635104     1074      23703 SH  -    DEFINED 05              23703         0        0
D SPX CORP                       COMMON     784635104     2081      45932 SH  -    DEFINED 08              45932         0        0
D SPX CORP                       COMMON     784635104       50       1100 SH  -    DEFINED 09               1100         0        0
D SPX CORP                       COMMON     784635104       30        654 SH  -    OTHER   10                  0         0      654
D SPDR SERIES TRUST              COMMON     78464A102       26        470 SH  -    OTHER   02                  0         0      470
D SPDR SERIES TRUST              COMMON     78464A102      793      14265 SH  -    OTHER   10                  0         0    14265
D SPDR SERIES TRUST              COMMON     78464A359       11        300 SH  -    DEFINED 02                300         0        0
D SPDR SERIES TRUST              COMMON     78464A359      400      11234 SH  -    OTHER   10                  0         0    11234
D SPDR SERIES TRUST              COMMON     78464A417      229       6327 SH  -    DEFINED 02               6327         0        0
D SPDR SERIES TRUST              COMMON     78464A417     4900     135400 SH  -    DEFINED 04             135400         0        0
D SPDR SERIES TRUST              COMMON     78464A417      362      10000 SH  -    OTHER   01              10000         0        0
D SPDR SERIES TRUST              COMMON     78464A417      423      11694 SH  -    OTHER   10                  0         0    11694
D SPDR SERIES TRUST              COMMON     78464A425       73       3000 SH  -    DEFINED 02               3000         0        0
D SPDR SERIES TRUST              COMMON     78464A425       70       2890 SH  -    DEFINED 02               2890         0        0
D SPDR SERIES TRUST              COMMON     78464A425     1025      42093 SH  -    OTHER   10                  0         0    42093
D SPDR SERIES TRUST              COMMON     78464A458     3528     150720 SH  -    OTHER   02                  0         0   150720
D SPDR SERIES TRUST              COMMON     78464A490      503       8785 SH  -    DEFINED 02               8785         0        0
D SPDR SERIES TRUST              COMMON     78464A490      140       2440 SH  -    OTHER   10                  0         0     2440
D SPDR SERIES TRUST              COMMON     78464A516      145       2415 SH  -    DEFINED 02               2415         0        0
D SPDR SERIES TRUST              COMMON     78464A516       71       1189 SH  -    OTHER   10                  0         0     1189

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 698
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SPDR SERIES TRUST              COMMON     78464A532      798      20447 SH  -    OTHER   10                  0         0    20447
D SPDR SERIES TRUST              COMMON     78464A540      789      20421 SH  -    OTHER   10                  0         0    20421
D SPDR SERIES TRUST              COMMON     78464A581      793      16917 SH  -    OTHER   10                  0         0    16917
D SPDR SERIES TRUST              COMMON     78464A607      824      14583 SH  -    OTHER   10                  0         0    14583
D SPDR SERIES TRUST              COMMON     78464A698        2        103 SH  -    DEFINED 02                  0       103        0
D SPDR SERIES TRUST              COMMON     78464A698      108       5583 SH  -    OTHER   02                  0      5583        0
D SPDR SERIES TRUST              COMMON     78464A698    73465    3804520 SH  -    DEFINED 05            3804520         0        0
D SPDR SERIES TRUST              COMMON     78464A698      626      32408 SH  -    DEFINED 08              32408         0        0
D SPDR SERIES TRUST              COMMON     78464A714   431652    9339079 SH  -    DEFINED 05            9339079         0        0
D SPDR SERIES TRUST              COMMON     78464A714        5        100 SH  -    DEFINED 07                100         0        0
D SPDR SERIES TRUST              COMMON     78464A714     7059     152736 SH  -    DEFINED 08             152736         0        0
D SPDR SERIES TRUST              COMMON     78464A714      719      15566 SH  -    OTHER   10                  0         0    15566
D SPDR SERIES TRUST              COMMON     78464A722      836      18271 SH  -    OTHER   10                  0         0    18271
D SPDR SERIES TRUST              COMMON     78464A730   461902   10777000 SH  -    DEFINED 05           10777000         0        0
D SPDR SERIES TRUST              COMMON     78464A730     3061      71408 SH  -    OTHER   10                  0         0    71408
D SPDR SERIES TRUST              COMMON     78464A748       28       1000 SH  -    DEFINED 02               1000         0        0
D SPDR SERIES TRUST              COMMON     78464A748     1418      50000 SH  -    DEFINED 05              50000         0        0
D SPDR SERIES TRUST              COMMON     78464A748      257       9049 SH  -    OTHER   10                  0         0     9049
D SPDR SERIES TRUST              COMMON     78464A755    38536     859600 SH  -    DEFINED 05             859600         0        0
D SPDR SERIES TRUST              COMMON     78464A755     1663      37100 SH  -    DEFINED 08              37100         0        0
D SPDR SERIES TRUST              COMMON     78464A755     1690      37700 SH  -    DEFINED 08              37700         0        0
D SPDR SERIES TRUST              COMMON     78464A755      479      10678 SH  -    OTHER   10                  0         0    10678
D SPDR SERIES TRUST              COMMON     78464A763      155       3200 SH  -    DEFINED 02               3200         0        0
D SPDR SERIES TRUST              COMMON     78464A763       36        750 SH  -    DEFINED 02                750         0        0
D SPDR SERIES TRUST              COMMON     78464A763     1130      23280 SH  -    OTHER   02              21300         0     1980
D SPDR SERIES TRUST              COMMON     78464A763     9199     189472 SH  -    OTHER   10                  0         0   189472

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 699
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SPDR SERIES TRUST              COMMON     78464A789    15970     500000 SH  -    DEFINED 05             500000         0        0
D SPDR SERIES TRUST              COMMON     78464A854    10777     203600 SH  -    DEFINED 05             203600         0        0
D SPDR SERIES TRUST              COMMON     78464A870      171       2879 SH  -    DEFINED 08               2879         0        0
D SPDR SERIES TRUST              COMMON     78464A870      851      14305 SH  -    OTHER   10                  0         0    14305
D SPDR SERIES TRUST              COMMON     78464A888     2917     219476 SH  -    DEFINED 05             219476         0        0
D SPDR SERIES TRUST              COMMON     78464A888      369      27785 SH  -    DEFINED 08              27785         0        0
D SS&C TECHNOLOGIES HLDGS INC    COMMON     78467J100        7        489 SH  -    OTHER   02                  0       489        0
D SS&C TECHNOLOGIES HLDGS INC    COMMON     78467J100      760      53200 SH  -    DEFINED 04              40500         0    12700
D SS&C TECHNOLOGIES HLDGS INC    COMMON     78467J100       23       1582 SH  -    DEFINED 05               1582         0        0
D SS&C TECHNOLOGIES HLDGS INC    COMMON     78467J100       20       1396 SH  -    DEFINED 08               1396         0        0
D SPDR DOW JONES INDL AVRG ETF   COMMON     78467X109       31        289 SH  -    DEFINED 02                289         0        0
D SPDR DOW JONES INDL AVRG ETF   COMMON     78467X109      117       1073 SH  -    OTHER   02                  0         0     1073
D SPDR DOW JONES INDL AVRG ETF   COMMON     78467X109       18        167 SH  -    DEFINED 05                167         0        0
D SPDR DOW JONES INDL AVRG ETF   COMMON     78467X109    93418     857599 SH  -    DEFINED 08             857599         0        0
D SPDR DOW JONES INDL AVRG ETF   COMMON     78467X109     1684      15457 SH  -    OTHER   10                  0         0    15457
D SPDR DOW JONES INDL AVRG ETF   OPTION     78467X901     5447      50000 SH  C    DEFINED 08              50000         0        0
D SPDR S&P MIDCAP 400 ETF TR     COMMON     78467Y107      358       2521 SH  -    DEFINED 02               2521         0        0
D SPDR S&P MIDCAP 400 ETF TR     COMMON     78467Y107      175       1228 SH  -    DEFINED 02               1228         0        0
D SPDR S&P MIDCAP 400 ETF TR     COMMON     78467Y107      109        765 SH  -    OTHER   02                765         0        0
D SPDR S&P MIDCAP 400 ETF TR     COMMON     78467Y107      958       6743 SH  -    OTHER   02               6743         0        0
D SPDR S&P MIDCAP 400 ETF TR     COMMON     78467Y107    33023     232344 SH  -    DEFINED 05             232344         0        0
D SPDR S&P MIDCAP 400 ETF TR     COMMON     78467Y107    10688      75200 SH  -    OTHER   01                  0         0    75200
D SPDR S&P MIDCAP 400 ETF TR     COMMON     78467Y107      527       3708 SH  -    OTHER   10                  0         0     3708
D STEC INC                       COMMON     784774101       10        950 SH  -    OTHER   02                  0         0      950
D STEC INC                       COMMON     784774101       65       6382 SH  -    DEFINED 05               6382         0        0
D STEC INC                       COMMON     784774101       66       6462 SH  -    DEFINED 08               6462         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 700
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STR HLDGS INC                  COMMON     78478V100      240      29622 SH  -    DEFINED 04              29622         0        0
D STR HLDGS INC                  COMMON     78478V100      155      19052 SH  -    DEFINED 05              19052         0        0
D SVB FINL GROUP                 COMMON     78486Q101      250       6765 SH  -    DEFINED 02                555         0     6210
D SVB FINL GROUP                 COMMON     78486Q101       73       1983 SH  -    DEFINED 02               1095         0      888
D SVB FINL GROUP                 COMMON     78486Q101      109       2940 SH  -    DEFINED 02                980         0     1960
D SVB FINL GROUP                 COMMON     78486Q101       17        452 SH  -    OTHER   02                  0       452        0
D SVB FINL GROUP                 COMMON     78486Q101    15109     408363 SH  -    DEFINED 04             288283         0   120080
D SVB FINL GROUP                 COMMON     78486Q101     1549      41877 SH  -    DEFINED 04              41877         0        0
D SVB FINL GROUP                 COMMON     78486Q101     1526      41230 SH  -    DEFINED 04              41230         0        0
D SVB FINL GROUP                 COMMON     78486Q101       19        500 SH  -    DEFINED 04                500         0        0
D SVB FINL GROUP                 COMMON     78486Q101       40       1085 SH  -    DEFINED 04                  0         0     1085
D SVB FINL GROUP                 COMMON     78486Q101      947      25584 SH  -    DEFINED 05              25584         0        0
D SVB FINL GROUP                 COMMON     78486Q101      225       6070 SH  -    DEFINED 08               6070         0        0
D SVB FINL GROUP                 COMMON     78486Q101       95       2580 SH  -    DEFINED 09               2580         0        0
D SVB FINL GROUP                 COMMON     78486Q101        1         28 SH  -    OTHER   01                  0        28        0
D SABA SOFTWARE INC              COMMON     784932600      181      31375 SH  -    DEFINED 04              28275         0     3100
D SABA SOFTWARE INC              COMMON     784932600       37       6422 SH  -    DEFINED 05               6422         0        0
D SABA SOFTWARE INC              COMMON     784932600       10       1705 SH  -    DEFINED 08               1705         0        0
D SWS GROUP INC                  COMMON     78503N107        1        240 SH  -    OTHER   02                  0       240        0
D SWS GROUP INC                  COMMON     78503N107     1144     243935 SH  -    DEFINED 04             224045         0    19890
D SWS GROUP INC                  COMMON     78503N107       97      20715 SH  -    DEFINED 04              20715         0        0
D SWS GROUP INC                  COMMON     78503N107       73      15655 SH  -    DEFINED 05              15655         0        0
D SXC HEALTH SOLUTIONS CORP      COMMON     78505P100       25        450 SH  -    DEFINED 02                450         0        0
D SXC HEALTH SOLUTIONS CORP      COMMON     78505P100      188       3370 SH  -    OTHER   02                  0       544     2813
D SXC HEALTH SOLUTIONS CORP      COMMON     78505P100     4251      76321 SH  -    DEFINED 04              64821         0    11500
D SXC HEALTH SOLUTIONS CORP      COMMON     78505P100     1945      34917 SH  -    DEFINED 04              34917         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 701
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D S Y BANCORP INC                COMMON     785060104      408      21900 SH  -    DEFINED 04              21900         0        0
D S Y BANCORP INC                COMMON     785060104        4        199 SH  -    DEFINED 05                199         0        0
D S Y BANCORP INC                COMMON     785060104       13        717 SH  -    DEFINED 08                717         0        0
D SABRA HEALTH CARE REIT INC     COMMON     78573L106      189      19852 SH  -    DEFINED 05              19852         0        0
D SABRA HEALTH CARE REIT INC     COMMON     78573L106       19       2007 SH  -    DEFINED 08               2007         0        0
D SABRA HEALTH CARE REIT INC     COMMON     78573L106        2        200 SH  -    OTHER   10                  0         0      200
D SAFEGUARD SCIENTIFICS INC      COMMON     786449207     1051      70089 SH  -    OTHER   02              70000        89        0
D SAFEGUARD SCIENTIFICS INC      COMMON     786449207       38       2526 SH  -    DEFINED 05               2526         0        0
D SAFEGUARD SCIENTIFICS INC      COMMON     786449207       18       1232 SH  -    DEFINED 08               1232         0        0
D SAFETY INS GROUP INC           COMMON     78648T100        9        234 SH  -    OTHER   02                  0         9      225
D SAFETY INS GROUP INC           COMMON     78648T100      413      10908 SH  -    DEFINED 04              10908         0        0
D SAFETY INS GROUP INC           COMMON     78648T100      267       7055 SH  -    DEFINED 05               7055         0        0
D SAFETY INS GROUP INC           COMMON     78648T100        7        193 SH  -    DEFINED 08                193         0        0
D SAFEWAY INC                    COMMON     786514208      712      42812 SH  -    DEFINED 02              33073         0     9739
D SAFEWAY INC                    COMMON     786514208       20       1179 SH  -    DEFINED 02               1179         0        0
D SAFEWAY INC                    COMMON     786514208       72       4359 SH  -    DEFINED 02               4033         0      326
D SAFEWAY INC                    COMMON     786514208     2573     154740 SH  -    OTHER   02              27100    127018      492
D SAFEWAY INC                    COMMON     786514208      105       6340 SH  -    OTHER   02               6118         7      215
D SAFEWAY INC                    COMMON     786514208     5869     352937 SH  -    DEFINED 04             130617         0   222320
D SAFEWAY INC                    COMMON     786514208     1360      81774 SH  -    DEFINED 04              81774         0        0
D SAFEWAY INC                    COMMON     786514208        1         88 SH  -    OTHER   04                  0        88        0
D SAFEWAY INC                    COMMON     786514208     1884     113315 SH  -    DEFINED 05             113315         0        0
D SAFEWAY INC                    COMMON     786514208      378      22723 SH  -    DEFINED 08              22723         0        0
D SAFEWAY INC                    COMMON     786514208      160       9630 SH  -    OTHER   09                  0      9630        0
D SAFEWAY INC                    COMMON     786514208        8        500 SH  -    DEFINED 01                500         0        0
D SAFEWAY INC                    COMMON     786514208       20       1219 SH  -    OTHER   10                  0         0     1219

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 702
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SAFEWAY INC                    OPTION     786514901      333      20000 SH  C    DEFINED 05              20000         0        0
D SAGENT PHARMACEUTICALS INC     COMMON     786692103    10035     495778 SH  -    DEFINED 04             393728         0   102050
D SAGENT PHARMACEUTICALS INC     COMMON     786692103     4166     205840 SH  -    DEFINED 04             205840         0        0
D SAGENT PHARMACEUTICALS INC     COMMON     786692103     1039      51340 SH  -    DEFINED 04              51340         0        0
D SAGENT PHARMACEUTICALS INC     COMMON     786692103       36       1799 SH  -    DEFINED 05               1799         0        0
D SAGENT PHARMACEUTICALS INC     COMMON     786692103        8        397 SH  -    DEFINED 08                397         0        0
D SAIA INC                       COMMON     78709Y105        3        288 SH  -    OTHER   02                  0       288        0
D SAIA INC                       COMMON     78709Y105     1798     170950 SH  -    DEFINED 04             156250         0    14700
D SAIA INC                       COMMON     78709Y105     1128     107200 SH  -    DEFINED 04             107200         0        0
D SAIA INC                       COMMON     78709Y105       15       1431 SH  -    DEFINED 05               1431         0        0
D SAIA INC                       COMMON     78709Y105       10        938 SH  -    DEFINED 08                938         0        0
D ST JOE COMPANY                 COMMON     790148100      135       9034 SH  -    OTHER   02                  0      8034     1000
D ST JOE COMPANY                 COMMON     790148100       14        944 SH  -    DEFINED 04                944         0        0
D ST JOE COMPANY                 COMMON     790148100       16       1047 SH  -    DEFINED 05               1047         0        0
D ST JOE COMPANY                 COMMON     790148100       82       5458 SH  -    DEFINED 08               5458         0        0
D ST JOE COMPANY                 COMMON     790148100       13        900 SH  -    DEFINED 01                900         0        0
D ST JOE COMPANY                 COMMON     790148100        0          1 SH  -    OTHER   10                  0         0        1
D ST JUDE MEDICAL                COMMON     790849103     7436     205472 SH  -    DEFINED 02             178683      1354    25435
D ST JUDE MEDICAL                COMMON     790849103     2454      67815 SH  -    DEFINED 02              64184        70     3561
D ST JUDE MEDICAL                COMMON     790849103     4621     127683 SH  -    DEFINED 02             127683         0        0
D ST JUDE MEDICAL                COMMON     790849103      514      14209 SH  -    DEFINED 02               6618         0     7591
D ST JUDE MEDICAL                COMMON     790849103     2675      73914 SH  -    OTHER   02              43325     21794     8730
D ST JUDE MEDICAL                COMMON     790849103      655      18086 SH  -    OTHER   02               4381       766    12939
D ST JUDE MEDICAL                COMMON     790849103       44       1223 SH  -    OTHER   02                  0      1223        0
D ST JUDE MEDICAL                COMMON     790849103       46       1282 SH  -    OTHER   02                  0      1282        0
D ST JUDE MEDICAL                COMMON     790849103      119       3290 SH  -    OTHER   02                  0      3290        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 703
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ST JUDE MEDICAL                COMMON     790849103   228971    6326920 SH  -    DEFINED 04            4957460         0  1369460
D ST JUDE MEDICAL                COMMON     790849103     4235     117020 SH  -    DEFINED 04             117020         0        0
D ST JUDE MEDICAL                COMMON     790849103    15020     415045 SH  -    DEFINED 04             415045         0        0
D ST JUDE MEDICAL                COMMON     790849103    14015     387250 SH  -    DEFINED 04             385273         0     1977
D ST JUDE MEDICAL                COMMON     790849103      142       3922 SH  -    DEFINED 04                  0         0     3922
D ST JUDE MEDICAL                COMMON     790849103     5786     159875 SH  -    OTHER   04                  0    159875        0
D ST JUDE MEDICAL                COMMON     790849103    18698     516651 SH  -    DEFINED 05             516651         0        0
D ST JUDE MEDICAL                COMMON     790849103    37383    1032953 SH  -    DEFINED 09            1014807         0     6852
D ST JUDE MEDICAL                COMMON     790849103      782      21608 SH  -    DEFINED 09              21608         0        0
D ST JUDE MEDICAL                COMMON     790849103     1616      44655 SH  -    DEFINED 09              44655         0        0
D ST JUDE MEDICAL                COMMON     790849103     4268     117928 SH  -    DEFINED 09              27616         0        0
D ST JUDE MEDICAL                COMMON     790849103      350       9680 SH  -    OTHER   09                  0      9680        0
D ST JUDE MEDICAL                COMMON     790849103      404      11164 SH  -    DEFINED 01               9639       885      640
D ST JUDE MEDICAL                COMMON     790849103      140       3859 SH  -    OTHER   01               1535       924     1400
D ST JUDE MEDICAL                COMMON     790849103      820      22658 SH  -    OTHER   10                  0         0    22658
D ST MARY LD & EXPL CO           BOND       792228AD0      386     318000 PRN -    DEFINED 05                  0         0        0
D SAKS INC                       BOND       79377WAL2      489     500000 PRN -    DEFINED 05                  0         0        0
D SAKS INC                       BOND       79377WAL2     5530    5650000 PRN -    DEFINED 09                  0         0        0
D SAKS INC                       COMMON     79377W108       29       3347 SH  -    OTHER   02               2800       547        0
D SAKS INC                       COMMON     79377W108      984     112455 SH  -    DEFINED 04             112455         0        0
D SAKS INC                       COMMON     79377W108      126      14408 SH  -    DEFINED 05              14408         0        0
D SAKS INC                       COMMON     79377W108       91      10415 SH  -    DEFINED 08              10415         0        0
D SAKS INC                       COMMON     79377W108       18       2000 SH  -    OTHER   10                  0         0     2000
D SALEM COMMUN CORP              COMMON     794093104      176      78403 SH  -    DEFINED 05              78403         0        0
D SALESFORCE COM INC             COMMON     79466L302        3         26 SH  -    DEFINED 02                 26         0        0
D SALESFORCE COM INC             COMMON     79466L302      133       1161 SH  -    DEFINED 02               1161         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 704
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SALESFORCE COM INC             COMMON     79466L302      188       1642 SH  -    DEFINED 02               1561         0       81
D SALESFORCE COM INC             COMMON     79466L302      320       2796 SH  -    OTHER   02                  0      2051      745
D SALESFORCE COM INC             COMMON     79466L302       14        123 SH  -    OTHER   02                  5        32       86
D SALESFORCE COM INC             COMMON     79466L302    90616     792930 SH  -    DEFINED 04             432280         0   360650
D SALESFORCE COM INC             COMMON     79466L302    42979     376087 SH  -    DEFINED 04             376087         0        0
D SALESFORCE COM INC             COMMON     79466L302     6986      61130 SH  -    DEFINED 04              61130         0        0
D SALESFORCE COM INC             COMMON     79466L302      113        990 SH  -    OTHER   04                  0       990        0
D SALESFORCE COM INC             COMMON     79466L302      811       7099 SH  -    DEFINED 05               7099         0        0
D SALESFORCE COM INC             COMMON     79466L302       85        746 SH  -    OTHER   09                  0       746        0
D SALESFORCE COM INC             COMMON     79466L302        2         18 SH  -    OTHER   01                  0        18        0
D SALESFORCE COM INC             COMMON     79466L302       61        530 SH  -    OTHER   10                  0         0      530
D SALIX PHARMACEUTICALS INC      BOND       795435AC0        4       4000 PRN -    DEFINED 02                  0         0        0
D SALIX PHARMACEUTICALS INC      BOND       795435AC0    11144   11200000 PRN -    DEFINED 09                  0         0        0
D SALIX PHARMACEUTICALS INC      COMMON     795435106        4        135 SH  -    OTHER   02                  0       135        0
D SALIX PHARMACEUTICALS INC      COMMON     795435106     1488      50268 SH  -    DEFINED 04              43468         0     6800
D SALIX PHARMACEUTICALS INC      COMMON     795435106     3569     120567 SH  -    DEFINED 04             120567         0        0
D SALIX PHARMACEUTICALS INC      COMMON     795435106     1582      53454 SH  -    DEFINED 05              53454         0        0
D SALIX PHARMACEUTICALS INC      COMMON     795435106     1213      40992 SH  -    OTHER   10                  0         0    40992
D SALLY BEAUTY HLDGS INC         COMMON     79546E104      216      12991 SH  -    OTHER   02               3100      4701     5190
D SALLY BEAUTY HLDGS INC         COMMON     79546E104        8        500 SH  -    OTHER   02                  0         0      500
D SALLY BEAUTY HLDGS INC         COMMON     79546E104      760      45756 SH  -    DEFINED 04              45756         0        0
D SALLY BEAUTY HLDGS INC         COMMON     79546E104       48       2885 SH  -    DEFINED 05               2885         0        0
D SALLY BEAUTY HLDGS INC         COMMON     79546E104        5        281 SH  -    OTHER   10                  0         0      281
D SAN JUAN BASIN RTY TR          COMMON     798241105      207       9000 SH  -    DEFINED 02               9000         0        0
D SANDERSON FARMS INC            COMMON     800013104        4         86 SH  -    OTHER   02                  0        86        0
D SANDERSON FARMS INC            COMMON     800013104      705      14850 SH  -    DEFINED 05              14850         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 705
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SANDISK CORP                   BOND       80004CAC5      290     300000 PRN -    DEFINED 02                  0         0        0
D SANDISK CORP                   BOND       80004CAC5      363     375000 PRN -    OTHER   02                  0         0        0
D SANDISK CORP                   BOND       80004CAC5     6386    6600000 PRN -    DEFINED 05                  0         0        0
D SANDISK CORP                   BOND       80004CAC5    21769   22500000 PRN -    DEFINED 08                  0         0        0
D SANDISK CORP                   BOND       80004CAC5      513     530000 PRN -    DEFINED 09                  0         0        0
D SANDISK CORP                   BOND       80004CAD3    56331   53970000 PRN -    DEFINED 09                  0         0        0
D SANDISK CORP                   BOND       80004CAD3    10410    9974000 PRN -    DEFINED 09                  0         0        0
D SANDISK CORP                   COMMON     80004C101     1309      32435 SH  -    DEFINED 02              14817       300    17318
D SANDISK CORP                   COMMON     80004C101      601      14882 SH  -    DEFINED 02              14882         0        0
D SANDISK CORP                   COMMON     80004C101      147       3639 SH  -    DEFINED 02               2862         0      777
D SANDISK CORP                   COMMON     80004C101     1023      25339 SH  -    OTHER   02               3146     22041      130
D SANDISK CORP                   COMMON     80004C101       24        601 SH  -    OTHER   02                 70        35      496
D SANDISK CORP                   COMMON     80004C101       10        250 SH  -    OTHER   02                  0       250        0
D SANDISK CORP                   COMMON     80004C101    74898    1855977 SH  -    DEFINED 04            1664638         0   191339
D SANDISK CORP                   COMMON     80004C101     4957     122823 SH  -    DEFINED 04             122823         0        0
D SANDISK CORP                   COMMON     80004C101     2530      62697 SH  -    DEFINED 04              62697         0        0
D SANDISK CORP                   COMMON     80004C101       86       2126 SH  -    DEFINED 04               2126         0        0
D SANDISK CORP                   COMMON     80004C101     4033      99945 SH  -    DEFINED 04              56888         0    43057
D SANDISK CORP                   COMMON     80004C101      573      14202 SH  -    OTHER   04                  0     14202        0
D SANDISK CORP                   COMMON     80004C101     2723      67483 SH  -    DEFINED 05              67483         0        0
D SANDISK CORP                   COMMON     80004C101    61952    1535168 SH  -    DEFINED 08            1535168         0        0
D SANDISK CORP                   COMMON     80004C101    17113     424051 SH  -    DEFINED 09             396997     27054        0
D SANDISK CORP                   COMMON     80004C101     1037      25708 SH  -    DEFINED 09              25708         0        0
D SANDISK CORP                   COMMON     80004C101     7458     184814 SH  -    DEFINED 09             184814         0        0
D SANDISK CORP                   COMMON     80004C101     1946      48221 SH  -    OTHER   09                  0     48221        0
D SANDISK CORP                   COMMON     80004C101       23        563 SH  -    OTHER   01                400       163        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 706
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SANDISK CORP                   COMMON     80004C101       82       2035 SH  -    OTHER   10                  0         0     2035
D SANDRIDGE PERMIAN TR           COMMON     80007A102     1580      93795 SH  -    OTHER   10                  0         0    93795
D SANDRIDGE ENERGY INC           COMMON     80007P307        2        370 SH  -    DEFINED 02                  0         0      370
D SANDRIDGE ENERGY INC           COMMON     80007P307       18       3312 SH  -    DEFINED 02               1236      2076        0
D SANDRIDGE ENERGY INC           COMMON     80007P307     1177     211701 SH  -    OTHER   02               2399    191353    17809
D SANDRIDGE ENERGY INC           COMMON     80007P307      456      81973 SH  -    OTHER   02               1297      9082    71594
D SANDRIDGE ENERGY INC           COMMON     80007P307       69      12452 SH  -    DEFINED 05              12452         0        0
D SANDRIDGE ENERGY INC           COMMON     80007P307       95      17095 SH  -    OTHER   10                  0         0    17095
D SANGAMO BIOSCIENCE             COMMON     800677106        2        439 SH  -    OTHER   02                  0       439        0
D SANGAMO BIOSCIENCE             COMMON     800677106      427      98247 SH  -    DEFINED 05              98247         0        0
D SANGAMO BIOSCIENCE             COMMON     800677106       14       3252 SH  -    DEFINED 08               3252         0        0
D SANGAMO BIOSCIENCE             COMMON     800677106        5       1100 SH  -    OTHER   10                  0         0     1100
D SANMINA SCI CORP               COMMON     800907206        1         80 SH  -    OTHER   02                  0        80        0
D SANMINA SCI CORP               COMMON     800907206       74      11070 SH  -    DEFINED 05              11070         0        0
D SANMINA SCI CORP               COMMON     800907206      174      26100 SH  -    DEFINED 08              26100         0        0
D SANMINA SCI CORP               COMMON     800907206        7       1019 SH  -    OTHER   10                  0         0     1019
D SANOFI                         ADR        80105N105        6        197 SH  -    DEFINED 02                117        80        0
D SANOFI                         ADR        80105N105       44       1351 SH  -    DEFINED 02               1351         0        0
D SANOFI                         ADR        80105N105     3760     114641 SH  -    OTHER   02                700    110979     2962
D SANOFI                         ADR        80105N105      397      12100 SH  -    OTHER   02               1590     10000      510
D SANOFI                         ADR        80105N105     1994      60786 SH  -    DEFINED 04              60786         0        0
D SANOFI                         ADR        80105N105     4990     152132 SH  -    OTHER   04                  0    152132        0
D SANOFI                         ADR        80105N105    16516     503539 SH  -    OTHER   04                  0    503539        0
D SANOFI                         ADR        80105N105       23        706 SH  -    DEFINED 05                706         0        0
D SANOFI                         ADR        80105N105      283       8643 SH  -    OTHER   01                  0      8476        0
D SANOFI                         ADR        80105N105      977      29791 SH  -    OTHER   10                  0         0    29791

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 707
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SANOFI                         RIGHT      80105N113        0        112 SH  -    DEFINED 02                112         0        0
D SANOFI                         RIGHT      80105N113        0        103 SH  -    DEFINED 02                103         0        0
D SANOFI                         RIGHT      80105N113       18      16640 SH  -    OTHER   02               1000      4304    11336
D SANOFI                         RIGHT      80105N113      133     125621 SH  -    OTHER   02               6045      3685   115891
D SANOFI                         RIGHT      80105N113      218     206000 SH  -    DEFINED 05             206000         0        0
D SANOFI                         RIGHT      80105N113       40      37354 SH  -    DEFINED 08              37354         0        0
D SAP AG                         ADR        803054204       76       1508 SH  -    DEFINED 02               1508         0        0
D SAP AG                         ADR        803054204       18        354 SH  -    DEFINED 02                354         0        0
D SAP AG                         ADR        803054204      662      13074 SH  -    OTHER   02                450     10564     2060
D SAP AG                         ADR        803054204       84       1667 SH  -    OTHER   02                867         0      800
D SAP AG                         ADR        803054204     2247      44392 SH  -    DEFINED 04              44392         0        0
D SAP AG                         ADR        803054204     6101     120527 SH  -    OTHER   04                  0    120527        0
D SAP AG                         ADR        803054204     1697      33518 SH  -    OTHER   04                  0     33518        0
D SAP AG                         ADR        803054204       11        208 SH  -    DEFINED 05                208         0        0
D SAP AG                         ADR        803054204      501       9907 SH  -    OTHER   01               9400       424        0
D SAP AG                         ADR        803054204       18        365 SH  -    OTHER   10                  0         0      365
D SAPIENT CORP                   COMMON     803062108        3        259 SH  -    OTHER   02                107       152        0
D SAPIENT CORP                   COMMON     803062108      125      12365 SH  -    DEFINED 05              12365         0        0
D SAPIENT CORP                   COMMON     803062108       60       5921 SH  -    DEFINED 08               5921         0        0
D SARA LEE CORP                  COMMON     803111103       66       4013 SH  -    DEFINED 02               4013         0        0
D SARA LEE CORP                  COMMON     803111103       71       4339 SH  -    DEFINED 02               4339         0        0
D SARA LEE CORP                  COMMON     803111103      118       7195 SH  -    DEFINED 02               6786         0      409
D SARA LEE CORP                  COMMON     803111103     2265     138542 SH  -    OTHER   02                  0     10192   128350
D SARA LEE CORP                  COMMON     803111103      640      39170 SH  -    OTHER   02              28031       127    11012
D SARA LEE CORP                  COMMON     803111103     4176     255391 SH  -    DEFINED 04             238533         0    16858
D SARA LEE CORP                  COMMON     803111103     1543      94383 SH  -    DEFINED 04              94383         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 708
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SARA LEE CORP                  COMMON     803111103     1837     112328 SH  -    DEFINED 05             112328         0        0
D SARA LEE CORP                  COMMON     803111103    29674    1814911 SH  -    DEFINED 08            1814911         0        0
D SARA LEE CORP                  COMMON     803111103        7        399 SH  -    OTHER   01                200       199        0
D SARA LEE CORP                  COMMON     803111103       67       4100 SH  -    OTHER   10                  0         0     4100
D SARA LEE CORP                  OPTION     803111905       82       5000 SH  C    DEFINED 05               5000         0        0
D SASOL LTD                      ADR        803866300       20        500 SH  -    DEFINED 02                500         0        0
D SASOL LTD                      ADR        803866300        2         52 SH  -    DEFINED 02                 52         0        0
D SASOL LTD                      ADR        803866300       45       1100 SH  -    OTHER   02                  0      1100        0
D SASOL LTD                      ADR        803866300        1         22 SH  -    OTHER   04                  0        22        0
D SASOL LTD                      ADR        803866300       44       1090 SH  -    DEFINED 05               1090         0        0
D SASOL LTD                      ADR        803866300      805      19823 SH  -    DEFINED 06              19823         0        0
D SASOL LTD                      ADR        803866300       12        300 SH  -    DEFINED 08                300         0        0
D SATCON TECHNOLOGY              COMMON     803893106       25      26132 SH  -    OTHER   02              25316       816        0
D SATCON TECHNOLOGY              COMMON     803893106        4       4245 SH  -    DEFINED 05               4245         0        0
D SATCON TECHNOLOGY              COMMON     803893106        3       3164 SH  -    DEFINED 08               3164         0        0
D SAUER-DANFOSS INC              COMMON     804137107       74       2547 SH  -    OTHER   02                  0       940     1590
D SAUER-DANFOSS INC              COMMON     804137107     2681      92775 SH  -    DEFINED 04              83275         0     9500
D SAUER-DANFOSS INC              COMMON     804137107       51       1764 SH  -    DEFINED 05               1764         0        0
D SAUER-DANFOSS INC              COMMON     804137107       20        690 SH  -    DEFINED 08                690         0        0
D SAUL CTRS INC                  COMMON     804395101     1055      31200 SH  -    DEFINED 04              31200         0        0
D SAUL CTRS INC                  COMMON     804395101      275       8133 SH  -    DEFINED 04               8133         0        0
D SAUL CTRS INC                  COMMON     804395101      216       6379 SH  -    DEFINED 05               6379         0        0
D SAVIENT PHARMACEUTICALS INC    BOND       80517QAA8     2666    3822000 PRN -    DEFINED 05                  0         0        0
D SAVIENT PHARMACEUTICALS INC    COMMON     80517Q100      213      51885 SH  -    OTHER   02                  0         0    51885
D SAVIENT PHARMACEUTICALS INC    COMMON     80517Q100        5       1226 SH  -    OTHER   02                  0         0     1226
D SAVIENT PHARMACEUTICALS INC    COMMON     80517Q100     1217     296750 SH  -    DEFINED 04             237650         0    59100

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 709
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SAVIENT PHARMACEUTICALS INC    COMMON     80517Q100      206      50230 SH  -    DEFINED 04              50230         0        0
D SAVIENT PHARMACEUTICALS INC    COMMON     80517Q100     3743     912929 SH  -    DEFINED 05             912929         0        0
D SCANA CORP NEW                 COMMON     80589M102       21        520 SH  -    DEFINED 02                400         0      120
D SCANA CORP NEW                 COMMON     80589M102        6        145 SH  -    DEFINED 02                145         0        0
D SCANA CORP NEW                 COMMON     80589M102       57       1417 SH  -    DEFINED 02               1323         0       94
D SCANA CORP NEW                 COMMON     80589M102      232       5729 SH  -    OTHER   02                160      1649     3920
D SCANA CORP NEW                 COMMON     80589M102      574      14198 SH  -    OTHER   02                840       395    12963
D SCANA CORP NEW                 COMMON     80589M102     1546      38218 SH  -    DEFINED 04              34930         0     3288
D SCANA CORP NEW                 COMMON     80589M102     4866     120290 SH  -    DEFINED 04             120290         0        0
D SCANA CORP NEW                 COMMON     80589M102      410      10134 SH  -    DEFINED 05              10134         0        0
D SCANA CORP NEW                 COMMON     80589M102        6        158 SH  -    OTHER   10                  0         0      158
D SCANSOURCE, INC.               COMMON     806037107        5        183 SH  -    OTHER   02                  0       183        0
D SCANSOURCE, INC.               COMMON     806037107       49       1650 SH  -    OTHER   02                  0      1650        0
D SCANSOURCE, INC.               COMMON     806037107      566      19137 SH  -    DEFINED 04              19137         0        0
D SCANSOURCE, INC.               COMMON     806037107      416      14064 SH  -    DEFINED 05              14064         0        0
D HENRY SCHEIN CORP              COMMON     806407102       36        575 SH  -    DEFINED 02                  0       575        0
D HENRY SCHEIN CORP              COMMON     806407102     3010      48537 SH  -    OTHER   02                  0     44537     4000
D HENRY SCHEIN CORP              COMMON     806407102      248       3998 SH  -    OTHER   02                 10      1558     2430
D HENRY SCHEIN CORP              COMMON     806407102     2841      45821 SH  -    DEFINED 04              45821         0        0
D HENRY SCHEIN CORP              COMMON     806407102     2454      39580 SH  -    DEFINED 05              39580         0        0
D HENRY SCHEIN CORP              COMMON     806407102     1203      19407 SH  -    DEFINED 08              19407         0        0
D HENRY SCHEIN CORP              COMMON     806407102      125       2018 SH  -    DEFINED 09               2018         0        0
D HENRY SCHEIN CORP              COMMON     806407102      763      12300 SH  -    OTHER   01              10000      2100        0
D HENRY SCHEIN CORP              COMMON     806407102       91       1467 SH  -    OTHER   10                  0         0     1467
D SCHLUMBERGER LTD               COMMON     806857108    40747     682179 SH  -    DEFINED 02             588982      3556    89641
D SCHLUMBERGER LTD               COMMON     806857108    15769     264005 SH  -    DEFINED 02             255156       192     8657

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 710
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SCHLUMBERGER LTD               COMMON     806857108     2825      47301 SH  -    DEFINED 02              47301         0        0
D SCHLUMBERGER LTD               COMMON     806857108     2883      48273 SH  -    DEFINED 02              24308         0    23965
D SCHLUMBERGER LTD               COMMON     806857108    36842     616801 SH  -    OTHER   02             293676    250263    72675
D SCHLUMBERGER LTD               COMMON     806857108     9228     154502 SH  -    OTHER   02              95563     18346    40593
D SCHLUMBERGER LTD               COMMON     806857108      722      12089 SH  -    OTHER   02                  0     12089        0
D SCHLUMBERGER LTD               COMMON     806857108      266       4456 SH  -    OTHER   02                  0      4456        0
D SCHLUMBERGER LTD               COMMON     806857108     1200      20096 SH  -    OTHER   02                  0     20096        0
D SCHLUMBERGER LTD               COMMON     806857108       29        482 SH  -    OTHER   02                  0       482        0
D SCHLUMBERGER LTD               COMMON     806857108   767392   12847683 SH  -    DEFINED 04           10703682         0  2144001
D SCHLUMBERGER LTD               COMMON     806857108    28753     481377 SH  -    DEFINED 04             481377         0        0
D SCHLUMBERGER LTD               COMMON     806857108    69201    1158564 SH  -    DEFINED 04            1158564         0        0
D SCHLUMBERGER LTD               COMMON     806857108     7022     117555 SH  -    DEFINED 04             117555         0        0
D SCHLUMBERGER LTD               COMMON     806857108    29223     489258 SH  -    DEFINED 04             486259         0     2999
D SCHLUMBERGER LTD               COMMON     806857108      500       8376 SH  -    DEFINED 04                  0         0     8376
D SCHLUMBERGER LTD               COMMON     806857108    27593     461967 SH  -    OTHER   04                  0    461967        0
D SCHLUMBERGER LTD               COMMON     806857108    51728     866033 SH  -    DEFINED 05             866033         0        0
D SCHLUMBERGER LTD               COMMON     806857108      904      15131 SH  -    DEFINED 06              15131         0        0
D SCHLUMBERGER LTD               COMMON     806857108    27275     456631 SH  -    DEFINED 08             456631         0        0
D SCHLUMBERGER LTD               COMMON     806857108    51629     864376 SH  -    DEFINED 09             843337         0     4238
D SCHLUMBERGER LTD               COMMON     806857108     3612      60472 SH  -    DEFINED 09              60472         0        0
D SCHLUMBERGER LTD               COMMON     806857108     1846      30898 SH  -    DEFINED 09              30898         0        0
D SCHLUMBERGER LTD               COMMON     806857108     4160      69651 SH  -    DEFINED 01              64982      2404     2265
D SCHLUMBERGER LTD               COMMON     806857108     2363      39554 SH  -    OTHER   01              27699      7703     3977
D SCHLUMBERGER LTD               COMMON     806857108     2207      36949 SH  -    OTHER   10                  0         0    36949
D SCHNITZER STEEL                COMMON     806882106      577      15674 SH  -    OTHER   02                410     15264        0
D SCHNITZER STEEL                COMMON     806882106        1         18 SH  -    OTHER   02                  0        18        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 711
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SCHNITZER STEEL                COMMON     806882106      195       5300 SH  -    DEFINED 04               5300         0        0
D SCHNITZER STEEL                COMMON     806882106      652      17710 SH  -    DEFINED 04              17710         0        0
D SCHNITZER STEEL                COMMON     806882106      514      13968 SH  -    DEFINED 05              13968         0        0
D SCHNITZER STEEL                COMMON     806882106       78       2110 SH  -    OTHER   01                  0      2110        0
D SCHOLASTIC CORP                COMMON     807066105        8        285 SH  -    OTHER   02                  0       285        0
D SCHOLASTIC CORP                COMMON     807066105        1         36 SH  -    OTHER   02                  7        23        6
D SCHOLASTIC CORP                COMMON     807066105     2117      75525 SH  -    DEFINED 04              69425         0     6100
D SCHOLASTIC CORP                COMMON     807066105     2298      81979 SH  -    DEFINED 04              81979         0        0
D SCHOLASTIC CORP                COMMON     807066105       98       3498 SH  -    DEFINED 05               3498         0        0
D SCHOLASTIC CORP                COMMON     807066105      200       7132 SH  -    DEFINED 08               7132         0        0
D SCHOOL SPECIALTY INC           BOND       807863AM7      814     894000 PRN -    DEFINED 05                  0         0        0
D SCHOOL SPECIALTY INC           BOND       807863AM7     9100   10000000 PRN -    DEFINED 08                  0         0        0
D SCHOOL SPECIALTY, INC.         COMMON     807863105        4        600 SH  -    DEFINED 02                600         0        0
D SCHOOL SPECIALTY, INC.         COMMON     807863105       49       6820 SH  -    OTHER   02                  0      2320     4500
D SCHOOL SPECIALTY, INC.         COMMON     807863105        5        765 SH  -    OTHER   02                  0       765        0
D SCHOOL SPECIALTY, INC.         COMMON     807863105      600      84200 SH  -    DEFINED 04              78000         0     6200
D SCHOOL SPECIALTY, INC.         COMMON     807863105     1244     174461 SH  -    DEFINED 04             174461         0        0
D SCHOOL SPECIALTY, INC.         COMMON     807863105       61       8513 SH  -    DEFINED 05               8513         0        0
D SCHULMAN A INC                 COMMON     808194104        1         34 SH  -    OTHER   02                  0        34        0
D SCHULMAN A INC                 COMMON     808194104        0          1 SH  -    DEFINED 04                  1         0        0
D SCHULMAN A INC                 COMMON     808194104      390      22931 SH  -    DEFINED 04              22931         0        0
D SCHULMAN A INC                 COMMON     808194104      275      16190 SH  -    DEFINED 05              16190         0        0
D SCHWAB(CHARLES)CP              COMMON     808513105      344      30555 SH  -    DEFINED 02              15315      1130    14110
D SCHWAB(CHARLES)CP              COMMON     808513105       60       5312 SH  -    DEFINED 02               2787      1785      740
D SCHWAB(CHARLES)CP              COMMON     808513105      148      13095 SH  -    DEFINED 02              12421         0      674
D SCHWAB(CHARLES)CP              COMMON     808513105     5363     475834 SH  -    OTHER   02              18630    410539    46392

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 712
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SCHWAB(CHARLES)CP              COMMON     808513105     1226     108750 SH  -    OTHER   02               6878     15594    86278
D SCHWAB(CHARLES)CP              COMMON     808513105    31003    2750892 SH  -    DEFINED 04            2590171         0   160721
D SCHWAB(CHARLES)CP              COMMON     808513105     1817     161200 SH  -    DEFINED 04             161200         0        0
D SCHWAB(CHARLES)CP              COMMON     808513105       28       2525 SH  -    DEFINED 04               2525         0        0
D SCHWAB(CHARLES)CP              COMMON     808513105        9        814 SH  -    OTHER   04                  0       814        0
D SCHWAB(CHARLES)CP              COMMON     808513105     7097     629751 SH  -    DEFINED 05             629751         0        0
D SCHWAB(CHARLES)CP              COMMON     808513105       22       1944 SH  -    DEFINED 06               1944         0        0
D SCHWAB(CHARLES)CP              COMMON     808513105     1278     113407 SH  -    DEFINED 08             113407         0        0
D SCHWAB(CHARLES)CP              COMMON     808513105        0          1 SH  -    DEFINED 09                  1         0        0
D SCHWAB(CHARLES)CP              COMMON     808513105       45       4000 SH  -    DEFINED 01               4000         0        0
D SCHWAB(CHARLES)CP              COMMON     808513105       94       8343 SH  -    OTHER   01                  0      8343        0
D SCHWAB(CHARLES)CP              COMMON     808513105      169      15026 SH  -    OTHER   10                  0         0    15026
D SCHWEITZER-MAUDUIT INTL INC    COMMON     808541106        8        136 SH  -    OTHER   02                  0         0      136
D SCHWEITZER-MAUDUIT INTL INC    COMMON     808541106     1405      25140 SH  -    DEFINED 04              21340         0     3800
D SCHWEITZER-MAUDUIT INTL INC    COMMON     808541106      690      12349 SH  -    DEFINED 04              12349         0        0
D SCHWEITZER-MAUDUIT INTL INC    COMMON     808541106      421       7543 SH  -    DEFINED 05               7543         0        0
D SCICLONE PHARMACEUTICALS INC   COMMON     80862K104       11       3000 SH  -    OTHER   02               3000         0        0
D SCICLONE PHARMACEUTICALS INC   COMMON     80862K104       75      19752 SH  -    DEFINED 05              19752         0        0
D SCICLONE PHARMACEUTICALS INC   COMMON     80862K104        8       1969 SH  -    DEFINED 08               1969         0        0
D SCIENTIFIC GAMES CORP          COMMON     80874P109     1605     225400 SH  -    DEFINED 04             225400         0        0
D SCIENTIFIC GAMES CORP          COMMON     80874P109      343      48242 SH  -    DEFINED 04              48242         0        0
D SCIENTIFIC GAMES CORP          COMMON     80874P109       81      11385 SH  -    DEFINED 05              11385         0        0
D SCIENTIFIC GAMES CORP          COMMON     80874P109       35       4950 SH  -    DEFINED 08               4950         0        0
D SCIENTIFIC GAMES CORP          COMMON     80874P109       98      13768 SH  -    OTHER   10                  0         0    13768
D SCIQUEST INC NEW               COMMON     80908T101     4136     276857 SH  -    DEFINED 04             255277         0    21580
D SCIQUEST INC NEW               COMMON     80908T101       42       2797 SH  -    DEFINED 05               2797         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 713
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SCIQUEST INC NEW               COMMON     80908T101       11        737 SH  -    DEFINED 08                737         0        0
D SCOTTS MIRACLE GRO CO          COMMON     810186106       12        266 SH  -    DEFINED 02                266         0        0
D SCOTTS MIRACLE GRO CO          COMMON     810186106      449      10059 SH  -    OTHER   02               1433       189     8414
D SCOTTS MIRACLE GRO CO          COMMON     810186106    29970     671970 SH  -    DEFINED 04             626991         0    44979
D SCOTTS MIRACLE GRO CO          COMMON     810186106      910      20400 SH  -    DEFINED 04              20400         0        0
D SCOTTS MIRACLE GRO CO          COMMON     810186106      516      11573 SH  -    DEFINED 05              11573         0        0
D SCOTTS MIRACLE GRO CO          COMMON     810186106       51       1143 SH  -    DEFINED 08               1143         0        0
D SCOTTS MIRACLE GRO CO          COMMON     810186106        1         24 SH  -    OTHER   10                  0         0       24
D SCRIPPS E W CO OHIO            COMMON     811054402        4        578 SH  -    DEFINED 02                  0       578        0
D SCRIPPS E W CO OHIO            COMMON     811054402      237      33845 SH  -    OTHER   02                 66     33779        0
D SCRIPPS E W CO OHIO            COMMON     811054402        9       1234 SH  -    OTHER   02                  0         0     1234
D SCRIPPS E W CO OHIO            COMMON     811054402      143      20424 SH  -    DEFINED 04              20424         0        0
D SCRIPPS E W CO OHIO            COMMON     811054402      144      20638 SH  -    DEFINED 05              20638         0        0
D SCRIPPS NETWORKS INTERACT INC  COMMON     811065101      125       3371 SH  -    DEFINED 02               3371         0        0
D SCRIPPS NETWORKS INTERACT INC  COMMON     811065101       44       1182 SH  -    DEFINED 02               1137         0       45
D SCRIPPS NETWORKS INTERACT INC  COMMON     811065101      747      20096 SH  -    OTHER   02                227     19443      426
D SCRIPPS NETWORKS INTERACT INC  COMMON     811065101      647      17410 SH  -    OTHER   02              16200        10     1200
D SCRIPPS NETWORKS INTERACT INC  COMMON     811065101    39353    1058731 SH  -    DEFINED 04             569851         0   488880
D SCRIPPS NETWORKS INTERACT INC  COMMON     811065101    20857     561121 SH  -    DEFINED 04             561121         0        0
D SCRIPPS NETWORKS INTERACT INC  COMMON     811065101       70       1880 SH  -    OTHER   04                  0      1880        0
D SCRIPPS NETWORKS INTERACT INC  COMMON     811065101       92       2482 SH  -    DEFINED 05               2482         0        0
D SCRIPPS NETWORKS INTERACT INC  COMMON     811065101       31        821 SH  -    OTHER   01                  0       821        0
D SCRIPPS NETWORKS INTERACT INC  COMMON     811065101        0          6 SH  -    OTHER   10                  0         0        6
D SEABOARD CORP                  COMMON     811543107        2          1 SH  -    OTHER   02                  0         1        0
D SEABOARD CORP                  COMMON     811543107      180        100 SH  -    OTHER   02                100         0        0
D SEABOARD CORP                  COMMON     811543107     1081        600 SH  -    DEFINED 04                600         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 714
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SEABOARD CORP                  COMMON     811543107       83         46 SH  -    DEFINED 05                 46         0        0
D SEABOARD CORP                  COMMON     811543107       29         16 SH  -    DEFINED 08                 16         0        0
D SEACHANGE INTL INC             COMMON     811699107        3        442 SH  -    DEFINED 02                  0       442        0
D SEACHANGE INTL INC             COMMON     811699107        2        234 SH  -    DEFINED 02                234         0        0
D SEACHANGE INTL INC             COMMON     811699107      232      30121 SH  -    OTHER   02               4250     25871        0
D SEACHANGE INTL INC             COMMON     811699107        7        944 SH  -    OTHER   02                  0         0      944
D SEACHANGE INTL INC             COMMON     811699107       11       1451 SH  -    DEFINED 05               1451         0        0
D SEACHANGE INTL INC             COMMON     811699107       12       1511 SH  -    DEFINED 08               1511         0        0
D SEACOR HOLDINGS INC            COMMON     811904101       10        126 SH  -    OTHER   02                  0       126        0
D SEACOR HOLDINGS INC            COMMON     811904101      438       5459 SH  -    DEFINED 04               5459         0        0
D SEACOR HOLDINGS INC            COMMON     811904101     1549      19317 SH  -    DEFINED 04              19317         0        0
D SEACOR HOLDINGS INC            COMMON     811904101      819      10210 SH  -    DEFINED 05              10210         0        0
D SEALED AIR CORP                COMMON     81211K100        6        348 SH  -    DEFINED 02                348         0        0
D SEALED AIR CORP                COMMON     81211K100       33       1989 SH  -    DEFINED 02               1846         0      143
D SEALED AIR CORP                COMMON     81211K100     2459     147253 SH  -    OTHER   02               8700     95953    42600
D SEALED AIR CORP                COMMON     81211K100      762      45656 SH  -    OTHER   02              37456      5300     2900
D SEALED AIR CORP                COMMON     81211K100    12096     724305 SH  -    DEFINED 04             460318         0   263987
D SEALED AIR CORP                COMMON     81211K100     1165      69767 SH  -    DEFINED 04              69767         0        0
D SEALED AIR CORP                COMMON     81211K100       60       3580 SH  -    DEFINED 04               3580         0        0
D SEALED AIR CORP                COMMON     81211K100       43       2576 SH  -    DEFINED 04               2576         0        0
D SEALED AIR CORP                COMMON     81211K100       40       2380 SH  -    DEFINED 04                  0         0     2380
D SEALED AIR CORP                COMMON     81211K100     5147     308185 SH  -    DEFINED 05             308185         0        0
D SEALED AIR CORP                COMMON     81211K100       37       2241 SH  -    DEFINED 06               2241         0        0
D SEALED AIR CORP                COMMON     81211K100      223      13367 SH  -    DEFINED 09              13367         0        0
D SEALED AIR CORP                COMMON     81211K100      129       7750 SH  -    OTHER   01                  0      7000        0
D SEALED AIR CORP                COMMON     81211K100        3        194 SH  -    OTHER   10                  0         0      194

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 715
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SEALY CORP                     COMMON     812139301        4       2510 SH  -    OTHER   02                638      1872        0
D SEALY CORP                     COMMON     812139301       11       7611 SH  -    DEFINED 05               7611         0        0
D SEALY CORP                     COMMON     812139301        4       2869 SH  -    DEFINED 08               2869         0        0
D SEARS HLDGS CORP               COMMON     812350106        1         18 SH  -    DEFINED 02                 18         0        0
D SEARS HLDGS CORP               COMMON     812350106       95       1658 SH  -    DEFINED 02               1658         0        0
D SEARS HLDGS CORP               COMMON     812350106       26        452 SH  -    DEFINED 02                444         0        8
D SEARS HLDGS CORP               COMMON     812350106      338       5871 SH  -    OTHER   02               4409      1462        0
D SEARS HLDGS CORP               COMMON     812350106    23443     407569 SH  -    DEFINED 04             389290         0    18279
D SEARS HLDGS CORP               COMMON     812350106      404       7030 SH  -    DEFINED 04               7030         0        0
D SEARS HLDGS CORP               COMMON     812350106       51        884 SH  -    DEFINED 04                884         0        0
D SEARS HLDGS CORP               COMMON     812350106       15        254 SH  -    OTHER   04                  0       254        0
D SEARS HLDGS CORP               COMMON     812350106      157       2735 SH  -    DEFINED 05               2735         0        0
D SEARS HLDGS CORP               COMMON     812350106      164       2853 SH  -    DEFINED 08               2853         0        0
D SEARS HLDGS CORP               COMMON     812350106        1         20 SH  -    OTHER   01                  0        20        0
D SEARS HLDGS CORP               COMMON     812350106        7        125 SH  -    OTHER   10                  0         0      125
D SEARS HLDGS CORP               OPTION     812350957      926      16100 SH  P    DEFINED 05              16100         0        0
D SEATTLE GENETICS INC           COMMON     812578102     1163      61075 SH  -    OTHER   02               3000     58075        0
D SEATTLE GENETICS INC           COMMON     812578102      122       6400 SH  -    OTHER   02                  0         0     6400
D SEATTLE GENETICS INC           COMMON     812578102     3096     162596 SH  -    DEFINED 05             162596         0        0
D SEATTLE GENETICS INC           COMMON     812578102       85       4459 SH  -    DEFINED 08               4459         0        0
D SEATTLE GENETICS INC           COMMON     812578102      368      19320 SH  -    DEFINED 09              19320         0        0
D SEATTLE GENETICS INC           COMMON     812578102       52       2725 SH  -    OTHER   01                  0      2725        0
D SELECT SECTOR SPDR TR          COMMON     81369Y100      103       3495 SH  -    DEFINED 02               3495         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y100        2         65 SH  -    DEFINED 02                 65         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y100       63       2162 SH  -    OTHER   02               2162         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y100     1601      54544 SH  -    OTHER   02                  0         0    54544

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 716
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SELECT SECTOR SPDR TR          COMMON     81369Y100   123830    4218377 SH  -    DEFINED 05            4218377         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y100     1209      41175 SH  -    DEFINED 08              41175         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y100     1994      67921 SH  -    OTHER   10                  0         0    67921
D SELECT SECTOR SPDR TR          COMMON     81369Y209       37       1174 SH  -    DEFINED 02               1174         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y209     1173      36980 SH  -    OTHER   02                  0         0    36980
D SELECT SECTOR SPDR TR          COMMON     81369Y209   211608    6669028 SH  -    DEFINED 05            6669028         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y209      757      23852 SH  -    DEFINED 08              23852         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y209     1422      44808 SH  -    OTHER   10                  0         0    44808
D SELECT SECTOR SPDR TR          COMMON     81369Y308       83       2797 SH  -    DEFINED 02               2797         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y308        7        230 SH  -    DEFINED 02                230         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y308     1321      44544 SH  -    OTHER   02                  0         0    44544
D SELECT SECTOR SPDR TR          COMMON     81369Y308    37581    1267065 SH  -    DEFINED 05            1267065         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y308     6906     232833 SH  -    DEFINED 08             232833         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y308      844      28469 SH  -    OTHER   10                  0         0    28469
D SELECT SECTOR SPDR TR          COMMON     81369Y407       44       1258 SH  -    DEFINED 02               1258         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y407     2154      61792 SH  -    OTHER   02                  0         0    61792
D SELECT SECTOR SPDR TR          COMMON     81369Y407    74657    2141621 SH  -    DEFINED 05            2141621         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y407     4482     128575 SH  -    OTHER   10                  0         0   128575
D SELECT SECTOR SPDR TR          COMMON     81369Y506      161       2747 SH  -    DEFINED 02               2747         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y506       30        510 SH  -    DEFINED 02                510         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y506       29        500 SH  -    OTHER   02                500         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y506        9        150 SH  -    OTHER   02                  0         0      150
D SELECT SECTOR SPDR TR          COMMON     81369Y506     6098     104219 SH  -    OTHER   02                  0         0   104219
D SELECT SECTOR SPDR TR          COMMON     81369Y506  1146497   19594891 SH  -    DEFINED 05           19594891         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y506        0          1 SH  -    DEFINED 07                  1         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y506     5377      91892 SH  -    OTHER   10                  0         0    91892

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 717
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SELECT SECTOR SPDR TR          COMMON     81369Y605       73       6183 SH  -    DEFINED 02               6183         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y605     2952     249920 SH  -    OTHER   02                  0         0   249920
D SELECT SECTOR SPDR TR          COMMON     81369Y605    69117    5852438 SH  -    DEFINED 05            5852438         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y605     2034     172262 SH  -    DEFINED 08             172262         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y605      272      23000 SH  -    OTHER   01              23000         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y605     3607     305390 SH  -    OTHER   10                  0         0   305390
D SELECT SECTOR SPDR TR          COMMON     81369Y704       59       2011 SH  -    DEFINED 02               2011         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y704      802      27452 SH  -    OTHER   02                  0         0    27452
D SELECT SECTOR SPDR TR          COMMON     81369Y704   177048    6059151 SH  -    DEFINED 05            6059151         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y704      221       7556 SH  -    DEFINED 08               7556         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y704      517      17700 SH  -    DEFINED 01              17700         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y704     3721     127341 SH  -    OTHER   10                  0         0   127341
D SELECT SECTOR SPDR TR          COMMON     81369Y803      151       6417 SH  -    DEFINED 02               6417         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y803       11        460 SH  -    DEFINED 02                460         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y803     4401     186483 SH  -    OTHER   02                  0         0   186483
D SELECT SECTOR SPDR TR          COMMON     81369Y803      775      32826 SH  -    DEFINED 05              32826         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y803      271      11500 SH  -    DEFINED 06              11500         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y803    10941     463604 SH  -    DEFINED 08             463604         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y803     1866      79074 SH  -    OTHER   10                  0         0    79074
D SELECT SECTOR SPDR TR          COMMON     81369Y886       67       2004 SH  -    DEFINED 02               2004         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y886      330       9818 SH  -    OTHER   02               6000         0     3818
D SELECT SECTOR SPDR TR          COMMON     81369Y886       19        580 SH  -    OTHER   02                500         0       80
D SELECT SECTOR SPDR TR          COMMON     81369Y886     2219      65989 SH  -    OTHER   02                  0         0    65989
D SELECT SECTOR SPDR TR          COMMON     81369Y886      282       8383 SH  -    DEFINED 05               8383         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y886     1832      54485 SH  -    DEFINED 06              54485         0        0
D SELECT SECTOR SPDR TR          COMMON     81369Y886    13851     411984 SH  -    DEFINED 08             411984         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 718
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SELECT SECTOR SPDR TR          COMMON     81369Y886     2957      87955 SH  -    OTHER   10                  0         0    87955
D SELECT SECTOR SPDR TR          OPTION     81369Y902   133536    4549000 SH  C    DEFINED 05            4549000         0        0
D SELECT SECTOR SPDR TR          OPTION     81369Y902    58710    2000000 SH  C    DEFINED 06            2000000         0        0
D SELECT SECTOR SPDR TR          OPTION     81369Y902    59884    2040000 SH  C    DEFINED 08            2040000         0        0
D SELECT SECTOR SPDR TR          OPTION     81369Y951   421561   14360800 SH  P    DEFINED 05           14360800         0        0
D SELECT SECTOR SPDR TR          OPTION     81369Y951   105041    3578300 SH  P    DEFINED 08            3578300         0        0
D SELECT COMFORT COR             COMMON     81616X103        4        261 SH  -    OTHER   02                  0       261        0
D SELECT COMFORT COR             COMMON     81616X103     2107     150800 SH  -    DEFINED 04             134000         0    16800
D SELECT COMFORT COR             COMMON     81616X103      550      39400 SH  -    DEFINED 04              39400         0        0
D SELECT COMFORT COR             COMMON     81616X103      381      27293 SH  -    DEFINED 05              27293         0        0
D SELECT MED HLDGS CORP          COMMON     81619Q105        2        312 SH  -    OTHER   02                  0       312        0
D SELECT MED HLDGS CORP          COMMON     81619Q105       52       7846 SH  -    DEFINED 05               7846         0        0
D SELECT MED HLDGS CORP          COMMON     81619Q105       16       2346 SH  -    DEFINED 08               2346         0        0
D SELECTIVE INS GROUP INC        COMMON     816300107        1        109 SH  -    OTHER   02                  0        66        0
D SELECTIVE INS GROUP INC        COMMON     816300107     2022     154980 SH  -    DEFINED 04             140480         0    14500
D SELECTIVE INS GROUP INC        COMMON     816300107     1165      89297 SH  -    DEFINED 04              89297         0        0
D SELECTIVE INS GROUP INC        COMMON     816300107      344      26378 SH  -    DEFINED 05              26378         0        0
D SELECTIVE INS GROUP INC        COMMON     816300107        8        636 SH  -    DEFINED 08                636         0        0
D SEMGROUP CORP                  COMMON     81663A105      117       5860 SH  -    DEFINED 05               5860         0        0
D SEMGROUP CORP                  COMMON     81663A105      127       6379 SH  -    DEFINED 08               6379         0        0
D SEMICONDUCTOR HOLD             COMMON     816636203    50841    1787666 SH  -    DEFINED 05            1787666         0        0
D SEMICONDUCTOR HOLD             COMMON     816636203        3        100 SH  -    OTHER   10                  0         0      100
D SEMICONDUCTOR HOLD             OPTION     816636906     2707      95200 SH  C    DEFINED 05              95200         0        0
D SEMICONDUCTOR HOLD             OPTION     816636955     2471      86900 SH  P    DEFINED 05              86900         0        0
D SEMTECH CORP                   COMMON     816850101      108       5119 SH  -    OTHER   02                  0      5119        0
D SEMTECH CORP                   COMMON     816850101     1337      63355 SH  -    DEFINED 04              60755         0     2600

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 719
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SEMTECH CORP                   COMMON     816850101      497      23568 SH  -    DEFINED 04              23568         0        0
D SEMTECH CORP                   COMMON     816850101       65       3057 SH  -    DEFINED 05               3057         0        0
D SEMTECH CORP                   COMMON     816850101      138       6544 SH  -    DEFINED 08               6544         0        0
D SEMTECH CORP                   COMMON     816850101        9        425 SH  -    OTHER   10                  0         0      425
D SEMPRA ENERGY CORP             COMMON     816851109    10459     203087 SH  -    DEFINED 02             178808       760    23519
D SEMPRA ENERGY CORP             COMMON     816851109     3959      76877 SH  -    DEFINED 02              75970        55      852
D SEMPRA ENERGY CORP             COMMON     816851109     1720      33404 SH  -    DEFINED 02              33404         0        0
D SEMPRA ENERGY CORP             COMMON     816851109      641      12444 SH  -    DEFINED 02               5525         0     6919
D SEMPRA ENERGY CORP             COMMON     816851109     3639      70663 SH  -    OTHER   02              40584     20849     9230
D SEMPRA ENERGY CORP             COMMON     816851109      976      18945 SH  -    OTHER   02               8355       586    10004
D SEMPRA ENERGY CORP             COMMON     816851109       63       1222 SH  -    OTHER   02                  0      1222        0
D SEMPRA ENERGY CORP             COMMON     816851109       54       1056 SH  -    OTHER   02                  0      1056        0
D SEMPRA ENERGY CORP             COMMON     816851109      140       2717 SH  -    OTHER   02                  0      2717        0
D SEMPRA ENERGY CORP             COMMON     816851109   431123    8371326 SH  -    DEFINED 04            7036790         0  1334536
D SEMPRA ENERGY CORP             COMMON     816851109    14618     283844 SH  -    DEFINED 04             283844         0        0
D SEMPRA ENERGY CORP             COMMON     816851109    20695     401844 SH  -    DEFINED 04             401844         0        0
D SEMPRA ENERGY CORP             COMMON     816851109       52       1005 SH  -    DEFINED 04               1005         0        0
D SEMPRA ENERGY CORP             COMMON     816851109     5420     105245 SH  -    DEFINED 04             105245         0        0
D SEMPRA ENERGY CORP             COMMON     816851109    20185     391942 SH  -    DEFINED 04             389802         0     2140
D SEMPRA ENERGY CORP             COMMON     816851109      175       3404 SH  -    DEFINED 04                  0         0     3404
D SEMPRA ENERGY CORP             COMMON     816851109     1175      22821 SH  -    OTHER   04                  0     22821        0
D SEMPRA ENERGY CORP             COMMON     816851109    13423     260647 SH  -    OTHER   04                  0    260647        0
D SEMPRA ENERGY CORP             COMMON     816851109      519      10071 SH  -    DEFINED 05              10071         0        0
D SEMPRA ENERGY CORP             COMMON     816851109    33208     644817 SH  -    DEFINED 09             624010         0     8640
D SEMPRA ENERGY CORP             COMMON     816851109     2500      48547 SH  -    DEFINED 09              48547         0        0
D SEMPRA ENERGY CORP             COMMON     816851109     1522      29560 SH  -    DEFINED 09              29560         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 720
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SEMPRA ENERGY CORP             COMMON     816851109      998      19374 SH  -    DEFINED 01              17884       700      790
D SEMPRA ENERGY CORP             COMMON     816851109      213       4129 SH  -    OTHER   01               1799      1013     1317
D SEMPRA ENERGY CORP             COMMON     816851109      236       4574 SH  -    OTHER   10                  0         0     4574
D SENECA FOODS CORP NEW          COMMON     817070501      125       6293 SH  -    DEFINED 04               6293         0        0
D SENECA FOODS CORP NEW          COMMON     817070501       84       4256 SH  -    DEFINED 05               4256         0        0
D SENIOR HSG PPTYS TR            COMMON     81721M109    54964    2551703 SH  -    DEFINED 04            2052574         0   499129
D SENIOR HSG PPTYS TR            COMMON     81721M109     2213     102746 SH  -    DEFINED 04             102746         0        0
D SENIOR HSG PPTYS TR            COMMON     81721M109       99       4580 SH  -    DEFINED 04               4580         0        0
D SENIOR HSG PPTYS TR            COMMON     81721M109     2123      98560 SH  -    DEFINED 04              98560         0        0
D SENIOR HSG PPTYS TR            COMMON     81721M109       66       3045 SH  -    DEFINED 04                  0         0     3045
D SENIOR HSG PPTYS TR            COMMON     81721M109       60       2796 SH  -    DEFINED 05               2796         0        0
D SENIOR HSG PPTYS TR            COMMON     81721M109       29       1351 SH  -    DEFINED 06               1351         0        0
D SENIOR HSG PPTYS TR            COMMON     81721M109       70       3269 SH  -    DEFINED 08               3269         0        0
D SENIOR HSG PPTYS TR            COMMON     81721M109      134       6200 SH  -    DEFINED 09               6200         0        0
D SENIOR HSG PPTYS TR            COMMON     81721M109      299      13900 SH  -    OTHER   09                  0     13900        0
D SENIOR HSG PPTYS TR            COMMON     81721M109       10        450 SH  -    OTHER   10                  0         0      450
D SENOMYX INC                    COMMON     81724Q107       27       7617 SH  -    DEFINED 05               7617         0        0
D SENOMYX INC                    COMMON     81724Q107        9       2448 SH  -    DEFINED 08               2448         0        0
D SENSIENT TECHNOLOGIES CORP     COMMON     81725T100        4        109 SH  -    OTHER   02                  0       109        0
D SENSIENT TECHNOLOGIES CORP     COMMON     81725T100     1220      37494 SH  -    DEFINED 04              37494         0        0
D SENSIENT TECHNOLOGIES CORP     COMMON     81725T100      303       9294 SH  -    DEFINED 05               9294         0        0
D SENSIENT TECHNOLOGIES CORP     COMMON     81725T100      183       5624 SH  -    DEFINED 08               5624         0        0
D SENSIENT TECHNOLOGIES CORP     COMMON     81725T100      114       3515 SH  -    DEFINED 09               3515         0        0
D SEQUENOM INC                   COMMON     817337405      622     121937 SH  -    DEFINED 05             121937         0        0
D SEQUENOM INC                   COMMON     817337405       14       2758 SH  -    DEFINED 08               2758         0        0
D SERVICE CORP INTL              COMMON     817565104       95      10398 SH  -    DEFINED 02              10398         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 721
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SERVICE CORP INTL              COMMON     817565104       11       1211 SH  -    OTHER   02                  0      1211        0
D SERVICE CORP INTL              COMMON     817565104     1217     132850 SH  -    DEFINED 04             132850         0        0
D SERVICE CORP INTL              COMMON     817565104     6409     699654 SH  -    DEFINED 04             699654         0        0
D SERVICE CORP INTL              COMMON     817565104       33       3611 SH  -    DEFINED 05               3611         0        0
D SERVICE CORP INTL              COMMON     817565104      220      24030 SH  -    DEFINED 08              24030         0        0
D SERVICESOURCE INTL LLC         COMMON     81763U100        0         20 SH  -    OTHER   02                  0        20        0
D SERVICESOURCE INTL LLC         COMMON     81763U100     5035     381160 SH  -    DEFINED 04             273860         0   107300
D SERVICESOURCE INTL LLC         COMMON     81763U100      609      46100 SH  -    DEFINED 04              46100         0        0
D SERVICESOURCE INTL LLC         COMMON     81763U100      807      61100 SH  -    DEFINED 04              61100         0        0
D SERVICESOURCE INTL LLC         COMMON     81763U100       12        936 SH  -    DEFINED 05                936         0        0
D SERVICESOURCE INTL LLC         COMMON     81763U100        8        596 SH  -    DEFINED 08                596         0        0
D SHANDA GAMES LTD               ADR        81941U105      938     236300 SH  -    DEFINED 06             236300         0        0
D SHANDA GAMES LTD               ADR        81941U105     2531     637555 SH  -    DEFINED 09             637555         0        0
D SHANDA GAMES LTD               ADR        81941U105        4       1000 SH  -    OTHER   10                  0         0     1000
D SHANGPHARMA CORP               ADR        81943P104     4650     557560 SH  -    DEFINED 05             557560         0        0
D SHAW COMMUNICATION             COMMON     82028K200       34       1673 SH  -    DEFINED 05               1673         0        0
D SHAW COMMUNICATION             COMMON     82028K200      207      10252 SH  -    DEFINED 06              10252         0        0
D SHAW GROUP INC                 COMMON     820280105      148       6830 SH  -    DEFINED 02                  0      6830        0
D SHAW GROUP INC                 COMMON     820280105      570      26223 SH  -    OTHER   02               7783     18440        0
D SHAW GROUP INC                 COMMON     820280105      317      14574 SH  -    DEFINED 04              14574         0        0
D SHAW GROUP INC                 COMMON     820280105       67       3088 SH  -    DEFINED 05               3088         0        0
D SHAW GROUP INC                 COMMON     820280105      130       5978 SH  -    DEFINED 08               5978         0        0
D SHERWIN-WILLIAMS               COMMON     824348106     2378      31995 SH  -    DEFINED 02              31995         0        0
D SHERWIN-WILLIAMS               COMMON     824348106      230       3097 SH  -    DEFINED 02               3097         0        0
D SHERWIN-WILLIAMS               COMMON     824348106       81       1089 SH  -    DEFINED 02               1016         0       73
D SHERWIN-WILLIAMS               COMMON     824348106      316       4250 SH  -    OTHER   02               1000      2770      480

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 722
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SHERWIN-WILLIAMS               COMMON     824348106      365       4907 SH  -    OTHER   02               1658         0     3249
D SHERWIN-WILLIAMS               COMMON     824348106   181715    2445031 SH  -    DEFINED 04            2077964         0   367067
D SHERWIN-WILLIAMS               COMMON     824348106    38726     521067 SH  -    DEFINED 04             521067         0        0
D SHERWIN-WILLIAMS               COMMON     824348106       37        499 SH  -    DEFINED 04                499         0        0
D SHERWIN-WILLIAMS               COMMON     824348106     2202      29630 SH  -    DEFINED 04              29630         0        0
D SHERWIN-WILLIAMS               COMMON     824348106     1162      15639 SH  -    OTHER   04                  0     15639        0
D SHERWIN-WILLIAMS               COMMON     824348106     5936      79870 SH  -    OTHER   04                  0     79870        0
D SHERWIN-WILLIAMS               COMMON     824348106     7463     100411 SH  -    DEFINED 05             100411         0        0
D SHERWIN-WILLIAMS               COMMON     824348106        3         41 SH  -    OTHER   10                  0         0       41
D SHERWIN-WILLIAMS               OPTION     824348908     1115      15000 SH  C    DEFINED 05              15000         0        0
D SHIRE PLC                      ADR        82481R106        3         34 SH  -    DEFINED 02                 34         0        0
D SHIRE PLC                      ADR        82481R106       11        118 SH  -    DEFINED 02                118         0        0
D SHIRE PLC                      ADR        82481R106     2503      26644 SH  -    OTHER   02                  0     26464      180
D SHIRE PLC                      ADR        82481R106      246       2620 SH  -    OTHER   02                  0         0     2620
D SHIRE PLC                      ADR        82481R106      338       3600 SH  -    DEFINED 05               3600         0        0
D SHIRE PLC                      ADR        82481R106      231       2464 SH  -    OTHER   01                498      1922        0
D SHIRE PLC                      ADR        82481R106        4         44 SH  -    OTHER   10                  0         0       44
D SHIRE PLC                      OPTION     82481R957    30527     325000 SH  P    DEFINED 08             325000         0        0
D SHORETEL INC                   COMMON     825211105        1        140 SH  -    OTHER   02                  0       140        0
D SHORETEL INC                   COMMON     825211105       46       9303 SH  -    DEFINED 04               9303         0        0
D SHORETEL INC                   COMMON     825211105      137      27550 SH  -    DEFINED 05              27550         0        0
D SHORETEL INC                   COMMON     825211105       14       2873 SH  -    DEFINED 08               2873         0        0
D SHUFFLE MASTER INC             COMMON     825549108       21       2462 SH  -    OTHER   02                  0      2462        0
D SHUFFLE MASTER INC             COMMON     825549108    15945    1895913 SH  -    DEFINED 04            1760453         0   135460
D SHUFFLE MASTER INC             COMMON     825549108      314      37367 SH  -    DEFINED 04              37367         0        0
D SHUFFLE MASTER INC             COMMON     825549108      260      30875 SH  -    DEFINED 05              30875         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 723
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SHUFFLE MASTER INC             COMMON     825549108     1036     123197 SH  -    OTHER   10                  0         0   123197
D SHUTTERFLY INC                 COMMON     82568P304     1219      29608 SH  -    DEFINED 04              29608         0        0
D SHUTTERFLY INC                 COMMON     82568P304      136       3292 SH  -    DEFINED 05               3292         0        0
D SHUTTERFLY INC                 COMMON     82568P304       69       1682 SH  -    DEFINED 08               1682         0        0
D SIEMENS A G                    ADR        826197501       15        170 SH  -    DEFINED 02                170         0        0
D SIEMENS A G                    ADR        826197501       13        150 SH  -    DEFINED 02                150         0        0
D SIEMENS A G                    ADR        826197501      383       4265 SH  -    OTHER   02                  0      4045      220
D SIEMENS A G                    ADR        826197501       15        165 SH  -    OTHER   02                 35         0      130
D SIEMENS A G                    ADR        826197501     2485      27672 SH  -    DEFINED 04              27672         0        0
D SIEMENS A G                    ADR        826197501     6661      74189 SH  -    OTHER   04                  0     74189        0
D SIEMENS A G                    ADR        826197501     1835      20434 SH  -    OTHER   04                  0     20434        0
D SIEMENS A G                    ADR        826197501      149       1659 SH  -    OTHER   01                  0      1556        0
D SIEMENS A G                    ADR        826197501       84        939 SH  -    OTHER   10                  0         0      939
D SIERRA BANCORP                 COMMON     82620P102     1802     196955 SH  -    DEFINED 04             179055         0    17900
D SIERRA BANCORP                 COMMON     82620P102       80       8700 SH  -    DEFINED 04               8700         0        0
D SIERRA BANCORP                 COMMON     82620P102       16       1717 SH  -    DEFINED 05               1717         0        0
D SIERRA BANCORP                 COMMON     82620P102        6        664 SH  -    DEFINED 08                664         0        0
D SIFY TECHNOLOGIES LIMITED      ADR        82655M107       85      21283 SH  -    DEFINED 08              21283         0        0
D SIGMA ALDRICH CORP             COMMON     826552101      183       2957 SH  -    DEFINED 02               2957         0        0
D SIGMA ALDRICH CORP             COMMON     826552101        0          7 SH  -    DEFINED 02                  7         0        0
D SIGMA ALDRICH CORP             COMMON     826552101       92       1488 SH  -    DEFINED 02               1406         0       82
D SIGMA ALDRICH CORP             COMMON     826552101     4577      74072 SH  -    OTHER   02               3257     69374     1441
D SIGMA ALDRICH CORP             COMMON     826552101     1369      22158 SH  -    OTHER   02              11705      2038     8415
D SIGMA ALDRICH CORP             COMMON     826552101    98678    1596991 SH  -    DEFINED 04            1539096         0    57895
D SIGMA ALDRICH CORP             COMMON     826552101     1216      19681 SH  -    DEFINED 04              19681         0        0
D SIGMA ALDRICH CORP             COMMON     826552101     2081      33680 SH  -    DEFINED 04              33680         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 724
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SIGMA ALDRICH CORP             COMMON     826552101     1172      18969 SH  -    OTHER   04                  0     18969        0
D SIGMA ALDRICH CORP             COMMON     826552101     6024      97484 SH  -    OTHER   04                  0     97484        0
D SIGMA ALDRICH CORP             COMMON     826552101     2836      45893 SH  -    DEFINED 05              45893         0        0
D SIGMA ALDRICH CORP             COMMON     826552101      106       1714 SH  -    DEFINED 06               1714         0        0
D SIGMA ALDRICH CORP             COMMON     826552101       49        800 SH  -    DEFINED 01                800         0        0
D SIGMA ALDRICH CORP             COMMON     826552101        1         24 SH  -    OTHER   10                  0         0       24
D SIGMA DESIGNS INC              COMMON     826565103        3        408 SH  -    OTHER   02                  0       408        0
D SIGMA DESIGNS INC              COMMON     826565103      763      97340 SH  -    DEFINED 04              97340         0        0
D SIGMA DESIGNS INC              COMMON     826565103      155      19708 SH  -    DEFINED 04              19708         0        0
D SIGMA DESIGNS INC              COMMON     826565103      126      16024 SH  -    DEFINED 05              16024         0        0
D SIGNATURE BK NEW YORK N Y      COMMON     82669G104        8        170 SH  -    OTHER   02                 23       147        0
D SIGNATURE BK NEW YORK N Y      COMMON     82669G104     4609      96575 SH  -    DEFINED 04              72755         0    23820
D SIGNATURE BK NEW YORK N Y      COMMON     82669G104     6508     136387 SH  -    DEFINED 04             136387         0        0
D SIGNATURE BK NEW YORK N Y      COMMON     82669G104      639      13400 SH  -    DEFINED 04              13400         0        0
D SIGNATURE BK NEW YORK N Y      COMMON     82669G104     1053      22058 SH  -    DEFINED 05              22058         0        0
D SIGNATURE BK NEW YORK N Y      COMMON     82669G104        3         65 SH  -    OTHER   10                  0         0       65
D SIGA PHARMACEUTICA             COMMON     826917106        9       2764 SH  -    DEFINED 05               2764         0        0
D SIGA PHARMACEUTICA             COMMON     826917106        7       2019 SH  -    DEFINED 08               2019         0        0
D SIGA PHARMACEUTICA             COMMON     826917106       34      10500 SH  -    OTHER   10                  0         0    10500
D SILGAN HOLDINGS INC            COMMON     827048109       25        675 SH  -    DEFINED 02                675         0        0
D SILGAN HOLDINGS INC            COMMON     827048109        0         12 SH  -    OTHER   02                  0        12        0
D SILGAN HOLDINGS INC            COMMON     827048109   162693    4428213 SH  -    DEFINED 04            4203075         0   225138
D SILGAN HOLDINGS INC            COMMON     827048109      340       9256 SH  -    DEFINED 04               9256         0        0
D SILGAN HOLDINGS INC            COMMON     827048109     2002      54500 SH  -    DEFINED 04              54500         0        0
D SILGAN HOLDINGS INC            COMMON     827048109     1010      27491 SH  -    OTHER   04                  0     27491        0
D SILGAN HOLDINGS INC            COMMON     827048109     4960     134997 SH  -    OTHER   04                  0    134997        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 725
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SILGAN HOLDINGS INC            COMMON     827048109       28        775 SH  -    DEFINED 05                775         0        0
D SILGAN HOLDINGS INC            COMMON     827048109       31        843 SH  -    DEFINED 08                843         0        0
D SILGAN HOLDINGS INC            COMMON     827048109        1         30 SH  -    OTHER   10                  0         0       30
D SILICON IMAGE INC              COMMON     82705T102        2        307 SH  -    OTHER   02                  0       307        0
D SILICON IMAGE INC              COMMON     82705T102       64      10897 SH  -    DEFINED 05              10897         0        0
D SILICON IMAGE INC              COMMON     82705T102       28       4835 SH  -    DEFINED 08               4835         0        0
D SILICONWARE PRECISION INDS LTD ADR        827084864     4190     876658 SH  -    DEFINED 04             876658         0        0
D SILVER STD RES INC             COMMON     82823L106       50       2739 SH  -    DEFINED 02                  0      2739        0
D SILVER STD RES INC             COMMON     82823L106        1         28 SH  -    DEFINED 02                 28         0        0
D SILVER STD RES INC             COMMON     82823L106       67       3653 SH  -    OTHER   02               2680       973        0
D SILVER STD RES INC             COMMON     82823L106     1563      85200 SH  -    DEFINED 05              85200         0        0
D SILVER STD RES INC             COMMON     82823L106       11        574 SH  -    DEFINED 08                574         0        0
D SILVER STD RES INC             COMMON     82823L106       24       1300 SH  -    OTHER   10                  0         0     1300
D SILVER WHEATON CORP            COMMON     828336107      299      10160 SH  -    DEFINED 02              10160         0        0
D SILVER WHEATON CORP            COMMON     828336107       10        350 SH  -    OTHER   02                  0         0      350
D SILVER WHEATON CORP            COMMON     828336107      327      11100 SH  -    DEFINED 04              11100         0        0
D SILVER WHEATON CORP            COMMON     828336107     2992     101606 SH  -    DEFINED 05             101606         0        0
D SILVER WHEATON CORP            COMMON     828336107      865      29388 SH  -    DEFINED 06              29388         0        0
D SILVER WHEATON CORP            COMMON     828336107     4873     165479 SH  -    DEFINED 08             165479         0        0
D SILVER WHEATON CORP            COMMON     828336107    85552    2905000 SH  -    DEFINED 09            2905000         0        0
D SILVER WHEATON CORP            COMMON     828336107     5448     185000 SH  -    DEFINED 09             185000         0        0
D SILVER WHEATON CORP            COMMON     828336107     4662     158301 SH  -    OTHER   10                  0         0   158301
D SILVERCORP METALS INC          COMMON     82835P103       82      10334 SH  -    DEFINED 08              10334         0        0
D SIMCERE PHARMACEUTICAL GROUP   ADR        82859P104      479      48200 SH  -    DEFINED 02              48200         0        0
D SIMCERE PHARMACEUTICAL GROUP   ADR        82859P104     4904     493900 SH  -    DEFINED 04             493900         0        0
D SIMCERE PHARMACEUTICAL GROUP   ADR        82859P104    10100    1017132 SH  -    DEFINED 09             570532    446600        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 726
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SIMMONS 1ST NATL CORP          COMMON     828730200        1         31 SH  -    OTHER   02                  0        31        0
D SIMMONS 1ST NATL CORP          COMMON     828730200     1103      50850 SH  -    DEFINED 04              46350         0     4500
D SIMMONS 1ST NATL CORP          COMMON     828730200     1311      60402 SH  -    DEFINED 04              60402         0        0
D SIMMONS 1ST NATL CORP          COMMON     828730200      175       8061 SH  -    DEFINED 05               8061         0        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109     4128      37530 SH  -    DEFINED 02              37530         0        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109      395       3593 SH  -    DEFINED 02               3384         0      209
D SIMON PPTY GROUP INC NEW       COMMON     828806109   193293    1757528 SH  -    DEFINED 04            1287433         0   470095
D SIMON PPTY GROUP INC NEW       COMMON     828806109     5780      52558 SH  -    DEFINED 04              52558         0        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109     1438      13074 SH  -    DEFINED 04              13074         0        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109      300       2727 SH  -    DEFINED 04               2727         0        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109     9300      84558 SH  -    DEFINED 04              65302         0        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109      254       2305 SH  -    OTHER   04                  0      2305        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109    16184     147154 SH  -    DEFINED 05             147154         0        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109      230       2090 SH  -    DEFINED 06               2090         0        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109     1989      18081 SH  -    DEFINED 08              18081         0        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109     1133      10298 SH  -    DEFINED 09              10298         0        0
D SIMON PPTY GROUP INC NEW       COMMON     828806109       60        544 SH  -    OTHER   10                  0         0      544
D SIMON PPTY GROUP INC NEW       OPTION     828806901      671       6100 SH  C    DEFINED 05               6100         0        0
D SIMPSON MANUFACTURING CO INC   COMMON     829073105       19        744 SH  -    OTHER   02                  0       744        0
D SIMPSON MANUFACTURING CO INC   COMMON     829073105        1         29 SH  -    OTHER   02                  5        17        7
D SIMPSON MANUFACTURING CO INC   COMMON     829073105     7907     317170 SH  -    DEFINED 04             227740         0    89430
D SIMPSON MANUFACTURING CO INC   COMMON     829073105     6580     263935 SH  -    DEFINED 04             263935         0        0
D SIMPSON MANUFACTURING CO INC   COMMON     829073105     1249      50120 SH  -    DEFINED 04              50120         0        0
D SIMPSON MANUFACTURING CO INC   COMMON     829073105      547      21958 SH  -    DEFINED 05              21958         0        0
D SIMS METAL MANAGEMENT LTD      ADR        829160100       29       2471 SH  -    OTHER   02                  0      2471        0
D SIMS METAL MANAGEMENT LTD      ADR        829160100        0         32 SH  -    DEFINED 05                 32         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 727
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SIMS METAL MANAGEMENT LTD      ADR        829160100        1         87 SH  -    OTHER   01                  0         0        0
D SIMS METAL MANAGEMENT LTD      ADR        829160100      348      29525 SH  -    OTHER   10                  0         0    29525
D SINCLAIR BROADCAST             COMMON     829226109       29       4000 SH  -    OTHER   02               4000         0        0
D SINCLAIR BROADCAST             COMMON     829226109     5140     716825 SH  -    DEFINED 04             598025         0   118800
D SINCLAIR BROADCAST             COMMON     829226109     1802     251263 SH  -    DEFINED 04             251263         0        0
D SINCLAIR BROADCAST             COMMON     829226109       33       4585 SH  -    DEFINED 05               4585         0        0
D SINCLAIR BROADCAST             COMMON     829226109     5268     734713 SH  -    DEFINED 08             734713         0        0
D SIRONA DENTAL SYSTEMS INC      COMMON     82966C103      147       3470 SH  -    DEFINED 02               3470         0        0
D SIRONA DENTAL SYSTEMS INC      COMMON     82966C103       81       1905 SH  -    OTHER   02                  0       255     1650
D SIRONA DENTAL SYSTEMS INC      COMMON     82966C103    53102    1252120 SH  -    DEFINED 04             694358         0   557762
D SIRONA DENTAL SYSTEMS INC      COMMON     82966C103    16031     378000 SH  -    DEFINED 04             378000         0        0
D SIRONA DENTAL SYSTEMS INC      COMMON     82966C103       48       1123 SH  -    DEFINED 04               1123         0        0
D SIRONA DENTAL SYSTEMS INC      COMMON     82966C103      222       5226 SH  -    OTHER   04                  0      5226        0
D SIRONA DENTAL SYSTEMS INC      COMMON     82966C103       58       1360 SH  -    DEFINED 05               1360         0        0
D SIRONA DENTAL SYSTEMS INC      COMMON     82966C103     1546      36446 SH  -    DEFINED 08              36446         0        0
D SIRONA DENTAL SYSTEMS INC      COMMON     82966C103      386       9094 SH  -    DEFINED 09               9094         0        0
D SIRONA DENTAL SYSTEMS INC      COMMON     82966C103        3         81 SH  -    OTHER   10                  0         0       81
D SIRIUS XM RADIO INC            COMMON     82967N108       76      50000 SH  -    DEFINED 02              50000         0        0
D SIRIUS XM RADIO INC            COMMON     82967N108      124      82400 SH  -    DEFINED 02              82400         0        0
D SIRIUS XM RADIO INC            COMMON     82967N108       42      28077 SH  -    OTHER   02                  0     21294     6783
D SIRIUS XM RADIO INC            COMMON     82967N108        3       2000 SH  -    OTHER   02                  0         0     2000
D SIRIUS XM RADIO INC            COMMON     82967N108    28889   19131706 SH  -    DEFINED 04           10467137         0  8664569
D SIRIUS XM RADIO INC            COMMON     82967N108    13600    9006700 SH  -    DEFINED 04            9006700         0        0
D SIRIUS XM RADIO INC            COMMON     82967N108       50      33366 SH  -    OTHER   04                  0     33366        0
D SIRIUS XM RADIO INC            COMMON     82967N108      332     219743 SH  -    DEFINED 05             219743         0        0
D SIRIUS XM RADIO INC            COMMON     82967N108      627     414901 SH  -    DEFINED 08             414901         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 728
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SIRIUS XM RADIO INC            COMMON     82967N108       23      15190 SH  -    OTHER   10                  0         0    15190
D SIRIUS XM RADIO INC            OPTION     82967N900      100      66500 SH  C    DEFINED 05              66500         0        0
D SIRIUS XM RADIO INC            OPTION     82967N959      121      80100 SH  P    DEFINED 05              80100         0        0
D SIX FLAGS ENTMT CORP NEW       COMMON     83001A102        1         36 SH  -    OTHER   02                 36         0        0
D SIX FLAGS ENTMT CORP NEW       COMMON     83001A102      214       7731 SH  -    DEFINED 05               7731         0        0
D SIX FLAGS ENTMT CORP NEW       COMMON     83001A102       69       2495 SH  -    DEFINED 08               2495         0        0
D SKECHERS U S A INC             COMMON     830566105      140      10000 SH  -    DEFINED 02              10000         0        0
D SKECHERS U S A INC             COMMON     830566105        3        224 SH  -    OTHER   02                  0       224        0
D SKECHERS U S A INC             COMMON     830566105      358      25494 SH  -    DEFINED 04              25494         0        0
D SKECHERS U S A INC             COMMON     830566105      266      18983 SH  -    DEFINED 05              18983         0        0
D SKECHERS U S A INC             COMMON     830566105        6        441 SH  -    DEFINED 08                441         0        0
D SKILLED HEALTHCARE GROUP INC   COMMON     83066R107        0         86 SH  -    OTHER   02                  0        86        0
D SKILLED HEALTHCARE GROUP INC   COMMON     83066R107      331      91600 SH  -    DEFINED 04              91600         0        0
D SKILLED HEALTHCARE GROUP INC   COMMON     83066R107       12       3262 SH  -    DEFINED 05               3262         0        0
D SKILLED HEALTHCARE GROUP INC   COMMON     83066R107        4       1121 SH  -    DEFINED 08               1121         0        0
D SKULLCANDY INC                 COMMON     83083J104     6755     478050 SH  -    DEFINED 04             363550         0   114500
D SKULLCANDY INC                 COMMON     83083J104      739      52300 SH  -    DEFINED 04              52300         0        0
D SKULLCANDY INC                 COMMON     83083J104     2322     164332 SH  -    DEFINED 05             164332         0        0
D SKYWEST INC                    COMMON     830879102      142      12323 SH  -    DEFINED 02                  0     12323        0
D SKYWEST INC                    COMMON     830879102      405      35174 SH  -    OTHER   02              12084     23039        0
D SKYWEST INC                    COMMON     830879102      398      34600 SH  -    DEFINED 04              34600         0        0
D SKYWEST INC                    COMMON     830879102     2403     208799 SH  -    DEFINED 04             208799         0        0
D SKYWEST INC                    COMMON     830879102      347      30148 SH  -    DEFINED 05              30148         0        0
D SKYWORKS SOLUTIONS INC         COMMON     83088M102      106       5876 SH  -    DEFINED 02               5876         0        0
D SKYWORKS SOLUTIONS INC         COMMON     83088M102        2        135 SH  -    DEFINED 02                135         0        0
D SKYWORKS SOLUTIONS INC         COMMON     83088M102       48       2659 SH  -    OTHER   02                  0      2093      477

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 729
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SKYWORKS SOLUTIONS INC         COMMON     83088M102     4692     261240 SH  -    DEFINED 04             209040         0    52200
D SKYWORKS SOLUTIONS INC         COMMON     83088M102     1969     109655 SH  -    DEFINED 04             109655         0        0
D SKYWORKS SOLUTIONS INC         COMMON     83088M102       58       3248 SH  -    DEFINED 04               3248         0        0
D SKYWORKS SOLUTIONS INC         COMMON     83088M102      172       9587 SH  -    OTHER   04                  0      9587        0
D SKYWORKS SOLUTIONS INC         COMMON     83088M102       52       2915 SH  -    DEFINED 05               2915         0        0
D SKYWORKS SOLUTIONS INC         COMMON     83088M102        2        109 SH  -    OTHER   01                  0       109        0
D SKYWORKS SOLUTIONS INC         COMMON     83088M102      427      23801 SH  -    OTHER   10                  0         0    23801
D SMART BALANCE INC              COMMON     83169Y108       10       1698 SH  -    OTHER   02                  0      1698        0
D SMART BALANCE INC              COMMON     83169Y108     1116     189118 SH  -    DEFINED 04             170128         0    18990
D SMART BALANCE INC              COMMON     83169Y108        5        901 SH  -    DEFINED 05                901         0        0
D SMART BALANCE INC              COMMON     83169Y108       19       3299 SH  -    DEFINED 08               3299         0        0
D SMITH & NEPHEW PLC             ADR        83175M205       18        401 SH  -    OTHER   02                  0       401        0
D SMITH & NEPHEW PLC             ADR        83175M205        4         79 SH  -    OTHER   01                  0        22        0
D SMITH & NEPHEW PLC             ADR        83175M205     3876      86741 SH  -    OTHER   10                  0         0    86741
D SMITH A O                      COMMON     831865209       28        884 SH  -    OTHER   02                  0       884        0
D SMITH A O                      COMMON     831865209        4        129 SH  -    OTHER   02                  0        19      110
D SMITH A O                      COMMON     831865209     1722      53774 SH  -    DEFINED 04              53774         0        0
D SMITH A O                      COMMON     831865209      715      22327 SH  -    DEFINED 05              22327         0        0
D SMITH A O                      COMMON     831865209     9585     299252 SH  -    DEFINED 08             299252         0        0
D SMITH MICRO SOFTWA             COMMON     832154108        1        569 SH  -    OTHER   02                  0       569        0
D SMITH MICRO SOFTWA             COMMON     832154108       32      21216 SH  -    DEFINED 04              21216         0        0
D SMITH MICRO SOFTWA             COMMON     832154108       30      19501 SH  -    DEFINED 05              19501         0        0
D SMITHFIELD FOODS INC           BOND       832248AR9       19      17000 PRN -    DEFINED 05                  0         0        0
D SMITHFIELD FOODS INC           BOND       832248AR9     3311    3000000 PRN -    DEFINED 09                  0         0        0
D SMITHFIELD FOODS               COMMON     832248108        7        357 SH  -    DEFINED 02                357         0        0
D SMITHFIELD FOODS               COMMON     832248108       52       2642 SH  -    OTHER   02                274      2196      100

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 730
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SMITHFIELD FOODS               COMMON     832248108       24       1216 SH  -    OTHER   02                  0         0     1216
D SMITHFIELD FOODS               COMMON     832248108    16636     853145 SH  -    DEFINED 04             770445         0    82700
D SMITHFIELD FOODS               COMMON     832248108    10554     541232 SH  -    DEFINED 04             541232         0        0
D SMITHFIELD FOODS               COMMON     832248108       98       5020 SH  -    DEFINED 04               5020         0        0
D SMITHFIELD FOODS               COMMON     832248108      299      15346 SH  -    OTHER   04                  0     15346        0
D SMITHFIELD FOODS               COMMON     832248108       44       2260 SH  -    DEFINED 05               2260         0        0
D SMITHFIELD FOODS               COMMON     832248108    19193     984282 SH  -    DEFINED 08             984282         0        0
D SMITHFIELD FOODS               COMMON     832248108        1         66 SH  -    OTHER   10                  0         0       66
D SMUCKER J M CO                 COMMON     832696405      495       6792 SH  -    DEFINED 02               6792         0        0
D SMUCKER J M CO                 COMMON     832696405     1143      15680 SH  -    DEFINED 02              15585         0       95
D SMUCKER J M CO                 COMMON     832696405      101       1389 SH  -    DEFINED 02               1312         0       77
D SMUCKER J M CO                 COMMON     832696405      735      10088 SH  -    OTHER   02               4574      4251     1246
D SMUCKER J M CO                 COMMON     832696405      356       4889 SH  -    OTHER   02               4005        80      804
D SMUCKER J M CO                 COMMON     832696405   143875    1973858 SH  -    DEFINED 04            1870804         0   103054
D SMUCKER J M CO                 COMMON     832696405     5810      79716 SH  -    DEFINED 04              79716         0        0
D SMUCKER J M CO                 COMMON     832696405       59        814 SH  -    DEFINED 04                814         0        0
D SMUCKER J M CO                 COMMON     832696405     5349      73378 SH  -    DEFINED 04              55809         0    17569
D SMUCKER J M CO                 COMMON     832696405     1437      19718 SH  -    OTHER   04                  0     19718        0
D SMUCKER J M CO                 COMMON     832696405     7521     103177 SH  -    OTHER   04                  0    103177        0
D SMUCKER J M CO                 COMMON     832696405     3355      46031 SH  -    DEFINED 05              46031         0        0
D SMUCKER J M CO                 COMMON     832696405    12468     171058 SH  -    DEFINED 09             160128     10930        0
D SMUCKER J M CO                 COMMON     832696405      819      11240 SH  -    DEFINED 09              11240         0        0
D SMUCKER J M CO                 COMMON     832696405     5976      81982 SH  -    DEFINED 09              81982         0        0
D SMUCKER J M CO                 COMMON     832696405      142       1943 SH  -    OTHER   09                  0      1943        0
D SMUCKER J M CO                 COMMON     832696405      393       5398 SH  -    DEFINED 01               5300         0       98
D SMUCKER J M CO                 COMMON     832696405      491       6743 SH  -    OTHER   01               6500       135      108

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 731
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SMUCKER J M CO                 COMMON     832696405      337       4628 SH  -    OTHER   10                  0         0     4628
D SNAP ON INC                    COMMON     833034101      421       9479 SH  -    DEFINED 02               9479         0        0
D SNAP ON INC                    COMMON     833034101      876      19739 SH  -    DEFINED 02              19624         0      115
D SNAP ON INC                    COMMON     833034101       30        678 SH  -    DEFINED 02                671         0        7
D SNAP ON INC                    COMMON     833034101      654      14731 SH  -    OTHER   02               7450      4756     2525
D SNAP ON INC                    COMMON     833034101      146       3292 SH  -    OTHER   02               2965        60      267
D SNAP ON INC                    COMMON     833034101    93567    2107372 SH  -    DEFINED 04            1999055         0   108317
D SNAP ON INC                    COMMON     833034101     4463     100508 SH  -    DEFINED 04             100508         0        0
D SNAP ON INC                    COMMON     833034101     1784      40191 SH  -    DEFINED 04              40191         0        0
D SNAP ON INC                    COMMON     833034101      926      20849 SH  -    OTHER   04                  0     20849        0
D SNAP ON INC                    COMMON     833034101     4679     105392 SH  -    OTHER   04                  0    105392        0
D SNAP ON INC                    COMMON     833034101      242       5454 SH  -    DEFINED 05               5454         0        0
D SNAP ON INC                    COMMON     833034101      218       4905 SH  -    DEFINED 01               4800         0      105
D SNAP ON INC                    COMMON     833034101       13        290 SH  -    OTHER   01                  0       160      130
D SNAP ON INC                    COMMON     833034101        1         20 SH  -    OTHER   10                  0         0       20
D SNYDERS-LANCE INC              COMMON     833551104      695      33346 SH  -    DEFINED 04              33346         0        0
D SNYDERS-LANCE INC              COMMON     833551104      559      26792 SH  -    DEFINED 05              26792         0        0
D SOCIEDAD QUIMICA MINERA DE CHI ADR        833635105       18        380 SH  -    OTHER   02                380         0        0
D SOCIEDAD QUIMICA MINERA DE CHI ADR        833635105       43        900 SH  -    OTHER   02                  0         0      900
D SOCIEDAD QUIMICA MINERA DE CHI ADR        833635105       38        802 SH  -    DEFINED 05                802         0        0
D SOCIEDAD QUIMICA MINERA DE CHI ADR        833635105      405       8481 SH  -    DEFINED 06               8481         0        0
D SOCIEDAD QUIMICA MINERA DE CHI ADR        833635105      359       7500 SH  -    OTHER   10                  0         0     7500
D SOHU.COM                       COMMON     83408W103        1         20 SH  -    OTHER   02                  0        20        0
D SOHU.COM                       COMMON     83408W103      412       8555 SH  -    DEFINED 04               8555         0        0
D SOHU.COM                       COMMON     83408W103      813      16877 SH  -    DEFINED 04              16877         0        0
D SOHU.COM                       COMMON     83408W103       90       1869 SH  -    DEFINED 05               1869         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 732
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SOHU.COM                       COMMON     83408W103    50056    1038500 SH  -    DEFINED 08            1038500         0        0
D SOHU.COM                       COMMON     83408W103      312       6463 SH  -    OTHER   10                  0         0     6463
D SOLAR CAP LTD                  COMMON     83413U100       28       1379 SH  -    DEFINED 02               1379         0        0
D SOLAR CAP LTD                  COMMON     83413U100        5        242 SH  -    OTHER   02                  0       242        0
D SOLAR CAP LTD                  COMMON     83413U100       84       4170 SH  -    OTHER   02                  0         0     4170
D SOLAR CAP LTD                  COMMON     83413U100      116       5767 SH  -    DEFINED 05               5767         0        0
D SOLAR CAP LTD                  COMMON     83413U100       43       2133 SH  -    DEFINED 08               2133         0        0
D SOLAR CAP LTD                  COMMON     83413U100     1462      72636 SH  -    OTHER   10                  0         0    72636
D SOLAZYME INC                   COMMON     83415T101        2        215 SH  -    OTHER   02                107       108        0
D SOLAZYME INC                   COMMON     83415T101      513      53375 SH  -    DEFINED 04              47575         0     5800
D SOLAZYME INC                   COMMON     83415T101      133      13800 SH  -    DEFINED 04              13800         0        0
D SOLAZYME INC                   COMMON     83415T101        5        525 SH  -    DEFINED 05                525         0        0
D SOLAZYME INC                   COMMON     83415T101        6        652 SH  -    DEFINED 08                652         0        0
D SOLARWINDS INC                 COMMON     83416B109        4        159 SH  -    OTHER   02                  0       159        0
D SOLARWINDS INC                 COMMON     83416B109    24227    1100212 SH  -    DEFINED 04             938812         0   161400
D SOLARWINDS INC                 COMMON     83416B109     8332     378400 SH  -    DEFINED 04             378400         0        0
D SOLARWINDS INC                 COMMON     83416B109     1511      68620 SH  -    DEFINED 04              68620         0        0
D SOLARWINDS INC                 COMMON     83416B109      138       6287 SH  -    DEFINED 05               6287         0        0
D SOLARWINDS INC                 COMMON     83416B109      135       6133 SH  -    DEFINED 08               6133         0        0
D SOLAR SR CAP LTD               COMMON     83416M105        4        302 SH  -    DEFINED 05                302         0        0
D SOLAR SR CAP LTD               COMMON     83416M105      301      21035 SH  -    OTHER   10                  0         0    21035
D SOLERA HOLDINGS INC            COMMON     83421A104      203       4021 SH  -    OTHER   02                 44      3977        0
D SOLERA HOLDINGS INC            COMMON     83421A104       27        541 SH  -    OTHER   02                  0         0      541
D SOLERA HOLDINGS INC            COMMON     83421A104    44404     879290 SH  -    DEFINED 04             818013         0    61277
D SOLERA HOLDINGS INC            COMMON     83421A104       54       1068 SH  -    DEFINED 05               1068         0        0
D SOLERA HOLDINGS INC            COMMON     83421A104        1         21 SH  -    OTHER   01                  0        21        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 733
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SOLUTIA INC                    COMMON     834376501      114       8835 SH  -    OTHER   02                  0      4525     4310
D SOLUTIA INC                    COMMON     834376501        3        240 SH  -    OTHER   02                  0         0      240
D SOLUTIA INC                    COMMON     834376501     3178     247323 SH  -    DEFINED 04             223823         0    23500
D SOLUTIA INC                    COMMON     834376501     1126      87614 SH  -    DEFINED 04              87614         0        0
D SOLUTIA INC                    COMMON     834376501       30       2323 SH  -    DEFINED 05               2323         0        0
D SOLUTIA INC                    COMMON     834376501     3213     250005 SH  -    DEFINED 08             250005         0        0
D SONIC AUTOMOTIVE INC           BOND       83545GAQ5     2158    1960000 PRN -    DEFINED 05                  0         0        0
D SONIC AUTOMOTIVE INC           COMMON     83545G102     1834     170000 SH  -    DEFINED 02             170000         0        0
D SONIC AUTOMOTIVE INC           COMMON     83545G102        1         48 SH  -    OTHER   02                  0        48        0
D SONIC AUTOMOTIVE INC           COMMON     83545G102      284      26353 SH  -    DEFINED 04              26353         0        0
D SONIC AUTOMOTIVE INC           COMMON     83545G102      228      21154 SH  -    DEFINED 05              21154         0        0
D SONIC AUTOMOTIVE INC           COMMON     83545G102      127      11739 SH  -    DEFINED 09                  0         0    11739
D SONIC AUTOMOTIVE INC           COMMON     83545G102        8        756 SH  -    OTHER   10                  0         0      756
D SONIC CORP                     COMMON     835451105        2        227 SH  -    OTHER   02                  0         0      227
D SONIC CORP                     COMMON     835451105      307      43472 SH  -    DEFINED 04              43472         0        0
D SONIC CORP                     COMMON     835451105      246      34772 SH  -    DEFINED 05              34772         0        0
D SONIC CORP                     COMMON     835451105       14       2000 SH  -    OTHER   10                  0         0     2000
D SONOCO PRODS CO                COMMON     835495102      336      11906 SH  -    OTHER   02                 80      1994     9810
D SONOCO PRODS CO                COMMON     835495102      281       9942 SH  -    OTHER   02                500       318     9124
D SONOCO PRODS CO                COMMON     835495102      630      22325 SH  -    DEFINED 04              22325         0        0
D SONOCO PRODS CO                COMMON     835495102     1515      53650 SH  -    DEFINED 04              53650         0        0
D SONOCO PRODS CO                COMMON     835495102     4905     173747 SH  -    DEFINED 05             173747         0        0
D SONOCO PRODS CO                COMMON     835495102      300      10644 SH  -    DEFINED 08              10644         0        0
D SONOCO PRODS CO                COMMON     835495102      103       3650 SH  -    OTHER   10                  0         0     3650
D SONOSITE INC                   BOND       83568GAA2     1608    1528000 PRN -    DEFINED 05                  0         0        0
D SONOSITE                       COMMON     83568G104      198       6526 SH  -    DEFINED 05               6526         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 734
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SONOSITE                       COMMON     83568G104     4869     160494 SH  -    DEFINED 08             160494         0        0
D SONY CORP                      ADR        835699307        1         75 SH  -    DEFINED 02                 75         0        0
D SONY CORP                      ADR        835699307      155       8169 SH  -    OTHER   02                  0      7669      500
D SONY CORP                      ADR        835699307        7        345 SH  -    OTHER   02                 60         0      285
D SONY CORP                      ADR        835699307     2617     137722 SH  -    DEFINED 05             137722         0        0
D SONY CORP                      ADR        835699307       44       2323 SH  -    OTHER   01                  0      2323        0
D SONY CORP                      ADR        835699307       19        975 SH  -    OTHER   10                  0         0      975
D SONY CORP                      OPTION     835699901      998      52500 SH  C    DEFINED 05              52500         0        0
D SOTHEBYS                       BOND       835898AC1     1250    1107000 PRN -    DEFINED 05                  0         0        0
D SOTHEBYS                       COMMON     835898107       64       2330 SH  -    DEFINED 02               2330         0        0
D SOTHEBYS                       COMMON     835898107       18        659 SH  -    OTHER   02                 92       567        0
D SOTHEBYS                       COMMON     835898107    22821     827732 SH  -    DEFINED 04             469855         0   357877
D SOTHEBYS                       COMMON     835898107    13625     494189 SH  -    DEFINED 04             494189         0        0
D SOTHEBYS                       COMMON     835898107      551      20000 SH  -    DEFINED 04              20000         0        0
D SOTHEBYS                       COMMON     835898107       38       1374 SH  -    OTHER   04                  0      1374        0
D SOTHEBYS                       COMMON     835898107      216       7838 SH  -    DEFINED 05               7838         0        0
D SOTHEBYS                       COMMON     835898107     3931     142592 SH  -    DEFINED 08             142592         0        0
D SOTHEBYS                       COMMON     835898107       97       3504 SH  -    OTHER   09                  0      3504        0
D SONUS NETWORKS INC             COMMON     835916107       67      31150 SH  -    DEFINED 05              31150         0        0
D SONUS NETWORKS INC             COMMON     835916107       27      12297 SH  -    DEFINED 08              12297         0        0
D SOUNDBITE COMMUNICATIONS INC   COMMON     836091108      322     128600 SH  -    DEFINED 04             128600         0        0
D SOURCEFIRE INC                 COMMON     83616T108        2         72 SH  -    OTHER   02                  0        72        0
D SOURCEFIRE INC                 COMMON     83616T108    12338     461060 SH  -    DEFINED 04             355490         0   105570
D SOURCEFIRE INC                 COMMON     83616T108     7905     295389 SH  -    DEFINED 04             295389         0        0
D SOURCEFIRE INC                 COMMON     83616T108     1581      59090 SH  -    DEFINED 04              59090         0        0
D SOURCEFIRE INC                 COMMON     83616T108      369      13773 SH  -    DEFINED 05              13773         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 735
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SOUTH JERSEY INDS INC          COMMON     838518108        9        184 SH  -    DEFINED 02                184         0        0
D SOUTH JERSEY INDS INC          COMMON     838518108      454       9133 SH  -    OTHER   02                  0        33     9100
D SOUTH JERSEY INDS INC          COMMON     838518108     2086      41930 SH  -    DEFINED 04              41930         0        0
D SOUTH JERSEY INDS INC          COMMON     838518108     1593      32018 SH  -    DEFINED 04              32018         0        0
D SOUTH JERSEY INDS INC          COMMON     838518108      697      14020 SH  -    DEFINED 05              14020         0        0
D SOUTHERN CO.                   COMMON     842587107     2894      68297 SH  -    DEFINED 02              46132      2000    20165
D SOUTHERN CO.                   COMMON     842587107     2018      47621 SH  -    DEFINED 02              47070         0      551
D SOUTHERN CO.                   COMMON     842587107      446      10528 SH  -    DEFINED 02               9884         0      644
D SOUTHERN CO.                   COMMON     842587107     7858     185471 SH  -    OTHER   02              65644     81136    38556
D SOUTHERN CO.                   COMMON     842587107     1441      34012 SH  -    OTHER   02              31036       161     2815
D SOUTHERN CO.                   COMMON     842587107   102553    2420419 SH  -    DEFINED 04            2179952         0   240467
D SOUTHERN CO.                   COMMON     842587107     9876     233085 SH  -    DEFINED 04             233085         0        0
D SOUTHERN CO.                   COMMON     842587107       71       1681 SH  -    DEFINED 04               1681         0        0
D SOUTHERN CO.                   COMMON     842587107        4        100 SH  -    DEFINED 04                100         0        0
D SOUTHERN CO.                   COMMON     842587107       24        558 SH  -    OTHER   04                  0       558        0
D SOUTHERN CO.                   COMMON     842587107    13222     312057 SH  -    DEFINED 05             312057         0        0
D SOUTHERN CO.                   COMMON     842587107     5234     123520 SH  -    DEFINED 08             123520         0        0
D SOUTHERN CO.                   COMMON     842587107       36        840 SH  -    DEFINED 09                840         0        0
D SOUTHERN CO.                   COMMON     842587107      287       6779 SH  -    DEFINED 01               6645         0      134
D SOUTHERN CO.                   COMMON     842587107      490      11561 SH  -    OTHER   01              10900       391      270
D SOUTHERN CO.                   COMMON     842587107     1249      29476 SH  -    OTHER   10                  0         0    29476
D SOUTHERN COPPER CORP           COMMON     84265V105      320      12803 SH  -    OTHER   02               9600      3073        0
D SOUTHERN COPPER CORP           COMMON     84265V105       61       2444 SH  -    OTHER   02               1350         0     1094
D SOUTHERN COPPER CORP           COMMON     84265V105       49       1965 SH  -    DEFINED 04               1965         0        0
D SOUTHERN COPPER CORP           COMMON     84265V105     1988      79534 SH  -    DEFINED 05              79534         0        0
D SOUTHERN COPPER CORP           COMMON     84265V105      111       4456 SH  -    DEFINED 06               4456         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 736
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SOUTHERN COPPER CORP           COMMON     84265V105     5952     238158 SH  -    DEFINED 08             238158         0        0
D SOUTHERN COPPER CORP           COMMON     84265V105     5723     229000 SH  -    DEFINED 09             229000         0        0
D SOUTHERN COPPER CORP           COMMON     84265V105     1205      48201 SH  -    OTHER   01              48000       201        0
D SOUTHERN COPPER CORP           COMMON     84265V105     2157      86308 SH  -    OTHER   10                  0         0    86308
D SOUTHERN COPPER CORP           OPTION     84265V956       25       1000 SH  P    DEFINED 05               1000         0        0
D SOUTHERN UN CO NEW             COMMON     844030106        2         60 SH  -    DEFINED 02                 60         0        0
D SOUTHERN UN CO NEW             COMMON     844030106       10        238 SH  -    OTHER   02                  0       238        0
D SOUTHERN UN CO NEW             COMMON     844030106     1580      38950 SH  -    DEFINED 04              38950         0        0
D SOUTHERN UN CO NEW             COMMON     844030106     1339      33000 SH  -    DEFINED 04              33000         0        0
D SOUTHERN UN CO NEW             COMMON     844030106    22270     548922 SH  -    DEFINED 05             548922         0        0
D SOUTHERN UN CO NEW             COMMON     844030106     3425      84410 SH  -    DEFINED 08              84410         0        0
D SOUTHERN UN CO NEW             COMMON     844030106     3723      91777 SH  -    DEFINED 09              91777         0        0
D SOUTHERN UN CO NEW             COMMON     844030106     4633     114200 SH  -    DEFINED 10             114200         0        0
D SOUTHERN UN CO NEW             COMMON     844030106        4         95 SH  -    OTHER   10                  0         0       95
D SOUTHSIDE BANCSHARES INC       COMMON     84470P109        1         71 SH  -    OTHER   02                  0        71        0
D SOUTHSIDE BANCSHARES INC       COMMON     84470P109     1261      70002 SH  -    DEFINED 04              63713         0     6289
D SOUTHSIDE BANCSHARES INC       COMMON     84470P109        4        237 SH  -    DEFINED 05                237         0        0
D SOUTHSIDE BANCSHARES INC       COMMON     84470P109       18        983 SH  -    DEFINED 08                983         0        0
D SOUTHWEST AIRLS CO             COMMON     844741108       45       5649 SH  -    DEFINED 02                  0      5649        0
D SOUTHWEST AIRLS CO             COMMON     844741108        6        776 SH  -    DEFINED 02                 56         0      720
D SOUTHWEST AIRLS CO             COMMON     844741108       81      10033 SH  -    DEFINED 02               9265         0      768
D SOUTHWEST AIRLS CO             COMMON     844741108     2408     299525 SH  -    OTHER   02               4381    265864    29280
D SOUTHWEST AIRLS CO             COMMON     844741108      199      24698 SH  -    OTHER   02               4013      7663    13022
D SOUTHWEST AIRLS CO             COMMON     844741108    12077    1502153 SH  -    DEFINED 04             736535         0   765618
D SOUTHWEST AIRLS CO             COMMON     844741108      970     120659 SH  -    DEFINED 04             120659         0        0
D SOUTHWEST AIRLS CO             COMMON     844741108       44       5522 SH  -    DEFINED 04               5522         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 737
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SOUTHWEST AIRLS CO             COMMON     844741108       20       2500 SH  -    DEFINED 04               2500         0        0
D SOUTHWEST AIRLS CO             COMMON     844741108       30       3684 SH  -    DEFINED 04                  0         0     3684
D SOUTHWEST AIRLS CO             COMMON     844741108      818     101700 SH  -    DEFINED 05             101700         0        0
D SOUTHWEST AIRLS CO             COMMON     844741108      106      13200 SH  -    DEFINED 09              13200         0        0
D SOUTHWEST AIRLS CO             COMMON     844741108       63       7813 SH  -    OTHER   01               1350      6463        0
D SOUTHWEST AIRLS CO             COMMON     844741108      216      26882 SH  -    OTHER   10                  0         0    26882
D SOUTHWEST BANCORP INC OKLA     COMMON     844767103        4        966 SH  -    OTHER   02                  0       966        0
D SOUTHWEST BANCORP INC OKLA     COMMON     844767103        4       1055 SH  -    OTHER   02                  0         0     1055
D SOUTHWEST BANCORP INC OKLA     COMMON     844767103     1942     460240 SH  -    DEFINED 04             413640         0    46600
D SOUTHWEST BANCORP INC OKLA     COMMON     844767103      435     103000 SH  -    DEFINED 04             103000         0        0
D SOUTHWEST BANCORP INC OKLA     COMMON     844767103       11       2643 SH  -    DEFINED 05               2643         0        0
D SOUTHWEST BANCORP INC OKLA     COMMON     844767103        5       1136 SH  -    DEFINED 08               1136         0        0
D SOUTHWEST BANCORP INC OKLA     COMMON     844767103      445     105482 SH  -    OTHER   10                  0         0   105482
D SOUTHWEST GAS CORP             COMMON     844895102        9        260 SH  -    DEFINED 02                260         0        0
D SOUTHWEST GAS CORP             COMMON     844895102      239       6598 SH  -    OTHER   02                  0      5598     1000
D SOUTHWEST GAS CORP             COMMON     844895102     7383     204120 SH  -    DEFINED 04             193120         0    11000
D SOUTHWEST GAS CORP             COMMON     844895102     5382     148798 SH  -    DEFINED 04             148798         0        0
D SOUTHWEST GAS CORP             COMMON     844895102      773      21382 SH  -    DEFINED 05              21382         0        0
D SOUTHWEST GAS CORP             COMMON     844895102       43       1200 SH  -    DEFINED 01               1200         0        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109     5064     151936 SH  -    DEFINED 02             140550       508    10878
D SOUTHWESTERN ENERGY CO         COMMON     845467109     1490      44712 SH  -    DEFINED 02              43991        52      669
D SOUTHWESTERN ENERGY CO         COMMON     845467109      203       6095 SH  -    DEFINED 02               4281         0     1814
D SOUTHWESTERN ENERGY CO         COMMON     845467109     6020     180611 SH  -    OTHER   02              71003    106881     2727
D SOUTHWESTERN ENERGY CO         COMMON     845467109      478      14330 SH  -    OTHER   02               5567      1575     7188
D SOUTHWESTERN ENERGY CO         COMMON     845467109       31        924 SH  -    OTHER   02                  0       924        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109       33        984 SH  -    OTHER   02                  0       984        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 738
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SOUTHWESTERN ENERGY CO         COMMON     845467109       84       2515 SH  -    OTHER   02                  0      2515        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109   156624    4699202 SH  -    DEFINED 04            3485752         0  1213450
D SOUTHWESTERN ENERGY CO         COMMON     845467109     2032      60978 SH  -    DEFINED 04              60978         0        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109    11706     351207 SH  -    DEFINED 04             351207         0        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109      863      25900 SH  -    DEFINED 04              25900         0        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109       24        729 SH  -    DEFINED 04                  0         0      729
D SOUTHWESTERN ENERGY CO         COMMON     845467109     4067     122026 SH  -    OTHER   04                  0    122026        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109     3121      93650 SH  -    DEFINED 05              93650         0        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109      137       4123 SH  -    DEFINED 06               4123         0        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109    22501     675100 SH  -    DEFINED 09             675100         0        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109     1650      49500 SH  -    DEFINED 09              49500         0        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109      492      14775 SH  -    OTHER   09                  0     14775        0
D SOUTHWESTERN ENERGY CO         COMMON     845467109      270       8088 SH  -    DEFINED 01               6916       679      493
D SOUTHWESTERN ENERGY CO         COMMON     845467109      326       9779 SH  -    OTHER   01               1180      7381     1007
D SOUTHWESTERN ENERGY CO         COMMON     845467109      527      15821 SH  -    OTHER   10                  0         0    15821
D SOVRAN SELF STORAG             COMMON     84610H108      750      20179 SH  -    DEFINED 04              20179         0        0
D SOVRAN SELF STORAG             COMMON     84610H108      557      14987 SH  -    DEFINED 05              14987         0        0
D SOVRAN SELF STORAG             COMMON     84610H108        5        132 SH  -    DEFINED 06                132         0        0
D SPANSION INC                   COMMON     84649R200       87       7097 SH  -    DEFINED 05               7097         0        0
D SPANSION INC                   COMMON     84649R200      950      77733 SH  -    DEFINED 08              77733         0        0
D SPARTAN MOTORS                 COMMON     846819100        1        359 SH  -    OTHER   02                  0       359        0
D SPARTAN MOTORS                 COMMON     846819100      579     140200 SH  -    DEFINED 04             126600         0    13600
D SPARTAN MOTORS                 COMMON     846819100       94      22825 SH  -    DEFINED 04              22825         0        0
D SPARTAN MOTORS                 COMMON     846819100       69      16810 SH  -    DEFINED 05              16810         0        0
D SPARTAN STORES INC             BOND       846822AE4      933    1000000 PRN -    DEFINED 05                  0         0        0
D SPARTAN STORES INC             COMMON     846822104     9593     619671 SH  -    DEFINED 04             547610         0    72061

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 739
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SPARTAN STORES INC             COMMON     846822104      575      37138 SH  -    DEFINED 04              37138         0        0
D SPARTAN STORES INC             COMMON     846822104      183      11808 SH  -    DEFINED 05              11808         0        0
D SPARTECH CORP                  COMMON     847220209        1        455 SH  -    OTHER   02                  0       455        0
D SPARTECH CORP                  COMMON     847220209        1        271 SH  -    OTHER   02                  0         0      271
D SPARTECH CORP                  COMMON     847220209      768     239850 SH  -    DEFINED 04             219550         0    20300
D SPARTECH CORP                  COMMON     847220209      707     220800 SH  -    DEFINED 04             220800         0        0
D SPARTECH CORP                  COMMON     847220209        1        468 SH  -    DEFINED 05                468         0        0
D SPARTECH CORP                  COMMON     847220209        6       1822 SH  -    DEFINED 08               1822         0        0
D SPARTON CORP                   COMMON     847235108      106      16914 SH  -    OTHER   10                  0         0    16914
D SPECTRA ENERGY PARTNERS LP     COMMON     84756N109      113       4000 SH  -    DEFINED 02               4000         0        0
D SPECTRA ENERGY PARTNERS LP     COMMON     84756N109     1998      70825 SH  -    OTHER   02               1950     68875        0
D SPECTRA ENERGY PARTNERS LP     COMMON     84756N109      402      14250 SH  -    OTHER   02                  0     14250        0
D SPECTRA ENERGY PARTNERS LP     COMMON     84756N109      346      12275 SH  -    OTHER   01                  0     12275        0
D SPECTRA ENERGY PARTNERS LP     COMMON     84756N109    17053     604500 SH  -    DEFINED 10             604500         0        0
D SPECTRA ENERGY PARTNERS LP     COMMON     84756N109      118       4190 SH  -    OTHER   10                  0         0     4190
D SPECTRA ENERGY CORP            COMMON     847560109     7495     305537 SH  -    DEFINED 02             271909      1314    32314
D SPECTRA ENERGY CORP            COMMON     847560109     2727     111163 SH  -    DEFINED 02             109605       102     1456
D SPECTRA ENERGY CORP            COMMON     847560109      204       8302 SH  -    DEFINED 02               7494         0      808
D SPECTRA ENERGY CORP            COMMON     847560109     7348     299570 SH  -    OTHER   02              87221    174592    37563
D SPECTRA ENERGY CORP            COMMON     847560109     1001      40801 SH  -    OTHER   02              32268       823     7710
D SPECTRA ENERGY CORP            COMMON     847560109       48       1946 SH  -    OTHER   02                  0      1946        0
D SPECTRA ENERGY CORP            COMMON     847560109       49       1978 SH  -    OTHER   02                  0      1978        0
D SPECTRA ENERGY CORP            COMMON     847560109      124       5045 SH  -    OTHER   02                  0      5045        0
D SPECTRA ENERGY CORP            COMMON     847560109    11561     471289 SH  -    DEFINED 04             359032         0   112257
D SPECTRA ENERGY CORP            COMMON     847560109     4513     183989 SH  -    DEFINED 04             183989         0        0
D SPECTRA ENERGY CORP            COMMON     847560109      261      10639 SH  -    DEFINED 04              10639         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 740
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SPECTRA ENERGY CORP            COMMON     847560109     6129     249847 SH  -    OTHER   04                  0    249847        0
D SPECTRA ENERGY CORP            COMMON     847560109     1990      81140 SH  -    DEFINED 05              81140         0        0
D SPECTRA ENERGY CORP            COMMON     847560109      189       7692 SH  -    DEFINED 06               7692         0        0
D SPECTRA ENERGY CORP            COMMON     847560109      314      12794 SH  -    DEFINED 08              12794         0        0
D SPECTRA ENERGY CORP            COMMON     847560109      548      22328 SH  -    DEFINED 01              19923      1260     1145
D SPECTRA ENERGY CORP            COMMON     847560109      164       6680 SH  -    OTHER   01               2347      2057     2276
D SPECTRA ENERGY CORP            COMMON     847560109      650      26479 SH  -    OTHER   10                  0         0    26479
D SPECTRUM PHARMACEUTICALS INC   COMMON     84763A108        4        527 SH  -    OTHER   02                135       392        0
D SPECTRUM PHARMACEUTICALS INC   COMMON     84763A108      146      19120 SH  -    DEFINED 05              19120         0        0
D SPECTRUM PHARMACEUTICALS INC   COMMON     84763A108       27       3475 SH  -    DEFINED 08               3475         0        0
D SPEEDWAY MOTORSPORTS INC       COMMON     847788106        2        189 SH  -    OTHER   02                  0       189        0
D SPEEDWAY MOTORSPORTS INC       COMMON     847788106      449      37200 SH  -    DEFINED 04              37200         0        0
D SPEEDWAY MOTORSPORTS INC       COMMON     847788106       13       1090 SH  -    DEFINED 05               1090         0        0
D SPEEDWAY MOTORSPORTS INC       COMMON     847788106        8        670 SH  -    DEFINED 08                670         0        0
D SPIRIT AEROSYSTEMS HLDGS INC   COMMON     848574109     3450     216324 SH  -    OTHER   02               1840    214484        0
D SPIRIT AEROSYSTEMS HLDGS INC   COMMON     848574109        1         34 SH  -    OTHER   02                  0        34        0
D SPIRIT AEROSYSTEMS HLDGS INC   COMMON     848574109       72       4490 SH  -    DEFINED 05               4490         0        0
D SPIRIT AEROSYSTEMS HLDGS INC   COMMON     848574109       88       5534 SH  -    DEFINED 08               5534         0        0
D SPIRIT AEROSYSTEMS HLDGS INC   COMMON     848574109       65       4086 SH  -    OTHER   01                  0      4086        0
D SPIRIT AIRLS INC               COMMON     848577102        6        496 SH  -    OTHER   02                  0       496        0
D SPIRIT AIRLS INC               COMMON     848577102      639      51100 SH  -    DEFINED 04              51100         0        0
D SPIRIT AIRLS INC               COMMON     848577102       39       3108 SH  -    DEFINED 05               3108         0        0
D SPIRIT AIRLS INC               COMMON     848577102       11        911 SH  -    DEFINED 08                911         0        0
D SPREADTRUM COMMUNICATIONS INC  ADR        849415203      530      29500 SH  -    DEFINED 02              29500         0        0
D SPREADTRUM COMMUNICATIONS INC  ADR        849415203     5044     281000 SH  -    DEFINED 04             281000         0        0
D SPREADTRUM COMMUNICATIONS INC  ADR        849415203       46       2585 SH  -    DEFINED 08               2585         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 741
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SPREADTRUM COMMUNICATIONS INC  ADR        849415203    10612     591200 SH  -    DEFINED 09             318400    272800        0
D SPRINT NEXTEL CORP             COMMON     852061100     6549    2154255 SH  -    DEFINED 02            1737777     13730   402748
D SPRINT NEXTEL CORP             COMMON     852061100     1971     648201 SH  -    DEFINED 02             609151       590    38460
D SPRINT NEXTEL CORP             COMMON     852061100      540     177509 SH  -    DEFINED 02              76599         0   100910
D SPRINT NEXTEL CORP             COMMON     852061100     1644     540631 SH  -    OTHER   02             369107    117252    53790
D SPRINT NEXTEL CORP             COMMON     852061100      182      59897 SH  -    OTHER   02              50582      3174     6141
D SPRINT NEXTEL CORP             COMMON     852061100       42      13869 SH  -    OTHER   02                  0     13869        0
D SPRINT NEXTEL CORP             COMMON     852061100       35      11465 SH  -    OTHER   02                  0     11465        0
D SPRINT NEXTEL CORP             COMMON     852061100       89      29390 SH  -    OTHER   02                  0     29390        0
D SPRINT NEXTEL CORP             COMMON     852061100   148106   48719003 SH  -    DEFINED 04           37440828         0 11278175
D SPRINT NEXTEL CORP             COMMON     852061100     7881    2592535 SH  -    DEFINED 04            2592535         0        0
D SPRINT NEXTEL CORP             COMMON     852061100    13241    4355458 SH  -    DEFINED 04            4355458         0        0
D SPRINT NEXTEL CORP             COMMON     852061100       29       9690 SH  -    DEFINED 04               9690         0        0
D SPRINT NEXTEL CORP             COMMON     852061100     7810    2569196 SH  -    DEFINED 04            2569196         0        0
D SPRINT NEXTEL CORP             COMMON     852061100      177      58215 SH  -    DEFINED 04                  0         0    58215
D SPRINT NEXTEL CORP             COMMON     852061100        3       1031 SH  -    OTHER   04                  0      1031        0
D SPRINT NEXTEL CORP             COMMON     852061100     4452    1464601 SH  -    OTHER   04                  0   1464601        0
D SPRINT NEXTEL CORP             COMMON     852061100     2926     962382 SH  -    DEFINED 05             962382         0        0
D SPRINT NEXTEL CORP             COMMON     852061100    25735    8465324 SH  -    DEFINED 08            8465324         0        0
D SPRINT NEXTEL CORP             COMMON     852061100    12034    3958458 SH  -    DEFINED 09            3697358         0   261100
D SPRINT NEXTEL CORP             COMMON     852061100     3215    1057544 SH  -    OTHER   09                  0   1057544        0
D SPRINT NEXTEL CORP             COMMON     852061100      333     109643 SH  -    DEFINED 01              93893      7525     8225
D SPRINT NEXTEL CORP             COMMON     852061100      133      43695 SH  -    OTHER   01              23350      7710    12635
D SPRINT NEXTEL CORP             COMMON     852061100      257      84634 SH  -    OTHER   10                  0         0    84634
D SPRINT NEXTEL CORP             OPTION     852061902      800     263100 SH  C    DEFINED 05             263100         0        0
D SPRINT NEXTEL CORP             OPTION     852061951      400     131500 SH  P    DEFINED 05             131500         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 742
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STAGE STORES INC               COMMON     85254C305      114       8220 SH  -    OTHER   02                 72      8148        0
D STAGE STORES INC               COMMON     85254C305      367      26457 SH  -    DEFINED 04              26457         0        0
D STAGE STORES INC               COMMON     85254C305      203      14610 SH  -    DEFINED 05              14610         0        0
D STAGE STORES INC               COMMON     85254C305       53       3852 SH  -    DEFINED 08               3852         0        0
D STAGE STORES INC               COMMON     85254C305      107       7702 SH  -    OTHER   01                  0      7702        0
D STAMPS COM INC                 COMMON     852857200       11        522 SH  -    OTHER   02                  0       522        0
D STAMPS COM INC                 COMMON     852857200      200       9769 SH  -    DEFINED 04               9769         0        0
D STAMPS COM INC                 COMMON     852857200      132       6457 SH  -    DEFINED 05               6457         0        0
D STANCORP FINL GROUP INC        COMMON     852891100       15        548 SH  -    OTHER   02                  0       548        0
D STANCORP FINL GROUP INC        COMMON     852891100        1         22 SH  -    OTHER   02                  5        11        6
D STANCORP FINL GROUP INC        COMMON     852891100      853      30950 SH  -    DEFINED 04              30950         0        0
D STANCORP FINL GROUP INC        COMMON     852891100     2035      73820 SH  -    DEFINED 04              73820         0        0
D STANCORP FINL GROUP INC        COMMON     852891100       19        684 SH  -    DEFINED 05                684         0        0
D STANCORP FINL GROUP INC        COMMON     852891100      268       9725 SH  -    DEFINED 08               9725         0        0
D STANCORP FINL GROUP INC        COMMON     852891100        6        214 SH  -    OTHER   01                  0       214        0
D STANDARD MICROSYSTEMS CORP     COMMON     853626109        1         34 SH  -    OTHER   02                  0        34        0
D STANDARD MICROSYSTEMS CORP     COMMON     853626109      317      16364 SH  -    DEFINED 04              16364         0        0
D STANDARD MICROSYSTEMS CORP     COMMON     853626109      264      13618 SH  -    DEFINED 05              13618         0        0
D STANDARD MICROSYSTEMS CORP     COMMON     853626109        4        200 SH  -    OTHER   10                  0         0      200
D STANDARD MTR PRODS INC         COMMON     853666105        1         49 SH  -    OTHER   02                  0        49        0
D STANDARD MTR PRODS INC         COMMON     853666105     1538     118600 SH  -    DEFINED 04              90300         0    28300
D STANDARD MTR PRODS INC         COMMON     853666105      170      13143 SH  -    DEFINED 04              13143         0        0
D STANDARD MTR PRODS INC         COMMON     853666105      163      12581 SH  -    DEFINED 05              12581         0        0
D STANDARD PAC CORP NEW          COMMON     85375C101       28      11383 SH  -    OTHER   02                  0     11383        0
D STANDARD PAC CORP NEW          COMMON     85375C101      250     101166 SH  -    DEFINED 04             101166         0        0
D STANDARD PAC CORP NEW          COMMON     85375C101      168      67872 SH  -    DEFINED 04              67872         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 743
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STANDARD PAC CORP NEW          COMMON     85375C101      128      51850 SH  -    DEFINED 05              51850         0        0
D STANDARD PAC CORP NEW          COMMON     85375C101        2        693 SH  -    DEFINED 08                693         0        0
D STANDARD PAC CORP NEW          COMMON     85375C101       95      38516 SH  -    DEFINED 08              38516         0        0
D STANDARD PAC CORP NEW          COMMON     85375C101       12       5000 SH  -    OTHER   10                  0         0     5000
D STANDARD PAC CORP NEW          OPTION     85375C903        2       1000 SH  C    DEFINED 05               1000         0        0
D STANDARD PARKING CORP          COMMON     853790103        0         17 SH  -    OTHER   02                  0        17        0
D STANDARD PARKING CORP          COMMON     853790103      243      15525 SH  -    DEFINED 04              13725         0     1800
D STANDARD PARKING CORP          COMMON     853790103       11        681 SH  -    DEFINED 05                681         0        0
D STANDARD PARKING CORP          COMMON     853790103       15        960 SH  -    DEFINED 08                960         0        0
D STANDARD REGISTER CO           COMMON     853887107       78      30794 SH  -    DEFINED 04              30794         0        0
D STANDARD REGISTER CO           COMMON     853887107       14       5552 SH  -    DEFINED 05               5552         0        0
D STANDEX INTL CORP              COMMON     854231107      160       5150 SH  -    OTHER   02                  0      1730     3420
D STANDEX INTL CORP              COMMON     854231107      311      10000 SH  -    OTHER   02                  0         0    10000
D STANDEX INTL CORP              COMMON     854231107     2494      80110 SH  -    DEFINED 04              73410         0     6700
D STANDEX INTL CORP              COMMON     854231107     1738      55833 SH  -    DEFINED 04              55833         0        0
D STANDEX INTL CORP              COMMON     854231107      185       5931 SH  -    DEFINED 05               5931         0        0
D STANLEY BLACK & DECKER INC     COMMON     854502101        2         39 SH  -    DEFINED 02                 39         0        0
D STANLEY BLACK & DECKER INC     COMMON     854502101       14        282 SH  -    DEFINED 02                282         0        0
D STANLEY BLACK & DECKER INC     COMMON     854502101      100       2031 SH  -    DEFINED 02               1940         0       91
D STANLEY BLACK & DECKER INC     COMMON     854502101     1245      25354 SH  -    OTHER   02               7900     17454        0
D STANLEY BLACK & DECKER INC     COMMON     854502101      287       5851 SH  -    OTHER   02               4192        39     1620
D STANLEY BLACK & DECKER INC     COMMON     854502101     4674      95194 SH  -    DEFINED 04              90374         0     4820
D STANLEY BLACK & DECKER INC     COMMON     854502101     3105      63247 SH  -    DEFINED 04              63247         0        0
D STANLEY BLACK & DECKER INC     COMMON     854502101       80       1629 SH  -    DEFINED 04               1629         0        0
D STANLEY BLACK & DECKER INC     COMMON     854502101      247       5027 SH  -    OTHER   04                  0      5027        0
D STANLEY BLACK & DECKER INC     COMMON     854502101     4412      89850 SH  -    DEFINED 05              89850         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 744
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STANLEY BLACK & DECKER INC     COMMON     854502101     1565      31875 SH  -    DEFINED 06              31875         0        0
D STANLEY BLACK & DECKER INC     COMMON     854502101       22        450 SH  -    OTHER   01                  0       450        0
D STANLEY BLACK & DECKER INC     COMMON     854502101      362       7374 SH  -    OTHER   10                  0         0     7374
D STANLEY BLACK & DECKER INC     UNIT       854502309        3         34 SH  -    DEFINED 02                 34         0        0
D STANLEY BLACK & DECKER INC     UNIT       854502309     9909      96400 SH  -    DEFINED 09                  0         0    96400
D STANLEY WKS                    BOND       854616AM1    14414   14046000 PRN -    DEFINED 09                  0         0        0
D STANLEY WKS                    BOND       854616AM1     3025    2948000 PRN -    DEFINED 09                  0         0        0
D STAPLES INC                    COMMON     855030102      682      51284 SH  -    DEFINED 02              41766      6275     3243
D STAPLES INC                    COMMON     855030102      621      46692 SH  -    DEFINED 02              33741      8951     4000
D STAPLES INC                    COMMON     855030102      139      10444 SH  -    DEFINED 02               8493         0     1951
D STAPLES INC                    COMMON     855030102    20187    1517825 SH  -    OTHER   02              49286   1427331    35128
D STAPLES INC                    COMMON     855030102     3230     242849 SH  -    OTHER   02               5529     92400   144920
D STAPLES INC                    COMMON     855030102        9        650 SH  -    OTHER   02                  0       650        0
D STAPLES INC                    COMMON     855030102    37739    2837549 SH  -    DEFINED 04            2183785         0   653764
D STAPLES INC                    COMMON     855030102     1544     116123 SH  -    DEFINED 04             116123         0        0
D STAPLES INC                    COMMON     855030102     2084     156700 SH  -    DEFINED 04             156700         0        0
D STAPLES INC                    COMMON     855030102      224      16847 SH  -    DEFINED 04              16847         0        0
D STAPLES INC                    COMMON     855030102       65       4900 SH  -    DEFINED 04               4900         0        0
D STAPLES INC                    COMMON     855030102       14       1075 SH  -    DEFINED 04                  0         0     1075
D STAPLES INC                    COMMON     855030102      843      63371 SH  -    OTHER   04                  0     63371        0
D STAPLES INC                    COMMON     855030102     4985     374788 SH  -    DEFINED 05             374788         0        0
D STAPLES INC                    COMMON     855030102      343      25761 SH  -    DEFINED 09              25761         0        0
D STAPLES INC                    COMMON     855030102     1600     120300 SH  -    OTHER   09                  0    120300        0
D STAPLES INC                    COMMON     855030102       81       6070 SH  -    DEFINED 01               6070         0        0
D STAPLES INC                    COMMON     855030102      830      62442 SH  -    OTHER   01               4100     58342        0
D STAPLES INC                    COMMON     855030102       46       3477 SH  -    OTHER   10                  0         0     3477

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 745
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STAR GAS PARTNERS L P          COMMON     85512C105     7319    1493710 SH  -    DEFINED 05            1493710         0        0
D STAR SCIENTIFIC                COMMON     85517P101      479     207360 SH  -    DEFINED 05             207360         0        0
D STAR SCIENTIFIC                COMMON     85517P101       16       7085 SH  -    DEFINED 08               7085         0        0
D STARBUCKS CORP                 COMMON     855244109      276       7400 SH  -    DEFINED 02               7400         0        0
D STARBUCKS CORP                 COMMON     855244109      536      14369 SH  -    DEFINED 02              14369         0        0
D STARBUCKS CORP                 COMMON     855244109      340       9119 SH  -    DEFINED 02               8599         0      520
D STARBUCKS CORP                 COMMON     855244109      797      21386 SH  -    OTHER   02                266     20010      996
D STARBUCKS CORP                 COMMON     855244109     1535      41165 SH  -    OTHER   02              40908       167       90
D STARBUCKS CORP                 COMMON     855244109     5766     154623 SH  -    DEFINED 04             133262         0    21361
D STARBUCKS CORP                 COMMON     855244109     4490     120407 SH  -    DEFINED 04             120407         0        0
D STARBUCKS CORP                 COMMON     855244109     4406     118167 SH  -    DEFINED 05             118167         0        0
D STARBUCKS CORP                 COMMON     855244109     4073     109231 SH  -    DEFINED 08             109231         0        0
D STARBUCKS CORP                 COMMON     855244109        6        168 SH  -    OTHER   01                  0       168        0
D STARBUCKS CORP                 COMMON     855244109     1656      44421 SH  -    OTHER   10                  0         0    44421
D STARBUCKS CORP                 OPTION     855244901     4915     131800 SH  C    DEFINED 05             131800         0        0
D STARBUCKS CORP                 OPTION     855244901     1257      33700 SH  C    DEFINED 08              33700         0        0
D STARBUCKS CORP                 OPTION     855244950     1257      33700 SH  P    DEFINED 08              33700         0        0
D STARWOOD PPTY TR INC           COMMON     85571B105      104       6064 SH  -    DEFINED 05               6064         0        0
D STARWOOD PPTY TR INC           COMMON     85571B105      821      47820 SH  -    DEFINED 08              47820         0        0
D STARWOOD PPTY TR INC           COMMON     85571B105      150       8736 SH  -    OTHER   10                  0         0     8736
D STATE BANCORP INC N.Y          COMMON     855716106        4        359 SH  -    OTHER   02                  0       359        0
D STATE BANCORP INC N.Y          COMMON     855716106      345      32600 SH  -    DEFINED 04              32600         0        0
D STATE BANCORP INC N.Y          COMMON     855716106      315      29800 SH  -    DEFINED 04              29800         0        0
D STATE BANCORP INC N.Y          COMMON     855716106       15       1375 SH  -    DEFINED 05               1375         0        0
D STATE BANCORP INC N.Y          COMMON     855716106        9        827 SH  -    DEFINED 08                827         0        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401     3871      99714 SH  -    DEFINED 02              83309      1700    14705

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 746
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401      173       4449 SH  -    DEFINED 02               4449         0        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401       91       2346 SH  -    DEFINED 02               2215         0      131
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401      973      25056 SH  -    OTHER   02               9970      9342     5734
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401       54       1395 SH  -    OTHER   02                854        23      518
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401     1658      42698 SH  -    OTHER   02                  0     42698        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401     1664      42864 SH  -    DEFINED 04              37362         0     5502
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401     1300      33487 SH  -    DEFINED 04              33487         0        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401       57       1456 SH  -    DEFINED 04               1456         0        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401    10185     262376 SH  -    DEFINED 04             226644         0    35732
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401        6        155 SH  -    OTHER   04                  0       155        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401        3         82 SH  -    OTHER   04                  0        82        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401      545      14038 SH  -    DEFINED 05              14038         0        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401    23055     593897 SH  -    DEFINED 09             552621     21776    19500
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401      821      21156 SH  -    DEFINED 09              21156         0        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401     5989     154283 SH  -    DEFINED 09             154283         0        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401      149       3827 SH  -    OTHER   09                  0      3827        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401       58       1500 SH  -    DEFINED 01               1500         0        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401      128       3305 SH  -    OTHER   01               3305         0        0
D STARWOOD HOTELS&RESORTS WRLDWD COMMON     85590A401     2184      56266 SH  -    OTHER   10                  0         0    56266
D STATE STREET CORP              COMMON     857477103     2255      70128 SH  -    DEFINED 02              27063       580    42485
D STATE STREET CORP              COMMON     857477103     1805      56127 SH  -    DEFINED 02              53652         0     2475
D STATE STREET CORP              COMMON     857477103      438      13632 SH  -    DEFINED 02              13632         0        0
D STATE STREET CORP              COMMON     857477103      501      15592 SH  -    DEFINED 02               8852         0     6740
D STATE STREET CORP              COMMON     857477103     2944      91551 SH  -    OTHER   02              14154     71669     5718
D STATE STREET CORP              COMMON     857477103      995      30939 SH  -    OTHER   02              25431      1562     3946
D STATE STREET CORP              COMMON     857477103        8        260 SH  -    OTHER   02                  0       260        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 747
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STATE STREET CORP              COMMON     857477103   136583    4246980 SH  -    DEFINED 04            2593559         0  1653421
D STATE STREET CORP              COMMON     857477103    10923     339655 SH  -    DEFINED 04             339655         0        0
D STATE STREET CORP              COMMON     857477103    15602     485134 SH  -    DEFINED 04             485134         0        0
D STATE STREET CORP              COMMON     857477103     2674      83134 SH  -    DEFINED 04              51441         0    31693
D STATE STREET CORP              COMMON     857477103      184       5709 SH  -    DEFINED 04                  0         0     5709
D STATE STREET CORP              COMMON     857477103      230       7155 SH  -    OTHER   04                  0      7155        0
D STATE STREET CORP              COMMON     857477103    10246     318593 SH  -    DEFINED 05             318593         0        0
D STATE STREET CORP              COMMON     857477103       31        961 SH  -    DEFINED 06                961         0        0
D STATE STREET CORP              COMMON     857477103     2500      77725 SH  -    DEFINED 08              77725         0        0
D STATE STREET CORP              COMMON     857477103    18620     578967 SH  -    DEFINED 09             555047     23920        0
D STATE STREET CORP              COMMON     857477103      717      22306 SH  -    DEFINED 09              22306         0        0
D STATE STREET CORP              COMMON     857477103     9909     308128 SH  -    DEFINED 09             154379         0        0
D STATE STREET CORP              COMMON     857477103      200       6221 SH  -    OTHER   09                  0      6221        0
D STATE STREET CORP              COMMON     857477103       24        755 SH  -    DEFINED 01                755         0        0
D STATE STREET CORP              COMMON     857477103      113       3502 SH  -    OTHER   01                500      1202     1800
D STATE STREET CORP              COMMON     857477103     1177      36588 SH  -    OTHER   10                  0         0    36588
D STATE STREET CORP              OPTION     857477905     1286      40000 SH  C    DEFINED 05              40000         0        0
D STATOIL ASA                    ADR        85771P102      102       4741 SH  -    DEFINED 02               4741         0        0
D STATOIL ASA                    ADR        85771P102      285      13210 SH  -    OTHER   02                  0     13210        0
D STATOIL ASA                    ADR        85771P102       56       2600 SH  -    OTHER   02                  0         0     2600
D STATOIL ASA                    ADR        85771P102       36       1689 SH  -    OTHER   01                  0      1595        0
D STATOIL ASA                    ADR        85771P102     1019      47278 SH  -    OTHER   10                  0         0    47278
D STEEL DYNAMICS INC             BOND       858119AP5     5658    5500000 PRN -    DEFINED 09                  0         0        0
D STEEL DYNAMICS INC             COMMON     858119100        7        714 SH  -    OTHER   02                  0       714        0
D STEEL DYNAMICS INC             COMMON     858119100       19       1925 SH  -    OTHER   02                  0         0     1925
D STEEL DYNAMICS INC             COMMON     858119100      227      22875 SH  -    DEFINED 04              22875         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 748
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STEEL DYNAMICS INC             COMMON     858119100     4536     457286 SH  -    DEFINED 04             457286         0        0
D STEEL DYNAMICS INC             COMMON     858119100      101      10156 SH  -    DEFINED 05              10156         0        0
D STEEL DYNAMICS INC             COMMON     858119100      519      52367 SH  -    DEFINED 08              52367         0        0
D STEEL DYNAMICS INC             COMMON     858119100       29       2901 SH  -    OTHER   10                  0         0     2901
D STEELCASE INC                  COMMON     858155203        7       1088 SH  -    OTHER   02                  0      1088        0
D STEELCASE INC                  COMMON     858155203        5        755 SH  -    OTHER   02                700        42       13
D STEELCASE INC                  COMMON     858155203      302      47825 SH  -    DEFINED 04              45625         0     2200
D STEELCASE INC                  COMMON     858155203      835     132400 SH  -    DEFINED 04             132400         0        0
D STEELCASE INC                  COMMON     858155203       36       5636 SH  -    DEFINED 05               5636         0        0
D STEELCASE INC                  COMMON     858155203       99      15744 SH  -    DEFINED 08              15744         0        0
D STEIN MART                     COMMON     858375108      116      18514 SH  -    DEFINED 04              18514         0        0
D STEIN MART                     COMMON     858375108       80      12809 SH  -    DEFINED 05              12809         0        0
D STELLARONE CORP                COMMON     85856G100        8        841 SH  -    OTHER   02                  0       841        0
D STELLARONE CORP                COMMON     85856G100      637      64050 SH  -    DEFINED 04              62850         0     1200
D STELLARONE CORP                COMMON     85856G100       16       1657 SH  -    DEFINED 05               1657         0        0
D STELLARONE CORP                COMMON     85856G100       13       1353 SH  -    DEFINED 08               1353         0        0
D STEPAN CO                      COMMON     858586100        3         48 SH  -    OTHER   02                 48         0        0
D STEPAN CO                      COMMON     858586100      377       5606 SH  -    DEFINED 04               5606         0        0
D STEPAN CO                      COMMON     858586100      337       5018 SH  -    DEFINED 05               5018         0        0
D STERICYCLE INC                 COMMON     858912108      177       2190 SH  -    DEFINED 02               2190         0        0
D STERICYCLE INC                 COMMON     858912108       84       1039 SH  -    DEFINED 02                992         0       47
D STERICYCLE INC                 COMMON     858912108     1219      15100 SH  -    OTHER   02               4900     10200        0
D STERICYCLE INC                 COMMON     858912108     1134      14054 SH  -    OTHER   02               7902        10     6142
D STERICYCLE INC                 COMMON     858912108    20471     253608 SH  -    DEFINED 04             116765         0   136843
D STERICYCLE INC                 COMMON     858912108    20615     255393 SH  -    DEFINED 04             255393         0        0
D STERICYCLE INC                 COMMON     858912108     1414      17513 SH  -    DEFINED 05              17513         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 749
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STERICYCLE INC                 COMMON     858912108       57        704 SH  -    OTHER   01                  0       704        0
D STERICYCLE INC                 COMMON     858912108       22        271 SH  -    OTHER   10                  0         0      271
D STERIS CORP                    COMMON     859152100      111       3794 SH  -    OTHER   02                178      3616        0
D STERIS CORP                    COMMON     859152100       67       2291 SH  -    OTHER   02                  0         0     2291
D STERIS CORP                    COMMON     859152100      895      30580 SH  -    DEFINED 04              30580         0        0
D STERIS CORP                    COMMON     859152100      135       4627 SH  -    DEFINED 05               4627         0        0
D STERIS CORP                    COMMON     859152100      189       6468 SH  -    DEFINED 08               6468         0        0
D STERLING BANCORP               COMMON     859158107       26       3620 SH  -    OTHER   02                  0      1220     2400
D STERLING BANCORP               COMMON     859158107      143      19756 SH  -    DEFINED 04              19756         0        0
D STERLING BANCORP               COMMON     859158107      116      16030 SH  -    DEFINED 05              16030         0        0
D STERLING FINL CORP WASH        COMMON     859319303       38       3094 SH  -    OTHER   02                  0      3094        0
D STERLING FINL CORP WASH        COMMON     859319303      113       9100 SH  -    DEFINED 04               9100         0        0
D STERLING FINL CORP WASH        COMMON     859319303       20       1602 SH  -    DEFINED 05               1602         0        0
D STERLING FINL CORP WASH        COMMON     859319303       19       1571 SH  -    DEFINED 08               1571         0        0
D STERLITE INDS INDIA LTD        BOND       859737AB4        8      10000 PRN -    DEFINED 05                  0         0        0
D STERLITE INDS INDIA LTD        BOND       859737AB4     9338   11100000 PRN -    DEFINED 09                  0         0        0
D STERLITE INDS INDIA LTD        ADR        859737207       45       4889 SH  -    DEFINED 06               4889         0        0
D STERLITE INDS INDIA LTD        ADR        859737207      966     104932 SH  -    DEFINED 08             104932         0        0
D STEWART ENTERPRISES INC        BOND       860370AH8     2327    2365000 PRN -    DEFINED 04                  0         0        0
D STEWART ENTERPRISES INC        BOND       860370AH8     6330    6435000 PRN -    DEFINED 04                  0         0        0
D STEWART ENTERPRISES INC        BOND       860370AK1      120     125000 PRN -    DEFINED 04                  0         0        0
D STEWART ENTERPRISES INC        BOND       860370AK1     5414    5625000 PRN -    DEFINED 04                  0         0        0
D STEWART ENTERPRISE             COMMON     860370105        1        187 SH  -    OTHER   02                187         0        0
D STEWART ENTERPRISE             COMMON     860370105     1517     255030 SH  -    DEFINED 04             255030         0        0
D STEWART ENTERPRISE             COMMON     860370105     1034     173800 SH  -    DEFINED 04             173800         0        0
D STEWART ENTERPRISE             COMMON     860370105       33       5537 SH  -    DEFINED 05               5537         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 750
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STEWART ENTERPRISE             COMMON     860370105       27       4525 SH  -    DEFINED 08               4525         0        0
D STEWART INFORMATION SVCS CORP  COMMON     860372101        9       1052 SH  -    OTHER   02                  0      1052        0
D STEWART INFORMATION SVCS CORP  COMMON     860372101      112      12723 SH  -    DEFINED 04              12723         0        0
D STEWART INFORMATION SVCS CORP  COMMON     860372101       80       9040 SH  -    DEFINED 05               9040         0        0
D STIFEL FINL CORP               COMMON     860630102        6        219 SH  -    DEFINED 02                  0       219        0
D STIFEL FINL CORP               COMMON     860630102      362      13616 SH  -    OTHER   02                  0     13616        0
D STIFEL FINL CORP               COMMON     860630102       12        467 SH  -    OTHER   02                  0         0      467
D STIFEL FINL CORP               COMMON     860630102     3399     127960 SH  -    DEFINED 04              91960         0    36000
D STIFEL FINL CORP               COMMON     860630102     2871     108078 SH  -    DEFINED 04             108078         0        0
D STIFEL FINL CORP               COMMON     860630102      537      20200 SH  -    DEFINED 04              20200         0        0
D STIFEL FINL CORP               COMMON     860630102      703      26487 SH  -    DEFINED 05              26487         0        0
D STILLWATER MNG CO              COMMON     86074Q102       33       3919 SH  -    OTHER   02               3900        19        0
D STILLWATER MNG CO              COMMON     86074Q102        2        231 SH  -    OTHER   02                  0         0      231
D STILLWATER MNG CO              COMMON     86074Q102      245      28866 SH  -    DEFINED 05              28866         0        0
D STILLWATER MNG CO              COMMON     86074Q102       56       6561 SH  -    DEFINED 08               6561         0        0
D STILLWATER MNG CO              COMMON     86074Q102     1303     153245 SH  -    OTHER   10                  0         0   153245
D STMICROELECTRONICS             ADR        861012102       42       6538 SH  -    OTHER   02                  0      6538        0
D STMICROELECTRONICS             ADR        861012102       51       7797 SH  -    DEFINED 04               7797         0        0
D STMICROELECTRONICS             ADR        861012102       91      14000 SH  -    DEFINED 06              14000         0        0
D STMICROELECTRONICS             ADR        861012102        1        165 SH  -    OTHER   10                  0         0      165
D STONE ENERGY CORP              COMMON     861642106        0         28 SH  -    OTHER   02                  0        28        0
D STONE ENERGY CORP              COMMON     861642106     2290     141270 SH  -    DEFINED 04             135670         0     5600
D STONE ENERGY CORP              COMMON     861642106     4813     296903 SH  -    DEFINED 04             296903         0        0
D STONE ENERGY CORP              COMMON     861642106     1470      90712 SH  -    DEFINED 04              51378         0    39334
D STONE ENERGY CORP              COMMON     861642106      442      27276 SH  -    DEFINED 05              27276         0        0
D STONE ENERGY CORP              COMMON     861642106      961      59285 SH  -    DEFINED 08              59285         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 751
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STONE ENERGY CORP              COMMON     861642106     5957     367505 SH  -    DEFINED 09             340565     26940        0
D STONE ENERGY CORP              COMMON     861642106      377      23241 SH  -    DEFINED 09              23241         0        0
D STONE ENERGY CORP              COMMON     861642106     2752     169747 SH  -    DEFINED 09             169747         0        0
D STONE ENERGY CORP              COMMON     861642106       70       4331 SH  -    OTHER   09                  0      4331        0
D STRATASYS INC                  COMMON     862685104        0         26 SH  -    OTHER   02                  0         0        0
D STRATASYS INC                  COMMON     862685104       43       2300 SH  -    OTHER   02                  0         0     2300
D STRATASYS INC                  COMMON     862685104      277      14919 SH  -    DEFINED 04              14919         0        0
D STRATASYS INC                  COMMON     862685104      183       9864 SH  -    DEFINED 05               9864         0        0
D STRATEGIC HOTELS & RESORTS INC COMMON     86272T106      362      84050 SH  -    DEFINED 04              84050         0        0
D STRATEGIC HOTELS & RESORTS INC COMMON     86272T106      334      77600 SH  -    DEFINED 04              77600         0        0
D STRATEGIC HOTELS & RESORTS INC COMMON     86272T106       95      22094 SH  -    DEFINED 05              22094         0        0
D STREAM GLOBAL SVCS INC         COMMON     86323M100       14       6700 SH  -    DEFINED 04               6700         0        0
D STREAM GLOBAL SVCS INC         COMMON     86323M100       49      23698 SH  -    DEFINED 05              23698         0        0
D STREAM GLOBAL SVCS INC         COMMON     86323M100        1        708 SH  -    DEFINED 08                708         0        0
D STRAYER ED INC                 COMMON     863236105      181       2364 SH  -    OTHER   02                  0      2264      100
D STRAYER ED INC                 COMMON     863236105        8        100 SH  -    OTHER   02                  0         0      100
D STRAYER ED INC                 COMMON     863236105     3927      51223 SH  -    DEFINED 04              39223         0    12000
D STRAYER ED INC                 COMMON     863236105     2240      29218 SH  -    DEFINED 04              29218         0        0
D STRAYER ED INC                 COMMON     863236105      529       6900 SH  -    DEFINED 04               6900         0        0
D STRAYER ED INC                 COMMON     863236105       82       1073 SH  -    DEFINED 05               1073         0        0
D STRAYER ED INC                 COMMON     863236105       91       1188 SH  -    DEFINED 08               1188         0        0
D STRAYER ED INC                 COMMON     863236105        8         98 SH  -    OTHER   01                  0        98        0
D STRAYER ED INC                 COMMON     863236105       15        200 SH  -    OTHER   10                  0         0      200
D STRYKER CORP                   COMMON     863667101      825      17497 SH  -    DEFINED 02              17497         0        0
D STRYKER CORP                   COMMON     863667101      766      16246 SH  -    DEFINED 02              16246         0        0
D STRYKER CORP                   COMMON     863667101      190       4041 SH  -    DEFINED 02               3804         0      237

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 752
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D STRYKER CORP                   COMMON     863667101     1631      34606 SH  -    OTHER   02               2777     30790      981
D STRYKER CORP                   COMMON     863667101      293       6221 SH  -    OTHER   02               5063        20     1138
D STRYKER CORP                   COMMON     863667101     3385      71826 SH  -    DEFINED 04              62376         0     9450
D STRYKER CORP                   COMMON     863667101     2560      54308 SH  -    DEFINED 04              54308         0        0
D STRYKER CORP                   COMMON     863667101     3865      82013 SH  -    DEFINED 05              82013         0        0
D STRYKER CORP                   COMMON     863667101     1624      34457 SH  -    DEFINED 08              34457         0        0
D STRYKER CORP                   COMMON     863667101       14        287 SH  -    OTHER   01                225        62        0
D STRYKER CORP                   COMMON     863667101       53       1119 SH  -    OTHER   10                  0         0     1119
D STURM RUGER & CO INC           COMMON     864159108        4        142 SH  -    DEFINED 02                142         0        0
D STURM RUGER & CO INC           COMMON     864159108      577      22200 SH  -    DEFINED 04              17000         0     5200
D STURM RUGER & CO INC           COMMON     864159108      344      13252 SH  -    DEFINED 04              13252         0        0
D STURM RUGER & CO INC           COMMON     864159108      229       8827 SH  -    DEFINED 05               8827         0        0
D STURM RUGER & CO INC           COMMON     864159108     1100      42332 SH  -    OTHER   10                  0         0    42332
D SUBURBAN PROPANE PARTNERS L P  COMMON     864482104       79       1695 SH  -    OTHER   02                  0         0     1695
D SUBURBAN PROPANE PARTNERS L P  COMMON     864482104      325       7000 SH  -    OTHER   01               7000         0        0
D SUBURBAN PROPANE PARTNERS L P  COMMON     864482104    27598     594647 SH  -    DEFINED 10             594647         0        0
D SUBURBAN PROPANE PARTNERS L P  COMMON     864482104      205       4418 SH  -    OTHER   10                  0         0     4418
D SUCCESSFACTORS INC             COMMON     864596101        2        100 SH  -    DEFINED 02                  0       100        0
D SUCCESSFACTORS INC             COMMON     864596101        2         70 SH  -    DEFINED 02                  0         0       70
D SUCCESSFACTORS INC             COMMON     864596101      682      29685 SH  -    OTHER   02                  0     20130     9555
D SUCCESSFACTORS INC             COMMON     864596101       41       1790 SH  -    OTHER   02                380       750      660
D SUCCESSFACTORS INC             COMMON     864596101    19267     838068 SH  -    DEFINED 04             780596         0    57472
D SUCCESSFACTORS INC             COMMON     864596101      250      10872 SH  -    DEFINED 05              10872         0        0
D SUCCESSFACTORS INC             COMMON     864596101      152       6632 SH  -    DEFINED 08               6632         0        0
D SUCCESSFACTORS INC             COMMON     864596101       12        530 SH  -    OTHER   01                  0       530        0
D SUFFOLK BANCORP                COMMON     864739107       13       1590 SH  -    OTHER   02                  0       535     1055

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 753
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SUFFOLK BANCORP                COMMON     864739107      692      83180 SH  -    DEFINED 04              76280         0     6900
D SUFFOLK BANCORP                COMMON     864739107       72       8700 SH  -    DEFINED 04               8700         0        0
D SUFFOLK BANCORP                COMMON     864739107        1        148 SH  -    DEFINED 05                148         0        0
D SUFFOLK BANCORP                COMMON     864739107        5        572 SH  -    DEFINED 08                572         0        0
D SUCAMPO PHARMACEUTICALS INC    COMMON     864909106        2        414 SH  -    OTHER   02                  0       414        0
D SUCAMPO PHARMACEUTICALS INC    COMMON     864909106       63      16901 SH  -    DEFINED 05              16901         0        0
D SUCAMPO PHARMACEUTICALS INC    COMMON     864909106        3        810 SH  -    DEFINED 08                810         0        0
D SUCAMPO PHARMACEUTICALS INC    COMMON     864909106        1        181 SH  -    OTHER   01                  0       181        0
D SUMITOMO MITSUI FINL GROUP INC ADR        86562M209        6       1050 SH  -    DEFINED 02               1050         0        0
D SUMITOMO MITSUI FINL GROUP INC ADR        86562M209      108      19799 SH  -    OTHER   02                  0     19799        0
D SUMITOMO MITSUI FINL GROUP INC ADR        86562M209        2        388 SH  -    OTHER   04                  0       388        0
D SUMITOMO MITSUI FINL GROUP INC ADR        86562M209    14646    2677457 SH  -    OTHER   04                  0   2677457        0
D SUMITOMO MITSUI FINL GROUP INC ADR        86562M209    11240    2054800 SH  -    DEFINED 06            2054800         0        0
D SUMITOMO MITSUI FINL GROUP INC ADR        86562M209        9       1560 SH  -    OTHER   01                  0      1560        0
D SUMITOMO MITSUI FINL GROUP INC ADR        86562M209        1        107 SH  -    OTHER   10                  0         0      107
D SUMMIT FINANCIAL GROUP INC     COMMON     86606G101      200      73896 SH  -    OTHER   02                  0     73896        0
D SUN COMMUNITIES                COMMON     866674104     2283      64890 SH  -    DEFINED 04              60890         0     4000
D SUN COMMUNITIES                COMMON     866674104       98       2780 SH  -    DEFINED 05               2780         0        0
D SUN COMMUNITIES                COMMON     866674104        2         62 SH  -    DEFINED 06                 62         0        0
D SUN HEALTHCARE GROUP INC NEW   COMMON     86677E100        1        429 SH  -    OTHER   02                  0       429        0
D SUN HEALTHCARE GROUP INC NEW   COMMON     86677E100      305     112800 SH  -    DEFINED 04             112800         0        0
D SUN HEALTHCARE GROUP INC NEW   COMMON     86677E100       13       4664 SH  -    DEFINED 05               4664         0        0
D SUN HEALTHCARE GROUP INC NEW   COMMON     86677E100        6       2210 SH  -    DEFINED 08               2210         0        0
D SUN HEALTHCARE GROUP INC NEW   COMMON     86677E100        1        200 SH  -    OTHER   10                  0         0      200
D SUN LIFE FINL INC              COMMON     866796105       64       2677 SH  -    DEFINED 05               2677         0        0
D SUN LIFE FINL INC              COMMON     866796105      406      17061 SH  -    DEFINED 06              17061         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 754
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SUN LIFE FINL INC              COMMON     866796105       10        413 SH  -    OTHER   10                  0         0      413
D SUNCOKE ENERGY INC             COMMON     86722A103     2027     184282 SH  -    DEFINED 05             184282         0        0
D SUNCOR ENERGY INC NEW          COMMON     867224107       12        461 SH  -    DEFINED 02                461         0        0
D SUNCOR ENERGY INC NEW          COMMON     867224107       41       1600 SH  -    DEFINED 02               1600         0        0
D SUNCOR ENERGY INC NEW          COMMON     867224107     2170      85317 SH  -    OTHER   02              46100     14862    24355
D SUNCOR ENERGY INC NEW          COMMON     867224107     1279      50272 SH  -    OTHER   02               4100     20165    26007
D SUNCOR ENERGY INC NEW          COMMON     867224107     1040      40868 SH  -    DEFINED 04              40868         0        0
D SUNCOR ENERGY INC NEW          COMMON     867224107     3054     120059 SH  -    DEFINED 04             120059         0        0
D SUNCOR ENERGY INC NEW          COMMON     867224107     1412      55519 SH  -    DEFINED 05              55519         0        0
D SUNCOR ENERGY INC NEW          COMMON     867224107     3461     136046 SH  -    DEFINED 06             136046         0        0
D SUNCOR ENERGY INC NEW          COMMON     867224107      504      19801 SH  -    DEFINED 08              19801         0        0
D SUNCOR ENERGY INC NEW          COMMON     867224107      114       4474 SH  -    DEFINED 09               4474         0        0
D SUNCOR ENERGY INC NEW          COMMON     867224107      516      20266 SH  -    DEFINED 09              20266         0        0
D SUNCOR ENERGY INC NEW          COMMON     867224107     1025      40300 SH  -    OTHER   01              40000       300        0
D SUNCOR ENERGY INC NEW          COMMON     867224107      957      37613 SH  -    OTHER   10                  0         0    37613
D SUNESIS PHARMACEUTICALS INC    COMMON     867328601       47      38234 SH  -    DEFINED 05              38234         0        0
D SUNESIS PHARMACEUTICALS INC    COMMON     867328601        3       2732 SH  -    DEFINED 08               2732         0        0
D SUNOCO LOGISTICS PRTNRS L P    COMMON     86764L108      363       4100 SH  -    DEFINED 02               4100         0        0
D SUNOCO LOGISTICS PRTNRS L P    COMMON     86764L108       27        300 SH  -    OTHER   02                300         0        0
D SUNOCO LOGISTICS PRTNRS L P    COMMON     86764L108      354       4000 SH  -    OTHER   01               4000         0        0
D SUNOCO LOGISTICS PRTNRS L P    COMMON     86764L108    34008     384311 SH  -    DEFINED 10             384311         0        0
D SUNOCO LOGISTICS PRTNRS L P    COMMON     86764L108       82        925 SH  -    OTHER   10                  0         0      925
D SUNOCO INC                     COMMON     86764P109       29        935 SH  -    DEFINED 02                935         0        0
D SUNOCO INC                     COMMON     86764P109       42       1369 SH  -    DEFINED 02               1245         0      124
D SUNOCO INC                     COMMON     86764P109      237       7651 SH  -    OTHER   02               2934      4344      373
D SUNOCO INC                     COMMON     86764P109        0          5 SH  -    OTHER   02                  0         0        5

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 755
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SUNOCO INC                     COMMON     86764P109      597      19242 SH  -    DEFINED 04              16147         0     3095
D SUNOCO INC                     COMMON     86764P109     1348      43468 SH  -    DEFINED 04              43468         0        0
D SUNOCO INC                     COMMON     86764P109     1610      51930 SH  -    DEFINED 05              51930         0        0
D SUNOCO INC                     COMMON     86764P109       44       1431 SH  -    DEFINED 06               1431         0        0
D SUNOCO INC                     COMMON     86764P109     1194      38501 SH  -    DEFINED 08              38501         0        0
D SUNOCO INC                     COMMON     86764P109       11        366 SH  -    OTHER   01                366         0        0
D SUNOCO INC                     COMMON     86764P109        5        164 SH  -    OTHER   10                  0         0      164
D SUNOCO INC                     OPTION     86764P901      310      10000 SH  C    DEFINED 05              10000         0        0
D SUNPOWER CORP                  BOND       867652AE9        2       2000 PRN -    DEFINED 02                  0         0        0
D SUNPOWER CORP                  BOND       867652AE9      846    1000000 PRN -    DEFINED 05                  0         0        0
D SUNRISE SENIOR LIVING INC      COMMON     86768K106        4        889 SH  -    OTHER   02                  0       889        0
D SUNRISE SENIOR LIVING INC      COMMON     86768K106      189      40850 SH  -    DEFINED 04              36350         0     4500
D SUNRISE SENIOR LIVING INC      COMMON     86768K106       65      13958 SH  -    DEFINED 05              13958         0        0
D SUNRISE SENIOR LIVING INC      COMMON     86768K106       16       3384 SH  -    DEFINED 08               3384         0        0
D SUNSTONE HOTEL INVS INC NEW    COMMON     867892101      320      56300 SH  -    DEFINED 02              56300         0        0
D SUNSTONE HOTEL INVS INC NEW    COMMON     867892101     4744     833817 SH  -    DEFINED 04             740533         0    93284
D SUNSTONE HOTEL INVS INC NEW    COMMON     867892101     1294     227410 SH  -    DEFINED 04             227410         0        0
D SUNSTONE HOTEL INVS INC NEW    COMMON     867892101      110      19400 SH  -    DEFINED 04              19400         0        0
D SUNSTONE HOTEL INVS INC NEW    COMMON     867892101       24       4300 SH  -    DEFINED 04               4300         0        0
D SUNSTONE HOTEL INVS INC NEW    COMMON     867892101      706     124000 SH  -    DEFINED 04              95200         0        0
D SUNSTONE HOTEL INVS INC NEW    COMMON     867892101       45       7874 SH  -    DEFINED 05               7874         0        0
D SUNSTONE HOTEL INVS INC NEW    COMMON     867892101        3        552 SH  -    DEFINED 06                552         0        0
D SUNSTONE HOTEL INVS INC NEW    COMMON     867892101     1218     214118 SH  -    OTHER   10                  0         0   214118
D SUNTRUST BANKS                 COMMON     867914103      178       9944 SH  -    DEFINED 02               4263         0     5681
D SUNTRUST BANKS                 COMMON     867914103      197      10953 SH  -    DEFINED 02               8567         0     2386
D SUNTRUST BANKS                 COMMON     867914103     1460      81327 SH  -    DEFINED 02              81327         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 756
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SUNTRUST BANKS                 COMMON     867914103      272      15163 SH  -    DEFINED 02               8967         0     6196
D SUNTRUST BANKS                 COMMON     867914103      515      28704 SH  -    OTHER   02                520     25773     2411
D SUNTRUST BANKS                 COMMON     867914103       52       2889 SH  -    OTHER   02                876         0     2013
D SUNTRUST BANKS                 COMMON     867914103    92107    5131298 SH  -    DEFINED 04            4919286         0   212012
D SUNTRUST BANKS                 COMMON     867914103     1680      93593 SH  -    DEFINED 04              93593         0        0
D SUNTRUST BANKS                 COMMON     867914103       32       1804 SH  -    DEFINED 04               1804         0        0
D SUNTRUST BANKS                 COMMON     867914103     3339     186041 SH  -    DEFINED 04             186041         0        0
D SUNTRUST BANKS                 COMMON     867914103    15677     873392 SH  -    DEFINED 04             868575         0     4817
D SUNTRUST BANKS                 COMMON     867914103       35       1930 SH  -    DEFINED 04                  0         0     1930
D SUNTRUST BANKS                 COMMON     867914103      755      42035 SH  -    OTHER   04                  0     42035        0
D SUNTRUST BANKS                 COMMON     867914103     3948     219944 SH  -    OTHER   04                  0    219944        0
D SUNTRUST BANKS                 COMMON     867914103    34225    1906684 SH  -    DEFINED 05            1906684         0        0
D SUNTRUST BANKS                 COMMON     867914103       17        958 SH  -    DEFINED 06                958         0        0
D SUNTRUST BANKS                 COMMON     867914103     2515     140114 SH  -    DEFINED 08             140114         0        0
D SUNTRUST BANKS                 COMMON     867914103    24492    1364432 SH  -    DEFINED 09            1320040         0    16668
D SUNTRUST BANKS                 COMMON     867914103     1979     110237 SH  -    DEFINED 09             110237         0        0
D SUNTRUST BANKS                 COMMON     867914103     1235      68786 SH  -    DEFINED 09              68786         0        0
D SUNTRUST BANKS                 COMMON     867914103       15        859 SH  -    OTHER   10                  0         0      859
D SUNTRUST BANKS                 OPTION     867914905      366      20400 SH  C    DEFINED 05              20400         0        0
D SUNTRUST BANKS                 OPTION     867914954       43       2400 SH  P    DEFINED 05               2400         0        0
D SUNTECH PWR HLDGS CO LTD       BOND       86800CAE4     2508    6350000 PRN -    DEFINED 04                  0         0        0
D SUNTECH PWR HLDGS CO LTD       BOND       86800CAE4     1727    4373000 PRN -    DEFINED 09                  0         0        0
D SUNTECH PWR HLDGS CO LTD       BOND       86800CAE4      309     782000 PRN -    DEFINED 09                  0         0        0
D SUNTECH PWR HLDGS CO LTD       ADR        86800C104      109      47091 SH  -    DEFINED 05              47091         0        0
D SUNTECH PWR HLDGS CO LTD       ADR        86800C104       24      10400 SH  -    DEFINED 06              10400         0        0
D SUNTECH PWR HLDGS CO LTD       ADR        86800C104       35      15261 SH  -    DEFINED 08              15261         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 757
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SUPER MICRO COMPUTER INC       COMMON     86800U104        4        316 SH  -    OTHER   02                  0       316        0
D SUPER MICRO COMPUTER INC       COMMON     86800U104       39       3098 SH  -    OTHER   02                  9      3059       30
D SUPER MICRO COMPUTER INC       COMMON     86800U104      227      18118 SH  -    DEFINED 04              18118         0        0
D SUPER MICRO COMPUTER INC       COMMON     86800U104      192      15299 SH  -    DEFINED 05              15299         0        0
D SUPERIOR ENERGY SV             COMMON     868157108        3        130 SH  -    OTHER   02                  0       130        0
D SUPERIOR ENERGY SV             COMMON     868157108     8564     326359 SH  -    DEFINED 04             239079         0    87280
D SUPERIOR ENERGY SV             COMMON     868157108     4421     168502 SH  -    DEFINED 04             168502         0        0
D SUPERIOR ENERGY SV             COMMON     868157108     1286      49000 SH  -    DEFINED 04              49000         0        0
D SUPERIOR ENERGY SV             COMMON     868157108      312      11877 SH  -    DEFINED 05              11877         0        0
D SUPERIOR ENERGY SV             COMMON     868157108     6705     255508 SH  -    DEFINED 08             255508         0        0
D SUPERIOR ENERGY SV             COMMON     868157108        2         82 SH  -    OTHER   10                  0         0       82
D SUPERIOR ENERGY SV             OPTION     868157900    19425     740300 SH  C    DEFINED 08             740300         0        0
D SUPERIOR INDS INTL             COMMON     868168105     2942     190425 SH  -    DEFINED 04             184625         0     5800
D SUPERIOR INDS INTL             COMMON     868168105     2111     136666 SH  -    DEFINED 04             136666         0        0
D SUPERIOR INDS INTL             COMMON     868168105      177      11450 SH  -    DEFINED 05              11450         0        0
D SUPERMEDIA INC                 COMMON     868447103      353     227683 SH  -    DEFINED 02             227683         0        0
D SUPERMEDIA INC                 COMMON     868447103        0         65 SH  -    DEFINED 05                 65         0        0
D SUPERTEX INC                   COMMON     868532102       85       4900 SH  -    DEFINED 04               4900         0        0
D SUPERTEX INC                   COMMON     868532102      156       9006 SH  -    DEFINED 04               9006         0        0
D SUPERTEX INC                   COMMON     868532102      102       5910 SH  -    DEFINED 05               5910         0        0
D SUPERVALU INC                  COMMON     868536103       17       2534 SH  -    DEFINED 02               2446         0       88
D SUPERVALU INC                  COMMON     868536103       31       4689 SH  -    OTHER   02                400      4289        0
D SUPERVALU INC                  COMMON     868536103       16       2446 SH  -    OTHER   02               1832        44      570
D SUPERVALU INC                  COMMON     868536103     1967     295383 SH  -    DEFINED 04             277408         0    17975
D SUPERVALU INC                  COMMON     868536103     2969     445781 SH  -    DEFINED 04             445781         0        0
D SUPERVALU INC                  COMMON     868536103       86      12936 SH  -    OTHER   04                  0     12936        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 758
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SUPERVALU INC                  COMMON     868536103      139      20835 SH  -    DEFINED 05              20835         0        0
D SUPERVALU INC                  COMMON     868536103      388      58190 SH  -    DEFINED 08              58190         0        0
D SUPERVALU INC                  COMMON     868536103      570      85617 SH  -    OTHER   10                  0         0    85617
D SURMODICS INC                  COMMON     868873100        8        894 SH  -    OTHER   02                  0       894        0
D SURMODICS INC                  COMMON     868873100      110      12052 SH  -    DEFINED 04              12052         0        0
D SURMODICS INC                  COMMON     868873100       68       7477 SH  -    DEFINED 05               7477         0        0
D SUSQUEHANNA BANCSH             COMMON     869099101       53       9681 SH  -    OTHER   02                  0       891     8790
D SUSQUEHANNA BANCSH             COMMON     869099101      127      23204 SH  -    OTHER   02                  0       992    22212
D SUSQUEHANNA BANCSH             COMMON     869099101     2430     445000 SH  -    DEFINED 04             400400         0    44600
D SUSQUEHANNA BANCSH             COMMON     869099101     2075     380060 SH  -    DEFINED 04             380060         0        0
D SUSQUEHANNA BANCSH             COMMON     869099101      395      72257 SH  -    DEFINED 05              72257         0        0
D SWEDISH EXPT CR CORP           COMMON     870297603      683      75850 SH  -    DEFINED 02              75850         0        0
D SWEDISH EXPT CR CORP           COMMON     870297603      725      80492 SH  -    OTHER   10                  0         0    80492
D SWEDISH EXPT CR CORP           COMMON     870297801      799      99000 SH  -    DEFINED 02              99000         0        0
D SWEDISH EXPT CR CORP           COMMON     870297801        0         39 SH  -    DEFINED 05                 39         0        0
D SWEDISH EXPT CR CORP           COMMON     870297801     1408     174530 SH  -    OTHER   10                  0         0   174530
D SWIFT ENERGY CO                COMMON     870738101        5        218 SH  -    DEFINED 02                218         0        0
D SWIFT ENERGY CO                COMMON     870738101       82       3376 SH  -    OTHER   02                179        77     3100
D SWIFT ENERGY CO                COMMON     870738101      743      30525 SH  -    DEFINED 04              27825         0     2700
D SWIFT ENERGY CO                COMMON     870738101     2342      96205 SH  -    DEFINED 04              96205         0        0
D SWIFT ENERGY CO                COMMON     870738101       66       2700 SH  -    DEFINED 04               2700         0        0
D SWIFT ENERGY CO                COMMON     870738101      490      20128 SH  -    DEFINED 05              20128         0        0
D SWIFT ENERGY CO                COMMON     870738101     7857     322800 SH  -    DEFINED 09             322800         0        0
D SWIFT ENERGY CO                COMMON     870738101      232       9550 SH  -    DEFINED 09               9550         0        0
D SWISHER HYGIENE INC            COMMON     870808102      527     130000 SH  -    OTHER   02                  0    130000        0
D SWISHER HYGIENE INC            COMMON     870808102       50      12249 SH  -    DEFINED 05              12249         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 759
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SWISHER HYGIENE INC            COMMON     870808102       20       5056 SH  -    DEFINED 08               5056         0        0
D SYKES ENTERPRISES              COMMON     871237103        9        582 SH  -    OTHER   02                 77         0      505
D SYKES ENTERPRISES              COMMON     871237103       79       5300 SH  -    OTHER   02                  0         0     5300
D SYKES ENTERPRISES              COMMON     871237103      425      28412 SH  -    DEFINED 04              28412         0        0
D SYKES ENTERPRISES              COMMON     871237103      352      23541 SH  -    DEFINED 05              23541         0        0
D SYMANTEC CORP                  BOND       871503AF5        5       4000 PRN -    DEFINED 02                  0         0        0
D SYMANTEC CORP                  BOND       871503AF5    21226   18640000 PRN -    DEFINED 09                  0         0        0
D SYMANTEC CORP                  BOND       871503AF5     4683    4112000 PRN -    DEFINED 09                  0         0        0
D SYMANTEC CORP                  COMMON     871503108        2        116 SH  -    DEFINED 02                116         0        0
D SYMANTEC CORP                  COMMON     871503108      149       9133 SH  -    DEFINED 02               8640         0      493
D SYMANTEC CORP                  COMMON     871503108      609      37365 SH  -    OTHER   02              17882     19483        0
D SYMANTEC CORP                  COMMON     871503108       22       1367 SH  -    OTHER   02               1179       132       56
D SYMANTEC CORP                  COMMON     871503108    32777    2010880 SH  -    DEFINED 04            1386115         0   624765
D SYMANTEC CORP                  COMMON     871503108     4419     271100 SH  -    DEFINED 04             271100         0        0
D SYMANTEC CORP                  COMMON     871503108       57       3500 SH  -    DEFINED 04               3500         0        0
D SYMANTEC CORP                  COMMON     871503108       12        736 SH  -    OTHER   04                  0       736        0
D SYMANTEC CORP                  COMMON     871503108      465      28536 SH  -    DEFINED 05              28536         0        0
D SYMANTEC CORP                  COMMON     871503108      302      18500 SH  -    DEFINED 09              18500         0        0
D SYMANTEC CORP                  COMMON     871503108       16        972 SH  -    OTHER   01                972         0        0
D SYMANTEC CORP                  COMMON     871503108      109       6671 SH  -    OTHER   10                  0         0     6671
D SYMETRA FINL CORP              COMMON     87151Q106     1211     148603 SH  -    OTHER   02                  0    148447        0
D SYMETRA FINL CORP              COMMON     87151Q106     1442     176900 SH  -    DEFINED 04             169700         0     7200
D SYMETRA FINL CORP              COMMON     87151Q106      203      24876 SH  -    DEFINED 05              24876         0        0
D SYMETRA FINL CORP              COMMON     87151Q106      131      16127 SH  -    DEFINED 08              16127         0        0
D SYMETRA FINL CORP              COMMON     87151Q106      108      13300 SH  -    OTHER   01                  0     13300        0
D SYMMETRICOM INC                COMMON     871543104        3        672 SH  -    OTHER   02                  0       672        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 760
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SYMMETRICOM INC                COMMON     871543104      838     193060 SH  -    DEFINED 04             172560         0    20500
D SYMMETRICOM INC                COMMON     871543104      133      30617 SH  -    DEFINED 04              30617         0        0
D SYMMETRICOM INC                COMMON     871543104       89      20538 SH  -    DEFINED 05              20538         0        0
D SYMMETRY MEDICAL INC           COMMON     871546206        1         82 SH  -    OTHER   02                  0         0        0
D SYMMETRY MEDICAL INC           COMMON     871546206      193      24990 SH  -    DEFINED 04              24990         0        0
D SYMMETRY MEDICAL INC           COMMON     871546206      138      17853 SH  -    DEFINED 05              17853         0        0
D SYMMETRY MEDICAL INC           COMMON     871546206        3        450 SH  -    OTHER   01                  0       450        0
D SYNCHRONOSS TECHNOLOGIES INC   COMMON     87157B103        0          0 SH  -    DEFINED 03                  0         0        0
D SYNCHRONOSS TECHNOLOGIES INC   COMMON     87157B103      315      12651 SH  -    DEFINED 05              12651         0        0
D SYNCHRONOSS TECHNOLOGIES INC   COMMON     87157B103     7915     317750 SH  -    DEFINED 01             317750         0        0
D SYNAPTICS INC                  COMMON     87157D109      284      11867 SH  -    DEFINED 02              11867         0        0
D SYNAPTICS INC                  COMMON     87157D109        5        216 SH  -    OTHER   02                  0       216        0
D SYNAPTICS INC                  COMMON     87157D109      821      34350 SH  -    DEFINED 04              26150         0     8200
D SYNAPTICS INC                  COMMON     87157D109      596      24940 SH  -    DEFINED 04              24940         0        0
D SYNAPTICS INC                  COMMON     87157D109      368      15392 SH  -    DEFINED 05              15392         0        0
D SYNGENTA AG                    ADR        87160A100      660      12720 SH  -    OTHER   02               5695       620     6405
D SYNGENTA AG                    ADR        87160A100       76       1470 SH  -    OTHER   02                  0         0     1470
D SYNGENTA AG                    ADR        87160A100        2         46 SH  -    OTHER   04                  0        46        0
D SYNGENTA AG                    ADR        87160A100     2021      38967 SH  -    DEFINED 05              38967         0        0
D SYNGENTA AG                    ADR        87160A100    10512     202660 SH  -    DEFINED 06             202660         0        0
D SYNGENTA AG                    ADR        87160A100        2         44 SH  -    OTHER   01                  0         0        0
D SYNOPSYS INC                   COMMON     871607107       27       1100 SH  -    DEFINED 02               1100         0        0
D SYNOPSYS INC                   COMMON     871607107      152       6238 SH  -    OTHER   02                 45      1993     4200
D SYNOPSYS INC                   COMMON     871607107    84340    3462238 SH  -    DEFINED 04            3335238         0   127000
D SYNOPSYS INC                   COMMON     871607107      828      34000 SH  -    DEFINED 04              34000         0        0
D SYNOPSYS INC                   COMMON     871607107     1915      78600 SH  -    DEFINED 04              78600         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 761
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SYNOPSYS INC                   COMMON     871607107     1044      42854 SH  -    OTHER   04                  0     42854        0
D SYNOPSYS INC                   COMMON     871607107     5332     218864 SH  -    OTHER   04                  0    218864        0
D SYNOPSYS INC                   COMMON     871607107      419      17215 SH  -    DEFINED 05              17215         0        0
D SYNOPSYS INC                   COMMON     871607107      908      37271 SH  -    DEFINED 08              37271         0        0
D SYNOPSYS INC                   COMMON     871607107        1         59 SH  -    OTHER   01                  0        59        0
D SYNOPSYS INC                   COMMON     871607107        1         45 SH  -    OTHER   10                  0         0       45
D SYNOVUS FINL CORP              COMMON     87161C105        3       3043 SH  -    OTHER   02                150      2893        0
D SYNOVUS FINL CORP              COMMON     87161C105       13      12474 SH  -    DEFINED 05              12474         0        0
D SYNOVUS FINL CORP              COMMON     87161C105      146     136550 SH  -    DEFINED 08             136550         0        0
D SYNTEL INC                     COMMON     87162H103       64       1480 SH  -    OTHER   02                  0      1480        0
D SYNTEL INC                     COMMON     87162H103      176       4066 SH  -    DEFINED 05               4066         0        0
D SYNTEL INC                     COMMON     87162H103       38        884 SH  -    DEFINED 08                884         0        0
D SYNTA PHARMACEUTICALS CORP     COMMON     87162T206       28       8655 SH  -    DEFINED 02               8655         0        0
D SYNTA PHARMACEUTICALS CORP     COMMON     87162T206      105      32345 SH  -    DEFINED 05              32345         0        0
D SYNTA PHARMACEUTICALS CORP     COMMON     87162T206        5       1418 SH  -    DEFINED 08               1418         0        0
D SYNNEX CORP                    COMMON     87162W100       91       3491 SH  -    OTHER   02                  0      1181     2310
D SYNNEX CORP                    COMMON     87162W100       59       2250 SH  -    OTHER   02                  0      2250        0
D SYNNEX CORP                    COMMON     87162W100     3331     127140 SH  -    DEFINED 04             111140         0    16000
D SYNNEX CORP                    COMMON     87162W100     1397      53330 SH  -    DEFINED 04              53330         0        0
D SYNNEX CORP                    COMMON     87162W100      392      14960 SH  -    DEFINED 05              14960         0        0
D SYNNEX CORP                    COMMON     87162W100       71       2695 SH  -    DEFINED 08               2695         0        0
D SYNNEX CORP                    COMMON     87162W100        8        304 SH  -    OTHER   10                  0         0      304
D SYSCO CORP                     COMMON     871829107     3945     152327 SH  -    DEFINED 02             128205      1825    22297
D SYSCO CORP                     COMMON     871829107     3978     153588 SH  -    DEFINED 02             145711      3050     4827
D SYSCO CORP                     COMMON     871829107      203       7855 SH  -    DEFINED 02               7855         0        0
D SYSCO CORP                     COMMON     871829107      189       7307 SH  -    DEFINED 02               6830         0      477

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 762
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D SYSCO CORP                     COMMON     871829107    20241     781494 SH  -    OTHER   02              77670    667070    32544
D SYSCO CORP                     COMMON     871829107     6755     260825 SH  -    OTHER   02             165745     63809    31271
D SYSCO CORP                     COMMON     871829107       18        689 SH  -    OTHER   02                  0       689        0
D SYSCO CORP                     COMMON     871829107    25579     987620 SH  -    DEFINED 04             574751         0   412869
D SYSCO CORP                     COMMON     871829107     2919     112706 SH  -    DEFINED 04             112706         0        0
D SYSCO CORP                     COMMON     871829107      109       4200 SH  -    DEFINED 04               4200         0        0
D SYSCO CORP                     COMMON     871829107     6138     237005 SH  -    DEFINED 04             204933         0        0
D SYSCO CORP                     COMMON     871829107       72       2795 SH  -    DEFINED 04                  0         0     2795
D SYSCO CORP                     COMMON     871829107        1         21 SH  -    OTHER   04                  0        21        0
D SYSCO CORP                     COMMON     871829107     7092     273828 SH  -    DEFINED 05             273828         0        0
D SYSCO CORP                     COMMON     871829107     6051     233613 SH  -    DEFINED 09             233613         0        0
D SYSCO CORP                     COMMON     871829107       42       1621 SH  -    OTHER   09                  0      1621        0
D SYSCO CORP                     COMMON     871829107       72       2770 SH  -    DEFINED 01               2770         0        0
D SYSCO CORP                     COMMON     871829107      908      35040 SH  -    OTHER   01                850     34190        0
D SYSCO CORP                     COMMON     871829107      549      21206 SH  -    OTHER   10                  0         0    21206
D SYSCO CORP                     OPTION     871829909      531      20500 SH  C    DEFINED 05              20500         0        0
D TCF FINL CORP                  COMMON     872275102       10       1080 SH  -    DEFINED 02               1080         0        0
D TCF FINL CORP                  COMMON     872275102       40       4355 SH  -    DEFINED 02               4355         0        0
D TCF FINL CORP                  COMMON     872275102      202      22104 SH  -    OTHER   02                870     20664      275
D TCF FINL CORP                  COMMON     872275102       32       3540 SH  -    OTHER   02               3540         0        0
D TCF FINL CORP                  COMMON     872275102     2037     222400 SH  -    DEFINED 04             210100         0    12300
D TCF FINL CORP                  COMMON     872275102     4599     502125 SH  -    DEFINED 04             502125         0        0
D TCF FINL CORP                  COMMON     872275102       21       2285 SH  -    DEFINED 05               2285         0        0
D TCF FINL CORP                  COMMON     872275102      365      39826 SH  -    DEFINED 08              39826         0        0
D TC PIPELINES LP                COMMON     87233Q108       22        500 SH  -    DEFINED 02                500         0        0
D TC PIPELINES LP                COMMON     87233Q108    26472     603841 SH  -    DEFINED 10             603841         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 763
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TC PIPELINES LP                COMMON     87233Q108     1916      43704 SH  -    OTHER   10                  0         0    43704
D TD AMERITRADE HLDG CORP        COMMON     87236Y108     8686     590656 SH  -    DEFINED 02             502224      4632    83800
D TD AMERITRADE HLDG CORP        COMMON     87236Y108     2724     185273 SH  -    DEFINED 02             178313       178     6782
D TD AMERITRADE HLDG CORP        COMMON     87236Y108     3676     250009 SH  -    DEFINED 02             250009         0        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108      280      19021 SH  -    DEFINED 02               5286         0    13735
D TD AMERITRADE HLDG CORP        COMMON     87236Y108     2741     186429 SH  -    OTHER   02             120710     49218    16486
D TD AMERITRADE HLDG CORP        COMMON     87236Y108      313      21268 SH  -    OTHER   02              11520       815     8933
D TD AMERITRADE HLDG CORP        COMMON     87236Y108       54       3661 SH  -    OTHER   02                  0      3661        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108       50       3383 SH  -    OTHER   02                  0      3383        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108      129       8797 SH  -    OTHER   02                  0      8797        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108   121706    8276482 SH  -    DEFINED 04            6765267         0  1511215
D TD AMERITRADE HLDG CORP        COMMON     87236Y108    13399     911215 SH  -    DEFINED 04             911215         0        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108    14003     952256 SH  -    DEFINED 04             952256         0        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108     2977     202443 SH  -    DEFINED 04             202443         0        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108    14387     978408 SH  -    DEFINED 04             973113         0     5295
D TD AMERITRADE HLDG CORP        COMMON     87236Y108       39       2635 SH  -    DEFINED 04                  0         0     2635
D TD AMERITRADE HLDG CORP        COMMON     87236Y108     6227     423474 SH  -    OTHER   04                  0    423474        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108      780      53065 SH  -    DEFINED 05              53065         0        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108        6        441 SH  -    DEFINED 06                441         0        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108      811      55185 SH  -    DEFINED 08              55185         0        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108    28347    1927728 SH  -    DEFINED 09            1875373         0    21982
D TD AMERITRADE HLDG CORP        COMMON     87236Y108      561      38150 SH  -    DEFINED 09              38150         0        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108     1706     116035 SH  -    DEFINED 09             116035         0        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108     3272     222537 SH  -    DEFINED 09              70451         0        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108      208      14126 SH  -    OTHER   09                  0     14126        0
D TD AMERITRADE HLDG CORP        COMMON     87236Y108      421      28636 SH  -    DEFINED 01              24177      2317     2142

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 764
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TD AMERITRADE HLDG CORP        COMMON     87236Y108      175      11918 SH  -    OTHER   01               7113      2243     2562
D TD AMERITRADE HLDG CORP        COMMON     87236Y108        2        116 SH  -    OTHER   10                  0         0      116
D TD AMERITRADE HLDG CORP        OPTION     87236Y900      441      30000 SH  C    DEFINED 05              30000         0        0
D TECO ENERGY INC                COMMON     872375100       14        840 SH  -    DEFINED 02                840         0        0
D TECO ENERGY INC                COMMON     872375100       45       2623 SH  -    DEFINED 02               2486         0      137
D TECO ENERGY INC                COMMON     872375100       44       2552 SH  -    OTHER   02                  0      1418     1134
D TECO ENERGY INC                COMMON     872375100      348      20305 SH  -    OTHER   02              18899        11     1395
D TECO ENERGY INC                COMMON     872375100     1500      87579 SH  -    DEFINED 04              81403         0     6176
D TECO ENERGY INC                COMMON     872375100     3036     177234 SH  -    DEFINED 04             177234         0        0
D TECO ENERGY INC                COMMON     872375100      181      10550 SH  -    DEFINED 05              10550         0        0
D TECO ENERGY INC                COMMON     872375100      693      40456 SH  -    OTHER   10                  0         0    40456
D TFS FINL CORP                  COMMON     87240R107       19       2346 SH  -    OTHER   02                  0      2346        0
D TFS FINL CORP                  COMMON     87240R107       12       1500 SH  -    DEFINED 05               1500         0        0
D TFS FINL CORP                  COMMON     87240R107      261      32101 SH  -    DEFINED 08              32101         0        0
D TICC CAPITAL CORP              COMMON     87244T109        1        112 SH  -    OTHER   02                  0       112        0
D TICC CAPITAL CORP              COMMON     87244T109       55       6741 SH  -    DEFINED 05               6741         0        0
D TICC CAPITAL CORP              COMMON     87244T109       16       1898 SH  -    DEFINED 08               1898         0        0
D TICC CAPITAL CORP              COMMON     87244T109      203      24897 SH  -    OTHER   10                  0         0    24897
D T-HQ INC                       COMMON     872443403        5       3094 SH  -    OTHER   02                  0      3094        0
D T-HQ INC                       COMMON     872443403     3372    1949100 SH  -    DEFINED 04            1681600         0   267500
D T-HQ INC                       COMMON     872443403      148      85686 SH  -    DEFINED 04              85686         0        0
D T-HQ INC                       COMMON     872443403       90      51768 SH  -    DEFINED 05              51768         0        0
D TJX COS INC                    COMMON     872540109     3438      61984 SH  -    DEFINED 02              20584         0    41400
D TJX COS INC                    COMMON     872540109     1323      23846 SH  -    DEFINED 02              23760         0       86
D TJX COS INC                    COMMON     872540109      257       4630 SH  -    DEFINED 02               4390         0      240
D TJX COS INC                    COMMON     872540109    18927     341214 SH  -    OTHER   02              31817    261022    48275

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 765
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TJX COS INC                    COMMON     872540109      625      11268 SH  -    OTHER   02               1483       138     9647
D TJX COS INC                    COMMON     872540109   210665    3797819 SH  -    DEFINED 04            3122561         0   675258
D TJX COS INC                    COMMON     872540109     8009     144383 SH  -    DEFINED 04             144383         0        0
D TJX COS INC                    COMMON     872540109      141       2549 SH  -    DEFINED 04               2549         0        0
D TJX COS INC                    COMMON     872540109       42        766 SH  -    DEFINED 04                766         0        0
D TJX COS INC                    COMMON     872540109     2682      48345 SH  -    DEFINED 04              48345         0        0
D TJX COS INC                    COMMON     872540109       94       1697 SH  -    DEFINED 04                  0         0     1697
D TJX COS INC                    COMMON     872540109     1453      26193 SH  -    OTHER   04                  0     26193        0
D TJX COS INC                    COMMON     872540109     7406     133512 SH  -    OTHER   04                  0    133512        0
D TJX COS INC                    COMMON     872540109     1859      33509 SH  -    DEFINED 05              33509         0        0
D TJX COS INC                    COMMON     872540109     1146      20656 SH  -    DEFINED 09              20656         0        0
D TJX COS INC                    COMMON     872540109      268       4840 SH  -    DEFINED 01               4800         0       40
D TJX COS INC                    COMMON     872540109      712      12840 SH  -    OTHER   01              12500       238      102
D TJX COS INC                    COMMON     872540109      117       2111 SH  -    OTHER   10                  0         0     2111
D TJX COS INC                    OPTION     872540901      937      16900 SH  C    DEFINED 05              16900         0        0
D TRW AUTOMOTIVE INC             BOND       87264MAH2     2624    1940000 PRN -    DEFINED 05                  0         0        0
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106      105       3200 SH  -    DEFINED 02                  0         0     3200
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106        7        210 SH  -    DEFINED 02                210         0        0
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106        9        289 SH  -    OTHER   02                  0       289        0
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106    18077     552316 SH  -    DEFINED 04             393616         0   158700
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106     6148     187825 SH  -    DEFINED 04             187825         0        0
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106     1450      44300 SH  -    DEFINED 04              44300         0        0
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106       90       2739 SH  -    DEFINED 04               2739         0        0
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106       29        900 SH  -    DEFINED 04                900         0        0
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106      471      14387 SH  -    OTHER   04                  0     14387        0
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106       67       2042 SH  -    DEFINED 05               2042         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 766
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106     3424     104618 SH  -    DEFINED 08             104618         0        0
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106      160       4890 SH  -    DEFINED 09               4890         0        0
D TRW AUTOMOTIVE HLDGS CORP      COMMON     87264S106      106       3229 SH  -    DEFINED 09                  0         0     3229
D TNS INC                        COMMON     872960109        3        174 SH  -    OTHER   02                  0       135        0
D TNS INC                        COMMON     872960109       98       5225 SH  -    DEFINED 04               4725         0      500
D TNS INC                        COMMON     872960109       66       3520 SH  -    DEFINED 05               3520         0        0
D TNS INC                        COMMON     872960109       28       1506 SH  -    DEFINED 08               1506         0        0
D TTM TECHNOLOGIES  INC          BOND       87305RAC3     1985    1995000 PRN -    DEFINED 05                  0         0        0
D TTM TECHNOLOGIES I             COMMON     87305R109        5        536 SH  -    OTHER   02                  0       536        0
D TTM TECHNOLOGIES I             COMMON     87305R109     2444     257006 SH  -    DEFINED 04             234206         0    22800
D TTM TECHNOLOGIES I             COMMON     87305R109      143      15039 SH  -    DEFINED 04              15039         0        0
D TTM TECHNOLOGIES I             COMMON     87305R109      247      26015 SH  -    DEFINED 05              26015         0        0
D TTM TECHNOLOGIES I             COMMON     87305R109     1665     175103 SH  -    DEFINED 08             175103         0        0
D TW TELECOM INC                 COMMON     87311L104       76       4599 SH  -    OTHER   02               3007      1592        0
D TW TELECOM INC                 COMMON     87311L104      399      24150 SH  -    DEFINED 04              24150         0        0
D TW TELECOM INC                 COMMON     87311L104     1824     110389 SH  -    DEFINED 04             110389         0        0
D TW TELECOM INC                 COMMON     87311L104      277      16745 SH  -    DEFINED 05              16745         0        0
D TAIWAN SEMICON MAN             ADR        874039100        2        190 SH  -    DEFINED 02                  0       190        0
D TAIWAN SEMICON MAN             ADR        874039100       24       2086 SH  -    DEFINED 02               2086         0        0
D TAIWAN SEMICON MAN             ADR        874039100    90984    7960116 SH  -    DEFINED 02            7960116         0        0
D TAIWAN SEMICON MAN             ADR        874039100      210      18412 SH  -    OTHER   02                  0     12832     5580
D TAIWAN SEMICON MAN             ADR        874039100        2        177 SH  -    OTHER   02                177         0        0
D TAIWAN SEMICON MAN             ADR        874039100     6456     564825 SH  -    DEFINED 04             564825         0        0
D TAIWAN SEMICON MAN             ADR        874039100     1542     134902 SH  -    DEFINED 04             134902         0        0
D TAIWAN SEMICON MAN             ADR        874039100    19327    1690918 SH  -    DEFINED 04            1690918         0        0
D TAIWAN SEMICON MAN             ADR        874039100     2789     243968 SH  -    DEFINED 04             122168         0   121800

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 767
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TAIWAN SEMICON MAN             ADR        874039100   230802   20192615 SH  -    DEFINED 04           16757933         0  3434682
D TAIWAN SEMICON MAN             ADR        874039100     3979     348153 SH  -    OTHER   04                  0    348153        0
D TAIWAN SEMICON MAN             ADR        874039100     1083      94738 SH  -    OTHER   04                  0     94738        0
D TAIWAN SEMICON MAN             ADR        874039100     9604     840274 SH  -    DEFINED 05             840274         0        0
D TAIWAN SEMICON MAN             ADR        874039100    35903    3141138 SH  -    DEFINED 06            3141138         0        0
D TAIWAN SEMICON MAN             ADR        874039100   268015   23448424 SH  -    DEFINED 09           23044432     56662   347330
D TAIWAN SEMICON MAN             ADR        874039100     2321     203069 SH  -    DEFINED 09             203069         0        0
D TAIWAN SEMICON MAN             ADR        874039100    48922    4280138 SH  -    DEFINED 09            4110338         0   169800
D TAIWAN SEMICON MAN             ADR        874039100       42       3700 SH  -    DEFINED 09               3700         0        0
D TAIWAN SEMICON MAN             ADR        874039100    26409    2310501 SH  -    OTHER   09                  0   2310501        0
D TAIWAN SEMICON MAN             ADR        874039100      330      28828 SH  -    OTHER   01              23114      5714        0
D TAIWAN SEMICON MAN             ADR        874039100      137      12000 SH  -    OTHER   10                  0         0    12000
D TAKE-TWO INTERACTIVE SOFTWARE  BOND       874054AA7     5544    4084000 PRN -    DEFINED 05                  0         0        0
D TAKE TWO INTERACTI             COMMON     874054109        4        276 SH  -    OTHER   02                  0       276        0
D TAKE TWO INTERACTI             COMMON     874054109    10048     789915 SH  -    DEFINED 04             719915         0    70000
D TAKE TWO INTERACTI             COMMON     874054109     4257     334687 SH  -    DEFINED 04             334687         0        0
D TAKE TWO INTERACTI             COMMON     874054109      532      41841 SH  -    DEFINED 05              41841         0        0
D TAKE TWO INTERACTI             COMMON     874054109     2900     228020 SH  -    DEFINED 08             228020         0        0
D TAKE TWO INTERACTI             COMMON     874054109        0          1 SH  -    OTHER   10                  0         0        1
D TAL INTL GROUP INC             COMMON     874083108       11        430 SH  -    OTHER   02                  0       430        0
D TAL INTL GROUP INC             COMMON     874083108     1391      55787 SH  -    DEFINED 04              52087         0     3700
D TAL INTL GROUP INC             COMMON     874083108     2294      91980 SH  -    DEFINED 04              91980         0        0
D TAL INTL GROUP INC             COMMON     874083108      116       4632 SH  -    DEFINED 05               4632         0        0
D TAL INTL GROUP INC             COMMON     874083108       33       1318 SH  -    DEFINED 08               1318         0        0
D TAL INTL GROUP INC             COMMON     874083108      100       3994 SH  -    DEFINED 09               3994         0        0
D TAL INTL GROUP INC             COMMON     874083108       45       1800 SH  -    OTHER   10                  0         0     1800

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 768
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TALBOTS INC                    COMMON     874161102        1        235 SH  -    OTHER   02                  0       235        0
D TALBOTS INC                    COMMON     874161102      367     135800 SH  -    DEFINED 04             135800         0        0
D TALBOTS INC                    COMMON     874161102        6       2185 SH  -    DEFINED 05               2185         0        0
D TALBOTS INC                    COMMON     874161102       11       3976 SH  -    DEFINED 08               3976         0        0
D TALEO CORP                     COMMON     87424N104    29549    1148854 SH  -    DEFINED 04             767883         0   380971
D TALEO CORP                     COMMON     87424N104     6922     269148 SH  -    DEFINED 04             269148         0        0
D TALEO CORP                     COMMON     87424N104     1635      63580 SH  -    DEFINED 04              63580         0        0
D TALEO CORP                     COMMON     87424N104       54       2098 SH  -    OTHER   04                  0      2098        0
D TALEO CORP                     COMMON     87424N104      543      21096 SH  -    DEFINED 05              21096         0        0
D TALISMAN ENERGY INC            COMMON     87425E103      524      42669 SH  -    OTHER   02              28324         0    14345
D TALISMAN ENERGY INC            COMMON     87425E103      217      17705 SH  -    OTHER   02                  0        95    17610
D TALISMAN ENERGY INC            COMMON     87425E103    22001    1793054 SH  -    DEFINED 04            1237494         0   555560
D TALISMAN ENERGY INC            COMMON     87425E103     1870     152442 SH  -    DEFINED 05             152442         0        0
D TALISMAN ENERGY INC            COMMON     87425E103      497      40494 SH  -    DEFINED 06              40494         0        0
D TALISMAN ENERGY INC            COMMON     87425E103     7362     600000 SH  -    DEFINED 08             600000         0        0
D TALISMAN ENERGY INC            COMMON     87425E103       19       1530 SH  -    OTHER   10                  0         0     1530
D TAM SA                         PREF ADR   87484D103     6148     394602 SH  -    DEFINED 08             394602         0        0
D TANGER FACTORY OUTLET CTRS INC COMMON     875465106     1551      59620 SH  -    DEFINED 04              59620         0        0
D TANGER FACTORY OUTLET CTRS INC COMMON     875465106     2523      96983 SH  -    DEFINED 05              96983         0        0
D TANGER FACTORY OUTLET CTRS INC COMMON     875465106       18        700 SH  -    DEFINED 06                700         0        0
D TANGOE INC                     COMMON     87582Y108      327      28875 SH  -    DEFINED 04              25675         0     3200
D TANGOE INC                     COMMON     87582Y108     1793     158575 SH  -    DEFINED 05             158575         0        0
D TANZANIAN ROYALTY EXPL CORP    COMMON     87600U104       47      13095 SH  -    OTHER   02              13095         0        0
D TARGACEPT INC                  COMMON     87611R306      888      59225 SH  -    DEFINED 04              49225         0    10000
D TARGACEPT INC                  COMMON     87611R306      449      29900 SH  -    DEFINED 04              29900         0        0
D TARGACEPT INC                  COMMON     87611R306      668      44511 SH  -    DEFINED 05              44511         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 769
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TARGACEPT INC                  COMMON     87611R306       27       1777 SH  -    DEFINED 08               1777         0        0
D TARGACEPT INC                  COMMON     87611R306      272      18111 SH  -    DEFINED 09              18111         0        0
D TARGA RESOURCES PARTNERS LP    COMMON     87611X105       66       2000 SH  -    OTHER   02               2000         0        0
D TARGA RESOURCES PARTNERS LP    COMMON     87611X105    39710    1207717 SH  -    DEFINED 10            1207717         0        0
D TARGA RESOURCES PARTNERS LP    COMMON     87611X105      382      11630 SH  -    OTHER   10                  0         0    11630
D TARGET CORP                    COMMON     87612E106    18138     369852 SH  -    DEFINED 02             329736      2018    38098
D TARGET CORP                    COMMON     87612E106    10022     204363 SH  -    DEFINED 02             195624       258     8481
D TARGET CORP                    COMMON     87612E106     2237      45607 SH  -    DEFINED 02              45607         0        0
D TARGET CORP                    COMMON     87612E106     1865      38030 SH  -    DEFINED 02              16476         0    21554
D TARGET CORP                    COMMON     87612E106    18148     370061 SH  -    OTHER   02             183854    153802    31970
D TARGET CORP                    COMMON     87612E106     5548     113126 SH  -    OTHER   02             100696      3374     9056
D TARGET CORP                    COMMON     87612E106       96       1966 SH  -    OTHER   02                  0      1966        0
D TARGET CORP                    COMMON     87612E106       98       2006 SH  -    OTHER   02                  0      2006        0
D TARGET CORP                    COMMON     87612E106      252       5145 SH  -    OTHER   02                  0      5145        0
D TARGET CORP                    COMMON     87612E106   384740    7845424 SH  -    DEFINED 04            6948047         0   897377
D TARGET CORP                    COMMON     87612E106     6001     122367 SH  -    DEFINED 04             122367         0        0
D TARGET CORP                    COMMON     87612E106    27452     559794 SH  -    DEFINED 04             559794         0        0
D TARGET CORP                    COMMON     87612E106     5058     103148 SH  -    DEFINED 04             103148         0        0
D TARGET CORP                    COMMON     87612E106    21946     447516 SH  -    DEFINED 04             444814         0     2702
D TARGET CORP                    COMMON     87612E106      329       6712 SH  -    DEFINED 04                  0         0     6712
D TARGET CORP                    COMMON     87612E106    12083     246389 SH  -    OTHER   04                  0    246389        0
D TARGET CORP                    COMMON     87612E106    21279     433910 SH  -    DEFINED 05             433910         0        0
D TARGET CORP                    COMMON     87612E106    87737    1789095 SH  -    DEFINED 08            1789095         0        0
D TARGET CORP                    COMMON     87612E106    38312     781241 SH  -    DEFINED 09             754194         0    11499
D TARGET CORP                    COMMON     87612E106     3036      61912 SH  -    DEFINED 09              61912         0        0
D TARGET CORP                    COMMON     87612E106     1890      38538 SH  -    DEFINED 09              38538         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 770
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TARGET CORP                    COMMON     87612E106     1010      20600 SH  -    OTHER   09                  0     20600        0
D TARGET CORP                    COMMON     87612E106    26930     549147 SH  -    DEFINED 01             546560      1275     1312
D TARGET CORP                    COMMON     87612E106      428       8723 SH  -    OTHER   01               3327      3260     2136
D TARGET CORP                    COMMON     87612E106     1661      33867 SH  -    OTHER   10                  0         0    33867
D TARGET CORP                    OPTION     87612E908     2884      58800 SH  C    DEFINED 05              58800         0        0
D TARGET CORP                    OPTION     87612E908     7817     159400 SH  C    DEFINED 08             159400         0        0
D TARGET CORP                    OPTION     87612E957     3418      69700 SH  P    DEFINED 05              69700         0        0
D TARGA RES CORP                 COMMON     87612G101       36       1200 SH  -    DEFINED 02               1200         0        0
D TARGA RES CORP                 COMMON     87612G101      664      22325 SH  -    OTHER   02                600     21725        0
D TARGA RES CORP                 COMMON     87612G101       95       3200 SH  -    OTHER   02                  0      3200        0
D TARGA RES CORP                 COMMON     87612G101       72       2406 SH  -    DEFINED 05               2406         0        0
D TARGA RES CORP                 COMMON     87612G101      117       3947 SH  -    DEFINED 08               3947         0        0
D TARGA RES CORP                 COMMON     87612G101      149       5000 SH  -    OTHER   01                  0      5000        0
D TARGA RES CORP                 COMMON     87612G101       39       1300 SH  -    OTHER   10                  0         0     1300
D TASEKO MINES LTD               COMMON     876511106       38      15000 SH  -    OTHER   02              15000         0        0
D TATA MTRS LTD                  ADR        876568502     2940     191135 SH  -    DEFINED 05             191135         0        0
D TATA MTRS LTD                  ADR        876568502      938      60958 SH  -    DEFINED 08              60958         0        0
D TATA MTRS LTD                  ADR        876568502     1052      68400 SH  -    DEFINED 09              68400         0        0
D TATA MTRS LTD                  ADR        876568502    37038    2408184 SH  -    OTHER   09                  0   2408184        0
D TATA MTRS LTD                  OPTION     876568908      603      39200 SH  C    DEFINED 05              39200         0        0
D TATA MTRS LTD                  OPTION     876568957       31       2000 SH  P    DEFINED 08               2000         0        0
D TAUBMAN CENTRES                COMMON     876664103     2558      50849 SH  -    DEFINED 04              50849         0        0
D TAUBMAN CENTRES                COMMON     876664103     5575     110804 SH  -    DEFINED 04             110804         0        0
D TAUBMAN CENTRES                COMMON     876664103       80       1589 SH  -    DEFINED 05               1589         0        0
D TAUBMAN CENTRES                COMMON     876664103       48        961 SH  -    DEFINED 06                961         0        0
D TAUBMAN CENTRES                COMMON     876664103      311       6183 SH  -    DEFINED 08               6183         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 771
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TEAM INC                       COMMON     878155100        5        248 SH  -    OTHER   02                  0       248        0
D TEAM INC                       COMMON     878155100        1         26 SH  -    OTHER   02                  0        26        0
D TEAM INC                       COMMON     878155100     5226     249080 SH  -    DEFINED 04             242580         0     6500
D TEAM INC                       COMMON     878155100       55       2604 SH  -    DEFINED 05               2604         0        0
D TEAM INC                       COMMON     878155100       25       1192 SH  -    DEFINED 08               1192         0        0
D TEAM HEALTH HOLDINGS INC       COMMON     87817A107       11        661 SH  -    OTHER   02                  0       661        0
D TEAM HEALTH HOLDINGS INC       COMMON     87817A107      718      43750 SH  -    DEFINED 04              39350         0     4400
D TEAM HEALTH HOLDINGS INC       COMMON     87817A107       60       3631 SH  -    DEFINED 05               3631         0        0
D TEAM HEALTH HOLDINGS INC       COMMON     87817A107       26       1603 SH  -    DEFINED 08               1603         0        0
D TEAVANA HLDGS INC              COMMON     87819P102     2185     107425 SH  -    DEFINED 04              87125         0    20300
D TEAVANA HLDGS INC              COMMON     87819P102     2247     110472 SH  -    DEFINED 05             110472         0        0
D TECH DATA CORP                 BOND       878237AE6        6       6000 PRN -    DEFINED 02                  0         0        0
D TECH DATA CORP                 BOND       878237AE6     9233    9221000 PRN -    DEFINED 09                  0         0        0
D TECH DATA CORP                 COMMON     878237106       66       1531 SH  -    DEFINED 02                  0      1531        0
D TECH DATA CORP                 COMMON     878237106     1487      34395 SH  -    OTHER   02               2210     31760      400
D TECH DATA CORP                 COMMON     878237106     2192      50710 SH  -    DEFINED 04              50710         0        0
D TECH DATA CORP                 COMMON     878237106     2180      50420 SH  -    DEFINED 04              50420         0        0
D TECH DATA CORP                 COMMON     878237106     2232      51620 SH  -    DEFINED 04              29170         0    22450
D TECH DATA CORP                 COMMON     878237106      171       3945 SH  -    DEFINED 05               3945         0        0
D TECH DATA CORP                 COMMON     878237106      623      14421 SH  -    DEFINED 08              14421         0        0
D TECH DATA CORP                 COMMON     878237106     8620     199390 SH  -    DEFINED 09             185800     13590        0
D TECH DATA CORP                 COMMON     878237106      576      13320 SH  -    DEFINED 09              13320         0        0
D TECH DATA CORP                 COMMON     878237106     4193      96990 SH  -    DEFINED 09              96990         0        0
D TECH DATA CORP                 COMMON     878237106       91       2108 SH  -    OTHER   09                  0      2108        0
D TECH DATA CORP                 COMMON     878237106      159       3670 SH  -    OTHER   01                  0      3670        0
D TECHNE CORP                    COMMON     878377100      416       6121 SH  -    OTHER   02                  0      6121        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 772
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TECHNE CORP                    COMMON     878377100      122       1801 SH  -    OTHER   02                  1         2     1798
D TECHNE CORP                    COMMON     878377100     1735      25507 SH  -    DEFINED 04              25507         0        0
D TECHNE CORP                    COMMON     878377100      329       4843 SH  -    DEFINED 05               4843         0        0
D TECHNE CORP                    COMMON     878377100       45        657 SH  -    OTHER   01                  0       657        0
D TECK RESOURCES LTD             COMMON     878742204     2003      68615 SH  -    OTHER   02               2000     64300     2315
D TECK RESOURCES LTD             COMMON     878742204      464      15881 SH  -    OTHER   02                416        75    15390
D TECK RESOURCES LTD             COMMON     878742204      712      24386 SH  -    DEFINED 04              24386         0        0
D TECK RESOURCES LTD             COMMON     878742204     2870      98325 SH  -    DEFINED 04              98325         0        0
D TECK RESOURCES LTD             COMMON     878742204       96       3297 SH  -    DEFINED 05               3297         0        0
D TECK RESOURCES LTD             COMMON     878742204     1680      57542 SH  -    DEFINED 06              57542         0        0
D TECK RESOURCES LTD             COMMON     878742204    33774    1157056 SH  -    DEFINED 09            1157056         0        0
D TECK RESOURCES LTD             COMMON     878742204     2148      73600 SH  -    DEFINED 09              73600         0        0
D TECK RESOURCES LTD             COMMON     878742204     1055      36155 SH  -    OTHER   09                  0     36155        0
D TECK RESOURCES LTD             COMMON     878742204        0          4 SH  -    OTHER   10                  0         0        4
D TECUMSEH PRODS CO              COMMON     878895200        3        401 SH  -    OTHER   02                  0       401        0
D TECUMSEH PRODS CO              COMMON     878895200        3        347 SH  -    OTHER   02                  0         0      347
D TECUMSEH PRODS CO              COMMON     878895200       91      12500 SH  -    DEFINED 04              12500         0        0
D TECUMSEH PRODS CO              COMMON     878895200        1        204 SH  -    DEFINED 05                204         0        0
D TECUMSEH PRODS CO              COMMON     878895200        8       1080 SH  -    DEFINED 08               1080         0        0
D TEKELEC INC                    COMMON     879101103        4        635 SH  -    OTHER   02                  0         0      635
D TEKELEC INC                    COMMON     879101103       56       9350 SH  -    OTHER   02                  0         0     9350
D TEKELEC INC                    COMMON     879101103      357      59070 SH  -    DEFINED 04              59070         0        0
D TEKELEC INC                    COMMON     879101103      290      48077 SH  -    DEFINED 04              48077         0        0
D TEKELEC INC                    COMMON     879101103      174      28756 SH  -    DEFINED 05              28756         0        0
D TELE NORTE LESTE P             PREF ADR   879246106       35       3700 SH  -    OTHER   02                  0      3700        0
D TELE NORTE LESTE P             PREF ADR   879246106       39       4100 SH  -    OTHER   02                  0         0     4100

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 773
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TELE NORTE LESTE P             PREF ADR   879246106     3253     341335 SH  -    DEFINED 08             341335         0        0
D TELECOM ITALIA S P A NEW       ADR        87927Y201       16       1680 SH  -    OTHER   02                  0      1680        0
D TELECOM ITALIA S P A NEW       ADR        87927Y201      172      17705 SH  -    DEFINED 05              17705         0        0
D TELECOM ITALIA S P A NEW       ADR        87927Y201       66       6753 SH  -    OTHER   01                  0      6534        0
D TELECOM ARGENTINA S A          ADR        879273209     4821     258800 SH  -    DEFINED 02             258800         0        0
D TELECOM ARGENTINA S A          ADR        879273209     1211      65000 SH  -    DEFINED 04              30900         0    34100
D TELECOM ARGENTINA S A          ADR        879273209     2703     145100 SH  -    DEFINED 04             145100         0        0
D TELECOM ARGENTINA S A          ADR        879273209        4        193 SH  -    DEFINED 05                193         0        0
D TELECOM ARGENTINA S A          ADR        879273209     1283      68870 SH  -    DEFINED 09              68870         0        0
D TELECOM ARGENTINA S A          ADR        879273209      123       6600 SH  -    DEFINED 09               6600         0        0
D TELECOM ARGENTINA S A          ADR        879273209      583      31300 SH  -    OTHER   09                  0     31300        0
D TELESP TEL SAO PAU             PREF ADR   87929A102    10761     406828 SH  -    DEFINED 02             406828         0        0
D TELESP TEL SAO PAU             PREF ADR   87929A102    28354    1071980 SH  -    DEFINED 04            1071980         0        0
D TELESP TEL SAO PAU             PREF ADR   87929A102     2303      87070 SH  -    DEFINED 04              47240         0    39830
D TELESP TEL SAO PAU             PREF ADR   87929A102    14219     537588 SH  -    DEFINED 04             537588         0        0
D TELESP TEL SAO PAU             PREF ADR   87929A102      285      10787 SH  -    DEFINED 05              10787         0        0
D TELESP TEL SAO PAU             PREF ADR   87929A102    32125    1214571 SH  -    DEFINED 08            1214571         0        0
D TELESP TEL SAO PAU             PREF ADR   87929A102    21228     802571 SH  -    DEFINED 09             772645     29926        0
D TELESP TEL SAO PAU             PREF ADR   87929A102      269      10184 SH  -    DEFINED 09              10184         0        0
D TELESP TEL SAO PAU             PREF ADR   87929A102     1596      60347 SH  -    OTHER   09                  0     60347        0
D TELESP TEL SAO PAU             PREF ADR   87929A102      302      11400 SH  -    OTHER   01              11400         0        0
D TELECOMMNS SYSTEMS             COMMON     87929J103       71      20536 SH  -    OTHER   02                  0      2659    17877
D TELECOMMNS SYSTEMS             COMMON     87929J103      186      53771 SH  -    OTHER   02                  0      2296    51475
D TELECOMMNS SYSTEMS             COMMON     87929J103      508     147200 SH  -    DEFINED 04             139100         0     8100
D TELECOMMNS SYSTEMS             COMMON     87929J103        3        774 SH  -    DEFINED 05                774         0        0
D TELECOMMNS SYSTEMS             COMMON     87929J103        9       2698 SH  -    DEFINED 08               2698         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 774
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TELEDYNE TECHNOLOGIES INC      COMMON     879360105        6        131 SH  -    DEFINED 02                131         0        0
D TELEDYNE TECHNOLOGIES INC      COMMON     879360105        9        194 SH  -    OTHER   02                  0       194        0
D TELEDYNE TECHNOLOGIES INC      COMMON     879360105      838      17143 SH  -    DEFINED 05              17143         0        0
D TELEFLEX INC                   COMMON     879369106       11        200 SH  -    DEFINED 02                  0       100      100
D TELEFLEX INC                   COMMON     879369106     2655      49373 SH  -    OTHER   02                  0     49076      297
D TELEFLEX INC                   COMMON     879369106       11        208 SH  -    OTHER   02                  0         0      208
D TELEFLEX INC                   COMMON     879369106      436       8110 SH  -    DEFINED 04               8110         0        0
D TELEFLEX INC                   COMMON     879369106     5213      96956 SH  -    DEFINED 04              96956         0        0
D TELEFLEX INC                   COMMON     879369106      643      11966 SH  -    DEFINED 05              11966         0        0
D TELEFLEX INC                   COMMON     879369106    23595     438817 SH  -    DEFINED 08             438817         0        0
D TELEFONICA SA                  ADR        879382208        5        257 SH  -    DEFINED 02                105       152        0
D TELEFONICA SA                  ADR        879382208       27       1407 SH  -    DEFINED 02               1407         0        0
D TELEFONICA SA                  ADR        879382208      353      18457 SH  -    OTHER   02                  0     13057     5400
D TELEFONICA SA                  ADR        879382208       20       1050 SH  -    OTHER   02                600         0      450
D TELEFONICA SA                  ADR        879382208        0          1 SH  -    DEFINED 05                  1         0        0
D TELEFONICA SA                  ADR        879382208      109       5695 SH  -    OTHER   01                  0      5566        0
D TELEFONICA SA                  ADR        879382208      385      20130 SH  -    OTHER   10                  0         0    20130
D TELEFONOS DE MEXICO S A B      ADR        879403780       33       2200 SH  -    DEFINED 02               2200         0        0
D TELEFONOS DE MEXICO S A B      ADR        879403780       24       1600 SH  -    OTHER   02               1600         0        0
D TELEFONOS DE MEXICO S A B      ADR        879403780        4        260 SH  -    DEFINED 05                260         0        0
D TELEFONOS DE MEXICO S A B      ADR        879403780     3596     240566 SH  -    DEFINED 08             240566         0        0
D TELEFONOS DE MEXICO S A B      ADR        879403780        0         30 SH  -    OTHER   10                  0         0       30
D TELEPH &DATA SYS               COMMON     879433100        7        310 SH  -    OTHER   02                  0       310        0
D TELEPH &DATA SYS               COMMON     879433100     1386      65216 SH  -    DEFINED 04              65216         0        0
D TELEPH &DATA SYS               COMMON     879433100       35       1667 SH  -    DEFINED 05               1667         0        0
D TELEPH &DATA SYS               COMMON     879433100      182       8577 SH  -    DEFINED 08               8577         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 775
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TELEPHONE & DATA SYS INC       COMMON     879433860       16        800 SH  -    DEFINED 02                800         0        0
D TELEPHONE & DATA SYS INC       COMMON     879433860        1         55 SH  -    DEFINED 02                 55         0        0
D TELEPHONE & DATA SYS INC       COMMON     879433860       20       1012 SH  -    OTHER   02                  0       247      765
D TELEPHONE & DATA SYS INC       COMMON     879433860      238      12055 SH  -    OTHER   02                640       520    10895
D TELEPHONE & DATA SYS INC       COMMON     879433860    60829    3076837 SH  -    DEFINED 04            2965532         0   111305
D TELEPHONE & DATA SYS INC       COMMON     879433860       21       1050 SH  -    DEFINED 04               1050         0        0
D TELEPHONE & DATA SYS INC       COMMON     879433860     1253      63376 SH  -    DEFINED 04              63376         0        0
D TELEPHONE & DATA SYS INC       COMMON     879433860      778      39351 SH  -    OTHER   04                  0     39351        0
D TELEPHONE & DATA SYS INC       COMMON     879433860     3958     200178 SH  -    OTHER   04                  0    200178        0
D TELEPHONE & DATA SYS INC       COMMON     879433860      508      25700 SH  -    DEFINED 05              25700         0        0
D TELEPHONE & DATA SYS INC       COMMON     879433860      318      16073 SH  -    OTHER   10                  0         0    16073
D TELENAV INC                    COMMON     879455103     3850     434075 SH  -    DEFINED 04             362450         0    71625
D TELENAV INC                    COMMON     879455103        9       1002 SH  -    DEFINED 05               1002         0        0
D TELENAV INC                    COMMON     879455103        9        984 SH  -    DEFINED 08                984         0        0
D TELESTONE TECHNOLOGIES CORP    COMMON     87953J102     1023     250000 SH  -    DEFINED 05             250000         0        0
D TELLABS INC                    COMMON     879664100      168      39075 SH  -    DEFINED 02                  0     39075        0
D TELLABS INC                    COMMON     879664100       19       4318 SH  -    DEFINED 02               4205         0      113
D TELLABS INC                    COMMON     879664100       62      14493 SH  -    OTHER   02                  0     13966        0
D TELLABS INC                    COMMON     879664100        4        881 SH  -    OTHER   02                103       747       31
D TELLABS INC                    COMMON     879664100      417      97133 SH  -    DEFINED 04              86686         0    10447
D TELLABS INC                    COMMON     879664100      251      58528 SH  -    DEFINED 04              58528         0        0
D TELLABS INC                    COMMON     879664100      310      72248 SH  -    DEFINED 05              72248         0        0
D TELLABS INC                    OPTION     879664902       43      10000 SH  C    DEFINED 05              10000         0        0
D TELUS CORP                     COMMON     87971M202       68       1464 SH  -    DEFINED 02                  0      1464        0
D TELUS CORP                     COMMON     87971M202      367       7940 SH  -    OTHER   02               1433      6507        0
D TELUS CORP                     COMMON     87971M202       14        300 SH  -    OTHER   02                  0         0      300

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 776
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TELUS CORP                     COMMON     87971M202     2518      54456 SH  -    DEFINED 04              30626         0    23830
D TELUS CORP                     COMMON     87971M202      191       4125 SH  -    DEFINED 06               4125         0        0
D TELUS CORP                     COMMON     87971M202    10288     222495 SH  -    DEFINED 09             208155     14340        0
D TELUS CORP                     COMMON     87971M202      650      14052 SH  -    DEFINED 09              14052         0        0
D TELUS CORP                     COMMON     87971M202      449       9701 SH  -    DEFINED 09               9701         0        0
D TELUS CORP                     COMMON     87971M202      115       2486 SH  -    OTHER   09                  0      2486        0
D TELUS CORP                     COMMON     87971M202     1224      26469 SH  -    OTHER   10                  0         0    26469
D TEMPLE-INLAND INC.             COMMON     879868107       36       1141 SH  -    OTHER   02                  0      1068        0
D TEMPLE-INLAND INC.             COMMON     879868107       20        640 SH  -    OTHER   02                  0         0      640
D TEMPLE-INLAND INC.             COMMON     879868107    11135     354967 SH  -    DEFINED 04              79767         0   275200
D TEMPLE-INLAND INC.             COMMON     879868107      585      18646 SH  -    DEFINED 04              18646         0        0
D TEMPLE-INLAND INC.             COMMON     879868107    29628     944470 SH  -    DEFINED 05             944470         0        0
D TEMPLE-INLAND INC.             COMMON     879868107    37077    1181924 SH  -    DEFINED 08            1181924         0        0
D TEMPLE-INLAND INC.             COMMON     879868107    14436     460196 SH  -    DEFINED 09             271498         0        0
D TEMPLE-INLAND INC.             OPTION     879868909       94       3000 SH  C    DEFINED 05               3000         0        0
D TEMPLE-INLAND INC.             OPTION     879868958     1496      47700 SH  P    DEFINED 08              47700         0        0
D TELETECH HOLDINGS INC          COMMON     879939106     1143      75000 SH  -    DEFINED 04              62700         0    12300
D TELETECH HOLDINGS INC          COMMON     879939106      327      21429 SH  -    DEFINED 04              21429         0        0
D TELETECH HOLDINGS INC          COMMON     879939106      182      11956 SH  -    DEFINED 05              11956         0        0
D FRANKLIN TEMPLETON             COMMON     88018T101      443      18289 SH  -    OTHER   02              18289         0        0
D TEMPUR PEDIC INTL INC          COMMON     88023U101       78       1477 SH  -    DEFINED 02               1477         0        0
D TEMPUR PEDIC INTL INC          COMMON     88023U101      128       2438 SH  -    OTHER   02                  0       138     2300
D TEMPUR PEDIC INTL INC          COMMON     88023U101    43036     818028 SH  -    DEFINED 04             546520         0   271508
D TEMPUR PEDIC INTL INC          COMMON     88023U101      889      16892 SH  -    DEFINED 04              16892         0        0
D TEMPUR PEDIC INTL INC          COMMON     88023U101       56       1068 SH  -    OTHER   04                  0      1068        0
D TEMPUR PEDIC INTL INC          COMMON     88023U101      838      15931 SH  -    DEFINED 05              15931         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 777
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TEMPUR PEDIC INTL INC          COMMON     88023U101     3837      72927 SH  -    DEFINED 08              72927         0        0
D TEMPUR PEDIC INTL INC          COMMON     88023U101      122       2311 SH  -    DEFINED 09               2311         0        0
D TEMPUR PEDIC INTL INC          COMMON     88023U101        1         20 SH  -    OTHER   01                  0        20        0
D TEMPUR PEDIC INTL INC          COMMON     88023U101      915      17401 SH  -    OTHER   10                  0         0    17401
D TENARIS S A                    ADR        88031M109        4        160 SH  -    DEFINED 02                160         0        0
D TENARIS S A                    ADR        88031M109        0          7 SH  -    DEFINED 02                  7         0        0
D TENARIS S A                    ADR        88031M109    22523     885005 SH  -    DEFINED 02             885005         0        0
D TENARIS S A                    ADR        88031M109     1158      45514 SH  -    OTHER   02              19300      7034    19180
D TENARIS S A                    ADR        88031M109      817      32096 SH  -    OTHER   02                  0       205    31891
D TENARIS S A                    ADR        88031M109    18881     741877 SH  -    DEFINED 04             741877         0        0
D TENARIS S A                    ADR        88031M109    39033    1533699 SH  -    DEFINED 04            1168892         0   364807
D TENARIS S A                    ADR        88031M109    17272     678646 SH  -    DEFINED 06             678646         0        0
D TENARIS S A                    ADR        88031M109        2         60 SH  -    DEFINED 08                 60         0        0
D TENARIS S A                    ADR        88031M109    84356    3314577 SH  -    DEFINED 09            3289370         0    25207
D TENARIS S A                    ADR        88031M109     1298      51011 SH  -    DEFINED 09              51011         0        0
D TENARIS S A                    ADR        88031M109     8508     334321 SH  -    DEFINED 09             334321         0        0
D TENARIS S A                    ADR        88031M109     2412      94773 SH  -    OTHER   09                  0     94773        0
D TENARIS S A                    ADR        88031M109        1         30 SH  -    OTHER   01                  0        30        0
D TENARIS S A                    ADR        88031M109        4        151 SH  -    OTHER   10                  0         0      151
D TENARIS S A                    OPTION     88031M901        3        100 SH  C    DEFINED 05                100         0        0
D TENET HEALTHCARE               COMMON     88033G100        3        610 SH  -    DEFINED 02                610         0        0
D TENET HEALTHCARE               COMMON     88033G100       24       5782 SH  -    DEFINED 02               5458         0      324
D TENET HEALTHCARE               COMMON     88033G100     1351     328747 SH  -    OTHER   02                  0      4389   324000
D TENET HEALTHCARE               COMMON     88033G100       70      17000 SH  -    OTHER   02                  0         0    17000
D TENET HEALTHCARE               COMMON     88033G100      346      84303 SH  -    DEFINED 04              70745         0    13558
D TENET HEALTHCARE               COMMON     88033G100      322      78433 SH  -    DEFINED 04              78433         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 778
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TENET HEALTHCARE               COMMON     88033G100      758     184504 SH  -    DEFINED 05             184504         0        0
D TENET HEALTHCARE               COMMON     88033G100     3841     934516 SH  -    DEFINED 08             934516         0        0
D TENNANT CO                     COMMON     880345103        8        220 SH  -    OTHER   02                  0       220        0
D TENNANT CO                     COMMON     880345103        1         22 SH  -    OTHER   02                  5        11        6
D TENNANT CO                     COMMON     880345103      312       8814 SH  -    DEFINED 05               8814         0        0
D TENNECO INC                    COMMON     880349105        1         20 SH  -    DEFINED 02                 20         0        0
D TENNECO INC                    COMMON     880349105       23        910 SH  -    OTHER   02                  0       887        0
D TENNECO INC                    COMMON     880349105     5285     206364 SH  -    DEFINED 04             152444         0    53920
D TENNECO INC                    COMMON     880349105      968      37811 SH  -    DEFINED 04              37811         0        0
D TENNECO INC                    COMMON     880349105      776      30300 SH  -    DEFINED 04              30300         0        0
D TENNECO INC                    COMMON     880349105       45       1758 SH  -    DEFINED 05               1758         0        0
D TENNECO INC                    COMMON     880349105      221       8614 SH  -    DEFINED 08               8614         0        0
D TENNECO INC                    COMMON     880349105        1         41 SH  -    OTHER   10                  0         0       41
D TERADATA CORP DEL              COMMON     88076W103     1250      23360 SH  -    DEFINED 02                160         0    23200
D TERADATA CORP DEL              COMMON     88076W103        6        112 SH  -    DEFINED 02                112         0        0
D TERADATA CORP DEL              COMMON     88076W103      109       2034 SH  -    DEFINED 02               1939         0       95
D TERADATA CORP DEL              COMMON     88076W103      459       8569 SH  -    OTHER   02                 36      5858     2675
D TERADATA CORP DEL              COMMON     88076W103        0          8 SH  -    OTHER   02                  0         8        0
D TERADATA CORP DEL              COMMON     88076W103     1800      33617 SH  -    DEFINED 04              28799         0     4818
D TERADATA CORP DEL              COMMON     88076W103     1453      27148 SH  -    DEFINED 04              27148         0        0
D TERADATA CORP DEL              COMMON     88076W103     2574      48079 SH  -    DEFINED 05              48079         0        0
D TERADATA CORP DEL              COMMON     88076W103        2         31 SH  -    OTHER   01                  0        31        0
D TERADATA CORP DEL              COMMON     88076W103       26        478 SH  -    OTHER   10                  0         0      478
D TERADYNE INC                   COMMON     880770102        1         72 SH  -    DEFINED 02                 72         0        0
D TERADYNE INC                   COMMON     880770102       25       2248 SH  -    DEFINED 02               2146         0      102
D TERADYNE INC                   COMMON     880770102       33       2962 SH  -    OTHER   02                  0      2362      600

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 779
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TERADYNE INC                   COMMON     880770102        0         13 SH  -    OTHER   02                  0        13        0
D TERADYNE INC                   COMMON     880770102     4895     444613 SH  -    DEFINED 04             439283         0     5330
D TERADYNE INC                   COMMON     880770102     1925     174862 SH  -    DEFINED 04             174862         0        0
D TERADYNE INC                   COMMON     880770102       23       2100 SH  -    DEFINED 04               2100         0        0
D TERADYNE INC                   COMMON     880770102       15       1407 SH  -    DEFINED 04                  0         0     1407
D TERADYNE INC                   COMMON     880770102       57       5186 SH  -    DEFINED 05               5186         0        0
D TERADYNE INC                   COMMON     880770102       75       6847 SH  -    DEFINED 09               6847         0        0
D TERADYNE INC                   COMMON     880770102        1         76 SH  -    OTHER   10                  0         0       76
D TEREX CORP NEW                 BOND       880779AV5       10      10000 PRN -    DEFINED 05                  0         0        0
D TEREX CORP NEW                 COMMON     880779103        1         80 SH  -    DEFINED 02                  0        80        0
D TEREX CORP NEW                 COMMON     880779103       82       7986 SH  -    OTHER   02               2000      5986        0
D TEREX CORP NEW                 COMMON     880779103        5        531 SH  -    OTHER   02                300         0      231
D TEREX CORP NEW                 COMMON     880779103      552      53813 SH  -    DEFINED 05              53813         0        0
D TEREX CORP NEW                 COMMON     880779103       53       5161 SH  -    DEFINED 08               5161         0        0
D TEREX CORP NEW                 COMMON     880779103       13       1284 SH  -    OTHER   10                  0         0     1284
D TERNIUM SA                     ADR        880890108     6682     320806 SH  -    DEFINED 04             320806         0        0
D TERNIUM SA                     ADR        880890108      398      19104 SH  -    DEFINED 04              19104         0        0
D TERNIUM SA                     ADR        880890108       15        729 SH  -    DEFINED 05                729         0        0
D TERRA NITROGEN CO L P          COMMON     881005201       18        125 SH  -    OTHER   02                125         0        0
D TERRA NITROGEN CO L P          COMMON     881005201       14        100 SH  -    OTHER   02                100         0        0
D TERRA NITROGEN CO L P          COMMON     881005201      551       3817 SH  -    OTHER   10                  0         0     3817
D TESCO CORP                     COMMON     88157K101       11        975 SH  -    OTHER   02                  0       975        0
D TESCO CORP                     COMMON     88157K101      111       9600 SH  -    DEFINED 04               9600         0        0
D TESCO CORP                     COMMON     88157K101      545      47000 SH  -    DEFINED 04              47000         0        0
D TESCO CORP                     COMMON     88157K101        6        490 SH  -    DEFINED 05                490         0        0
D TESCO CORP                     COMMON     88157K101       21       1810 SH  -    DEFINED 08               1810         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 780
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TESLA MTRS INC                 COMMON     88160R101       63       2600 SH  -    DEFINED 02               2600         0        0
D TESLA MTRS INC                 COMMON     88160R101       17        701 SH  -    OTHER   02                  0       344      357
D TESLA MTRS INC                 COMMON     88160R101    26876    1101927 SH  -    DEFINED 04             623647         0   478280
D TESLA MTRS INC                 COMMON     88160R101     9705     397900 SH  -    DEFINED 04             397900         0        0
D TESLA MTRS INC                 COMMON     88160R101      646      26500 SH  -    DEFINED 04              26500         0        0
D TESLA MTRS INC                 COMMON     88160R101       47       1947 SH  -    OTHER   04                  0      1947        0
D TESLA MTRS INC                 COMMON     88160R101       18        723 SH  -    DEFINED 05                723         0        0
D TESLA MTRS INC                 COMMON     88160R101        2         71 SH  -    OTHER   01                  0        71        0
D TESLA MTRS INC                 COMMON     88160R101      131       5385 SH  -    OTHER   10                  0         0     5385
D TESORO CORP                    COMMON     881609101       30       1548 SH  -    DEFINED 02                  0      1548        0
D TESORO CORP                    COMMON     881609101        3        129 SH  -    DEFINED 02                129         0        0
D TESORO CORP                    COMMON     881609101       35       1823 SH  -    DEFINED 02               1658         0      165
D TESORO CORP                    COMMON     881609101       96       4946 SH  -    OTHER   02               1585      3001      360
D TESORO CORP                    COMMON     881609101     1500      77048 SH  -    DEFINED 04              72929         0     4119
D TESORO CORP                    COMMON     881609101      450      23105 SH  -    DEFINED 04              23105         0        0
D TESORO CORP                    COMMON     881609101     2857     146732 SH  -    DEFINED 04              83082         0    63650
D TESORO CORP                    COMMON     881609101      246      12645 SH  -    DEFINED 05              12645         0        0
D TESORO CORP                    COMMON     881609101    11070     568581 SH  -    DEFINED 09             527951     40630        0
D TESORO CORP                    COMMON     881609101      722      37071 SH  -    DEFINED 09              37071         0        0
D TESORO CORP                    COMMON     881609101     5257     270006 SH  -    DEFINED 09             270006         0        0
D TESORO CORP                    COMMON     881609101      134       6860 SH  -    OTHER   09                  0      6860        0
D TESORO CORP                    COMMON     881609101        3        165 SH  -    OTHER   10                  0         0      165
D TETRA TECHNOLOGIES INC DEL     COMMON     88162F105       46       5967 SH  -    OTHER   02                  0         0     5967
D TETRA TECHNOLOGIES INC DEL     COMMON     88162F105      138      17904 SH  -    OTHER   02                  0       766    17138
D TETRA TECHNOLOGIES INC DEL     COMMON     88162F105      619      80230 SH  -    DEFINED 04              80230         0        0
D TETRA TECHNOLOGIES INC DEL     COMMON     88162F105      462      59820 SH  -    DEFINED 04              59820         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 781
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TETRA TECHNOLOGIES INC DEL     COMMON     88162F105      278      36022 SH  -    DEFINED 05              36022         0        0
D TETRA TECHNOLOGIES INC DEL     COMMON     88162F105        1        189 SH  -    DEFINED 08                189         0        0
D TETRA TECH INC                 COMMON     88162G103        7        373 SH  -    OTHER   02                  0       373        0
D TETRA TECH INC                 COMMON     88162G103        0          5 SH  -    OTHER   02                  5         0        0
D TETRA TECH INC                 COMMON     88162G103      196      10445 SH  -    DEFINED 04              10445         0        0
D TETRA TECH INC                 COMMON     88162G103      547      29166 SH  -    DEFINED 05              29166         0        0
D TEVA PHARMA IND                ADR        881624209      677      18176 SH  -    DEFINED 02              17692       484        0
D TEVA PHARMA IND                ADR        881624209       56       1492 SH  -    DEFINED 02               1492         0        0
D TEVA PHARMA IND                ADR        881624209    25435     683358 SH  -    DEFINED 02             683358         0        0
D TEVA PHARMA IND                ADR        881624209       42       1134 SH  -    DEFINED 02                185         0      949
D TEVA PHARMA IND                ADR        881624209     1901      51076 SH  -    OTHER   02               8500     42576        0
D TEVA PHARMA IND                ADR        881624209      266       7154 SH  -    OTHER   02               2026         0     5128
D TEVA PHARMA IND                ADR        881624209    45013    1209383 SH  -    DEFINED 04             955374         0   254009
D TEVA PHARMA IND                ADR        881624209      216       5790 SH  -    DEFINED 04               5790         0        0
D TEVA PHARMA IND                ADR        881624209    18376     493705 SH  -    DEFINED 04             493705         0        0
D TEVA PHARMA IND                ADR        881624209     1013      27204 SH  -    DEFINED 04              27204         0        0
D TEVA PHARMA IND                ADR        881624209      170       4573 SH  -    DEFINED 04                  0         0     4573
D TEVA PHARMA IND                ADR        881624209      726      19500 SH  -    DEFINED 04              19500         0        0
D TEVA PHARMA IND                ADR        881624209    96012    2579573 SH  -    DEFINED 04            2311653         0   267920
D TEVA PHARMA IND                ADR        881624209       12        325 SH  -    DEFINED 04                  0         0      325
D TEVA PHARMA IND                ADR        881624209     2480      66628 SH  -    OTHER   04                  0     66628        0
D TEVA PHARMA IND                ADR        881624209      715      19203 SH  -    OTHER   04                  0     19203        0
D TEVA PHARMA IND                ADR        881624209      350       9400 SH  -    DEFINED 05               9400         0        0
D TEVA PHARMA IND                ADR        881624209     1861      50000 SH  -    DEFINED 06              50000         0        0
D TEVA PHARMA IND                ADR        881624209     3096      83176 SH  -    DEFINED 08              83176         0        0
D TEVA PHARMA IND                ADR        881624209    68670    1844972 SH  -    DEFINED 09            1620137         0   207816

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 782
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TEVA PHARMA IND                ADR        881624209     1163      31248 SH  -    DEFINED 09              31248         0        0
D TEVA PHARMA IND                ADR        881624209    18747     503678 SH  -    DEFINED 09             470998         0    32680
D TEVA PHARMA IND                ADR        881624209     5983     160748 SH  -    DEFINED 09              41666         0        0
D TEVA PHARMA IND                ADR        881624209     3378      90769 SH  -    OTHER   09                  0     90769        0
D TEVA PHARMA IND                ADR        881624209        3         79 SH  -    DEFINED 01                  0         0       79
D TEVA PHARMA IND                ADR        881624209      269       7220 SH  -    OTHER   01                  0      6063     1100
D TEVA PHARMA IND                ADR        881624209     1755      47144 SH  -    OTHER   10                  0         0    47144
D TEVA PHARMA IND                OPTION     881624902     3722     100001 SH  C    DEFINED 08             100001         0        0
D TEVA PHARMA IND                OPTION     881624951       74       2000 SH  P    DEFINED 05               2000         0        0
D TEVA PHARMACEUTICAL FIN LLC    BOND       88163VAE9        4       4000 PRN -    DEFINED 02                  0         0        0
D TEVA PHARMACEUTICAL FIN LLC    BOND       88163VAE9    25801   25202000 PRN -    DEFINED 09                  0         0        0
D TEVA PHARMACEUTICAL FIN LLC    BOND       88163VAE9     4846    4734000 PRN -    DEFINED 09                  0         0        0
D TESSERA TECHNOLOGIES INC       COMMON     88164L100        2        194 SH  -    OTHER   02                  0       194        0
D TESSERA TECHNOLOGIES INC       COMMON     88164L100      233      19500 SH  -    DEFINED 04              19500         0        0
D TESSERA TECHNOLOGIES INC       COMMON     88164L100      845      70762 SH  -    DEFINED 04              70762         0        0
D TESSERA TECHNOLOGIES INC       COMMON     88164L100      329      27572 SH  -    DEFINED 05              27572         0        0
D TESSERA TECHNOLOGIES INC       COMMON     88164L100      293      24545 SH  -    OTHER   10                  0         0    24545
D TESSERA TECHNOLOGIES INC       OPTION     88164L902       12       1000 SH  C    DEFINED 05               1000         0        0
D TEXAS CAPITAL BANCSHARES INC   COMMON     88224Q107       11        483 SH  -    OTHER   02                  0       483        0
D TEXAS CAPITAL BANCSHARES INC   COMMON     88224Q107       34       1500 SH  -    OTHER   02                  0      1500        0
D TEXAS CAPITAL BANCSHARES INC   COMMON     88224Q107      609      26656 SH  -    DEFINED 04              26656         0        0
D TEXAS CAPITAL BANCSHARES INC   COMMON     88224Q107      398      17426 SH  -    DEFINED 05              17426         0        0
D TEXAS CAPITAL BANCSHARES INC   COMMON     88224Q107       23       1000 SH  -    OTHER   10                  0         0     1000
D TEXAS INDS INC                 COMMON     882491103        2         65 SH  -    DEFINED 02                  0        65        0
D TEXAS INDS INC                 COMMON     882491103      126       3955 SH  -    OTHER   02                 32      3923        0
D TEXAS INDS INC                 COMMON     882491103        4        139 SH  -    OTHER   02                  0         0      139

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 783
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TEXAS INDS INC                 COMMON     882491103      610      19204 SH  -    DEFINED 05              19204         0        0
D TEXAS INDS INC                 COMMON     882491103        9        270 SH  -    OTHER   10                  0         0      270
D TEXAS INSTRS INC               COMMON     882508104      561      21066 SH  -    DEFINED 02              20076       810      180
D TEXAS INSTRS INC               COMMON     882508104      712      26734 SH  -    DEFINED 02              26734         0        0
D TEXAS INSTRS INC               COMMON     882508104      376      14127 SH  -    DEFINED 02              13315         0      812
D TEXAS INSTRS INC               COMMON     882508104     5705     214068 SH  -    OTHER   02             112090     63790    37046
D TEXAS INSTRS INC               COMMON     882508104      877      32900 SH  -    OTHER   02              14426      2851    15623
D TEXAS INSTRS INC               COMMON     882508104    90782    3406452 SH  -    DEFINED 04            2171786         0  1234666
D TEXAS INSTRS INC               COMMON     882508104     5041     189173 SH  -    DEFINED 04             189173         0        0
D TEXAS INSTRS INC               COMMON     882508104      142       5335 SH  -    DEFINED 04               5335         0        0
D TEXAS INSTRS INC               COMMON     882508104      229       8600 SH  -    DEFINED 04               8600         0        0
D TEXAS INSTRS INC               COMMON     882508104       95       3552 SH  -    DEFINED 04                  0         0     3552
D TEXAS INSTRS INC               COMMON     882508104        0          0 SH  -    OTHER   04                  0         0        0
D TEXAS INSTRS INC               COMMON     882508104     7146     268138 SH  -    DEFINED 05             268138         0        0
D TEXAS INSTRS INC               COMMON     882508104     1205      45200 SH  -    DEFINED 09              45200         0        0
D TEXAS INSTRS INC               COMMON     882508104       63       2350 SH  -    DEFINED 01               2350         0        0
D TEXAS INSTRS INC               COMMON     882508104      364      13668 SH  -    OTHER   01              12108       260     1300
D TEXAS INSTRS INC               COMMON     882508104     1006      37759 SH  -    OTHER   10                  0         0    37759
D TEXAS INSTRS INC               OPTION     882508906     9282     348300 SH  C    DEFINED 05             348300         0        0
D TEXAS INSTRS INC               OPTION     882508906      397      14900 SH  C    DEFINED 06              14900         0        0
D TEXAS INSTRS INC               OPTION     882508906    62033    2327700 SH  C    DEFINED 08            2327700         0        0
D TEXAS INSTRS INC               OPTION     882508955     2860     107300 SH  P    DEFINED 05             107300         0        0
D TEXAS INSTRS INC               OPTION     882508955     2814     105600 SH  P    DEFINED 08             105600         0        0
D TEXAS PAC LD TR                COMMON     882610108      363      10000 SH  -    OTHER   01              10000         0        0
D TEXAS PAC LD TR                COMMON     882610108       73       2000 SH  -    OTHER   10                  0         0     2000
D TEXAS ROADHOUSE INC            COMMON     882681109      797      60324 SH  -    DEFINED 02              60000       324        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 784
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TEXAS ROADHOUSE INC            COMMON     882681109      252      19053 SH  -    OTHER   02                  0     19053        0
D TEXAS ROADHOUSE INC            COMMON     882681109        9        694 SH  -    OTHER   02                  0         0      694
D TEXAS ROADHOUSE INC            COMMON     882681109      497      37606 SH  -    DEFINED 04              37606         0        0
D TEXAS ROADHOUSE INC            COMMON     882681109      786      59456 SH  -    DEFINED 04              59456         0        0
D TEXAS ROADHOUSE INC            COMMON     882681109     1371     103710 SH  -    DEFINED 05             103710         0        0
D TEXTRON INC                    BOND       883203BN0     3910    2600000 PRN -    DEFINED 05                  0         0        0
D TEXTRON INC                    COMMON     883203101       62       3538 SH  -    DEFINED 02               1838      1600      100
D TEXTRON INC                    COMMON     883203101       18       1040 SH  -    DEFINED 02                240         0      800
D TEXTRON INC                    COMMON     883203101       68       3857 SH  -    DEFINED 02               3327         0      530
D TEXTRON INC                    COMMON     883203101     5181     293683 SH  -    OTHER   02              18096    273435     2152
D TEXTRON INC                    COMMON     883203101       81       4592 SH  -    OTHER   02                400      1900     2292
D TEXTRON INC                    COMMON     883203101    23408    1327011 SH  -    DEFINED 04             981438         0   345573
D TEXTRON INC                    COMMON     883203101     2299     130345 SH  -    DEFINED 04             130345         0        0
D TEXTRON INC                    COMMON     883203101      986      55900 SH  -    DEFINED 04              55900         0        0
D TEXTRON INC                    COMMON     883203101       44       2506 SH  -    DEFINED 04               2506         0        0
D TEXTRON INC                    COMMON     883203101     1046      59295 SH  -    DEFINED 05              59295         0        0
D TEXTRON INC                    COMMON     883203101    16961     961514 SH  -    DEFINED 08             961514         0        0
D TEXTRON INC                    COMMON     883203101      194      11020 SH  -    DEFINED 09              11020         0        0
D TEXTRON INC                    COMMON     883203101      153       8700 SH  -    OTHER   01                  0      8700        0
D TEXTRON INC                    COMMON     883203101      370      20972 SH  -    OTHER   10                  0         0    20972
D THERAVANCE INC                 COMMON     88338T104       16        782 SH  -    OTHER   02                  0       782        0
D THERAVANCE INC                 COMMON     88338T104     2214     109945 SH  -    DEFINED 04             109945         0        0
D THERAVANCE INC                 COMMON     88338T104     1938      96239 SH  -    DEFINED 05              96239         0        0
D THERAVANCE INC                 COMMON     88338T104       94       4668 SH  -    DEFINED 08               4668         0        0
D THERMO ELECTRON CORP           COMMON     883556102      325       6417 SH  -    DEFINED 02               5731       450      236
D THERMO ELECTRON CORP           COMMON     883556102      439       8673 SH  -    DEFINED 02               7795       878        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 785
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D THERMO ELECTRON CORP           COMMON     883556102      270       5334 SH  -    DEFINED 02               4506         0      828
D THERMO ELECTRON CORP           COMMON     883556102     9837     194262 SH  -    OTHER   02              16033    161776    16453
D THERMO ELECTRON CORP           COMMON     883556102     2100      41462 SH  -    OTHER   02                629      6534    34299
D THERMO ELECTRON CORP           COMMON     883556102      687      13576 SH  -    OTHER   02                  0     13576        0
D THERMO ELECTRON CORP           COMMON     883556102    34334     678000 SH  -    DEFINED 04             637560         0    40440
D THERMO ELECTRON CORP           COMMON     883556102     3310      65357 SH  -    DEFINED 04              65357         0        0
D THERMO ELECTRON CORP           COMMON     883556102     3097      61151 SH  -    DEFINED 04              61151         0        0
D THERMO ELECTRON CORP           COMMON     883556102       31        608 SH  -    DEFINED 04                608         0        0
D THERMO ELECTRON CORP           COMMON     883556102        9        175 SH  -    DEFINED 04                175         0        0
D THERMO ELECTRON CORP           COMMON     883556102      393       7764 SH  -    OTHER   04                  0      7764        0
D THERMO ELECTRON CORP           COMMON     883556102     2610      51536 SH  -    DEFINED 05              51536         0        0
D THERMO ELECTRON CORP           COMMON     883556102       82       1622 SH  -    DEFINED 06               1622         0        0
D THERMO ELECTRON CORP           COMMON     883556102      878      17337 SH  -    DEFINED 09              17337         0        0
D THERMO ELECTRON CORP           COMMON     883556102       41        800 SH  -    DEFINED 01                800         0        0
D THERMO ELECTRON CORP           COMMON     883556102      193       3807 SH  -    OTHER   01                  0      3147      260
D THERMO ELECTRON CORP           COMMON     883556102      111       2186 SH  -    OTHER   10                  0         0     2186
D THOMAS & BETTS CP              COMMON     884315102      301       7533 SH  -    OTHER   02               4149      3318        0
D THOMAS & BETTS CP              COMMON     884315102        1         18 SH  -    OTHER   02                  5        13        0
D THOMAS & BETTS CP              COMMON     884315102     3741      93727 SH  -    DEFINED 04              55127         0    38600
D THOMAS & BETTS CP              COMMON     884315102     5592     140117 SH  -    DEFINED 04             140117         0        0
D THOMAS & BETTS CP              COMMON     884315102        2         48 SH  -    OTHER   04                  0        48        0
D THOMAS & BETTS CP              COMMON     884315102      230       5772 SH  -    DEFINED 05               5772         0        0
D THOMAS & BETTS CP              COMMON     884315102       92       2300 SH  -    DEFINED 08               2300         0        0
D THOMPSON CREEK METALS CO INC   COMMON     884768102        4        663 SH  -    OTHER   02                630        33        0
D THOMPSON CREEK METALS CO INC   COMMON     884768102     1341     220900 SH  -    DEFINED 05             220900         0        0
D THOMPSON CREEK METALS CO INC   COMMON     884768102      169      27878 SH  -    DEFINED 08              27878         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 786
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D THOMPSON CREEK METALS CO INC   COMMON     884768102    16580    2731400 SH  -    DEFINED 09            2731400         0        0
D THOMPSON CREEK METALS CO INC   COMMON     884768102       18       3000 SH  -    OTHER   10                  0         0     3000
D THOMSON REUTERS CORP           COMMON     884903105       60       2214 SH  -    OTHER   02                  0      2214        0
D THOMSON REUTERS CORP           COMMON     884903105     1259      46579 SH  -    DEFINED 05              46579         0        0
D THOMSON REUTERS CORP           COMMON     884903105      536      19830 SH  -    DEFINED 06              19830         0        0
D THOMSON REUTERS CORP           COMMON     884903105      634      23446 SH  -    DEFINED 08              23446         0        0
D THOMSON REUTERS CORP           COMMON     884903105      198       7321 SH  -    OTHER   10                  0         0     7321
D THOR INDUSTRIES                COMMON     885160101       13        566 SH  -    OTHER   02                  0       566        0
D THOR INDUSTRIES                COMMON     885160101       13        583 SH  -    OTHER   02                  0         0      583
D THOR INDUSTRIES                COMMON     885160101      282      12737 SH  -    DEFINED 04              12737         0        0
D THOR INDUSTRIES                COMMON     885160101       15        675 SH  -    DEFINED 05                675         0        0
D THOR INDUSTRIES                COMMON     885160101       94       4238 SH  -    DEFINED 08               4238         0        0
D THORATEC CORP                  COMMON     885175307      100       3050 SH  -    DEFINED 02               3050         0        0
D THORATEC CORP                  COMMON     885175307      109       3333 SH  -    OTHER   02                  0      1614     1719
D THORATEC CORP                  COMMON     885175307        4        127 SH  -    OTHER   02                  0       127        0
D THORATEC CORP                  COMMON     885175307    41918    1284238 SH  -    DEFINED 04             736122         0   548116
D THORATEC CORP                  COMMON     885175307    25699     787357 SH  -    DEFINED 04             787357         0        0
D THORATEC CORP                  COMMON     885175307      915      28030 SH  -    DEFINED 04              28030         0        0
D THORATEC CORP                  COMMON     885175307       50       1526 SH  -    DEFINED 05               1526         0        0
D THORATEC CORP                  COMMON     885175307     3046      93308 SH  -    DEFINED 08              93308         0        0
D THORATEC CORP                  COMMON     885175307        3         83 SH  -    OTHER   10                  0         0       83
D 3-D SYS CORP DEL               COMMON     88554D205      349      24970 SH  -    OTHER   02                  0     24970        0
D 3-D SYS CORP DEL               COMMON     88554D205        9        640 SH  -    DEFINED 05                640         0        0
D 3-D SYS CORP DEL               COMMON     88554D205       44       3172 SH  -    DEFINED 08               3172         0        0
D 3-D SYS CORP DEL               COMMON     88554D205       39       2790 SH  -    OTHER   01                  0      2790        0
D 3SBIO INC                      ADR        88575Y105     2124     178000 SH  -    DEFINED 09             178000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 787
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D 3M COMPANY                     COMMON     88579Y101     9858     137313 SH  -    DEFINED 02             114645      2295    20373
D 3M COMPANY                     COMMON     88579Y101    20006     278674 SH  -    DEFINED 02             271696      1100     5878
D 3M COMPANY                     COMMON     88579Y101     1194      16625 SH  -    DEFINED 02              10827         0     5798
D 3M COMPANY                     COMMON     88579Y101    52667     733627 SH  -    OTHER   02             192131    499811    40185
D 3M COMPANY                     COMMON     88579Y101    26515     369335 SH  -    OTHER   02             317243     27032    25060
D 3M COMPANY                     COMMON     88579Y101      128       1786 SH  -    OTHER   02                  0      1786        0
D 3M COMPANY                     COMMON     88579Y101    95536    1330766 SH  -    DEFINED 04             793542         0   537224
D 3M COMPANY                     COMMON     88579Y101    17225     239937 SH  -    DEFINED 04             239937         0        0
D 3M COMPANY                     COMMON     88579Y101      315       4386 SH  -    DEFINED 04               4386         0        0
D 3M COMPANY                     COMMON     88579Y101      233       3250 SH  -    DEFINED 04               3250         0        0
D 3M COMPANY                     COMMON     88579Y101      238       3313 SH  -    DEFINED 04                  0         0     3313
D 3M COMPANY                     COMMON     88579Y101      165       2293 SH  -    OTHER   04                  0      2293        0
D 3M COMPANY                     COMMON     88579Y101    89367    1244839 SH  -    DEFINED 05            1244839         0        0
D 3M COMPANY                     COMMON     88579Y101     5339      74363 SH  -    DEFINED 08              74363         0        0
D 3M COMPANY                     COMMON     88579Y101     5866      81711 SH  -    DEFINED 09              81711         0        0
D 3M COMPANY                     COMMON     88579Y101    12555     174879 SH  -    DEFINED 01             174533         0      346
D 3M COMPANY                     COMMON     88579Y101     2799      38982 SH  -    OTHER   01              12155     25540     1037
D 3M COMPANY                     COMMON     88579Y101     1838      25601 SH  -    OTHER   10                  0         0    25601
D 3M COMPANY                     OPTION     88579Y903     7796     108600 SH  C    DEFINED 05             108600         0        0
D 3M COMPANY                     OPTION     88579Y903     4042      56300 SH  C    DEFINED 08              56300         0        0
D 3M COMPANY                     OPTION     88579Y952    11142     155200 SH  P    DEFINED 05             155200         0        0
D 3M COMPANY                     OPTION     88579Y952     1192      16600 SH  P    DEFINED 08              16600         0        0
D TIBCO SOFTWARE INC             COMMON     88632Q103       48       2125 SH  -    DEFINED 02               2125         0        0
D TIBCO SOFTWARE INC             COMMON     88632Q103       10        431 SH  -    OTHER   02                  0       386        0
D TIBCO SOFTWARE INC             COMMON     88632Q103       11        495 SH  -    OTHER   02                  0         0      495
D TIBCO SOFTWARE INC             COMMON     88632Q103    13199     589509 SH  -    DEFINED 04             486599         0   102910

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 788
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TIBCO SOFTWARE INC             COMMON     88632Q103    14610     652535 SH  -    DEFINED 04             652535         0        0
D TIBCO SOFTWARE INC             COMMON     88632Q103     1096      48940 SH  -    DEFINED 04              48940         0        0
D TIBCO SOFTWARE INC             COMMON     88632Q103     2308     103097 SH  -    DEFINED 04              58401         0    44696
D TIBCO SOFTWARE INC             COMMON     88632Q103       81       3598 SH  -    DEFINED 05               3598         0        0
D TIBCO SOFTWARE INC             COMMON     88632Q103    15101     674460 SH  -    DEFINED 08             674460         0        0
D TIBCO SOFTWARE INC             COMMON     88632Q103     8973     400769 SH  -    DEFINED 09             373825     26944        0
D TIBCO SOFTWARE INC             COMMON     88632Q103      593      26465 SH  -    DEFINED 09              26465         0        0
D TIBCO SOFTWARE INC             COMMON     88632Q103     4278     191059 SH  -    DEFINED 09             191059         0        0
D TIBCO SOFTWARE INC             COMMON     88632Q103      251      11224 SH  -    OTHER   09                  0     11224        0
D TIBCO SOFTWARE INC             COMMON     88632Q103        5        202 SH  -    OTHER   10                  0         0      202
D TIDEWATER INC                  COMMON     886423102      106       2510 SH  -    OTHER   02                  0      2510        0
D TIDEWATER INC                  COMMON     886423102    26630     633291 SH  -    DEFINED 04             588775         0    44516
D TIDEWATER INC                  COMMON     886423102      680      16183 SH  -    DEFINED 05              16183         0        0
D TIDEWATER INC                  COMMON     886423102      253       6011 SH  -    DEFINED 08               6011         0        0
D TIDEWATER INC                  COMMON     886423102        4        101 SH  -    OTHER   01                  0       101        0
D TIDEWATER INC                  COMMON     886423102      139       3302 SH  -    OTHER   10                  0         0     3302
D TIFFANY & CO NEW               COMMON     886547108      208       3420 SH  -    DEFINED 02               3420         0        0
D TIFFANY & CO NEW               COMMON     886547108      776      12760 SH  -    DEFINED 02              12703         0       57
D TIFFANY & CO NEW               COMMON     886547108       94       1547 SH  -    DEFINED 02               1467         0       80
D TIFFANY & CO NEW               COMMON     886547108     2215      36424 SH  -    OTHER   02               5272     28489     2621
D TIFFANY & CO NEW               COMMON     886547108      487       8009 SH  -    OTHER   02               5833        46     2130
D TIFFANY & CO NEW               COMMON     886547108    70311    1156057 SH  -    DEFINED 04            1102453         0    53604
D TIFFANY & CO NEW               COMMON     886547108     2621      43100 SH  -    DEFINED 04              43100         0        0
D TIFFANY & CO NEW               COMMON     886547108     1415      23270 SH  -    DEFINED 04              23270         0        0
D TIFFANY & CO NEW               COMMON     886547108      706      11606 SH  -    OTHER   04                  0     11606        0
D TIFFANY & CO NEW               COMMON     886547108     3563      58585 SH  -    OTHER   04                  0     58585        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 789
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TIFFANY & CO NEW               COMMON     886547108      531       8731 SH  -    DEFINED 05               8731         0        0
D TIFFANY & CO NEW               COMMON     886547108      227       3725 SH  -    DEFINED 01               3700         0       25
D TIFFANY & CO NEW               COMMON     886547108       80       1309 SH  -    OTHER   01                  0      1244       65
D TIFFANY & CO NEW               COMMON     886547108      237       3894 SH  -    OTHER   10                  0         0     3894
D TIM HORTONS INC                COMMON     88706M103       63       1354 SH  -    DEFINED 02               1354         0        0
D TIM HORTONS INC                COMMON     88706M103       63       1367 SH  -    OTHER   02                  0       421      946
D TIM HORTONS INC                COMMON     88706M103       23        500 SH  -    DEFINED 05                500         0        0
D TIM HORTONS INC                COMMON     88706M103      210       4532 SH  -    DEFINED 06               4532         0        0
D TIM PARTICIPACOES S A          ADR        88706P205     9131     387570 SH  -    DEFINED 02             387570         0        0
D TIM PARTICIPACOES S A          ADR        88706P205      816      34639 SH  -    DEFINED 04              34639         0        0
D TIM PARTICIPACOES S A          ADR        88706P205     9557     405635 SH  -    DEFINED 04             366050         0    39585
D TIM PARTICIPACOES S A          ADR        88706P205        1         56 SH  -    DEFINED 05                 56         0        0
D TIM PARTICIPACOES S A          ADR        88706P205      465      19726 SH  -    DEFINED 08              19726         0        0
D TIM PARTICIPACOES S A          ADR        88706P205    10182     432179 SH  -    DEFINED 09             399148     33031        0
D TIM PARTICIPACOES S A          ADR        88706P205      558      23669 SH  -    DEFINED 09              23669         0        0
D TIM PARTICIPACOES S A          ADR        88706P205     4040     171497 SH  -    DEFINED 09             171497         0        0
D TIM PARTICIPACOES S A          ADR        88706P205      166       7061 SH  -    DEFINED 09               7061         0        0
D TIM PARTICIPACOES S A          ADR        88706P205     1052      44648 SH  -    OTHER   09                  0     44648        0
D TIM PARTICIPACOES S A          ADR        88706P205      311      13198 SH  -    OTHER   10                  0         0    13198
D TIME WARNER INC                COMMON     887317303    49480    1650975 SH  -    DEFINED 02            1397459     13173   240343
D TIME WARNER INC                COMMON     887317303    16913     564343 SH  -    DEFINED 02             539905      2363    22075
D TIME WARNER INC                COMMON     887317303     2263      75507 SH  -    DEFINED 02              75507         0        0
D TIME WARNER INC                COMMON     887317303     2418      80675 SH  -    DEFINED 02              30877         0    49798
D TIME WARNER INC                COMMON     887317303    31622    1055135 SH  -    OTHER   02             369221    598111    85623
D TIME WARNER INC                COMMON     887317303     3441     114805 SH  -    OTHER   02              64454     32300    18051
D TIME WARNER INC                COMMON     887317303      673      22450 SH  -    OTHER   02                  0     22450        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 790
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TIME WARNER INC                COMMON     887317303      303      10095 SH  -    OTHER   02                  0     10095        0
D TIME WARNER INC                COMMON     887317303     1440      48040 SH  -    OTHER   02                  0     48040        0
D TIME WARNER INC                COMMON     887317303       46       1542 SH  -    OTHER   02                  0      1542        0
D TIME WARNER INC                COMMON     887317303   760647   25380267 SH  -    DEFINED 04           21618076         0  3762191
D TIME WARNER INC                COMMON     887317303    22552     752496 SH  -    DEFINED 04             752496         0        0
D TIME WARNER INC                COMMON     887317303    70420    2349677 SH  -    DEFINED 04            2349677         0        0
D TIME WARNER INC                COMMON     887317303       32       1057 SH  -    DEFINED 04               1057         0        0
D TIME WARNER INC                COMMON     887317303     9562     319044 SH  -    DEFINED 04             319044         0        0
D TIME WARNER INC                COMMON     887317303    51698    1725000 SH  -    DEFINED 04            1649097         0     5390
D TIME WARNER INC                COMMON     887317303      532      17763 SH  -    DEFINED 04                  0         0    17763
D TIME WARNER INC                COMMON     887317303    30356    1012894 SH  -    OTHER   04                  0   1012894        0
D TIME WARNER INC                COMMON     887317303    22756     759292 SH  -    DEFINED 05             759292         0        0
D TIME WARNER INC                COMMON     887317303    29316     978175 SH  -    DEFINED 08             978175         0        0
D TIME WARNER INC                COMMON     887317303    73492    2452182 SH  -    DEFINED 09            2364601         0    59326
D TIME WARNER INC                COMMON     887317303     2890      96446 SH  -    DEFINED 09              96446         0        0
D TIME WARNER INC                COMMON     887317303     1397      46625 SH  -    DEFINED 09              46625         0        0
D TIME WARNER INC                COMMON     887317303     2148      71672 SH  -    OTHER   09                  0     71672        0
D TIME WARNER INC                COMMON     887317303     2837      94645 SH  -    DEFINED 01              80950      5473     8222
D TIME WARNER INC                COMMON     887317303     1809      60344 SH  -    OTHER   01              20796     29375    10173
D TIME WARNER INC                COMMON     887317303       47       1582 SH  -    OTHER   10                  0         0     1582
D TIME WARNER INC                OPTION     887317907     2997     100000 SH  C    DEFINED 05             100000         0        0
D TIME WARNER INC                OPTION     887317907    78396    2615800 SH  C    DEFINED 08            2615800         0        0
D TIME WARNER INC                OPTION     887317956     4112     137200 SH  P    DEFINED 05             137200         0        0
D TIME WARNER INC                OPTION     887317956     8206     273800 SH  P    DEFINED 08             273800         0        0
D TIME WARNER CABLE INC          COMMON     88732J207     1526      24349 SH  -    DEFINED 02               8000       251    16098
D TIME WARNER CABLE INC          COMMON     88732J207     1460      23302 SH  -    DEFINED 02              22797         0      505

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 791
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TIME WARNER CABLE INC          COMMON     88732J207       58        920 SH  -    DEFINED 02                920         0        0
D TIME WARNER CABLE INC          COMMON     88732J207      249       3967 SH  -    DEFINED 02               3748         0      219
D TIME WARNER CABLE INC          COMMON     88732J207     1714      27351 SH  -    OTHER   02               9703     16558     1090
D TIME WARNER CABLE INC          COMMON     88732J207      351       5603 SH  -    OTHER   02               4785        80      738
D TIME WARNER CABLE INC          COMMON     88732J207    74023    1181155 SH  -    DEFINED 04            1023052         0   158103
D TIME WARNER CABLE INC          COMMON     88732J207    11915     190119 SH  -    DEFINED 04             190119         0        0
D TIME WARNER CABLE INC          COMMON     88732J207      305       4866 SH  -    DEFINED 04               4866         0        0
D TIME WARNER CABLE INC          COMMON     88732J207     3088      49277 SH  -    DEFINED 04              27826         0    21451
D TIME WARNER CABLE INC          COMMON     88732J207     1936      30895 SH  -    OTHER   04                  0     30895        0
D TIME WARNER CABLE INC          COMMON     88732J207     5014      80007 SH  -    DEFINED 05              80007         0        0
D TIME WARNER CABLE INC          COMMON     88732J207     5822      92896 SH  -    DEFINED 08              92896         0        0
D TIME WARNER CABLE INC          COMMON     88732J207    12456     198752 SH  -    DEFINED 09             186342     12410        0
D TIME WARNER CABLE INC          COMMON     88732J207      800      12766 SH  -    DEFINED 09              12766         0        0
D TIME WARNER CABLE INC          COMMON     88732J207     5770      92076 SH  -    DEFINED 09              92076         0        0
D TIME WARNER CABLE INC          COMMON     88732J207     2417      38563 SH  -    OTHER   09                  0     38563        0
D TIME WARNER CABLE INC          COMMON     88732J207      276       4398 SH  -    DEFINED 01               4303         0       95
D TIME WARNER CABLE INC          COMMON     88732J207       59        946 SH  -    OTHER   01                 18       483      445
D TIME WARNER CABLE INC          COMMON     88732J207      218       3474 SH  -    OTHER   10                  0         0     3474
D TIMKEN CO                      COMMON     887389104        8        239 SH  -    DEFINED 02                239         0        0
D TIMKEN CO                      COMMON     887389104      229       6971 SH  -    OTHER   02                  0      4271     2700
D TIMKEN CO                      COMMON     887389104       11        348 SH  -    OTHER   02                  5         3      340
D TIMKEN CO                      COMMON     887389104     5460     166348 SH  -    DEFINED 04              55048         0   111300
D TIMKEN CO                      COMMON     887389104     7748     236076 SH  -    DEFINED 04             236076         0        0
D TIMKEN CO                      COMMON     887389104      106       3232 SH  -    DEFINED 04               3232         0        0
D TIMKEN CO                      COMMON     887389104      322       9797 SH  -    OTHER   04                  0      9797        0
D TIMKEN CO                      COMMON     887389104       41       1258 SH  -    DEFINED 05               1258         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 792
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TIMKEN CO                      COMMON     887389104       18        551 SH  -    DEFINED 08                551         0        0
D TIMKEN CO                      COMMON     887389104      106       3230 SH  -    DEFINED 09               3230         0        0
D TIMKEN CO                      COMMON     887389104       92       2815 SH  -    OTHER   10                  0         0     2815
D TITAN INTL INC                 COMMON     88830M102        1         67 SH  -    OTHER   02                  0         0        0
D TITAN INTL INC                 COMMON     88830M102     4245     283010 SH  -    DEFINED 04             203800         0    79210
D TITAN INTL INC                 COMMON     88830M102     1926     128400 SH  -    DEFINED 04             128400         0        0
D TITAN INTL INC                 COMMON     88830M102      668      44500 SH  -    DEFINED 04              44500         0        0
D TITAN INTL INC                 COMMON     88830M102       44       2906 SH  -    DEFINED 05               2906         0        0
D TITAN INTL INC                 COMMON     88830M102       39       2629 SH  -    DEFINED 08               2629         0        0
D TITAN INTL INC                 COMMON     88830M102        8        521 SH  -    OTHER   10                  0         0      521
D TITANIUM METALS CORP           COMMON     888339207        0         27 SH  -    DEFINED 02                 27         0        0
D TITANIUM METALS CORP           COMMON     888339207       15        998 SH  -    DEFINED 02                964         0       34
D TITANIUM METALS CORP           COMMON     888339207       90       5999 SH  -    OTHER   02                  0      4324     1675
D TITANIUM METALS CORP           COMMON     888339207       16       1049 SH  -    OTHER   02                  0         0     1049
D TITANIUM METALS CORP           COMMON     888339207      223      14881 SH  -    DEFINED 04              12488         0     2393
D TITANIUM METALS CORP           COMMON     888339207      218      14541 SH  -    DEFINED 04              14541         0        0
D TITANIUM METALS CORP           COMMON     888339207       42       2775 SH  -    DEFINED 05               2775         0        0
D TITANIUM METALS CORP           COMMON     888339207        3        211 SH  -    OTHER   01                  0       211        0
D TITANIUM METALS CORP           COMMON     888339207        7        469 SH  -    OTHER   10                  0         0      469
D TIVO INC                       COMMON     888706108        1        125 SH  -    DEFINED 02                125         0        0
D TIVO INC                       COMMON     888706108       13       1407 SH  -    OTHER   02                  0      1407        0
D TIVO INC                       COMMON     888706108        2        243 SH  -    OTHER   02                  0         0      243
D TIVO INC                       COMMON     888706108       93       9975 SH  -    DEFINED 05               9975         0        0
D TIVO INC                       COMMON     888706108       68       7292 SH  -    DEFINED 08               7292         0        0
D TIVO INC                       COMMON     888706108        5        560 SH  -    OTHER   10                  0         0      560
D TIVO INC                       OPTION     888706900       56       6000 SH  C    DEFINED 05               6000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 793
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TOLL BROTHERS INC              COMMON     889478103        1         70 SH  -    DEFINED 02                  0        70        0
D TOLL BROTHERS INC              COMMON     889478103       77       5305 SH  -    DEFINED 02               5305         0        0
D TOLL BROTHERS INC              COMMON     889478103      189      13096 SH  -    OTHER   02                 75     13021        0
D TOLL BROTHERS INC              COMMON     889478103       16       1080 SH  -    OTHER   02                230       450      400
D TOLL BROTHERS INC              COMMON     889478103    52027    3605499 SH  -    DEFINED 04            2626411         0   979088
D TOLL BROTHERS INC              COMMON     889478103      998      69127 SH  -    DEFINED 04              69127         0        0
D TOLL BROTHERS INC              COMMON     889478103       54       3734 SH  -    OTHER   04                  0      3734        0
D TOLL BROTHERS INC              COMMON     889478103      805      55819 SH  -    DEFINED 05              55819         0        0
D TOLL BROTHERS INC              COMMON     889478103     1337      92661 SH  -    DEFINED 08              92661         0        0
D TOLL BROTHERS INC              COMMON     889478103        5        320 SH  -    OTHER   01                  0       320        0
D TOLL BROTHERS INC              COMMON     889478103       11        743 SH  -    OTHER   10                  0         0      743
D TOLL BROTHERS INC              OPTION     889478954       35       2400 SH  P    DEFINED 05               2400         0        0
D TOMPKINS FINANCIAL CORPORATION COMMON     890110109      758      21197 SH  -    DEFINED 04              21197         0        0
D TOMPKINS FINANCIAL CORPORATION COMMON     890110109      927      25899 SH  -    DEFINED 04              25899         0        0
D TOMPKINS FINANCIAL CORPORATION COMMON     890110109      135       3778 SH  -    DEFINED 05               3778         0        0
D TOOTSIE ROLL INDS              COMMON     890516107      183       7597 SH  -    OTHER   02                  0      6474     1123
D TOOTSIE ROLL INDS              COMMON     890516107       71       2951 SH  -    OTHER   02                323        14     2614
D TOOTSIE ROLL INDS              COMMON     890516107      445      18465 SH  -    DEFINED 04              18465         0        0
D TOOTSIE ROLL INDS              COMMON     890516107        7        281 SH  -    DEFINED 05                281         0        0
D TOOTSIE ROLL INDS              COMMON     890516107       50       2074 SH  -    DEFINED 08               2074         0        0
D TOOTSIE ROLL INDS              COMMON     890516107       25       1045 SH  -    DEFINED 01               1045         0        0
D TORCHMARK CORP                 COMMON     891027104      109       3115 SH  -    DEFINED 02               3115         0        0
D TORCHMARK CORP                 COMMON     891027104        1         22 SH  -    DEFINED 02                 22         0        0
D TORCHMARK CORP                 COMMON     891027104       44       1265 SH  -    DEFINED 02               1211         0       54
D TORCHMARK CORP                 COMMON     891027104      234       6716 SH  -    OTHER   02                  0      5396     1320
D TORCHMARK CORP                 COMMON     891027104        1         21 SH  -    OTHER   02                  0         0       21

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 794
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TORCHMARK CORP                 COMMON     891027104    35722    1024731 SH  -    DEFINED 04             985623         0    39108
D TORCHMARK CORP                 COMMON     891027104     1381      39611 SH  -    DEFINED 04              39611         0        0
D TORCHMARK CORP                 COMMON     891027104      783      22450 SH  -    DEFINED 04              22450         0        0
D TORCHMARK CORP                 COMMON     891027104      384      11014 SH  -    OTHER   04                  0     11014        0
D TORCHMARK CORP                 COMMON     891027104     1940      55648 SH  -    OTHER   04                  0     55648        0
D TORCHMARK CORP                 COMMON     891027104     1307      37479 SH  -    DEFINED 05              37479         0        0
D TORCHMARK CORP                 COMMON     891027104        8        232 SH  -    DEFINED 06                232         0        0
D TORCHMARK CORP                 COMMON     891027104      911      26144 SH  -    DEFINED 08              26144         0        0
D TORCHMARK CORP                 COMMON     891027104        1         15 SH  -    OTHER   10                  0         0       15
D TORO CO                        COMMON     891092108        2         39 SH  -    OTHER   02                  0        39        0
D TORO CO                        COMMON     891092108       23        474 SH  -    OTHER   02                  0         0      474
D TORO CO                        COMMON     891092108    28104     570400 SH  -    DEFINED 04             536744         0    33656
D TORO CO                        COMMON     891092108     1212      24598 SH  -    DEFINED 04              24598         0        0
D TORO CO                        COMMON     891092108      705      14319 SH  -    DEFINED 05              14319         0        0
D TORONTO-DOMINION               COMMON     891160509       13        190 SH  -    DEFINED 02                190         0        0
D TORONTO-DOMINION               COMMON     891160509       28        400 SH  -    OTHER   02                  0       400        0
D TORONTO-DOMINION               COMMON     891160509      137       1928 SH  -    OTHER   02                  0      1928        0
D TORONTO-DOMINION               COMMON     891160509     1723      24282 SH  -    DEFINED 04              24282         0        0
D TORONTO-DOMINION               COMMON     891160509    56796     800501 SH  -    DEFINED 04             605671         0   194830
D TORONTO-DOMINION               COMMON     891160509      280       3946 SH  -    DEFINED 05               3946         0        0
D TORONTO-DOMINION               COMMON     891160509     4735      66740 SH  -    DEFINED 06              66740         0        0
D TORONTO-DOMINION               COMMON     891160509    10811     152377 SH  -    DEFINED 09             142187     10190        0
D TORONTO-DOMINION               COMMON     891160509      728      10267 SH  -    DEFINED 09              10267         0        0
D TORONTO-DOMINION               COMMON     891160509      542       7640 SH  -    DEFINED 09               7640         0        0
D TORONTO-DOMINION               COMMON     891160509      107       1507 SH  -    OTHER   09                  0      1507        0
D TORONTO-DOMINION               COMMON     891160509      355       5000 SH  -    OTHER   01               5000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 795
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TORTOISE MLP FD INC            COMMON     89148B101      241      10699 SH  -    OTHER   02               3044         0     7655
D TOTAL S A                      ADR        89151E109      670      15277 SH  -    DEFINED 02              12746        63     2468
D TOTAL S A                      ADR        89151E109       30        693 SH  -    DEFINED 02                693         0        0
D TOTAL S A                      ADR        89151E109     2182      49733 SH  -    OTHER   02              15445     31725     1593
D TOTAL S A                      ADR        89151E109      197       4500 SH  -    OTHER   02                 85         0     4415
D TOTAL S A                      ADR        89151E109     2274      51843 SH  -    DEFINED 04              51843         0        0
D TOTAL S A                      ADR        89151E109     5946     135527 SH  -    OTHER   04                  0    135527        0
D TOTAL S A                      ADR        89151E109     1632      37201 SH  -    OTHER   04                  0     37201        0
D TOTAL S A                      ADR        89151E109     1097      25001 SH  -    DEFINED 05              25001         0        0
D TOTAL S A                      ADR        89151E109      582      13273 SH  -    OTHER   01               8000      5181        0
D TOTAL S A                      ADR        89151E109      229       5225 SH  -    OTHER   10                  0         0     5225
D TOWER BANCORP INC              COMMON     891709107        1         62 SH  -    OTHER   02                  0        62        0
D TOWER BANCORP INC              COMMON     891709107       34       1600 SH  -    DEFINED 04               1600         0        0
D TOWER BANCORP INC              COMMON     891709107        3        155 SH  -    DEFINED 05                155         0        0
D TOWER BANCORP INC              COMMON     891709107        5        239 SH  -    DEFINED 08                239         0        0
D TOWER BANCORP INC              COMMON     891709107      576      27507 SH  -    DEFINED 09              27507         0        0
D TOWER GROUP INC                COMMON     891777104        2         82 SH  -    OTHER   02                  0        82        0
D TOWER GROUP INC                COMMON     891777104      242      10575 SH  -    DEFINED 04              10575         0        0
D TOWER GROUP INC                COMMON     891777104      681      29801 SH  -    DEFINED 04              29801         0        0
D TOWER GROUP INC                COMMON     891777104      439      19218 SH  -    DEFINED 05              19218         0        0
D TOWER GROUP INC                COMMON     891777104     8776     383904 SH  -    DEFINED 08             383904         0        0
D TOWERS WATSON & CO             COMMON     891894107      126       2100 SH  -    DEFINED 02                  0         0     2100
D TOWERS WATSON & CO             COMMON     891894107       35        592 SH  -    OTHER   02                  0       592        0
D TOWERS WATSON & CO             COMMON     891894107     3313      55425 SH  -    DEFINED 04              55225         0      200
D TOWERS WATSON & CO             COMMON     891894107      100       1671 SH  -    DEFINED 04               1671         0        0
D TOWERS WATSON & CO             COMMON     891894107      312       5215 SH  -    OTHER   04                  0      5215        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 796
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TOWERS WATSON & CO             COMMON     891894107       72       1207 SH  -    DEFINED 05               1207         0        0
D TOTAL SYS SVCS INC             COMMON     891906109       33       1968 SH  -    DEFINED 02               1887         0       81
D TOTAL SYS SVCS INC             COMMON     891906109       49       2908 SH  -    OTHER   02                  0      2867        0
D TOTAL SYS SVCS INC             COMMON     891906109        0         22 SH  -    OTHER   02                  0         0       22
D TOTAL SYS SVCS INC             COMMON     891906109      640      37802 SH  -    DEFINED 04              33113         0     4689
D TOTAL SYS SVCS INC             COMMON     891906109      444      26222 SH  -    DEFINED 04              26222         0        0
D TOTAL SYS SVCS INC             COMMON     891906109       59       3462 SH  -    DEFINED 05               3462         0        0
D TOTAL SYS SVCS INC             COMMON     891906109      105       6205 SH  -    DEFINED 08               6205         0        0
D TOTAL SYS SVCS INC             COMMON     891906109       13        781 SH  -    OTHER   10                  0         0      781
D TOWERSTREAM CORP               COMMON     892000100       31      12067 SH  -    DEFINED 05              12067         0        0
D TOWERSTREAM CORP               COMMON     892000100        6       2460 SH  -    DEFINED 08               2460         0        0
D TOWN SPORTS INTL HLDGS INC     COMMON     89214A102        0         38 SH  -    OTHER   02                  0        38        0
D TOWN SPORTS INTL HLDGS INC     COMMON     89214A102     1310     180450 SH  -    DEFINED 04             164450         0    16000
D TOWN SPORTS INTL HLDGS INC     COMMON     89214A102        9       1209 SH  -    DEFINED 08               1209         0        0
D TOYOTA MOTOR CORP              ADR        892331307       55        811 SH  -    DEFINED 02                786        25        0
D TOYOTA MOTOR CORP              ADR        892331307       16        238 SH  -    DEFINED 02                238         0        0
D TOYOTA MOTOR CORP              ADR        892331307      294       4304 SH  -    OTHER   02                  0      2834     1470
D TOYOTA MOTOR CORP              ADR        892331307       24        355 SH  -    OTHER   02                 35         0      320
D TOYOTA MOTOR CORP              ADR        892331307     1882      27573 SH  -    DEFINED 04              27573         0        0
D TOYOTA MOTOR CORP              ADR        892331307     5183      75932 SH  -    OTHER   04                  0     75932        0
D TOYOTA MOTOR CORP              ADR        892331307     9476     138822 SH  -    OTHER   04                  0    138822        0
D TOYOTA MOTOR CORP              ADR        892331307    10629     155713 SH  -    DEFINED 05             155713         0        0
D TOYOTA MOTOR CORP              ADR        892331307     2222      32550 SH  -    DEFINED 06              32550         0        0
D TOYOTA MOTOR CORP              ADR        892331307      111       1626 SH  -    OTHER   01                  0      1565        0
D TOYOTA MOTOR CORP              ADR        892331307       16        235 SH  -    OTHER   10                  0         0      235
D TOYOTA MOTOR CORP              OPTION     892331901     3550      52000 SH  C    DEFINED 05              52000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 797
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TOYOTA MOTOR CORP              OPTION     892331950      137       2000 SH  P    DEFINED 05               2000         0        0
D TRACTOR SUPPLY CO              COMMON     892356106      422       6753 SH  -    OTHER   02               2600       553     3600
D TRACTOR SUPPLY CO              COMMON     892356106      107       1705 SH  -    OTHER   02                  0         0     1705
D TRACTOR SUPPLY CO              COMMON     892356106     1246      19924 SH  -    DEFINED 04              19924         0        0
D TRACTOR SUPPLY CO              COMMON     892356106      102       1627 SH  -    DEFINED 05               1627         0        0
D TRACTOR SUPPLY CO              COMMON     892356106        8        128 SH  -    OTHER   10                  0         0      128
D TRANSATLANTIC HLDGS INC        COMMON     893521104       19        400 SH  -    DEFINED 02                400         0        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104     2639      54395 SH  -    OTHER   02                  0     54395        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104    87085    1794818 SH  -    DEFINED 04            1720120         0    74698
D TRANSATLANTIC HLDGS INC        COMMON     893521104     2044      42133 SH  -    DEFINED 04              42133         0        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104       36        752 SH  -    DEFINED 04                752         0        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104     1553      32000 SH  -    DEFINED 04              32000         0        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104      831      17133 SH  -    OTHER   04                  0     17133        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104     4218      86939 SH  -    OTHER   04                  0     86939        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104       46        945 SH  -    DEFINED 05                945         0        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104        6        122 SH  -    DEFINED 06                122         0        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104     2135      43994 SH  -    DEFINED 08              43994         0        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104     2308      47568 SH  -    DEFINED 09              47568         0        0
D TRANSATLANTIC HLDGS INC        COMMON     893521104        3         69 SH  -    OTHER   10                  0         0       69
D TRANSCANADA CORP               COMMON     89353D107       80       1967 SH  -    DEFINED 02               1967         0        0
D TRANSCANADA CORP               COMMON     89353D107     1091      26950 SH  -    OTHER   02                  0     11000    15950
D TRANSCANADA CORP               COMMON     89353D107       32        800 SH  -    OTHER   02                  0         0      800
D TRANSCANADA CORP               COMMON     89353D107     1431      35350 SH  -    DEFINED 04              35350         0        0
D TRANSCANADA CORP               COMMON     89353D107     3564      88022 SH  -    DEFINED 04              88022         0        0
D TRANSCANADA CORP               COMMON     89353D107       73       1803 SH  -    DEFINED 05               1803         0        0
D TRANSCANADA CORP               COMMON     89353D107     1122      27699 SH  -    DEFINED 06              27699         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 798
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TRANSCANADA CORP               COMMON     89353D107       89       2200 SH  -    DEFINED 01               2200         0        0
D TRANSCANADA CORP               COMMON     89353D107      108       2657 SH  -    OTHER   10                  0         0     2657
D TRANSDIGM GROUP INC            COMMON     893641100      113       1380 SH  -    DEFINED 02               1380         0        0
D TRANSDIGM GROUP INC            COMMON     893641100       47        577 SH  -    OTHER   02                  0       577        0
D TRANSDIGM GROUP INC            COMMON     893641100    79315     971162 SH  -    DEFINED 04             738339         0   232823
D TRANSDIGM GROUP INC            COMMON     893641100      180       2200 SH  -    DEFINED 04               2200         0        0
D TRANSDIGM GROUP INC            COMMON     893641100       70        854 SH  -    OTHER   04                  0       854        0
D TRANSDIGM GROUP INC            COMMON     893641100      155       1898 SH  -    DEFINED 05               1898         0        0
D TRANSDIGM GROUP INC            COMMON     893641100      369       4522 SH  -    DEFINED 08               4522         0        0
D TRANSDIGM GROUP INC            COMMON     893641100        2         23 SH  -    OTHER   01                  0        23        0
D TRANSDIGM GROUP INC            COMMON     893641100      133       1634 SH  -    OTHER   10                  0         0     1634
D TRANSMONTAIGNE PARTNERS L P    COMMON     89376V100      428      13000 SH  -    OTHER   01              13000         0        0
D TRANSOCEAN INC                 BOND       893830AV1      148     150000 PRN -    DEFINED 04                  0         0        0
D TRANSOCEAN INC                 BOND       893830AV1     3253    3298000 PRN -    DEFINED 05                  0         0        0
D TRANSOCEAN INC                 BOND       893830AV1     9863   10000000 PRN -    DEFINED 06                  0         0        0
D TRANSOCEAN INC                 BOND       893830AW9     3843    3967000 PRN -    DEFINED 05                  0         0        0
D TRAVELERS COMPANIES INC        COMMON     89417E109     4573      93842 SH  -    DEFINED 02              90187      2100     1555
D TRAVELERS COMPANIES INC        COMMON     89417E109     2097      43040 SH  -    DEFINED 02              42318         0      722
D TRAVELERS COMPANIES INC        COMMON     89417E109      252       5166 SH  -    DEFINED 02               4825         0      341
D TRAVELERS COMPANIES INC        COMMON     89417E109     9671     198463 SH  -    OTHER   02              36782    152864     8527
D TRAVELERS COMPANIES INC        COMMON     89417E109     1808      37103 SH  -    OTHER   02              23373      9489     4241
D TRAVELERS COMPANIES INC        COMMON     89417E109    41768     857123 SH  -    DEFINED 04             731647         0   125476
D TRAVELERS COMPANIES INC        COMMON     89417E109     8876     182144 SH  -    DEFINED 04             182144         0        0
D TRAVELERS COMPANIES INC        COMMON     89417E109       33        682 SH  -    DEFINED 04                682         0        0
D TRAVELERS COMPANIES INC        COMMON     89417E109       12        239 SH  -    OTHER   04                  0       239        0
D TRAVELERS COMPANIES INC        COMMON     89417E109    22853     468976 SH  -    DEFINED 05             468976         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 799
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TRAVELERS COMPANIES INC        COMMON     89417E109       44        900 SH  -    DEFINED 06                900         0        0
D TRAVELERS COMPANIES INC        COMMON     89417E109     1403      28797 SH  -    DEFINED 08              28797         0        0
D TRAVELERS COMPANIES INC        COMMON     89417E109        0          3 SH  -    OTHER   09                  0         3        0
D TRAVELERS COMPANIES INC        COMMON     89417E109      106       2185 SH  -    DEFINED 01               2025         0      160
D TRAVELERS COMPANIES INC        COMMON     89417E109      493      10124 SH  -    OTHER   01                  0     10009      115
D TRAVELERS COMPANIES INC        COMMON     89417E109       57       1161 SH  -    OTHER   10                  0         0     1161
D TRAVELERS COMPANIES INC        OPTION     89417E901     5648     115900 SH  C    DEFINED 05             115900         0        0
D TRAVELZOO INC                  COMMON     89421Q106        1         46 SH  -    OTHER   02                 46         0        0
D TRAVELZOO INC                  COMMON     89421Q106      489      22244 SH  -    DEFINED 04              21144         0     1100
D TRAVELZOO INC                  COMMON     89421Q106      330      15004 SH  -    DEFINED 04              15004         0        0
D TRAVELZOO INC                  COMMON     89421Q106      249      11313 SH  -    DEFINED 05              11313         0        0
D TRAVELZOO INC                  COMMON     89421Q106        7        330 SH  -    DEFINED 08                330         0        0
D TREDEGAR CORP                  COMMON     894650100        3        195 SH  -    DEFINED 02                195         0        0
D TREDEGAR CORP                  COMMON     894650100     1145      77225 SH  -    DEFINED 04              72025         0     5200
D TREDEGAR CORP                  COMMON     894650100     2065     139214 SH  -    DEFINED 04             139214         0        0
D TREDEGAR CORP                  COMMON     894650100      162      10896 SH  -    DEFINED 05              10896         0        0
D TREEHOUSE FOODS INC            COMMON     89469A104        7        108 SH  -    DEFINED 02                  0       108        0
D TREEHOUSE FOODS INC            COMMON     89469A104      452       7305 SH  -    OTHER   02                  0      7305        0
D TREEHOUSE FOODS INC            COMMON     89469A104      273       4411 SH  -    OTHER   02               4000         0      411
D TREEHOUSE FOODS INC            COMMON     89469A104      853      13800 SH  -    DEFINED 04              10500         0     3300
D TREEHOUSE FOODS INC            COMMON     89469A104      902      14585 SH  -    DEFINED 04              14585         0        0
D TREEHOUSE FOODS INC            COMMON     89469A104     1058      17108 SH  -    DEFINED 05              17108         0        0
D TREEHOUSE FOODS INC            COMMON     89469A104      168       2715 SH  -    OTHER   10                  0         0     2715
D TREX CO INC                    BOND       89531PAA3      227     225000 PRN -    DEFINED 05                  0         0        0
D TREX CO INC                    COMMON     89531P105     5822     363174 SH  -    DEFINED 04             261974         0   101200
D TREX CO INC                    COMMON     89531P105     4150     258863 SH  -    DEFINED 04             258863         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 800
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TREX CO INC                    COMMON     89531P105      912      56900 SH  -    DEFINED 04              56900         0        0
D TREX CO INC                    COMMON     89531P105        3        201 SH  -    DEFINED 05                201         0        0
D TREX CO INC                    COMMON     89531P105       15        943 SH  -    DEFINED 08                943         0        0
D TRI CONTL CORP                 COMMON     895436103        4        294 SH  -    OTHER   02                  0         0      294
D TRI CONTL CORP                 COMMON     895436103      127      10000 SH  -    DEFINED 08              10000         0        0
D TRI CONTL CORP                 COMMON     895436103        7        530 SH  -    OTHER   01                  0         0      530
D TRIMAS CORP                    COMMON     896215209     1524     102632 SH  -    OTHER   02             102500       132        0
D TRIMAS CORP                    COMMON     896215209     2347     158050 SH  -    DEFINED 04             127050         0    31000
D TRIMAS CORP                    COMMON     896215209        5        364 SH  -    DEFINED 05                364         0        0
D TRIMAS CORP                    COMMON     896215209       23       1537 SH  -    DEFINED 08               1537         0        0
D TRIMBLE NAVIGATION             COMMON     896239100     1665      49616 SH  -    OTHER   02               3671     43502     2378
D TRIMBLE NAVIGATION             COMMON     896239100      177       5275 SH  -    OTHER   02               1850         0     3425
D TRIMBLE NAVIGATION             COMMON     896239100     3191      95101 SH  -    DEFINED 04              95101         0        0
D TRIMBLE NAVIGATION             COMMON     896239100       62       1854 SH  -    DEFINED 05               1854         0        0
D TRIMBLE NAVIGATION             COMMON     896239100      128       3825 SH  -    OTHER   01                  0      3825        0
D TRINA SOLAR LIMITED            ADR        89628E104        9       1500 SH  -    DEFINED 05               1500         0        0
D TRINA SOLAR LIMITED            ADR        89628E104       26       4198 SH  -    DEFINED 06               4198         0        0
D TRINA SOLAR LIMITED            ADR        89628E104       46       7550 SH  -    DEFINED 08               7550         0        0
D TRINITY INDS INC               BOND       896522AF6      247     275000 PRN -    OTHER   02                  0         0        0
D TRINITY INDS INC               BOND       896522AF6     9026   10043000 PRN -    DEFINED 09                  0         0        0
D TRINITY INDS INC               COMMON     896522109     1003      46826 SH  -    OTHER   02               1310     45516        0
D TRINITY INDS INC               COMMON     896522109        6        280 SH  -    OTHER   02                  0         0      280
D TRINITY INDS INC               COMMON     896522109       21        990 SH  -    DEFINED 04                990         0        0
D TRINITY INDS INC               COMMON     896522109      102       4749 SH  -    DEFINED 05               4749         0        0
D TRINITY INDS INC               COMMON     896522109      110       5128 SH  -    DEFINED 08               5128         0        0
D TRINITY INDS INC               COMMON     896522109      119       5580 SH  -    OTHER   01                  0      5580        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 801
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TRIQUINT SEMI COND             COMMON     89674K103       29       5800 SH  -    OTHER   02               5800         0        0
D TRIQUINT SEMI COND             COMMON     89674K103     2230     444200 SH  -    DEFINED 04             444200         0        0
D TRIQUINT SEMI COND             COMMON     89674K103      386      76910 SH  -    DEFINED 05              76910         0        0
D TRIPLE-S MGMT CORP             COMMON     896749108     3471     207229 SH  -    DEFINED 04             197729         0     9500
D TRIPLE-S MGMT CORP             COMMON     896749108        5        301 SH  -    DEFINED 05                301         0        0
D TRIPLE-S MGMT CORP             COMMON     896749108       19       1144 SH  -    DEFINED 08               1144         0        0
D TRIUMPH GROUP INC NEW          BOND       896818AB7        4       2000 PRN -    DEFINED 05                  0         0        0
D TRIUMPH GROUP INC NEW          BOND       896818AB7      290     162000 PRN -    DEFINED 09                  0         0        0
D TRIUMPH GROUP INC NEW          COMMON     896818101        5        112 SH  -    OTHER   02                  0       112        0
D TRIUMPH GROUP INC NEW          COMMON     896818101    16353     335517 SH  -    DEFINED 04             300267         0    35250
D TRIUMPH GROUP INC NEW          COMMON     896818101      369       7566 SH  -    DEFINED 04               7566         0        0
D TRIUMPH GROUP INC NEW          COMMON     896818101       29        593 SH  -    DEFINED 05                593         0        0
D TRIUMPH GROUP INC NEW          COMMON     896818101      100       2049 SH  -    DEFINED 08               2049         0        0
D TRIUMPH GROUP INC NEW          COMMON     896818101        4         80 SH  -    OTHER   10                  0         0       80
D TRIUS THERAPEUTICS INC         COMMON     89685K100       64      10227 SH  -    DEFINED 05              10227         0        0
D TRIUS THERAPEUTICS INC         COMMON     89685K100        4        612 SH  -    DEFINED 08                612         0        0
D TRUE RELIGION APPAREL INC      COMMON     89784N104       16        598 SH  -    OTHER   02                 38       560        0
D TRUE RELIGION APPAREL INC      COMMON     89784N104       36       1350 SH  -    OTHER   02                  0      1350        0
D TRUE RELIGION APPAREL INC      COMMON     89784N104      496      18416 SH  -    DEFINED 04              18416         0        0
D TRUE RELIGION APPAREL INC      COMMON     89784N104      324      12002 SH  -    DEFINED 05              12002         0        0
D TRUEBLUE INC                   COMMON     89785X101        2        210 SH  -    OTHER   02                  0       210        0
D TRUEBLUE INC                   COMMON     89785X101      346      30539 SH  -    DEFINED 04              30539         0        0
D TRUEBLUE INC                   COMMON     89785X101      229      20168 SH  -    DEFINED 05              20168         0        0
D TRUEBLUE INC                   COMMON     89785X101       16       1446 SH  -    DEFINED 08               1446         0        0
D TRUSTCO BK CORP N Y            COMMON     898349105        1        139 SH  -    OTHER   02                  0       139        0
D TRUSTCO BK CORP N Y            COMMON     898349105      743     166700 SH  -    DEFINED 04             148600         0    18100

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 802
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TRUSTCO BK CORP N Y            COMMON     898349105      238      53429 SH  -    DEFINED 04              53429         0        0
D TRUSTCO BK CORP N Y            COMMON     898349105      194      43447 SH  -    DEFINED 05              43447         0        0
D TRUSTMARK CORP                 COMMON     898402102        6        317 SH  -    DEFINED 02                317         0        0
D TRUSTMARK CORP                 COMMON     898402102        1         78 SH  -    OTHER   02                  0        78        0
D TRUSTMARK CORP                 COMMON     898402102     1175      64750 SH  -    DEFINED 04              64750         0        0
D TRUSTMARK CORP                 COMMON     898402102     2540     139945 SH  -    DEFINED 04             139945         0        0
D TRUSTMARK CORP                 COMMON     898402102      124       6849 SH  -    DEFINED 05               6849         0        0
D TRUSTMARK CORP                 COMMON     898402102      132       7251 SH  -    DEFINED 08               7251         0        0
D TUESDAY MORNING                COMMON     899035505        6       1715 SH  -    OTHER   02                  0       165     1550
D TUESDAY MORNING                COMMON     899035505       78      22110 SH  -    DEFINED 04              22110         0        0
D TUESDAY MORNING                COMMON     899035505       71      20141 SH  -    DEFINED 05              20141         0        0
D TUPPERWARE BRANDS CORP         COMMON     899896104      217       4030 SH  -    DEFINED 02               4030         0        0
D TUPPERWARE BRANDS CORP         COMMON     899896104      710      13221 SH  -    DEFINED 02              13146         0       75
D TUPPERWARE BRANDS CORP         COMMON     899896104      383       7119 SH  -    OTHER   02               4400      2619      100
D TUPPERWARE BRANDS CORP         COMMON     899896104      594      11058 SH  -    OTHER   02               2307        36     8715
D TUPPERWARE BRANDS CORP         COMMON     899896104     8122     151128 SH  -    DEFINED 04             118978         0    32150
D TUPPERWARE BRANDS CORP         COMMON     899896104     8348     155349 SH  -    DEFINED 04             155349         0        0
D TUPPERWARE BRANDS CORP         COMMON     899896104      492       9164 SH  -    DEFINED 05               9164         0        0
D TUPPERWARE BRANDS CORP         COMMON     899896104      581      10809 SH  -    DEFINED 08              10809         0        0
D TUPPERWARE BRANDS CORP         COMMON     899896104      217       4034 SH  -    DEFINED 01               4000         0       34
D TUPPERWARE BRANDS CORP         COMMON     899896104       11        200 SH  -    OTHER   01                  0       110       90
D TUPPERWARE BRANDS CORP         COMMON     899896104       16        300 SH  -    OTHER   10                  0         0      300
D TURKCELL ILETISIM HIZMETLERI   ADR        900111204       69       6108 SH  -    DEFINED 02                  0      6108        0
D TURKCELL ILETISIM HIZMETLERI   ADR        900111204      442      39183 SH  -    OTHER   02               5988     33195        0
D TUTOR PERINI CORP              COMMON     901109108        9        747 SH  -    OTHER   02                  0       747        0
D TUTOR PERINI CORP              COMMON     901109108      446      38800 SH  -    DEFINED 04              29500         0     9300

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 803
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TUTOR PERINI CORP              COMMON     901109108        5        463 SH  -    DEFINED 05                463         0        0
D TUTOR PERINI CORP              COMMON     901109108      111       9684 SH  -    DEFINED 08               9684         0        0
D TUTOR PERINI CORP              COMMON     901109108      124      10754 SH  -    OTHER   10                  0         0    10754
D TWIN DISC INC                  COMMON     901476101      198       7439 SH  -    DEFINED 02               7439         0        0
D TWIN DISC INC                  COMMON     901476101        3        130 SH  -    DEFINED 05                130         0        0
D TWIN DISC INC                  COMMON     901476101       13        505 SH  -    DEFINED 08                505         0        0
D II-VI INC                      COMMON     902104108     1002      57273 SH  -    OTHER   02                  0     57273        0
D II-VI INC                      COMMON     902104108       26       1500 SH  -    OTHER   02                  0         0     1500
D II-VI INC                      COMMON     902104108      320      18299 SH  -    DEFINED 04              18299         0        0
D II-VI INC                      COMMON     902104108      445      25433 SH  -    DEFINED 05              25433         0        0
D II-VI INC                      COMMON     902104108      111       6345 SH  -    OTHER   01                  0      6345        0
D TYLER TECHNOLOGIES INC         COMMON     902252105        3        117 SH  -    OTHER   02                  0       117        0
D TYLER TECHNOLOGIES INC         COMMON     902252105      474      18746 SH  -    DEFINED 04              18746         0        0
D TYLER TECHNOLOGIES INC         COMMON     902252105      308      12175 SH  -    DEFINED 05              12175         0        0
D TYSON FOODS INC                BOND       902494AP8      554     459000 PRN -    DEFINED 05                  0         0        0
D TYSON FOODS INC                BOND       902494AP8     6031    5000000 PRN -    DEFINED 08                  0         0        0
D TYSON FOODS INC                BOND       902494AP8     5841    4842000 PRN -    DEFINED 09                  0         0        0
D TYSON FOODS INC                BOND       902494AP8     1667    1382000 PRN -    DEFINED 09                  0         0        0
D TYSON FOODS INC                COMMON     902494103      114       6569 SH  -    DEFINED 02                  0      6569        0
D TYSON FOODS INC                COMMON     902494103       18       1054 SH  -    DEFINED 02               1054         0        0
D TYSON FOODS INC                COMMON     902494103       63       3629 SH  -    DEFINED 02               3417         0      212
D TYSON FOODS INC                COMMON     902494103      225      12942 SH  -    OTHER   02               6551      6346        0
D TYSON FOODS INC                COMMON     902494103       15        872 SH  -    OTHER   02                  0         0      872
D TYSON FOODS INC                COMMON     902494103    12157     700266 SH  -    DEFINED 04             585278         0   114988
D TYSON FOODS INC                COMMON     902494103     3223     185683 SH  -    DEFINED 04             185683         0        0
D TYSON FOODS INC                COMMON     902494103       17        960 SH  -    DEFINED 04                960         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 804
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D TYSON FOODS INC                COMMON     902494103      149       8588 SH  -    DEFINED 04               8588         0        0
D TYSON FOODS INC                COMMON     902494103       11        626 SH  -    DEFINED 04                  0         0      626
D TYSON FOODS INC                COMMON     902494103      707      40720 SH  -    OTHER   04                  0     40720        0
D TYSON FOODS INC                COMMON     902494103      990      57014 SH  -    DEFINED 05              57014         0        0
D TYSON FOODS INC                COMMON     902494103    59769    3442911 SH  -    DEFINED 08            3442911         0        0
D TYSON FOODS INC                COMMON     902494103        1         73 SH  -    OTHER   01                  0        73        0
D TYSON FOODS INC                COMMON     902494103        4        249 SH  -    OTHER   10                  0         0      249
D UAL CORP                       BOND       902549AJ3    30810   13000000 PRN -    DEFINED 05                  0         0        0
D UBS AG JERSEY BRH              COMMON     902641646     4338     150520 SH  -    OTHER   10                  0         0   150520
D UDR INC                        COMMON     902653104      314      14200 SH  -    DEFINED 02              14200         0        0
D UDR INC                        COMMON     902653104    28268    1276763 SH  -    DEFINED 04            1081183         0   195580
D UDR INC                        COMMON     902653104     3161     142772 SH  -    DEFINED 04             142772         0        0
D UDR INC                        COMMON     902653104      115       5200 SH  -    DEFINED 04               5200         0        0
D UDR INC                        COMMON     902653104       24       1100 SH  -    DEFINED 04               1100         0        0
D UDR INC                        COMMON     902653104      704      31800 SH  -    DEFINED 04              24500         0        0
D UDR INC                        COMMON     902653104     1339      60458 SH  -    DEFINED 05              60458         0        0
D UDR INC                        COMMON     902653104       70       3176 SH  -    DEFINED 06               3176         0        0
D UDR INC                        COMMON     902653104      611      27600 SH  -    DEFINED 08              27600         0        0
D UDR INC                        COMMON     902653104       16        720 SH  -    OTHER   10                  0         0      720
D UGI CORP NEW                   COMMON     902681105      126       4800 SH  -    DEFINED 02               4800         0        0
D UGI CORP NEW                   COMMON     902681105      734      27922 SH  -    OTHER   02                  0     27922        0
D UGI CORP NEW                   COMMON     902681105       79       3025 SH  -    OTHER   02               3004        15        6
D UGI CORP NEW                   COMMON     902681105     4986     189800 SH  -    DEFINED 04             160600         0    29200
D UGI CORP NEW                   COMMON     902681105     5577     212281 SH  -    DEFINED 04             212281         0        0
D UGI CORP NEW                   COMMON     902681105       10        375 SH  -    DEFINED 04                375         0        0
D UGI CORP NEW                   COMMON     902681105        1         39 SH  -    OTHER   04                  0        39        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 805
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UGI CORP NEW                   COMMON     902681105       47       1788 SH  -    DEFINED 05               1788         0        0
D UGI CORP NEW                   COMMON     902681105      162       6178 SH  -    DEFINED 08               6178         0        0
D UGI CORP NEW                   COMMON     902681105       57       2172 SH  -    DEFINED 09               2172         0        0
D UIL HLDG CORP                  COMMON     902748102        2         58 SH  -    DEFINED 02                 58         0        0
D UIL HLDG CORP                  COMMON     902748102       53       1624 SH  -    OTHER   02                  0       458     1166
D UIL HLDG CORP                  COMMON     902748102     1025      31117 SH  -    DEFINED 04              31117         0        0
D UIL HLDG CORP                  COMMON     902748102      777      23594 SH  -    DEFINED 05              23594         0        0
D UIL HLDG CORP                  COMMON     902748102        5        166 SH  -    OTHER   10                  0         0      166
D UMB FINL CORP                  COMMON     902788108        5        144 SH  -    DEFINED 02                  0       144        0
D UMB FINL CORP                  COMMON     902788108      394      12273 SH  -    OTHER   02                140     12133        0
D UMB FINL CORP                  COMMON     902788108       71       2217 SH  -    OTHER   02                  0         0     2217
D UMB FINL CORP                  COMMON     902788108     1111      34625 SH  -    DEFINED 04              32825         0     1800
D UMB FINL CORP                  COMMON     902788108     3761     117227 SH  -    DEFINED 04             117227         0        0
D UMB FINL CORP                  COMMON     902788108      485      15114 SH  -    DEFINED 05              15114         0        0
D USA TRUCK, INC.                COMMON     902925106      138      17800 SH  -    DEFINED 04              17800         0        0
D USA TRUCK, INC.                COMMON     902925106        8       1034 SH  -    DEFINED 05               1034         0        0
D USA TRUCK, INC.                COMMON     902925106        0         20 SH  -    DEFINED 08                 20         0        0
D US BANCORP DEL                 COMMON     902973304    22598     959980 SH  -    DEFINED 02             815900      4245   139835
D US BANCORP DEL                 COMMON     902973304     7086     300999 SH  -    DEFINED 02             292596      1773     6630
D US BANCORP DEL                 COMMON     902973304      894      37963 SH  -    DEFINED 02              26338         0    11625
D US BANCORP DEL                 COMMON     902973304    15113     641998 SH  -    OTHER   02             313233    289848    38611
D US BANCORP DEL                 COMMON     902973304     4213     178978 SH  -    OTHER   02             111430      7367    60181
D US BANCORP DEL                 COMMON     902973304      104       4434 SH  -    OTHER   02                  0      4434        0
D US BANCORP DEL                 COMMON     902973304       91       3864 SH  -    OTHER   02                  0      3864        0
D US BANCORP DEL                 COMMON     902973304      233       9888 SH  -    OTHER   02                  0      9888        0
D US BANCORP DEL                 COMMON     902973304   249895   10615757 SH  -    DEFINED 04            8696825         0  1918932

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 806
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D US BANCORP DEL                 COMMON     902973304    18971     805923 SH  -    DEFINED 04             805923         0        0
D US BANCORP DEL                 COMMON     902973304     9576     406798 SH  -    DEFINED 04             406798         0        0
D US BANCORP DEL                 COMMON     902973304       58       2477 SH  -    DEFINED 04               2477         0        0
D US BANCORP DEL                 COMMON     902973304     3767     160030 SH  -    DEFINED 04              91507         0    68523
D US BANCORP DEL                 COMMON     902973304      228       9685 SH  -    DEFINED 04                  0         0     9685
D US BANCORP DEL                 COMMON     902973304    11742     498823 SH  -    OTHER   04                  0    498823        0
D US BANCORP DEL                 COMMON     902973304    45732    1942727 SH  -    DEFINED 05            1942727         0        0
D US BANCORP DEL                 COMMON     902973304      442      18760 SH  -    DEFINED 06              18760         0        0
D US BANCORP DEL                 COMMON     902973304    20952     890062 SH  -    DEFINED 09             848263     41799        0
D US BANCORP DEL                 COMMON     902973304     1076      45713 SH  -    DEFINED 09              45713         0        0
D US BANCORP DEL                 COMMON     902973304    11158     473995 SH  -    DEFINED 09             293716         0        0
D US BANCORP DEL                 COMMON     902973304     2450     104093 SH  -    OTHER   09                  0    104093        0
D US BANCORP DEL                 COMMON     902973304     1141      48478 SH  -    DEFINED 01              42809      2633     3036
D US BANCORP DEL                 COMMON     902973304      355      15069 SH  -    OTHER   01               7407      3340     4322
D US BANCORP DEL                 COMMON     902973304     1679      71305 SH  -    OTHER   10                  0         0    71305
D UQM TECHNOLOGIES               COMMON     903213106        0         22 SH  -    DEFINED 08                 22         0        0
D UQM TECHNOLOGIES               COMMON     903213106      234     139915 SH  -    OTHER   10                  0         0   139915
D URS CORP NEW                   COMMON     903236107        4        130 SH  -    DEFINED 02                130         0        0
D URS CORP NEW                   COMMON     903236107        5        157 SH  -    DEFINED 02                157         0        0
D URS CORP NEW                   COMMON     903236107      229       7724 SH  -    OTHER   02                  0      7366      358
D URS CORP NEW                   COMMON     903236107     1210      40806 SH  -    DEFINED 04              31906         0     8900
D URS CORP NEW                   COMMON     903236107     6962     234729 SH  -    DEFINED 04             234729         0        0
D URS CORP NEW                   COMMON     903236107       27        900 SH  -    DEFINED 04                900         0        0
D URS CORP NEW                   COMMON     903236107        1         32 SH  -    OTHER   04                  0        32        0
D URS CORP NEW                   COMMON     903236107       66       2212 SH  -    DEFINED 05               2212         0        0
D URS CORP NEW                   COMMON     903236107      806      27191 SH  -    DEFINED 08              27191         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 807
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D URS CORP NEW                   COMMON     903236107      142       4800 SH  -    DEFINED 09               4800         0        0
D URS CORP NEW                   COMMON     903236107        4        120 SH  -    OTHER   01                  0       120        0
D USG CORP                       COMMON     903293405        8       1118 SH  -    OTHER   02                  0       110      904
D USG CORP                       COMMON     903293405        3        436 SH  -    OTHER   02                  0         0      436
D USG CORP                       COMMON     903293405      475      70583 SH  -    DEFINED 05              70583         0        0
D USG CORP                       COMMON     903293405       57       8533 SH  -    DEFINED 08               8533         0        0
D USG CORP                       OPTION     903293900        7       1000 SH  C    DEFINED 05               1000         0        0
D USEC INC                       BOND       90333EAC2      121     230000 PRN -    OTHER   02                  0         0        0
D USEC INC                       COMMON     90333E108        2       1000 SH  -    DEFINED 02               1000         0        0
D USEC INC                       COMMON     90333E108       48      29790 SH  -    OTHER   02                  0     21005     8785
D USEC INC                       COMMON     90333E108        2       1000 SH  -    OTHER   02               1000         0        0
D USEC INC                       COMMON     90333E108        3       1754 SH  -    DEFINED 05               1754         0        0
D USEC INC                       COMMON     90333E108       57      35132 SH  -    DEFINED 08              35132         0        0
D USEC INC                       COMMON     90333E108        5       3000 SH  -    DEFINED 01               3000         0        0
D USEC INC                       COMMON     90333E108        1        500 SH  -    OTHER   10                  0         0      500
D U S CONCRETE INC               COMMON     90333L201     5218    1269539 SH  -    DEFINED 04            1259518         0    10021
D U S CONCRETE INC               COMMON     90333L201       41      10021 SH  -    DEFINED 04              10021         0        0
D U S CONCRETE INC               COMMON     90333L201     1640     398975 SH  -    DEFINED 04             398975         0        0
D U S CONCRETE INC               COMMON     90333L201       47      11422 SH  -    DEFINED 05              11422         0        0
D U S PHYSICAL THERAPY INC       COMMON     90337L108      446      24100 SH  -    DEFINED 04              19700         0     4400
D U S PHYSICAL THERAPY INC       COMMON     90337L108      787      42500 SH  -    DEFINED 04              42500         0        0
D U S PHYSICAL THERAPY INC       COMMON     90337L108        3        171 SH  -    DEFINED 05                171         0        0
D U S PHYSICAL THERAPY INC       COMMON     90337L108       14        769 SH  -    DEFINED 08                769         0        0
D USA MOBILITY INC               COMMON     90341G103        2        176 SH  -    OTHER   02                  0       176        0
D USA MOBILITY INC               COMMON     90341G103      913      69175 SH  -    DEFINED 04              64775         0     4400
D USA MOBILITY INC               COMMON     90341G103     2188     165720 SH  -    DEFINED 04             165720         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 808
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D USA MOBILITY INC               COMMON     90341G103        1         43 SH  -    DEFINED 04                 43         0        0
D USA MOBILITY INC               COMMON     90341G103      136      10321 SH  -    DEFINED 05              10321         0        0
D USA MOBILITY INC               COMMON     90341G103       43       3261 SH  -    DEFINED 08               3261         0        0
D U S AIRWAYS GROUP INC          COMMON     90341W108        4        810 SH  -    DEFINED 02                100       710        0
D U S AIRWAYS GROUP INC          COMMON     90341W108        2        440 SH  -    DEFINED 02                  0         0      440
D U S AIRWAYS GROUP INC          COMMON     90341W108      751     136567 SH  -    OTHER   02                404    136163        0
D U S AIRWAYS GROUP INC          COMMON     90341W108       61      11040 SH  -    OTHER   02               2410      4430     4200
D U S AIRWAYS GROUP INC          COMMON     90341W108     4166     757436 SH  -    DEFINED 04             757436         0        0
D U S AIRWAYS GROUP INC          COMMON     90341W108      777     141317 SH  -    DEFINED 04             141317         0        0
D U S AIRWAYS GROUP INC          COMMON     90341W108       64      11614 SH  -    DEFINED 05              11614         0        0
D U S AIRWAYS GROUP INC          COMMON     90341W108      313      56982 SH  -    DEFINED 08              56982         0        0
D U S AIRWAYS GROUP INC          COMMON     90341W108       20       3560 SH  -    OTHER   01                  0      3560        0
D ULTA SALON COSMETCS & FRAG INC COMMON     90384S303       16        260 SH  -    DEFINED 02                260         0        0
D ULTA SALON COSMETCS & FRAG INC COMMON     90384S303        8        134 SH  -    OTHER   02                  0       134        0
D ULTA SALON COSMETCS & FRAG INC COMMON     90384S303      569       9144 SH  -    DEFINED 04               9144         0        0
D ULTA SALON COSMETCS & FRAG INC COMMON     90384S303       83       1336 SH  -    DEFINED 05               1336         0        0
D ULTA SALON COSMETCS & FRAG INC COMMON     90384S303        3         54 SH  -    OTHER   01                  0        54        0
D ULTA SALON COSMETCS & FRAG INC COMMON     90384S303       29        461 SH  -    OTHER   10                  0         0      461
D ULTRA PETROLEUM CORP           COMMON     903914109       10        360 SH  -    DEFINED 02                360         0        0
D ULTRA PETROLEUM CORP           COMMON     903914109       11        410 SH  -    DEFINED 02                410         0        0
D ULTRA PETROLEUM CORP           COMMON     903914109     1231      44414 SH  -    OTHER   02                470     43614      330
D ULTRA PETROLEUM CORP           COMMON     903914109      153       5529 SH  -    OTHER   02                350       330     4849
D ULTRA PETROLEUM CORP           COMMON     903914109     5137     185300 SH  -    DEFINED 05             185300         0        0
D ULTRA PETROLEUM CORP           COMMON     903914109       50       1809 SH  -    DEFINED 06               1809         0        0
D ULTRA PETROLEUM CORP           COMMON     903914109      420      15150 SH  -    DEFINED 08              15150         0        0
D ULTRA PETROLEUM CORP           COMMON     903914109       98       3523 SH  -    OTHER   01                  0      3523        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 809
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ULTRAPAR PARTICIPACOES S A     ADR        90400P101       32       2000 SH  -    DEFINED 04                  0         0     2000
D ULTRAPAR PARTICIPACOES S A     ADR        90400P101        0          6 SH  -    DEFINED 05                  6         0        0
D ULTRAPAR PARTICIPACOES S A     ADR        90400P101     2395     151272 SH  -    DEFINED 08             151272         0        0
D ULTRAPAR PARTICIPACOES S A     ADR        90400P101     6523     412080 SH  -    DEFINED 09             412080         0        0
D ULTRAPAR PARTICIPACOES S A     ADR        90400P101     1907     120482 SH  -    OTHER   09                  0    120482        0
D ULTRAPAR PARTICIPACOES S A     ADR        90400P101      380      24000 SH  -    OTHER   01              24000         0        0
D ULTRATECH INC                  COMMON     904034105       81       4745 SH  -    OTHER   02                  0       170     4575
D ULTRATECH INC                  COMMON     904034105      236      13762 SH  -    OTHER   02                  0       588    13174
D ULTRATECH INC                  COMMON     904034105      300      17484 SH  -    DEFINED 04              17484         0        0
D ULTRATECH INC                  COMMON     904034105      205      11971 SH  -    DEFINED 05              11971         0        0
D UMPQUA HOLDINGS CO             COMMON     904214103       74       8416 SH  -    OTHER   02                  0      1127     7289
D UMPQUA HOLDINGS CO             COMMON     904214103      227      25857 SH  -    OTHER   02               6300       877    18680
D UMPQUA HOLDINGS CO             COMMON     904214103    39636    4509185 SH  -    DEFINED 04            4205050         0   304135
D UMPQUA HOLDINGS CO             COMMON     904214103      415      47200 SH  -    DEFINED 04              47200         0        0
D UMPQUA HOLDINGS CO             COMMON     904214103      461      52423 SH  -    DEFINED 05              52423         0        0
D UMPQUA HOLDINGS CO             COMMON     904214103       10       1092 SH  -    OTHER   10                  0         0     1092
D UNDER ARMOUR INC               COMMON     904311107      164       2463 SH  -    OTHER   02                  0       178     2285
D UNDER ARMOUR INC               COMMON     904311107       60        910 SH  -    OTHER   02                  0         5      905
D UNDER ARMOUR INC               COMMON     904311107      163       2457 SH  -    DEFINED 05               2457         0        0
D UNDER ARMOUR INC               COMMON     904311107     4969      74816 SH  -    DEFINED 08              74816         0        0
D UNDER ARMOUR INC               COMMON     904311107      312       4700 SH  -    OTHER   01               4700         0        0
D UNIFI INC                      COMMON     904677200       15       1783 SH  -    OTHER   02               1783         0        0
D UNIFI INC                      COMMON     904677200      115      14033 SH  -    DEFINED 04              14033         0        0
D UNIFI INC                      COMMON     904677200        2        229 SH  -    DEFINED 05                229         0        0
D UNIFI INC                      COMMON     904677200        7        827 SH  -    DEFINED 08                827         0        0
D UNIFIRST CORP MASS             COMMON     904708104        2         35 SH  -    OTHER   02                 24        11        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 810
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNIFIRST CORP MASS             COMMON     904708104      643      14200 SH  -    DEFINED 04              10800         0     3400
D UNIFIRST CORP MASS             COMMON     904708104      478      10546 SH  -    DEFINED 04              10546         0        0
D UNIFIRST CORP MASS             COMMON     904708104      323       7136 SH  -    DEFINED 05               7136         0        0
D UNILEVER PLC                   ADR        904767704       29        918 SH  -    DEFINED 02                800       118        0
D UNILEVER PLC                   ADR        904767704       39       1259 SH  -    DEFINED 02               1259         0        0
D UNILEVER PLC                   ADR        904767704     5035     161440 SH  -    OTHER   02                  0     85775    75665
D UNILEVER PLC                   ADR        904767704      176       5633 SH  -    OTHER   02                  0         0     5633
D UNILEVER PLC                   ADR        904767704        1         32 SH  -    OTHER   04                  0        32        0
D UNILEVER PLC                   ADR        904767704      180       5772 SH  -    OTHER   01                  0      5657        0
D UNILEVER PLC                   ADR        904767704      515      16522 SH  -    OTHER   10                  0         0    16522
D UNILEVER N V                   ADR        904784709     3449     109520 SH  -    DEFINED 02             105710      3810        0
D UNILEVER N V                   ADR        904784709     1083      34379 SH  -    DEFINED 02              34379         0        0
D UNILEVER N V                   ADR        904784709    14285     453634 SH  -    OTHER   02              16625    418873    17586
D UNILEVER N V                   ADR        904784709     3141      99756 SH  -    OTHER   02              42922     17090    39744
D UNILEVER N V                   ADR        904784709     2621      83232 SH  -    DEFINED 04              83232         0        0
D UNILEVER N V                   ADR        904784709     6908     219367 SH  -    OTHER   04                  0    219367        0
D UNILEVER N V                   ADR        904784709     1906      60529 SH  -    OTHER   04                  0     60529        0
D UNILEVER N V                   ADR        904784709       43       1350 SH  -    DEFINED 01               1350         0        0
D UNILEVER N V                   ADR        904784709      780      24762 SH  -    OTHER   01                  0     24663        0
D UNILEVER N V                   ADR        904784709     5012     159149 SH  -    OTHER   10                  0         0   159149
D UNION DRILLING INC             COMMON     90653P105        3        686 SH  -    OTHER   02                  0       686        0
D UNION DRILLING INC             COMMON     90653P105      244      51900 SH  -    DEFINED 04              51900         0        0
D UNION DRILLING INC             COMMON     90653P105        1        246 SH  -    DEFINED 05                246         0        0
D UNION DRILLING INC             COMMON     90653P105        8       1671 SH  -    DEFINED 08               1671         0        0
D UNION PACIFIC CORP             COMMON     907818108     6072      74352 SH  -    DEFINED 02              40582       425    33345
D UNION PACIFIC CORP             COMMON     907818108     1525      18669 SH  -    DEFINED 02              13268         0     5401

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 811
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNION PACIFIC CORP             COMMON     907818108     8857     108450 SH  -    DEFINED 02             108450         0        0
D UNION PACIFIC CORP             COMMON     907818108      900      11019 SH  -    DEFINED 02               7224         0     3795
D UNION PACIFIC CORP             COMMON     907818108    17998     220375 SH  -    OTHER   02              76294    103928    40121
D UNION PACIFIC CORP             COMMON     907818108     2111      25847 SH  -    OTHER   02              21505      2591     1751
D UNION PACIFIC CORP             COMMON     907818108      397       4867 SH  -    OTHER   02                  0      4867        0
D UNION PACIFIC CORP             COMMON     907818108       60        735 SH  -    OTHER   02                  0       735        0
D UNION PACIFIC CORP             COMMON     907818108      790       9672 SH  -    OTHER   02                  0      9672        0
D UNION PACIFIC CORP             COMMON     907818108       47        575 SH  -    OTHER   02                  0       575        0
D UNION PACIFIC CORP             COMMON     907818108   203164    2487620 SH  -    DEFINED 04            1335731         0  1151889
D UNION PACIFIC CORP             COMMON     907818108    32523     398227 SH  -    DEFINED 04             398227         0        0
D UNION PACIFIC CORP             COMMON     907818108    20953     256557 SH  -    DEFINED 04             256557         0        0
D UNION PACIFIC CORP             COMMON     907818108    17823     218226 SH  -    DEFINED 04             218226         0        0
D UNION PACIFIC CORP             COMMON     907818108    25216     308760 SH  -    DEFINED 04             307224         0     1536
D UNION PACIFIC CORP             COMMON     907818108      312       3820 SH  -    DEFINED 04                  0         0     3820
D UNION PACIFIC CORP             COMMON     907818108      311       3808 SH  -    OTHER   04                  0      3808        0
D UNION PACIFIC CORP             COMMON     907818108    25354     310446 SH  -    DEFINED 05             310446         0        0
D UNION PACIFIC CORP             COMMON     907818108    61566     753840 SH  -    DEFINED 09             738986         0     6353
D UNION PACIFIC CORP             COMMON     907818108     1362      16671 SH  -    DEFINED 09              16671         0        0
D UNION PACIFIC CORP             COMMON     907818108     2609      31947 SH  -    DEFINED 09              31947         0        0
D UNION PACIFIC CORP             COMMON     907818108     6562      80347 SH  -    DEFINED 09              18829         0        0
D UNION PACIFIC CORP             COMMON     907818108     2276      27871 SH  -    OTHER   09                  0     27871        0
D UNION PACIFIC CORP             COMMON     907818108       16        200 SH  -    DEFINED 01                200         0        0
D UNION PACIFIC CORP             COMMON     907818108      455       5568 SH  -    OTHER   01               5200       368        0
D UNION PACIFIC CORP             COMMON     907818108     1789      21901 SH  -    OTHER   10                  0         0    21901
D UNISOURCE ENERGY CORP          BOND       909205AB2      323     300000 PRN -    DEFINED 09                  0         0        0
D UNISOURCE ENERGY CORP          COMMON     909205106     1971      54600 SH  -    DEFINED 02              54600         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 812
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNISOURCE ENERGY CORP          COMMON     909205106       40       1100 SH  -    OTHER   02                  0       999        0
D UNISOURCE ENERGY CORP          COMMON     909205106       32        895 SH  -    OTHER   02                  0         0      895
D UNISOURCE ENERGY CORP          COMMON     909205106     7585     210181 SH  -    DEFINED 04             200281         0     9900
D UNISOURCE ENERGY CORP          COMMON     909205106     5999     166223 SH  -    DEFINED 04             166223         0        0
D UNISOURCE ENERGY CORP          COMMON     909205106      863      23916 SH  -    DEFINED 05              23916         0        0
D UNISOURCE ENERGY CORP          COMMON     909205106       28        787 SH  -    DEFINED 08                787         0        0
D UNISOURCE ENERGY CORP          COMMON     909205106        3         70 SH  -    OTHER   01                  0        70        0
D UNISYS CORP                    COMMON     909214306        0         18 SH  -    DEFINED 02                 18         0        0
D UNISYS CORP                    COMMON     909214306        3        161 SH  -    DEFINED 02                  0         0      161
D UNISYS CORP                    COMMON     909214306        4        232 SH  -    OTHER   02                 66         0      166
D UNISYS CORP                    COMMON     909214306     2777     176985 SH  -    DEFINED 04             162051         0    14934
D UNISYS CORP                    COMMON     909214306     1316      83869 SH  -    DEFINED 04              83869         0        0
D UNISYS CORP                    COMMON     909214306     1443      91959 SH  -    DEFINED 04              91959         0        0
D UNISYS CORP                    COMMON     909214306        9        586 SH  -    DEFINED 05                586         0        0
D UNISYS CORP                    PREF CONV  909214405     7973     150000 SH  -    DEFINED 08                  0         0        0
D UNIT CORP                      COMMON     909218109      425      11515 SH  -    OTHER   02                  0      9714     1801
D UNIT CORP                      COMMON     909218109      200       5410 SH  -    OTHER   02                  0       230     5180
D UNIT CORP                      COMMON     909218109      621      16812 SH  -    DEFINED 04              16812         0        0
D UNIT CORP                      COMMON     909218109     2046      55410 SH  -    DEFINED 04              55410         0        0
D UNIT CORP                      COMMON     909218109       24        656 SH  -    DEFINED 05                656         0        0
D UNIT CORP                      COMMON     909218109      100       2721 SH  -    DEFINED 08               2721         0        0
D UNIT CORP                      COMMON     909218109       40       1085 SH  -    OTHER   01                  0      1085        0
D UNITED AUTO GROUP INC          BOND       909440AH2      503     548000 PRN -    DEFINED 05                  0         0        0
D UNITED CMNTY BKS BLAIRSVLE GA  COMMON     90984P303        9       1102 SH  -    OTHER   02                  0      1102        0
D UNITED CMNTY BKS BLAIRSVLE GA  COMMON     90984P303        5        554 SH  -    OTHER   02                  0         0      554
D UNITED CMNTY BKS BLAIRSVLE GA  COMMON     90984P303     1722     202774 SH  -    DEFINED 04             202774         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 813
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNITED CMNTY BKS BLAIRSVLE GA  COMMON     90984P303       80       9371 SH  -    DEFINED 05               9371         0        0
D UTD BANKSHARES INC             COMMON     909907107        5        229 SH  -    DEFINED 02                229         0        0
D UTD BANKSHARES INC             COMMON     909907107       82       4076 SH  -    OTHER   02                  0        76     4000
D UTD BANKSHARES INC             COMMON     909907107      375      18690 SH  -    DEFINED 04              18690         0        0
D UTD BANKSHARES INC             COMMON     909907107      596      29672 SH  -    DEFINED 04              29672         0        0
D UTD BANKSHARES INC             COMMON     909907107      562      27966 SH  -    DEFINED 05              27966         0        0
D UTD BANKSHARES INC             COMMON     909907107        4        191 SH  -    DEFINED 08                191         0        0
D UTD BANKSHARES INC             COMMON     909907107      487      24246 SH  -    OTHER   10                  0         0    24246
D UNITED CONTL HLDGS INC         COMMON     910047109        4        230 SH  -    DEFINED 02                  0       230        0
D UNITED CONTL HLDGS INC         COMMON     910047109        3        140 SH  -    DEFINED 02                  0         0      140
D UNITED CONTL HLDGS INC         COMMON     910047109      869      44843 SH  -    OTHER   02                  0     44144      588
D UNITED CONTL HLDGS INC         COMMON     910047109       74       3810 SH  -    OTHER   02                780      1380     1650
D UNITED CONTL HLDGS INC         COMMON     910047109    20523    1058965 SH  -    DEFINED 04             984365         0    74600
D UNITED CONTL HLDGS INC         COMMON     910047109     3727     192300 SH  -    DEFINED 04             192300         0        0
D UNITED CONTL HLDGS INC         COMMON     910047109      138       7122 SH  -    DEFINED 04               7122         0        0
D UNITED CONTL HLDGS INC         COMMON     910047109      925      47711 SH  -    OTHER   04                  0     47711        0
D UNITED CONTL HLDGS INC         COMMON     910047109    20674    1066768 SH  -    DEFINED 05            1066768         0        0
D UNITED CONTL HLDGS INC         COMMON     910047109     9033     466124 SH  -    DEFINED 08             466124         0        0
D UNITED CONTL HLDGS INC         COMMON     910047109       22       1150 SH  -    OTHER   01                  0      1150        0
D UNITED CONTL HLDGS INC         COMMON     910047109      297      15346 SH  -    OTHER   10                  0         0    15346
D UNITED CONTL HLDGS INC         OPTION     910047901       78       4000 SH  C    DEFINED 05               4000         0        0
D UNITED CONTL HLDGS INC         OPTION     910047950       31       1600 SH  P    DEFINED 05               1600         0        0
D UNITED FIRE & CAS CO           COMMON     910331107        3        194 SH  -    DEFINED 02                194         0        0
D UNITED FIRE & CAS CO           COMMON     910331107       68       3850 SH  -    OTHER   02                  0      3850        0
D UNITED FIRE & CAS CO           COMMON     910331107      274      15503 SH  -    DEFINED 04              15503         0        0
D UNITED FIRE & CAS CO           COMMON     910331107      173       9807 SH  -    DEFINED 05               9807         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 814
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNITED FIRE & CAS CO           COMMON     910331107       82       4610 SH  -    OTHER   01                  0      4610        0
D UNITED MICROELECTRONICS CORP   ADR        910873405       96      50221 SH  -    DEFINED 09              50221         0        0
D UNITED NAT FOODS INC           COMMON     911163103        5        128 SH  -    DEFINED 02                  0       128        0
D UNITED NAT FOODS INC           COMMON     911163103      298       8044 SH  -    OTHER   02                  0      8044        0
D UNITED NAT FOODS INC           COMMON     911163103       41       1095 SH  -    OTHER   02                  5        16     1074
D UNITED NAT FOODS INC           COMMON     911163103      837      22595 SH  -    DEFINED 05              22595         0        0
D UNITED NAT FOODS INC           COMMON     911163103        9        242 SH  -    OTHER   10                  0         0      242
D UNITED ONLINE INC              COMMON     911268100        4        810 SH  -    OTHER   02                  0       810        0
D UNITED ONLINE INC              COMMON     911268100     8516    1628358 SH  -    DEFINED 04            1344105         0   284253
D UNITED ONLINE INC              COMMON     911268100      690     131909 SH  -    DEFINED 04             131909         0        0
D UNITED ONLINE INC              COMMON     911268100      217      41402 SH  -    DEFINED 05              41402         0        0
D UTD PARCEL SERV                COMMON     911312106    13945     220828 SH  -    DEFINED 02             220158       670        0
D UTD PARCEL SERV                COMMON     911312106     1463      23161 SH  -    DEFINED 02              20831      1125     1205
D UTD PARCEL SERV                COMMON     911312106      758      11999 SH  -    DEFINED 02              11303         0      696
D UTD PARCEL SERV                COMMON     911312106    22860     361991 SH  -    OTHER   02              40168    313544     6957
D UTD PARCEL SERV                COMMON     911312106     2448      38760 SH  -    OTHER   02              12544     17623     8593
D UTD PARCEL SERV                COMMON     911312106      102       1613 SH  -    OTHER   02                  0      1613        0
D UTD PARCEL SERV                COMMON     911312106    33154     525008 SH  -    DEFINED 04             384348         0   140660
D UTD PARCEL SERV                COMMON     911312106    12990     205708 SH  -    DEFINED 04             205708         0        0
D UTD PARCEL SERV                COMMON     911312106    70221    1111967 SH  -    DEFINED 05            1111967         0        0
D UTD PARCEL SERV                COMMON     911312106      190       3003 SH  -    DEFINED 01               2900         0      103
D UTD PARCEL SERV                COMMON     911312106      912      14446 SH  -    OTHER   01                450     13736      260
D UTD PARCEL SERV                COMMON     911312106     2992      47382 SH  -    OTHER   10                  0         0    47382
D UTD PARCEL SERV                OPTION     911312908    23296     368900 SH  C    DEFINED 05             368900         0        0
D UTD PARCEL SERV                OPTION     911312908     1282      20300 SH  C    DEFINED 08              20300         0        0
D UTD PARCEL SERV                OPTION     911312957     7887     124900 SH  P    DEFINED 05             124900         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 815
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNITED RENTALS INC             COMMON     911363109       16        954 SH  -    OTHER   02                  0       629      325
D UNITED RENTALS INC             COMMON     911363109     1031      61232 SH  -    DEFINED 04              52332         0     8900
D UNITED RENTALS INC             COMMON     911363109     3116     185011 SH  -    DEFINED 04             185011         0        0
D UNITED RENTALS INC             COMMON     911363109       16        945 SH  -    DEFINED 05                945         0        0
D UNITED RENTALS INC             COMMON     911363109      157       9348 SH  -    DEFINED 08               9348         0        0
D UNITED RENTALS INC             COMMON     911363109        3        182 SH  -    OTHER   01                  0       182        0
D US GOLD CORPORATION            COMMON     912023207        0         39 SH  -    DEFINED 02                 39         0        0
D US GOLD CORPORATION            COMMON     912023207        7       1796 SH  -    DEFINED 05               1796         0        0
D US GOLD CORPORATION            COMMON     912023207       33       8317 SH  -    DEFINED 08               8317         0        0
D UNITED STATES NATL GAS FUND LP COMMON     912318110        5        500 SH  -    DEFINED 02                500         0        0
D UNITED STATES NATL GAS FUND LP COMMON     912318110     1773     196880 SH  -    DEFINED 05             196880         0        0
D UNITED STATES NATL GAS FUND LP COMMON     912318110     4757     528309 SH  -    DEFINED 08             528309         0        0
D UNITED STATES NATL GAS FUND LP COMMON     912318110       12       1300 SH  -    OTHER   10                  0         0     1300
D UNITED STATES NATL GAS FUND LP OPTION     912318904     5942     659900 SH  C    DEFINED 05             659900         0        0
D UNITED STATES NATL GAS FUND LP OPTION     912318953     1181     131100 SH  P    DEFINED 05             131100         0        0
D UNITED STATES OIL FUND LP      COMMON     91232N108       11        350 SH  -    OTHER   02                350         0        0
D UNITED STATES OIL FUND LP      COMMON     91232N108     8803     288730 SH  -    DEFINED 05             288730         0        0
D UNITED STATES OIL FUND LP      COMMON     91232N108    17052     559269 SH  -    DEFINED 08             559269         0        0
D UNITED STATES OIL FUND LP      COMMON     91232N108       40       1300 SH  -    OTHER   10                  0         0     1300
D UNITED STATES OIL FUND LP      OPTION     91232N900    35079    1150500 SH  C    DEFINED 05            1150500         0        0
D UNITED STATES OIL FUND LP      OPTION     91232N900   127720    4188900 SH  C    DEFINED 08            4188900         0        0
D UNITED STATES OIL FUND LP      OPTION     91232N959     1945      63800 SH  P    DEFINED 05              63800         0        0
D UNITED STATES OIL FUND LP      OPTION     91232N959    19819     650000 SH  P    DEFINED 08             650000         0        0
D U STORE IT TR                  COMMON     91274F104     3333     390700 SH  -    DEFINED 04             390700         0        0
D UNITED STATES STL CORP NEW     BOND       912909AE8        2       2000 PRN -    DEFINED 02                  0         0        0
D UNITED STATES STL CORP NEW     BOND       912909AE8     2085    2000000 PRN -    DEFINED 08                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 816
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNITED STATES STL CORP NEW     BOND       912909AE8     8198    7864000 PRN -    DEFINED 09                  0         0        0
D UNITED STATES STL CORP NEW     BOND       912909AE8     1709    1639000 PRN -    DEFINED 09                  0         0        0
D UNITED STATES STL CORP NEW     COMMON     912909108      451      20481 SH  -    DEFINED 02               1750         0    18731
D UNITED STATES STL CORP NEW     COMMON     912909108       39       1755 SH  -    DEFINED 02                568      1187        0
D UNITED STATES STL CORP NEW     COMMON     912909108       38       1745 SH  -    DEFINED 02               1659         0       86
D UNITED STATES STL CORP NEW     COMMON     912909108     2721     123638 SH  -    OTHER   02               8830    100883    13925
D UNITED STATES STL CORP NEW     COMMON     912909108     1032      46906 SH  -    OTHER   02                844      5190    40872
D UNITED STATES STL CORP NEW     COMMON     912909108      564      25635 SH  -    DEFINED 04              21512         0     4123
D UNITED STATES STL CORP NEW     COMMON     912909108      511      23202 SH  -    DEFINED 04              23202         0        0
D UNITED STATES STL CORP NEW     COMMON     912909108        0          2 SH  -    OTHER   04                  0         2        0
D UNITED STATES STL CORP NEW     COMMON     912909108      436      19792 SH  -    DEFINED 05              19792         0        0
D UNITED STATES STL CORP NEW     COMMON     912909108       44       2019 SH  -    DEFINED 06               2019         0        0
D UNITED STATES STL CORP NEW     COMMON     912909108    14070     639247 SH  -    DEFINED 08             639247         0        0
D UNITED STATES STL CORP NEW     COMMON     912909108     7313     332270 SH  -    DEFINED 09             332270         0        0
D UNITED STATES STL CORP NEW     COMMON     912909108      854      38786 SH  -    OTHER   09                  0     38786        0
D UNITED STATES STL CORP NEW     COMMON     912909108      716      32535 SH  -    OTHER   10                  0         0    32535
D UTD STATIONERS INC             COMMON     913004107     3319     121933 SH  -    DEFINED 04             111033         0    10900
D UTD STATIONERS INC             COMMON     913004107     2253      82778 SH  -    DEFINED 04              82778         0        0
D UTD STATIONERS INC             COMMON     913004107      564      20733 SH  -    DEFINED 05              20733         0        0
D UTD STATIONERS INC             COMMON     913004107       33       1197 SH  -    DEFINED 08               1197         0        0
D UTD TECHNOLOGIES               COMMON     913017109    50441     716904 SH  -    DEFINED 02             605986      2815   108103
D UTD TECHNOLOGIES               COMMON     913017109    20201     287115 SH  -    DEFINED 02             283653       175     3287
D UTD TECHNOLOGIES               COMMON     913017109     3460      49179 SH  -    DEFINED 02              49179         0        0
D UTD TECHNOLOGIES               COMMON     913017109     2321      32994 SH  -    DEFINED 02              16748         0    16246
D UTD TECHNOLOGIES               COMMON     913017109    36285     515701 SH  -    OTHER   02             293456    128973    93207
D UTD TECHNOLOGIES               COMMON     913017109    11804     167759 SH  -    OTHER   02             118352     13141    36266

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 817
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UTD TECHNOLOGIES               COMMON     913017109      772      10971 SH  -    OTHER   02                  0     10971        0
D UTD TECHNOLOGIES               COMMON     913017109      303       4303 SH  -    OTHER   02                  0      4303        0
D UTD TECHNOLOGIES               COMMON     913017109     1612      22912 SH  -    OTHER   02                  0     22912        0
D UTD TECHNOLOGIES               COMMON     913017109       48        676 SH  -    OTHER   02                  0       676        0
D UTD TECHNOLOGIES               COMMON     913017109   736738   10470979 SH  -    DEFINED 04            8451422         0  2019557
D UTD TECHNOLOGIES               COMMON     913017109    22538     320324 SH  -    DEFINED 04             320324         0        0
D UTD TECHNOLOGIES               COMMON     913017109    65148     925929 SH  -    DEFINED 04             925929         0        0
D UTD TECHNOLOGIES               COMMON     913017109      133       1885 SH  -    DEFINED 04               1885         0        0
D UTD TECHNOLOGIES               COMMON     913017109     7482     106342 SH  -    DEFINED 04             106342         0        0
D UTD TECHNOLOGIES               COMMON     913017109    47943     681401 SH  -    DEFINED 04             660728         0    20673
D UTD TECHNOLOGIES               COMMON     913017109      550       7817 SH  -    DEFINED 04                  0         0     7817
D UTD TECHNOLOGIES               COMMON     913017109       14        194 SH  -    OTHER   04                  0       194        0
D UTD TECHNOLOGIES               COMMON     913017109    29961     425829 SH  -    OTHER   04                  0    425829        0
D UTD TECHNOLOGIES               COMMON     913017109    30504     433546 SH  -    DEFINED 05             433546         0        0
D UTD TECHNOLOGIES               COMMON     913017109    83216    1182724 SH  -    DEFINED 09            1141574     10410    30740
D UTD TECHNOLOGIES               COMMON     913017109      823      11690 SH  -    DEFINED 09              11690         0        0
D UTD TECHNOLOGIES               COMMON     913017109     9906     140795 SH  -    DEFINED 09             140795         0        0
D UTD TECHNOLOGIES               COMMON     913017109     2381      33835 SH  -    DEFINED 09              33835         0        0
D UTD TECHNOLOGIES               COMMON     913017109    14622     207815 SH  -    OTHER   09                  0    207815        0
D UTD TECHNOLOGIES               COMMON     913017109    13388     190276 SH  -    DEFINED 01             185797      2232     2247
D UTD TECHNOLOGIES               COMMON     913017109     1920      27289 SH  -    OTHER   01              18909      3833     4547
D UTD TECHNOLOGIES               COMMON     913017109     1917      27247 SH  -    OTHER   10                  0         0    27247
D UTD TECHNOLOGIES               OPTION     913017901    20834     296100 SH  C    DEFINED 05             296100         0        0
D UTD TECHNOLOGIES               OPTION     913017901     5910      84000 SH  C    DEFINED 08              84000         0        0
D UTD TECHNOLOGIES               OPTION     913017950     6593      93700 SH  P    DEFINED 05              93700         0        0
D UTD TECHNOLOGIES               OPTION     913017950      387       5500 SH  P    DEFINED 08               5500         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 818
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNITED THERAPEUTICS CORP DEL   BOND       91307CAD4     1983    1923000 PRN -    DEFINED 05                  0         0        0
D UNITED THERAPEUTICS CORP DEL   COMMON     91307C102        2         62 SH  -    DEFINED 02                  0        62        0
D UNITED THERAPEUTICS CORP DEL   COMMON     91307C102      148       3956 SH  -    OTHER   02                  0      3956        0
D UNITED THERAPEUTICS CORP DEL   COMMON     91307C102        5        132 SH  -    OTHER   02                  0         0      132
D UNITED THERAPEUTICS CORP DEL   COMMON     91307C102     1518      40483 SH  -    DEFINED 04              40483         0        0
D UNITED THERAPEUTICS CORP DEL   COMMON     91307C102     2721      72589 SH  -    DEFINED 04              72589         0        0
D UNITED THERAPEUTICS CORP DEL   COMMON     91307C102      630      16815 SH  -    DEFINED 05              16815         0        0
D UNITED THERAPEUTICS CORP DEL   COMMON     91307C102    21200     565494 SH  -    DEFINED 08             565494         0        0
D UNITED THERAPEUTICS CORP DEL   COMMON     91307C102        5        123 SH  -    OTHER   10                  0         0      123
D UNITEDHEALTH GROUP INC         COMMON     91324P102    19617     425343 SH  -    DEFINED 02             376505      1601    47237
D UNITEDHEALTH GROUP INC         COMMON     91324P102     6152     133388 SH  -    DEFINED 02             127167       133     6088
D UNITEDHEALTH GROUP INC         COMMON     91324P102     7726     167527 SH  -    DEFINED 02             167527         0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102     1604      34779 SH  -    DEFINED 02              18537         0    16242
D UNITEDHEALTH GROUP INC         COMMON     91324P102     7196     156027 SH  -    OTHER   02              71831     74240     9919
D UNITEDHEALTH GROUP INC         COMMON     91324P102      648      14053 SH  -    OTHER   02              10820       663     2570
D UNITEDHEALTH GROUP INC         COMMON     91324P102      502      10895 SH  -    OTHER   02                  0     10895        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102      195       4224 SH  -    OTHER   02                  0      4224        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102     1150      24926 SH  -    OTHER   02                  0     24926        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102       48       1037 SH  -    OTHER   02                  0      1037        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102   527176   11430529 SH  -    DEFINED 04            8942997         0  2487532
D UNITEDHEALTH GROUP INC         COMMON     91324P102    22982     498303 SH  -    DEFINED 04             498303         0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102    46582    1010026 SH  -    DEFINED 04            1010026         0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102      418       9064 SH  -    DEFINED 04               9064         0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102     8154     176793 SH  -    DEFINED 04             176793         0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102    37453     812071 SH  -    DEFINED 04             779749         0    32322
D UNITEDHEALTH GROUP INC         COMMON     91324P102      348       7549 SH  -    DEFINED 04                  0         0     7549

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 819
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNITEDHEALTH GROUP INC         COMMON     91324P102    17225     373484 SH  -    OTHER   04                  0    373484        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102    44131     956877 SH  -    DEFINED 05             956877         0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102      206       4474 SH  -    DEFINED 06               4474         0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102    91993    1994654 SH  -    DEFINED 09            1935577     17018    18205
D UNITEDHEALTH GROUP INC         COMMON     91324P102     1690      36653 SH  -    DEFINED 09              36653         0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102     9678     209854 SH  -    DEFINED 09             209854         0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102     6316     136954 SH  -    DEFINED 09              53706         0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102     2963      64241 SH  -    OTHER   09                  0     64241        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102      981      21272 SH  -    DEFINED 01              18207      1590     1475
D UNITEDHEALTH GROUP INC         COMMON     91324P102      403       8728 SH  -    OTHER   01               3109      3023     2596
D UNITEDHEALTH GROUP INC         COMMON     91324P102      899      19487 SH  -    OTHER   10                  0         0    19487
D UNITEDHEALTH GROUP INC         OPTION     91324P904     1582      34300 SH  C    DEFINED 05              34300         0        0
D UNITEDHEALTH GROUP INC         OPTION     91324P904     1107      24000 SH  C    DEFINED 08              24000         0        0
D UNITEDHEALTH GROUP INC         OPTION     91324P953     4718     102300 SH  P    DEFINED 05             102300         0        0
D UNIVERSAL AMERN CORP NEW       COMMON     91338E101        3        277 SH  -    OTHER   02                  0       277        0
D UNIVERSAL AMERN CORP NEW       COMMON     91338E101       62       6200 SH  -    DEFINED 04               6200         0        0
D UNIVERSAL AMERN CORP NEW       COMMON     91338E101      831      82600 SH  -    DEFINED 04              82600         0        0
D UNIVERSAL AMERN CORP NEW       COMMON     91338E101        5        515 SH  -    DEFINED 05                515         0        0
D UNIVERSAL AMERN CORP NEW       COMMON     91338E101       82       8167 SH  -    DEFINED 08               8167         0        0
D UNIVERSAL CORP VA              COMMON     913456109       50       1400 SH  -    OTHER   02               1000         0      400
D UNIVERSAL CORP VA              COMMON     913456109     4614     128670 SH  -    DEFINED 04             117470         0    11200
D UNIVERSAL CORP VA              COMMON     913456109      181       5043 SH  -    DEFINED 04               5043         0        0
D UNIVERSAL CORP VA              COMMON     913456109      283       7885 SH  -    DEFINED 05               7885         0        0
D UNIVERSAL CORP VA              COMMON     913456109      227       6335 SH  -    DEFINED 08               6335         0        0
D UNIVERSAL DISPLAY              COMMON     91347P105        0          6 SH  -    OTHER   02                  0         6        0
D UNIVERSAL DISPLAY              COMMON     91347P105     1874      39097 SH  -    DEFINED 04              39097         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 820
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNIVERSAL DISPLAY              COMMON     91347P105       30        617 SH  -    DEFINED 05                617         0        0
D UNIVERSAL DISPLAY              COMMON     91347P105       73       1526 SH  -    DEFINED 08               1526         0        0
D UNIVERSAL DISPLAY              COMMON     91347P105       41        862 SH  -    OTHER   10                  0         0      862
D UNIVERSAL ELECTRON             COMMON     913483103        3        180 SH  -    OTHER   02                  0       180        0
D UNIVERSAL ELECTRON             COMMON     913483103      161       9817 SH  -    DEFINED 04               9817         0        0
D UNIVERSAL ELECTRON             COMMON     913483103      115       7028 SH  -    DEFINED 05               7028         0        0
D UNIVERSAL FST PRODS INC        COMMON     913543104        0         11 SH  -    OTHER   02                  0        11        0
D UNIVERSAL FST PRODS INC        COMMON     913543104      337      14030 SH  -    DEFINED 04              14030         0        0
D UNIVERSAL FST PRODS INC        COMMON     913543104      219       9086 SH  -    DEFINED 05               9086         0        0
D UNIVERSAL HEALTH RLTY INCM TR  COMMON     91359E105      302       8998 SH  -    DEFINED 04               8998         0        0
D UNIVERSAL HEALTH RLTY INCM TR  COMMON     91359E105      199       5927 SH  -    DEFINED 05               5927         0        0
D UNIVERSAL HEALTH RLTY INCM TR  COMMON     91359E105        1         33 SH  -    DEFINED 06                 33         0        0
D UNIVERSAL HEALTH RLTY INCM TR  COMMON     91359E105       71       2100 SH  -    OTHER   10                  0         0     2100
D UNIVERSAL HLTH SVCS INC        COMMON     913903100       19        557 SH  -    OTHER   02                  0       557        0
D UNIVERSAL HLTH SVCS INC        COMMON     913903100      245       7200 SH  -    DEFINED 04               7200         0        0
D UNIVERSAL HLTH SVCS INC        COMMON     913903100     1123      33030 SH  -    DEFINED 04              33030         0        0
D UNIVERSAL HLTH SVCS INC        COMMON     913903100       69       2018 SH  -    DEFINED 05               2018         0        0
D UNIVERSAL HLTH SVCS INC        COMMON     913903100        1         15 SH  -    OTHER   10                  0         0       15
D UNIVERSAL TECHNICAL INST INC   COMMON     913915104       89       6542 SH  -    OTHER   02                  0      2262     4280
D UNIVERSAL TECHNICAL INST INC   COMMON     913915104      196      14412 SH  -    DEFINED 04              14412         0        0
D UNIVERSAL TECHNICAL INST INC   COMMON     913915104      136       9992 SH  -    DEFINED 05               9992         0        0
D UNUM GROUP                     COMMON     91529Y106       68       3231 SH  -    DEFINED 02               1631         0     1600
D UNUM GROUP                     COMMON     91529Y106        3        122 SH  -    DEFINED 02                122         0        0
D UNUM GROUP                     COMMON     91529Y106       78       3742 SH  -    DEFINED 02               3497         0      245
D UNUM GROUP                     COMMON     91529Y106      252      12014 SH  -    OTHER   02                  0     12014        0
D UNUM GROUP                     COMMON     91529Y106       34       1628 SH  -    OTHER   02                796       104      728

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 821
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D UNUM GROUP                     COMMON     91529Y106     4724     225401 SH  -    DEFINED 04             216713         0     8688
D UNUM GROUP                     COMMON     91529Y106     3567     170185 SH  -    DEFINED 04             170185         0        0
D UNUM GROUP                     COMMON     91529Y106     1909      91070 SH  -    DEFINED 05              91070         0        0
D UNUM GROUP                     COMMON     91529Y106       13        626 SH  -    DEFINED 06                626         0        0
D UNUM GROUP                     COMMON     91529Y106     1448      69086 SH  -    DEFINED 08              69086         0        0
D UNUM GROUP                     COMMON     91529Y106      956      45620 SH  -    OTHER   09                  0     45620        0
D UNUM GROUP                     COMMON     91529Y106        7        324 SH  -    OTHER   01                  0       324        0
D UNUM GROUP                     COMMON     91529Y106        4        190 SH  -    OTHER   10                  0         0      190
D URBAN OUTFITTERS INC           COMMON     917047102      160       7182 SH  -    DEFINED 02               7107         0       75
D URBAN OUTFITTERS INC           COMMON     917047102        8        368 SH  -    DEFINED 02                368         0        0
D URBAN OUTFITTERS INC           COMMON     917047102       31       1393 SH  -    DEFINED 02               1366         0       27
D URBAN OUTFITTERS INC           COMMON     917047102      707      31680 SH  -    OTHER   02                930     29850      900
D URBAN OUTFITTERS INC           COMMON     917047102       41       1820 SH  -    OTHER   02                120         0     1700
D URBAN OUTFITTERS INC           COMMON     917047102      471      21098 SH  -    DEFINED 04              17705         0     3393
D URBAN OUTFITTERS INC           COMMON     917047102      461      20651 SH  -    DEFINED 04              20651         0        0
D URBAN OUTFITTERS INC           COMMON     917047102     1524      68290 SH  -    DEFINED 05              68290         0        0
D URBAN OUTFITTERS INC           COMMON     917047102       31       1375 SH  -    OTHER   01                  0      1375        0
D URBAN OUTFITTERS INC           OPTION     917047904        2        100 SH  C    DEFINED 05                100         0        0
D URSTADT BIDDLE PPTYS INS       COMMON     917286205      254      15878 SH  -    DEFINED 04              15878         0        0
D URSTADT BIDDLE PPTYS INS       COMMON     917286205      171      10732 SH  -    DEFINED 05              10732         0        0
D VCA ANTECH INC                 COMMON     918194101     1026      64234 SH  -    OTHER   02                  0        34    64200
D VCA ANTECH INC                 COMMON     918194101       62       3900 SH  -    OTHER   02                  0         0     3900
D VCA ANTECH INC                 COMMON     918194101    24448    1529937 SH  -    DEFINED 04            1421640         0   108297
D VCA ANTECH INC                 COMMON     918194101       20       1241 SH  -    DEFINED 05               1241         0        0
D VCA ANTECH INC                 COMMON     918194101        1         50 SH  -    OTHER   10                  0         0       50
D VF CORP                        COMMON     918204108     1851      15235 SH  -    DEFINED 02              10880       300     4055

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 822
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VF CORP                        COMMON     918204108     1937      15942 SH  -    DEFINED 02              15341         0      601
D VF CORP                        COMMON     918204108     5604      46117 SH  -    DEFINED 02              46117         0        0
D VF CORP                        COMMON     918204108      453       3726 SH  -    DEFINED 02               1754         0     1972
D VF CORP                        COMMON     918204108     1978      16274 SH  -    OTHER   02               4780     10628      866
D VF CORP                        COMMON     918204108      451       3712 SH  -    OTHER   02               2631        58     1023
D VF CORP                        COMMON     918204108   145744    1199342 SH  -    DEFINED 04             899045         0   300297
D VF CORP                        COMMON     918204108     8418      69271 SH  -    DEFINED 04              69271         0        0
D VF CORP                        COMMON     918204108    14048     115603 SH  -    DEFINED 04             115603         0        0
D VF CORP                        COMMON     918204108      218       1794 SH  -    DEFINED 04               1794         0        0
D VF CORP                        COMMON     918204108     4851      39918 SH  -    DEFINED 04              39918         0        0
D VF CORP                        COMMON     918204108    26164     215309 SH  -    DEFINED 04             202474         0    12835
D VF CORP                        COMMON     918204108       94        770 SH  -    DEFINED 04                  0         0      770
D VF CORP                        COMMON     918204108        8         65 SH  -    OTHER   04                  0        65        0
D VF CORP                        COMMON     918204108      464       3816 SH  -    OTHER   04                  0      3816        0
D VF CORP                        COMMON     918204108     1549      12745 SH  -    DEFINED 05              12745         0        0
D VF CORP                        COMMON     918204108      221       1821 SH  -    DEFINED 08               1821         0        0
D VF CORP                        COMMON     918204108    86134     708804 SH  -    DEFINED 09             677084      7860    17808
D VF CORP                        COMMON     918204108     1582      13021 SH  -    DEFINED 09              13021         0        0
D VF CORP                        COMMON     918204108     9104      74919 SH  -    DEFINED 09              74919         0        0
D VF CORP                        COMMON     918204108     4855      39952 SH  -    DEFINED 09              14760         0        0
D VF CORP                        COMMON     918204108     2622      21575 SH  -    OTHER   09                  0     21575        0
D VF CORP                        COMMON     918204108      310       2550 SH  -    DEFINED 01               2525         0       25
D VF CORP                        COMMON     918204108       24        196 SH  -    OTHER   01                  0       131       65
D VF CORP                        COMMON     918204108     1734      14269 SH  -    OTHER   10                  0         0    14269
D VSE CORP                       COMMON     918284100        1         37 SH  -    OTHER   02                  0        37        0
D VSE CORP                       COMMON     918284100     1084      41900 SH  -    DEFINED 04              41900         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 823
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VSE CORP                       COMMON     918284100        2         64 SH  -    DEFINED 05                 64         0        0
D VSE CORP                       COMMON     918284100        6        238 SH  -    DEFINED 08                238         0        0
D VAALCO ENERGY INC              COMMON     91851C201       77      15896 SH  -    OTHER   02                  0       139    15757
D VAALCO ENERGY INC              COMMON     91851C201      265      54584 SH  -    OTHER   02                  0      9222    45362
D VAALCO ENERGY INC              COMMON     91851C201     1972     405725 SH  -    DEFINED 04             355625         0    50100
D VAALCO ENERGY INC              COMMON     91851C201      988     203300 SH  -    DEFINED 04             203300         0        0
D VAALCO ENERGY INC              COMMON     91851C201       10       1961 SH  -    DEFINED 05               1961         0        0
D VAALCO ENERGY INC              COMMON     91851C201      145      29801 SH  -    DEFINED 08              29801         0        0
D VAIL RESORTS INC               COMMON     91879Q109      417      11025 SH  -    DEFINED 02              11025         0        0
D VAIL RESORTS INC               COMMON     91879Q109     1009      26713 SH  -    OTHER   02                610     26103        0
D VAIL RESORTS INC               COMMON     91879Q109        7        193 SH  -    OTHER   02                  0         3      190
D VAIL RESORTS INC               COMMON     91879Q109     9155     242267 SH  -    DEFINED 04             178097         0    64170
D VAIL RESORTS INC               COMMON     91879Q109     5340     141302 SH  -    DEFINED 04             141302         0        0
D VAIL RESORTS INC               COMMON     91879Q109     1360      36000 SH  -    DEFINED 04              36000         0        0
D VAIL RESORTS INC               COMMON     91879Q109       21        545 SH  -    DEFINED 05                545         0        0
D VAIL RESORTS INC               COMMON     91879Q109       81       2146 SH  -    DEFINED 08               2146         0        0
D VAIL RESORTS INC               COMMON     91879Q109      147       3900 SH  -    OTHER   01                  0      3900        0
D VALASSIS COMMUNICA             COMMON     918866104        1         65 SH  -    OTHER   02                  0        65        0
D VALASSIS COMMUNICA             COMMON     918866104       82       4380 SH  -    OTHER   02                  0      2010     2370
D VALASSIS COMMUNICA             COMMON     918866104      482      25696 SH  -    DEFINED 04              25696         0        0
D VALASSIS COMMUNICA             COMMON     918866104       14        743 SH  -    DEFINED 05                743         0        0
D VALASSIS COMMUNICA             COMMON     918866104      114       6079 SH  -    DEFINED 08               6079         0        0
D VALEANT PHARMACEUTICALS INTL I COMMON     91911K102      199       5350 SH  -    DEFINED 02               5350         0        0
D VALEANT PHARMACEUTICALS INTL I COMMON     91911K102    28379     764510 SH  -    OTHER   02              38359    538789   187362
D VALEANT PHARMACEUTICALS INTL I COMMON     91911K102      656      17662 SH  -    OTHER   02                  0         0    17662
D VALEANT PHARMACEUTICALS INTL I COMMON     91911K102    70763    1906334 SH  -    DEFINED 04            1034250         0   872084

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 824
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VALEANT PHARMACEUTICALS INTL I COMMON     91911K102    24637     663700 SH  -    DEFINED 04             663700         0        0
D VALEANT PHARMACEUTICALS INTL I COMMON     91911K102      134       3601 SH  -    OTHER   04                  0      3601        0
D VALEANT PHARMACEUTICALS INTL I COMMON     91911K102      901      24260 SH  -    DEFINED 05              24260         0        0
D VALEANT PHARMACEUTICALS INTL I COMMON     91911K102      290       7822 SH  -    DEFINED 06               7822         0        0
D VALEANT PHARMACEUTICALS INTL I COMMON     91911K102     1598      43058 SH  -    DEFINED 09              43058         0        0
D VALEANT PHARMACEUTICALS INTL I COMMON     91911K102       12        310 SH  -    OTHER   10                  0         0      310
D VALE S A                       ADR        91912E105       65       2846 SH  -    DEFINED 02               2846         0        0
D VALE S A                       ADR        91912E105       11        470 SH  -    DEFINED 02                470         0        0
D VALE S A                       ADR        91912E105     2137      93743 SH  -    OTHER   02              24500     19850    49393
D VALE S A                       ADR        91912E105     1241      54450 SH  -    OTHER   02                280       280    53890
D VALE S A                       ADR        91912E105     1309      57433 SH  -    DEFINED 04                  0         0    57433
D VALE S A                       ADR        91912E105    11576     507698 SH  -    DEFINED 04             507698         0        0
D VALE S A                       ADR        91912E105     4954     217299 SH  -    DEFINED 05             217299         0        0
D VALE S A                       ADR        91912E105      376      16474 SH  -    DEFINED 06              16474         0        0
D VALE S A                       ADR        91912E105      621      27217 SH  -    DEFINED 08              27217         0        0
D VALE S A                       ADR        91912E105    82610    3623246 SH  -    DEFINED 08            3623246         0        0
D VALE S A                       ADR        91912E105    17052     747878 SH  -    DEFINED 09             718663     29215        0
D VALE S A                       ADR        91912E105      120       5246 SH  -    DEFINED 09                  0         0     5246
D VALE S A                       ADR        91912E105     8451     370660 SH  -    DEFINED 09             370660         0        0
D VALE S A                       ADR        91912E105    12046     528348 SH  -    OTHER   09                  0    528348        0
D VALE S A                       ADR        91912E105      912      40000 SH  -    OTHER   01              40000         0        0
D VALE S A                       ADR        91912E105     2096      91912 SH  -    OTHER   10                  0         0    91912
D VALE S A                       PREF ADR   91912E204        4        175 SH  -    DEFINED 02                175         0        0
D VALE S A                       PREF ADR   91912E204   112467    5355595 SH  -    DEFINED 02            5355595         0        0
D VALE S A                       PREF ADR   91912E204       93       4445 SH  -    OTHER   02                  0      3320     1125
D VALE S A                       PREF ADR   91912E204       14        675 SH  -    OTHER   02                  0         0      675

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 825
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VALE S A                       PREF ADR   91912E204    18549     883309 SH  -    DEFINED 04             883309         0        0
D VALE S A                       PREF ADR   91912E204     2944     140200 SH  -    DEFINED 04             140200         0        0
D VALE S A                       PREF ADR   91912E204   172408    8209886 SH  -    DEFINED 04            6548205         0  1661681
D VALE S A                       PREF ADR   91912E204      610      29028 SH  -    DEFINED 05              29028         0        0
D VALE S A                       PREF ADR   91912E204    56798    2704673 SH  -    DEFINED 08            2704673         0        0
D VALE S A                       PREF ADR   91912E204   374843   17849646 SH  -    DEFINED 09           17716007         0   133639
D VALE S A                       PREF ADR   91912E204    15811     752896 SH  -    DEFINED 09             752896         0        0
D VALE S A                       PREF ADR   91912E204    36832    1753920 SH  -    DEFINED 09            1753920         0        0
D VALE S A                       PREF ADR   91912E204    10137     482700 SH  -    DEFINED 09                  0         0        0
D VALE S A                       PREF ADR   91912E204     1147      54623 SH  -    OTHER   09                  0     54623        0
D VALE S A                       PREF ADR   91912E204      101       4825 SH  -    OTHER   01                  0      4825        0
D VALE S A                       OPTION     91912E907     5568     244200 SH  C    DEFINED 05             244200         0        0
D VALE S A                       OPTION     91912E907     2280     100000 SH  C    DEFINED 08             100000         0        0
D VALE S A                       OPTION     91912E956     5258     230600 SH  P    DEFINED 05             230600         0        0
D VALE S A                       OPTION     91912E956     2417     106000 SH  P    DEFINED 08             106000         0        0
D VALERO ENERGY(NEW)             COMMON     91913Y100      165       9257 SH  -    DEFINED 02               1257         0     8000
D VALERO ENERGY(NEW)             COMMON     91913Y100       11        645 SH  -    DEFINED 02                645         0        0
D VALERO ENERGY(NEW)             COMMON     91913Y100      126       7114 SH  -    DEFINED 02               6594         0      520
D VALERO ENERGY(NEW)             COMMON     91913Y100      461      25951 SH  -    OTHER   02                  0     24116     1835
D VALERO ENERGY(NEW)             COMMON     91913Y100        6        352 SH  -    OTHER   02                  0        45      307
D VALERO ENERGY(NEW)             COMMON     91913Y100    21302    1198077 SH  -    DEFINED 04             433097         0   764980
D VALERO ENERGY(NEW)             COMMON     91913Y100     4547     255709 SH  -    DEFINED 04             255709         0        0
D VALERO ENERGY(NEW)             COMMON     91913Y100     2509     141111 SH  -    DEFINED 04              83621         0    57490
D VALERO ENERGY(NEW)             COMMON     91913Y100        3        178 SH  -    OTHER   04                  0       178        0
D VALERO ENERGY(NEW)             COMMON     91913Y100     4372     245917 SH  -    DEFINED 05             245917         0        0
D VALERO ENERGY(NEW)             COMMON     91913Y100      120       6748 SH  -    DEFINED 06               6748         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 826
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VALERO ENERGY(NEW)             COMMON     91913Y100     4421     248654 SH  -    DEFINED 08             248654         0        0
D VALERO ENERGY(NEW)             COMMON     91913Y100    10660     599542 SH  -    DEFINED 09             560462     39080        0
D VALERO ENERGY(NEW)             COMMON     91913Y100      603      33898 SH  -    DEFINED 09              33898         0        0
D VALERO ENERGY(NEW)             COMMON     91913Y100     4281     240784 SH  -    DEFINED 09             240784         0        0
D VALERO ENERGY(NEW)             COMMON     91913Y100      104       5845 SH  -    OTHER   09                  0      5845        0
D VALERO ENERGY(NEW)             COMMON     91913Y100       16        900 SH  -    OTHER   01                522       378        0
D VALERO ENERGY(NEW)             COMMON     91913Y100       11        643 SH  -    OTHER   10                  0         0      643
D VALERO ENERGY(NEW)             OPTION     91913Y902        4        200 SH  C    DEFINED 05                200         0        0
D VALLEY NATL BANCORP            COMMON     919794107      364      34415 SH  -    DEFINED 04              34415         0        0
D VALLEY NATL BANCORP            COMMON     919794107     1551     146498 SH  -    DEFINED 04             146498         0        0
D VALLEY NATL BANCORP            COMMON     919794107      138      12987 SH  -    DEFINED 05              12987         0        0
D VALLEY NATL BANCORP            COMMON     919794107      272      25673 SH  -    DEFINED 08              25673         0        0
D VALMONT INDUSTRIES, INC.       COMMON     920253101      128       1638 SH  -    OTHER   02                744       161      724
D VALMONT INDUSTRIES, INC.       COMMON     920253101      928      11912 SH  -    DEFINED 04              11912         0        0
D VALMONT INDUSTRIES, INC.       COMMON     920253101      658       8442 SH  -    DEFINED 04               8442         0        0
D VALMONT INDUSTRIES, INC.       COMMON     920253101       50        639 SH  -    DEFINED 05                639         0        0
D VALMONT INDUSTRIES, INC.       COMMON     920253101        0          5 SH  -    OTHER   10                  0         0        5
D VALSPAR CORP                   COMMON     920355104        8        265 SH  -    DEFINED 02                265         0        0
D VALSPAR CORP                   COMMON     920355104      217       6963 SH  -    OTHER   02               1500      1763     3700
D VALSPAR CORP                   COMMON     920355104       57       1826 SH  -    OTHER   02                  5        15     1806
D VALSPAR CORP                   COMMON     920355104     2636      84475 SH  -    DEFINED 04              84475         0        0
D VALSPAR CORP                   COMMON     920355104     1627      52136 SH  -    DEFINED 04              52136         0        0
D VALSPAR CORP                   COMMON     920355104      877      28101 SH  -    DEFINED 05              28101         0        0
D VALSPAR CORP                   COMMON     920355104      121       3874 SH  -    DEFINED 08               3874         0        0
D VALSPAR CORP                   COMMON     920355104        4        142 SH  -    OTHER   10                  0         0      142
D VALUECLICK INC                 COMMON     92046N102        4        259 SH  -    DEFINED 02                259         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 827
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VALUECLICK INC                 COMMON     92046N102        5        311 SH  -    OTHER   02                  0       311        0
D VALUECLICK INC                 COMMON     92046N102      641      41212 SH  -    DEFINED 04              41212         0        0
D VALUECLICK INC                 COMMON     92046N102     3672     235960 SH  -    DEFINED 04             235960         0        0
D VALUECLICK INC                 COMMON     92046N102      196      12569 SH  -    DEFINED 05              12569         0        0
D VALUECLICK INC                 COMMON     92046N102      108       6972 SH  -    DEFINED 08               6972         0        0
D VANCEINFO TECHNOLOGIES INC     ADR        921564100      548      81400 SH  -    DEFINED 09              81400         0        0
D VANDA PHARMACEUTICALS INC      COMMON     921659108      226      45626 SH  -    DEFINED 05              45626         0        0
D VANDA PHARMACEUTICALS INC      COMMON     921659108        8       1674 SH  -    DEFINED 08               1674         0        0
D VANGUARD SPECIALIZED PORTFOLIO COMMON     921908844    12629     259000 SH  -    DEFINED 02             259000         0        0
D VANGUARD SPECIALIZED PORTFOLIO COMMON     921908844      140       2878 SH  -    DEFINED 02               2878         0        0
D VANGUARD SPECIALIZED PORTFOLIO COMMON     921908844       24        500 SH  -    OTHER   02                500         0        0
D VANGUARD SPECIALIZED PORTFOLIO COMMON     921908844    12629     259000 SH  -    DEFINED 04             259000         0        0
D VANGUARD SPECIALIZED PORTFOLIO COMMON     921908844     1133      23231 SH  -    OTHER   10                  0         0    23231
D VANGUARD BD INDEX FD INC       COMMON     921937827      236       2900 SH  -    DEFINED 02               2900         0        0
D VANGUARD BD INDEX FD INC       COMMON     921937827       45        550 SH  -    OTHER   02                550         0        0
D VANGUARD BD INDEX FD INC       COMMON     921937827     2034      24984 SH  -    OTHER   10                  0         0    24984
D VANGUARD BD INDEX FD INC       COMMON     921937835      160       1916 SH  -    DEFINED 02               1916         0        0
D VANGUARD BD INDEX FD INC       COMMON     921937835     7077      84507 SH  -    OTHER   10                  0         0    84507
D VANGUARD TAX-MANAGED INTL FD   COMMON     921943858      175       5815 SH  -    DEFINED 02               5815         0        0
D VANGUARD TAX-MANAGED INTL FD   COMMON     921943858     5136     170457 SH  -    DEFINED 02             170457         0        0
D VANGUARD TAX-MANAGED INTL FD   COMMON     921943858     1689      56060 SH  -    OTHER   02              50195       640     5225
D VANGUARD TAX-MANAGED INTL FD   COMMON     921943858       47       1550 SH  -    DEFINED 01               1550         0        0
D VANGUARD TAX-MANAGED INTL FD   COMMON     921943858       44       1452 SH  -    OTHER   10                  0         0     1452
D VANGUARD WHITEHALL FDS INC     COMMON     921946406      101       2500 SH  -    OTHER   02                  0         0     2500
D VANGUARD WHITEHALL FDS INC     COMMON     921946406       28        688 SH  -    OTHER   02                688         0        0
D VANGUARD WHITEHALL FDS INC     COMMON     921946406      400       9888 SH  -    OTHER   10                  0         0     9888

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 828
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VANGUARD HEALTH SYS INC        COMMON     922036207     4928     485000 SH  -    DEFINED 04             432000         0    53000
D VANGUARD HEALTH SYS INC        COMMON     922036207     2703     266077 SH  -    DEFINED 05             266077         0        0
D VANGUARD WORLD FDS             COMMON     92204A884      203       3346 SH  -    OTHER   10                  0         0     3346
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042775       55       1423 SH  -    DEFINED 02               1423         0        0
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042775     1397      36080 SH  -    OTHER   02              36080         0        0
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042775     1270      32812 SH  -    OTHER   10                  0         0    32812
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858   802296   22391739 SH  -    DEFINED 02           19532012    107039  2750391
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858   376964   10520893 SH  -    DEFINED 02           10434822     13598    71284
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858    99058    2764662 SH  -    OTHER   02            1788746    609006   364889
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858    59820    1669542 SH  -    OTHER   02            1429459    100369   139714
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858    45528    1270666 SH  -    OTHER   02                  0         0  1270666
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858    57586    1607212 SH  -    DEFINED 04            1607212         0        0
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858     2623      73218 SH  -    OTHER   04                  0     73218        0
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858    92450    2580248 SH  -    DEFINED 05            2580248         0        0
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858    69709    1945536 SH  -    DEFINED 01            1764507     30190   148764
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858    11631     324613 SH  -    OTHER   01             210662     71968    40215
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042858     3639     101558 SH  -    OTHER   10                  0         0   101558
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042866       48       1000 SH  -    OTHER   02               1000         0        0
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042866      700      14440 SH  -    OTHER   10                  0         0    14440
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042874    43763    1076305 SH  -    DEFINED 02            1074027      2278        0
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042874     1100      27054 SH  -    DEFINED 02              25979       576      499
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042874     1339      32942 SH  -    OTHER   02              11706      1100    20136
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042874     2284      56174 SH  -    OTHER   02              52539      1497     2138
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042874    39038     960100 SH  -    DEFINED 04             960100         0        0
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042874      526      12940 SH  -    DEFINED 01              12651         0      289
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042874      200       4921 SH  -    OTHER   01               3699       185     1037

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 829
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VANGUARD INTL EQUITY INDEX FD  COMMON     922042874      552      13570 SH  -    OTHER   10                  0         0    13570
D VANGUARD NATURAL RESOURCES LLC COMMON     92205F106     2413      92500 SH  -    OTHER   02                  0     92500        0
D VANGUARD NATURAL RESOURCES LLC COMMON     92205F106        0          1 SH  -    DEFINED 05                  1         0        0
D VANGUARD NATURAL RESOURCES LLC COMMON     92205F106    11035     422962 SH  -    DEFINED 10             422962         0        0
D VARIAN MEDICAL SYS             COMMON     92220P105      165       3172 SH  -    DEFINED 02               2556       567       49
D VARIAN MEDICAL SYS             COMMON     92220P105       27        527 SH  -    DEFINED 02                253       274        0
D VARIAN MEDICAL SYS             COMMON     92220P105       74       1413 SH  -    DEFINED 02               1351         0       62
D VARIAN MEDICAL SYS             COMMON     92220P105     2959      56727 SH  -    OTHER   02                315     53359     3053
D VARIAN MEDICAL SYS             COMMON     92220P105      730      14004 SH  -    OTHER   02               2150      1222    10632
D VARIAN MEDICAL SYS             COMMON     92220P105     1951      37407 SH  -    DEFINED 04              34052         0     3355
D VARIAN MEDICAL SYS             COMMON     92220P105     1011      19376 SH  -    DEFINED 04              19376         0        0
D VARIAN MEDICAL SYS             COMMON     92220P105     2179      41772 SH  -    DEFINED 05              41772         0        0
D VARIAN MEDICAL SYS             COMMON     92220P105     2677      51318 SH  -    DEFINED 08              51318         0        0
D VARIAN MEDICAL SYS             COMMON     92220P105       19        372 SH  -    OTHER   01                372         0        0
D VARIAN MEDICAL SYS             COMMON     92220P105        3         62 SH  -    OTHER   10                  0         0       62
D VARIAN SEMICONDUCTOR EQUIPMNT  COMMON     922207105       47        761 SH  -    OTHER   02                 73       578       83
D VARIAN SEMICONDUCTOR EQUIPMNT  COMMON     922207105       76       1250 SH  -    DEFINED 04               1250         0        0
D VARIAN SEMICONDUCTOR EQUIPMNT  COMMON     922207105     1991      32558 SH  -    DEFINED 04              32558         0        0
D VARIAN SEMICONDUCTOR EQUIPMNT  COMMON     922207105      605       9900 SH  -    DEFINED 04               9900         0        0
D VARIAN SEMICONDUCTOR EQUIPMNT  COMMON     922207105     1972      32252 SH  -    DEFINED 05              32252         0        0
D VARIAN SEMICONDUCTOR EQUIPMNT  COMMON     922207105     2960      48403 SH  -    DEFINED 08              48403         0        0
D VARIAN SEMICONDUCTOR EQUIPMNT  COMMON     922207105    15199     248546 SH  -    DEFINED 09             148946         0        0
D VARIAN SEMICONDUCTOR EQUIPMNT  COMMON     922207105        2         25 SH  -    OTHER   01                  0        25        0
D VASCO DATA SECURIT             COMMON     92230Y104        3        542 SH  -    DEFINED 02                  0       542        0
D VASCO DATA SECURIT             COMMON     92230Y104      162      31661 SH  -    OTHER   02                  0     31661        0
D VASCO DATA SECURIT             COMMON     92230Y104        6       1154 SH  -    OTHER   02                  0         0     1154

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 830
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VASCO DATA SECURIT             COMMON     92230Y104      322      63100 SH  -    DEFINED 04              47900         0    15200
D VASCO DATA SECURIT             COMMON     92230Y104       57      11117 SH  -    DEFINED 05              11117         0        0
D VASCO DATA SECURIT             COMMON     92230Y104        8       1620 SH  -    DEFINED 08               1620         0        0
D VECTREN CORP                   COMMON     92240G101      296      10940 SH  -    DEFINED 02              10940         0        0
D VECTREN CORP                   COMMON     92240G101       37       1377 SH  -    OTHER   02                  0      1377        0
D VECTREN CORP                   COMMON     92240G101      292      10791 SH  -    OTHER   02               8003         0     2788
D VECTREN CORP                   COMMON     92240G101      241       8900 SH  -    DEFINED 04               8900         0        0
D VECTREN CORP                   COMMON     92240G101      457      16865 SH  -    DEFINED 04              16865         0        0
D VECTREN CORP                   COMMON     92240G101       33       1236 SH  -    DEFINED 05               1236         0        0
D VECTREN CORP                   COMMON     92240G101      157       5813 SH  -    DEFINED 08               5813         0        0
D VECTREN CORP                   COMMON     92240G101       10        355 SH  -    OTHER   10                  0         0      355
D VECTOR GROUP LTD               COMMON     92240M108       39       2252 SH  -    OTHER   02                  0      2135        0
D VECTOR GROUP LTD               COMMON     92240M108       10        606 SH  -    OTHER   02                606         0        0
D VECTOR GROUP LTD               COMMON     92240M108       49       2873 SH  -    DEFINED 05               2873         0        0
D VECTOR GROUP LTD               COMMON     92240M108      153       8904 SH  -    DEFINED 08               8904         0        0
D VECTOR GROUP LTD               COMMON     92240M108        3        163 SH  -    OTHER   01                  0       163        0
D VEECO INSTRUMENTS              COMMON     922417100     1199      49137 SH  -    DEFINED 04              49137         0        0
D VEECO INSTRUMENTS              COMMON     922417100     3686     151051 SH  -    DEFINED 04             151051         0        0
D VEECO INSTRUMENTS              COMMON     922417100       29       1185 SH  -    DEFINED 04               1185         0        0
D VEECO INSTRUMENTS              COMMON     922417100    18055     739977 SH  -    DEFINED 04             728511         0    11466
D VEECO INSTRUMENTS              COMMON     922417100        3        130 SH  -    OTHER   04                  0       130        0
D VEECO INSTRUMENTS              COMMON     922417100        2         63 SH  -    OTHER   04                  0        63        0
D VEECO INSTRUMENTS              COMMON     922417100      527      21592 SH  -    DEFINED 05              21592         0        0
D VEECO INSTRUMENTS              COMMON     922417100      400      16402 SH  -    DEFINED 08              16402         0        0
D VEECO INSTRUMENTS              COMMON     922417100    27104    1110814 SH  -    DEFINED 09            1039415      7872    63527
D VEECO INSTRUMENTS              COMMON     922417100      167       6834 SH  -    DEFINED 09               6834         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 831
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VEECO INSTRUMENTS              COMMON     922417100     1206      49406 SH  -    DEFINED 09              49406         0        0
D VEECO INSTRUMENTS              COMMON     922417100     2077      85112 SH  -    OTHER   09                  0     85112        0
D VEECO INSTRUMENTS              COMMON     922417100      342      14002 SH  -    OTHER   10                  0         0    14002
D VENOCO INC                     COMMON     92275P307        1         62 SH  -    OTHER   02                  0         0        0
D VENOCO INC                     COMMON     92275P307        4        468 SH  -    DEFINED 05                468         0        0
D VENOCO INC                     COMMON     92275P307       13       1473 SH  -    DEFINED 08               1473         0        0
D VENOCO INC                     COMMON     92275P307      424      48145 SH  -    DEFINED 09              48145         0        0
D VENTAS INC                     COMMON     92276F100     1510      30557 SH  -    DEFINED 02              30557         0        0
D VENTAS INC                     COMMON     92276F100      173       3512 SH  -    DEFINED 02               3319         0      193
D VENTAS INC                     COMMON     92276F100    85074    1722138 SH  -    DEFINED 04            1297587         0   424551
D VENTAS INC                     COMMON     92276F100     1991      40296 SH  -    DEFINED 04              40296         0        0
D VENTAS INC                     COMMON     92276F100      127       2578 SH  -    DEFINED 04               2578         0        0
D VENTAS INC                     COMMON     92276F100      531      10743 SH  -    DEFINED 04              10743         0        0
D VENTAS INC                     COMMON     92276F100       74       1495 SH  -    DEFINED 04               1495         0        0
D VENTAS INC                     COMMON     92276F100     6602     133643 SH  -    DEFINED 04             117880         0        0
D VENTAS INC                     COMMON     92276F100       85       1714 SH  -    DEFINED 04                  0         0     1714
D VENTAS INC                     COMMON     92276F100        0          0 SH  -    OTHER   04                  0         0        0
D VENTAS INC                     COMMON     92276F100     7493     151677 SH  -    DEFINED 05             151677         0        0
D VENTAS INC                     COMMON     92276F100       77       1549 SH  -    DEFINED 06               1549         0        0
D VENTAS INC                     COMMON     92276F100      402       8143 SH  -    DEFINED 09               8143         0        0
D VENTAS INC                     COMMON     92276F100       63       1276 SH  -    OTHER   09                  0      1276        0
D VENTAS INC                     COMMON     92276F100       90       1814 SH  -    OTHER   10                  0         0     1814
D VANGUARD INDEX FDS             COMMON     922908512       22        475 SH  -    OTHER   02                475         0        0
D VANGUARD INDEX FDS             COMMON     922908512      194       4181 SH  -    OTHER   10                  0         0     4181
D VANGUARD INDEX FDS             COMMON     922908553        6        110 SH  -    DEFINED 02                110         0        0
D VANGUARD INDEX FDS             COMMON     922908553    34407     676363 SH  -    OTHER   02                  0         0   676363

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 832
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VANGUARD INDEX FDS             COMMON     922908553     1863      36614 SH  -    OTHER   10                  0         0    36614
D VANGUARD INDEX FDS             COMMON     922908595     2383      35640 SH  -    OTHER   10                  0         0    35640
D VANGUARD INDEX FDS             COMMON     922908611     1835      33010 SH  -    OTHER   10                  0         0    33010
D VANGUARD INDEX FDS             COMMON     922908629    63227     971222 SH  -    DEFINED 02             971222         0        0
D VANGUARD INDEX FDS             COMMON     922908629     2484      38160 SH  -    DEFINED 02              38160         0        0
D VANGUARD INDEX FDS             COMMON     922908629     1009      15500 SH  -    OTHER   02              15500         0        0
D VANGUARD INDEX FDS             COMMON     922908629     1481      22753 SH  -    OTHER   02               6633       350    15770
D VANGUARD INDEX FDS             COMMON     922908629    55869     858200 SH  -    DEFINED 04             858200         0        0
D VANGUARD INDEX FDS             COMMON     922908629        4         60 SH  -    DEFINED 05                 60         0        0
D VANGUARD INDEX FDS             COMMON     922908629       33        513 SH  -    DEFINED 01                  0         0      513
D VANGUARD INDEX FDS             COMMON     922908629     1517      23304 SH  -    OTHER   10                  0         0    23304
D VANGUARD INDEX FDS             COMMON     922908637      258       5000 SH  -    OTHER   02               5000         0        0
D VANGUARD INDEX FDS             COMMON     922908637        4         75 SH  -    DEFINED 05                 75         0        0
D VANGUARD INDEX FDS             COMMON     922908652      184       4000 SH  -    OTHER   02               4000         0        0
D VANGUARD INDEX FDS             COMMON     922908652      366       7932 SH  -    OTHER   10                  0         0     7932
D VANGUARD INDEX FDS             COMMON     922908736      675      12060 SH  -    DEFINED 02              12060         0        0
D VANGUARD INDEX FDS             COMMON     922908736      266       4750 SH  -    OTHER   02               4750         0        0
D VANGUARD INDEX FDS             COMMON     922908736       91       1635 SH  -    OTHER   10                  0         0     1635
D VANGUARD INDEX FDS             COMMON     922908744     9211     195770 SH  -    DEFINED 02                  0         0   195770
D VANGUARD INDEX FDS             COMMON     922908744      110       2345 SH  -    OTHER   02               2345         0        0
D VANGUARD INDEX FDS             COMMON     922908744     9211     195770 SH  -    DEFINED 04             195770         0        0
D VANGUARD INDEX FDS             COMMON     922908744       67       1430 SH  -    OTHER   10                  0         0     1430
D VANGUARD INDEX FDS             COMMON     922908751     1762      28707 SH  -    DEFINED 02              28707         0        0
D VANGUARD INDEX FDS             COMMON     922908751     1605      26160 SH  -    DEFINED 02              26160         0        0
D VANGUARD INDEX FDS             COMMON     922908751     1178      19191 SH  -    OTHER   02              19191         0        0
D VANGUARD INDEX FDS             COMMON     922908751      585       9540 SH  -    OTHER   02               3470       250     5820

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 833
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VANGUARD INDEX FDS             COMMON     922908751        2         35 SH  -    DEFINED 05                 35         0        0
D VANGUARD INDEX FDS             COMMON     922908751      367       5972 SH  -    OTHER   10                  0         0     5972
D VANGUARD INDEX FDS             COMMON     922908769       55        950 SH  -    DEFINED 02                950         0        0
D VANGUARD INDEX FDS             COMMON     922908769       92       1593 SH  -    DEFINED 02               1593         0        0
D VANGUARD INDEX FDS             COMMON     922908769      208       3600 SH  -    OTHER   02               3600         0        0
D VANGUARD INDEX FDS             COMMON     922908769     1126      19500 SH  -    DEFINED 08              19500         0        0
D VANGUARD INDEX FDS             COMMON     922908769      151       2619 SH  -    OTHER   10                  0         0     2619
D VEOLIA ENVIRONNEMENT           ADR        92334N103      231      15875 SH  -    OTHER   02              15017       858        0
D VEOLIA ENVIRONNEMENT           ADR        92334N103      379      26049 SH  -    DEFINED 05              26049         0        0
D VEOLIA ENVIRONNEMENT           ADR        92334N103        3        216 SH  -    OTHER   01                  0       119        0
D VERA BRADLEY INC               COMMON     92335C106       29        800 SH  -    OTHER   02                  0         0      800
D VERA BRADLEY INC               COMMON     92335C106    37276    1034010 SH  -    DEFINED 04             669090         0   364920
D VERA BRADLEY INC               COMMON     92335C106     6341     175900 SH  -    DEFINED 04             175900         0        0
D VERA BRADLEY INC               COMMON     92335C106     2031      56340 SH  -    DEFINED 04              56340         0        0
D VERA BRADLEY INC               COMMON     92335C106       74       2044 SH  -    OTHER   04                  0      2044        0
D VERA BRADLEY INC               COMMON     92335C106       79       2183 SH  -    DEFINED 05               2183         0        0
D VERA BRADLEY INC               COMMON     92335C106       42       1160 SH  -    DEFINED 08               1160         0        0
D VERIFONE SYS INC               BOND       92342YAB5     3197    3100000 PRN -    DEFINED 09                  0         0        0
D VERIFONE SYS INC               COMMON     92342Y109     8395     239713 SH  -    DEFINED 02             228492       840    10381
D VERIFONE SYS INC               COMMON     92342Y109     1614      46085 SH  -    DEFINED 02              44924        45     1116
D VERIFONE SYS INC               COMMON     92342Y109      103       2950 SH  -    DEFINED 02                745         0     2205
D VERIFONE SYS INC               COMMON     92342Y109     1434      40947 SH  -    OTHER   02              26946      6816     7185
D VERIFONE SYS INC               COMMON     92342Y109      234       6680 SH  -    OTHER   02               6415       215       50
D VERIFONE SYS INC               COMMON     92342Y109       33        930 SH  -    OTHER   02                  0       930        0
D VERIFONE SYS INC               COMMON     92342Y109       32        923 SH  -    OTHER   02                  0       923        0
D VERIFONE SYS INC               COMMON     92342Y109     2510      71679 SH  -    OTHER   02                  0     71679        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 834
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VERIFONE SYS INC               COMMON     92342Y109   108419    3095906 SH  -    DEFINED 04            2173404         0   922502
D VERIFONE SYS INC               COMMON     92342Y109    12310     351501 SH  -    DEFINED 04             351501         0        0
D VERIFONE SYS INC               COMMON     92342Y109     8372     239061 SH  -    DEFINED 04             239061         0        0
D VERIFONE SYS INC               COMMON     92342Y109       29        825 SH  -    DEFINED 04                825         0        0
D VERIFONE SYS INC               COMMON     92342Y109        7        205 SH  -    DEFINED 04                  0         0      205
D VERIFONE SYS INC               COMMON     92342Y109     4105     117229 SH  -    OTHER   04                  0    117229        0
D VERIFONE SYS INC               COMMON     92342Y109       84       2384 SH  -    DEFINED 05               2384         0        0
D VERIFONE SYS INC               COMMON     92342Y109    19129     546235 SH  -    DEFINED 08             546235         0        0
D VERIFONE SYS INC               COMMON     92342Y109      161       4605 SH  -    DEFINED 09               4605         0        0
D VERIFONE SYS INC               COMMON     92342Y109       71       2016 SH  -    OTHER   09                  0      2016        0
D VERIFONE SYS INC               COMMON     92342Y109      276       7890 SH  -    DEFINED 01               6660       625      605
D VERIFONE SYS INC               COMMON     92342Y109       94       2693 SH  -    OTHER   01               1134       594      965
D VERIFONE SYS INC               COMMON     92342Y109       35       1000 SH  -    OTHER   10                  0         0     1000
D VERISIGN INC                   BOND       92343EAD4        9       9000 PRN -    DEFINED 05                  0         0        0
D VERISIGN INC                   BOND       92343EAD4    18896   18503000 PRN -    DEFINED 09                  0         0        0
D VERISIGN INC                   BOND       92343EAD4      599     587000 PRN -    DEFINED 09                  0         0        0
D VERISIGN INC                   BOND       92343EAD4     1302    1275000 PRN -    OTHER   10                  0         0        0
D VERISIGN                       COMMON     92343E102       15        519 SH  -    DEFINED 02                519         0        0
D VERISIGN                       COMMON     92343E102        6        199 SH  -    DEFINED 02                199         0        0
D VERISIGN                       COMMON     92343E102       56       1959 SH  -    DEFINED 02               1918         0       41
D VERISIGN                       COMMON     92343E102       64       2227 SH  -    OTHER   02                  0      2127      100
D VERISIGN                       COMMON     92343E102        0          4 SH  -    OTHER   02                  0         4        0
D VERISIGN                       COMMON     92343E102     2837      99169 SH  -    DEFINED 04              94405         0     4764
D VERISIGN                       COMMON     92343E102     2671      93362 SH  -    DEFINED 04              93362         0        0
D VERISIGN                       COMMON     92343E102     2893     101117 SH  -    DEFINED 05             101117         0        0
D VERISIGN                       COMMON     92343E102        0          9 SH  -    OTHER   10                  0         0        9

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 835
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    86118    2340170 SH  -    DEFINED 02            2110237     12487   217446
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    23194     630279 SH  -    DEFINED 02             604941       508    24830
D VERIZON COMMUNICATIONS INC     COMMON     92343V104      941      25564 SH  -    DEFINED 02              25564         0        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104     3238      87978 SH  -    DEFINED 02              48112         0    39866
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    46685    1268605 SH  -    OTHER   02             552982    563904   150841
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    19852     539461 SH  -    OTHER   02             437777     45915    55769
D VERIZON COMMUNICATIONS INC     COMMON     92343V104     1000      27183 SH  -    OTHER   02                  0     27183        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104      296       8040 SH  -    OTHER   02                  0      8040        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104     1466      39839 SH  -    OTHER   02                  0     39839        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104       55       1488 SH  -    OTHER   02                  0      1488        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104   833212   22641620 SH  -    DEFINED 04           17422166         0  5219454
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    46200    1255427 SH  -    DEFINED 04            1255427         0        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    91174    2477564 SH  -    DEFINED 04            2477564         0        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    11861     322316 SH  -    DEFINED 04             279340         0        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104      670      18209 SH  -    DEFINED 04                  0         0    18209
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    28783     782143 SH  -    OTHER   04                  0    782143        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    85219    2315736 SH  -    DEFINED 05            2315736         0        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    16608     451291 SH  -    DEFINED 08             451291         0        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    16223     440848 SH  -    DEFINED 09             440848         0        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104      879      23880 SH  -    DEFINED 09              23880         0        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104     2245      61007 SH  -    OTHER   09                  0     61007        0
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    18585     505036 SH  -    DEFINED 01             492619      4195     8222
D VERIZON COMMUNICATIONS INC     COMMON     92343V104     2766      75150 SH  -    OTHER   01              36367     30832     7951
D VERIZON COMMUNICATIONS INC     COMMON     92343V104    10068     273576 SH  -    OTHER   10                  0         0   273576
D VERIZON COMMUNICATIONS INC     OPTION     92343V906    15301     415800 SH  C    DEFINED 05             415800         0        0
D VERIZON COMMUNICATIONS INC     OPTION     92343V906      662      18000 SH  C    DEFINED 08              18000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 836
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VERIZON COMMUNICATIONS INC     OPTION     92343V955    14812     402500 SH  P    DEFINED 05             402500         0        0
D VERIZON COMMUNICATIONS INC     OPTION     92343V955      662      18000 SH  P    DEFINED 08              18000         0        0
D VERINT SYS INC                 COMMON     92343X100        2         61 SH  -    OTHER   02                  0        61        0
D VERINT SYS INC                 COMMON     92343X100       34       1276 SH  -    DEFINED 05               1276         0        0
D VERINT SYS INC                 COMMON     92343X100       33       1267 SH  -    DEFINED 08               1267         0        0
D VERINT SYS INC                 COMMON     92343X100      685      26051 SH  -    OTHER   10                  0         0    26051
D VERISK ANALYTICS INC           COMMON     92345Y106      107       3075 SH  -    OTHER   02                 32      3043        0
D VERISK ANALYTICS INC           COMMON     92345Y106       34        974 SH  -    OTHER   02                  0         0      974
D VERISK ANALYTICS INC           COMMON     92345Y106      128       3695 SH  -    DEFINED 04               3695         0        0
D VERISK ANALYTICS INC           COMMON     92345Y106      107       3068 SH  -    DEFINED 05               3068         0        0
D VERISK ANALYTICS INC           COMMON     92345Y106     1132      32560 SH  -    DEFINED 08              32560         0        0
D VERISK ANALYTICS INC           COMMON     92345Y106        1         37 SH  -    OTHER   01                  0        37        0
D VERISK ANALYTICS INC           COMMON     92345Y106      333       9587 SH  -    OTHER   10                  0         0     9587
D VERTEX PHARMACEUTICALS INC     BOND       92532FAN0     2316    2018000 PRN -    DEFINED 05                  0         0        0
D VERTEX PHARMACEUTICALS INCORPO COMMON     92532F100       16        364 SH  -    DEFINED 02                364         0        0
D VERTEX PHARMACEUTICALS INCORPO COMMON     92532F100        0          5 SH  -    DEFINED 02                  5         0        0
D VERTEX PHARMACEUTICALS INCORPO COMMON     92532F100      137       3073 SH  -    OTHER   02                  0      3058        0
D VERTEX PHARMACEUTICALS INCORPO COMMON     92532F100       55       1235 SH  -    DEFINED 04               1235         0        0
D VERTEX PHARMACEUTICALS INCORPO COMMON     92532F100     6614     148769 SH  -    DEFINED 04             148769         0        0
D VERTEX PHARMACEUTICALS INCORPO COMMON     92532F100     2897      65154 SH  -    DEFINED 05              65154         0        0
D VERTEX PHARMACEUTICALS INCORPO COMMON     92532F100        1         29 SH  -    OTHER   01                  0        29        0
D VERTEX PHARMACEUTICALS INCORPO COMMON     92532F100       10        234 SH  -    OTHER   10                  0         0      234
D VIAD CORP                      COMMON     92552R406        3        150 SH  -    OTHER   02                  0         0      150
D VIAD CORP                      COMMON     92552R406      243      14299 SH  -    DEFINED 04              14299         0        0
D VIAD CORP                      COMMON     92552R406      164       9672 SH  -    DEFINED 05               9672         0        0
D VIASAT INC                     COMMON     92552V100        3        105 SH  -    OTHER   02                  0        86        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 837
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VIASAT INC                     COMMON     92552V100      654      19629 SH  -    DEFINED 05              19629         0        0
D VIASYSTEMS GROUP INC           COMMON     92553H803      528      30000 SH  -    DEFINED 04              30000         0        0
D VIASYSTEMS GROUP INC           COMMON     92553H803        2        119 SH  -    DEFINED 08                119         0        0
D VIACOM INC NEW                 COMMON     92553P102        2         50 SH  -    DEFINED 02                 50         0        0
D VIACOM INC NEW                 COMMON     92553P102      304       6278 SH  -    DEFINED 05               6278         0        0
D VIACOM INC NEW                 COMMON     92553P102      334       6897 SH  -    OTHER   10                  0         0     6897
D VIACOM INC NEW                 COMMON     92553P201      318       8206 SH  -    DEFINED 02               8206         0        0
D VIACOM INC NEW                 COMMON     92553P201      235       6062 SH  -    DEFINED 02               6062         0        0
D VIACOM INC NEW                 COMMON     92553P201      273       7036 SH  -    DEFINED 02               6622         0      414
D VIACOM INC NEW                 COMMON     92553P201     2656      68548 SH  -    OTHER   02               3473     21371    43704
D VIACOM INC NEW                 COMMON     92553P201      207       5335 SH  -    OTHER   02               5224        29       82
D VIACOM INC NEW                 COMMON     92553P201    73668    1901595 SH  -    DEFINED 04            1399944         0   501651
D VIACOM INC NEW                 COMMON     92553P201     3733      96353 SH  -    DEFINED 04              96353         0        0
D VIACOM INC NEW                 COMMON     92553P201      152       3918 SH  -    DEFINED 04               3918         0        0
D VIACOM INC NEW                 COMMON     92553P201     3160      81562 SH  -    DEFINED 04              47477         0    34085
D VIACOM INC NEW                 COMMON     92553P201     1082      27923 SH  -    OTHER   04                  0     27923        0
D VIACOM INC NEW                 COMMON     92553P201     4580     118223 SH  -    DEFINED 05             118223         0        0
D VIACOM INC NEW                 COMMON     92553P201    16644     429646 SH  -    DEFINED 08             429646         0        0
D VIACOM INC NEW                 COMMON     92553P201    12974     334894 SH  -    DEFINED 09             313698     21196        0
D VIACOM INC NEW                 COMMON     92553P201      781      20155 SH  -    DEFINED 09              20155         0        0
D VIACOM INC NEW                 COMMON     92553P201     5309     137053 SH  -    DEFINED 09             137053         0        0
D VIACOM INC NEW                 COMMON     92553P201      131       3373 SH  -    OTHER   09                  0      3373        0
D VIACOM INC NEW                 COMMON     92553P201      167       4313 SH  -    OTHER   10                  0         0     4313
D VICAL INC                      COMMON     925602104       60      24262 SH  -    DEFINED 05              24262         0        0
D VICAL INC                      COMMON     925602104       11       4472 SH  -    DEFINED 08               4472         0        0
D VICOR CORP                     COMMON     925815102        0         56 SH  -    OTHER   02                  0         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 838
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VICOR CORP                     COMMON     925815102        4        444 SH  -    OTHER   02                  0         0      444
D VICOR CORP                     COMMON     925815102      141      16061 SH  -    DEFINED 04              16061         0        0
D VICOR CORP                     COMMON     925815102       82       9391 SH  -    DEFINED 05               9391         0        0
D VIEWPOINT FINL GROUP INC MD    COMMON     92672A101       17       1504 SH  -    OTHER   02                  0      1504        0
D VIEWPOINT FINL GROUP INC MD    COMMON     92672A101       88       7685 SH  -    OTHER   02                  0         0     7685
D VIEWPOINT FINL GROUP INC MD    COMMON     92672A101       16       1435 SH  -    DEFINED 05               1435         0        0
D VIEWPOINT FINL GROUP INC MD    COMMON     92672A101       23       2051 SH  -    DEFINED 08               2051         0        0
D VIEWPOINT FINL GROUP INC MD    COMMON     92672A101       29       2541 SH  -    OTHER   10                  0         0     2541
D VILLAGE SUPER MKT INC          COMMON     927107409      419      17488 SH  -    DEFINED 04              13288         0     4200
D VILLAGE SUPER MKT INC          COMMON     927107409        2         86 SH  -    DEFINED 05                 86         0        0
D VILLAGE SUPER MKT INC          COMMON     927107409        9        369 SH  -    DEFINED 08                369         0        0
D VIMPELCOM LTD                  ADR        92719A106     7573     794600 SH  -    DEFINED 02             794600         0        0
D VIMPELCOM LTD                  ADR        92719A106      809      84900 SH  -    DEFINED 04              84900         0        0
D VIMPELCOM LTD                  ADR        92719A106     2991     313800 SH  -    DEFINED 04             313800         0        0
D VIMPELCOM LTD                  ADR        92719A106   327137   34327072 SH  -    DEFINED 06           34327072         0        0
D VIMPELCOM LTD                  ADR        92719A106     2578     270523 SH  -    DEFINED 08             270523         0        0
D VIMPELCOM LTD                  ADR        92719A106     1746     183200 SH  -    DEFINED 09             183200         0        0
D VIMPELCOM LTD                  ADR        92719A106      148      15500 SH  -    DEFINED 09              15500         0        0
D VIMPELCOM LTD                  ADR        92719A106      397      41633 SH  -    OTHER   09                  0     41633        0
D VIMPELCOM LTD                  ADR        92719A106        4        370 SH  -    OTHER   10                  0         0      370
D VIRGIN MEDIA INC               BOND       92769LAB7        6       4000 PRN -    DEFINED 05                  0         0        0
D VIRGIN MEDIA INC               BOND       92769LAB7     7800    5200000 PRN -    DEFINED 08                  0         0        0
D VIRGIN MEDIA INC               COMMON     92769L101      529      21716 SH  -    OTHER   02               4000      6710    10925
D VIRGIN MEDIA INC               COMMON     92769L101       31       1283 SH  -    OTHER   02                 33        50     1200
D VIRGIN MEDIA INC               COMMON     92769L101      701      28802 SH  -    DEFINED 04              28802         0        0
D VIRGIN MEDIA INC               COMMON     92769L101      822      33749 SH  -    DEFINED 04              33749         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 839
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VIRGIN MEDIA INC               COMMON     92769L101       33       1338 SH  -    DEFINED 04               1338         0        0
D VIRGIN MEDIA INC               COMMON     92769L101    13454     552510 SH  -    DEFINED 04             552510         0        0
D VIRGIN MEDIA INC               COMMON     92769L101        4        144 SH  -    OTHER   04                  0       144        0
D VIRGIN MEDIA INC               COMMON     92769L101        2         67 SH  -    OTHER   04                  0        67        0
D VIRGIN MEDIA INC               COMMON     92769L101     5881     241507 SH  -    DEFINED 05             241507         0        0
D VIRGIN MEDIA INC               COMMON     92769L101      455      18700 SH  -    DEFINED 06              18700         0        0
D VIRGIN MEDIA INC               COMMON     92769L101    26892    1104385 SH  -    DEFINED 09            1039032         0    65353
D VIRGIN MEDIA INC               COMMON     92769L101     2402      98648 SH  -    OTHER   09                  0     98648        0
D VIRGIN MEDIA INC               COMMON     92769L101        6        228 SH  -    OTHER   01                  0       228        0
D VIRGIN MEDIA INC               COMMON     92769L101      143       5893 SH  -    OTHER   10                  0         0     5893
D VISTA GOLD CORP                COMMON     927926303       50      15000 SH  -    DEFINED 05              15000         0        0
D VISTA GOLD CORP                COMMON     927926303       14       4170 SH  -    DEFINED 08               4170         0        0
D VIRNETX HLDG CORP              COMMON     92823T108       52       3500 SH  -    DEFINED 02               3500         0        0
D VIRNETX HLDG CORP              COMMON     92823T108        3        216 SH  -    OTHER   02                  0       216        0
D VIRNETX HLDG CORP              COMMON     92823T108     1004      67000 SH  -    DEFINED 04              51000         0    16000
D VIRNETX HLDG CORP              COMMON     92823T108       56       3732 SH  -    DEFINED 05               3732         0        0
D VIRNETX HLDG CORP              COMMON     92823T108       43       2890 SH  -    DEFINED 08               2890         0        0
D VIRNETX HLDG CORP              COMMON     92823T108        1         84 SH  -    OTHER   01                  0        84        0
D VIROPHARMA INC                 COMMON     928241108       30       1663 SH  -    OTHER   02                  0       883      780
D VIROPHARMA INC                 COMMON     928241108     4055     224420 SH  -    DEFINED 04             161250         0    63170
D VIROPHARMA INC                 COMMON     928241108     7977     441460 SH  -    DEFINED 04             441460         0        0
D VIROPHARMA INC                 COMMON     928241108      638      35290 SH  -    DEFINED 04              35290         0        0
D VIROPHARMA INC                 COMMON     928241108     1083      59949 SH  -    DEFINED 05              59949         0        0
D VIROPHARMA INC                 COMMON     928241108      350      19378 SH  -    DEFINED 09              19378         0        0
D VISA INC                       COMMON     92826C839      701       8180 SH  -    DEFINED 02               8030       150        0
D VISA INC                       COMMON     92826C839      222       2585 SH  -    DEFINED 02               2495         0       90

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 840
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VISA INC                       COMMON     92826C839      535       6236 SH  -    DEFINED 02               5895         0      341
D VISA INC                       COMMON     92826C839    13909     162257 SH  -    OTHER   02              30784    116494    14912
D VISA INC                       COMMON     92826C839     1195      13944 SH  -    OTHER   02               1512      1938    10494
D VISA INC                       COMMON     92826C839    21637     252415 SH  -    DEFINED 04             144370         0   108045
D VISA INC                       COMMON     92826C839     6839      79780 SH  -    DEFINED 04              79780         0        0
D VISA INC                       COMMON     92826C839     7659      89345 SH  -    DEFINED 05              89345         0        0
D VISA INC                       COMMON     92826C839      101       1183 SH  -    DEFINED 09               1183         0        0
D VISA INC                       COMMON     92826C839      750       8755 SH  -    OTHER   01                180      8396        0
D VISA INC                       COMMON     92826C839      761       8873 SH  -    OTHER   10                  0         0     8873
D VISHAY INTERTECH               COMMON     928298108      203      24232 SH  -    OTHER   02               3200      7092    13940
D VISHAY INTERTECH               COMMON     928298108     7820     935406 SH  -    DEFINED 04             878406         0    57000
D VISHAY INTERTECH               COMMON     928298108     4102     490617 SH  -    DEFINED 04             490617         0        0
D VISHAY INTERTECH               COMMON     928298108       20       2348 SH  -    DEFINED 04               2348         0        0
D VISHAY INTERTECH               COMMON     928298108      127      15136 SH  -    OTHER   04                  0     15136        0
D VISHAY INTERTECH               COMMON     928298108       87      10375 SH  -    DEFINED 05              10375         0        0
D VISHAY INTERTECH               COMMON     928298108      127      15183 SH  -    DEFINED 08              15183         0        0
D VISIONCHINA MEDIA INC          ADR        92833U103     2280    1245725 SH  -    DEFINED 09            1245725         0        0
D VISTEON CORP                   COMMON     92839U206     2563      59606 SH  -    DEFINED 02              59606         0        0
D VISTEON CORP                   COMMON     92839U206       13        307 SH  -    OTHER   02                  0       280        0
D VISTEON CORP                   COMMON     92839U206     2274      52884 SH  -    OTHER   02                  0     52884        0
D VISTEON CORP                   COMMON     92839U206       28        656 SH  -    DEFINED 04                656         0        0
D VISTEON CORP                   COMMON     92839U206     1916      44569 SH  -    DEFINED 05              44569         0        0
D VITAMIN SHOPPE INC             COMMON     92849E101       88       2347 SH  -    OTHER   02                  0        72     2275
D VITAMIN SHOPPE INC             COMMON     92849E101      682      18221 SH  -    DEFINED 04              18221         0        0
D VITAMIN SHOPPE INC             COMMON     92849E101     5673     151511 SH  -    DEFINED 05             151511         0        0
D VITAMIN SHOPPE INC             COMMON     92849E101        2         62 SH  -    OTHER   10                  0         0       62

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 841
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VIVUS INC                      COMMON     928551100        1        161 SH  -    OTHER   02                  0       161        0
D VIVUS INC                      COMMON     928551100      550      68193 SH  -    DEFINED 05              68193         0        0
D VIVUS INC                      COMMON     928551100       41       5030 SH  -    DEFINED 08               5030         0        0
D VIVUS INC                      COMMON     928551100      102      12603 SH  -    OTHER   10                  0         0    12603
D VMWARE INC                     COMMON     928563402      168       2085 SH  -    DEFINED 02               2085         0        0
D VMWARE INC                     COMMON     928563402       27        335 SH  -    DEFINED 02                335         0        0
D VMWARE INC                     COMMON     928563402       65        804 SH  -    OTHER   02                  0       711       70
D VMWARE INC                     COMMON     928563402    43431     540319 SH  -    DEFINED 04             302300         0   238019
D VMWARE INC                     COMMON     928563402     8400     104500 SH  -    DEFINED 04             104500         0        0
D VMWARE INC                     COMMON     928563402     3379      42040 SH  -    DEFINED 04              42040         0        0
D VMWARE INC                     COMMON     928563402       72        894 SH  -    OTHER   04                  0       894        0
D VMWARE INC                     COMMON     928563402      723       8993 SH  -    DEFINED 05               8993         0        0
D VMWARE INC                     COMMON     928563402     1637      20371 SH  -    DEFINED 08              20371         0        0
D VMWARE INC                     COMMON     928563402      107       1326 SH  -    OTHER   09                  0      1326        0
D VMWARE INC                     COMMON     928563402      106       1315 SH  -    OTHER   01               1300        15        0
D VMWARE INC                     COMMON     928563402      287       3571 SH  -    OTHER   10                  0         0     3571
D VODAFONE GROUP PLC NEW         ADR        92857W209     3191     124342 SH  -    DEFINED 02             119976      4366        0
D VODAFONE GROUP PLC NEW         ADR        92857W209     1296      50511 SH  -    DEFINED 02              50511         0        0
D VODAFONE GROUP PLC NEW         ADR        92857W209    12098     471473 SH  -    OTHER   02              58885    401645    10263
D VODAFONE GROUP PLC NEW         ADR        92857W209      952      37101 SH  -    OTHER   02               8024     20995     8082
D VODAFONE GROUP PLC NEW         ADR        92857W209    10413     405792 SH  -    DEFINED 04             379360         0    26432
D VODAFONE GROUP PLC NEW         ADR        92857W209     4079     158967 SH  -    DEFINED 04             158967         0        0
D VODAFONE GROUP PLC NEW         ADR        92857W209    10588     412616 SH  -    OTHER   04                  0    412616        0
D VODAFONE GROUP PLC NEW         ADR        92857W209    22388     872503 SH  -    OTHER   04                  0    872503        0
D VODAFONE GROUP PLC NEW         ADR        92857W209    37786    1472552 SH  -    DEFINED 08            1472552         0        0
D VODAFONE GROUP PLC NEW         ADR        92857W209       38       1483 SH  -    DEFINED 01               1483         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 842
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VODAFONE GROUP PLC NEW         ADR        92857W209     1489      58009 SH  -    OTHER   01              16500     41168        0
D VODAFONE GROUP PLC NEW         ADR        92857W209     7055     274944 SH  -    OTHER   10                  0         0   274944
D VOCUS INC                      COMMON     92858J108     7815     466281 SH  -    DEFINED 04             439831         0    26450
D VOCUS INC                      COMMON     92858J108       16        960 SH  -    DEFINED 05                960         0        0
D VOCUS INC                      COMMON     92858J108       18       1085 SH  -    DEFINED 08               1085         0        0
D VOLCANO CORPORATION            BOND       928645AA8     2294    1904000 PRN -    DEFINED 05                  0         0        0
D VOLCANO CORPORATION            COMMON     928645100        4        120 SH  -    DEFINED 02                  0       120        0
D VOLCANO CORPORATION            COMMON     928645100        2         70 SH  -    DEFINED 02                  0         0       70
D VOLCANO CORPORATION            COMMON     928645100      727      24530 SH  -    OTHER   02                  0     21420     3110
D VOLCANO CORPORATION            COMMON     928645100       55       1850 SH  -    OTHER   02                400       740      710
D VOLCANO CORPORATION            COMMON     928645100     1073      36212 SH  -    DEFINED 04              36212         0        0
D VOLCANO CORPORATION            COMMON     928645100       66       2226 SH  -    DEFINED 05               2226         0        0
D VOLCANO CORPORATION            COMMON     928645100     7534     254257 SH  -    DEFINED 08             254257         0        0
D VOLCANO CORPORATION            COMMON     928645100       17        590 SH  -    OTHER   01                  0       590        0
D VOLTERRA SEMICONDUCTOR CORP    COMMON     928708106      346      18015 SH  -    DEFINED 04              18015         0        0
D VOLTERRA SEMICONDUCTOR CORP    COMMON     928708106      223      11588 SH  -    DEFINED 05              11588         0        0
D VONAGE HLDGS CORP              COMMON     92886T201        1        263 SH  -    OTHER   02                  0       263        0
D VONAGE HLDGS CORP              COMMON     92886T201     3927    1510200 SH  -    DEFINED 04            1252700         0   257500
D VONAGE HLDGS CORP              COMMON     92886T201     1006     387000 SH  -    DEFINED 04             387000         0        0
D VONAGE HLDGS CORP              COMMON     92886T201       42      16330 SH  -    DEFINED 05              16330         0        0
D VONAGE HLDGS CORP              COMMON     92886T201       33      12536 SH  -    DEFINED 08              12536         0        0
D VONAGE HLDGS CORP              COMMON     92886T201       97      37369 SH  -    DEFINED 09              37369         0        0
D VONAGE HLDGS CORP              COMMON     92886T201        6       2228 SH  -    OTHER   10                  0         0     2228
D VORNADO RLTY TR                COMMON     929042109      780      10451 SH  -    DEFINED 02              10451         0        0
D VORNADO RLTY TR                COMMON     929042109      168       2254 SH  -    DEFINED 02               2126         0      128
D VORNADO RLTY TR                COMMON     929042109   117928    1580387 SH  -    DEFINED 04            1385207         0   195180

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 843
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VORNADO RLTY TR                COMMON     929042109     2548      34140 SH  -    DEFINED 04              34140         0        0
D VORNADO RLTY TR                COMMON     929042109      271       3636 SH  -    DEFINED 04               3636         0        0
D VORNADO RLTY TR                COMMON     929042109       82       1100 SH  -    DEFINED 04               1100         0        0
D VORNADO RLTY TR                COMMON     929042109     3243      43463 SH  -    DEFINED 04              38163         0        0
D VORNADO RLTY TR                COMMON     929042109      961      12885 SH  -    OTHER   04                  0     12885        0
D VORNADO RLTY TR                COMMON     929042109     4872      65292 SH  -    OTHER   04                  0     65292        0
D VORNADO RLTY TR                COMMON     929042109    14608     195769 SH  -    DEFINED 05             195769         0        0
D VORNADO RLTY TR                COMMON     929042109      102       1364 SH  -    DEFINED 06               1364         0        0
D VORNADO RLTY TR                COMMON     929042109     3847      51555 SH  -    DEFINED 08              51555         0        0
D VORNADO RLTY TR                COMMON     929042109      179       2400 SH  -    DEFINED 09               2400         0        0
D VORNADO RLTY TR                COMMON     929042109       39        516 SH  -    OTHER   10                  0         0      516
D VORNADO RLTY L P               BOND       929043AC1        6       6000 PRN -    DEFINED 02                  0         0        0
D VORNADO RLTY L P               BOND       929043AC1    18081   17554000 PRN -    DEFINED 09                  0         0        0
D VORNADO RLTY L P               BOND       929043AC1     3907    3793000 PRN -    DEFINED 09                  0         0        0
D VORNADO RLTY L P               BOND       929043AC1       26      25000 PRN -    OTHER   10                  0         0        0
D VOYAGER OIL & GAS INC          COMMON     92911K100       29      13732 SH  -    DEFINED 05              13732         0        0
D VOYAGER OIL & GAS INC          COMMON     92911K100        6       2792 SH  -    DEFINED 08               2792         0        0
D VULCAN MATLS CO                COMMON     929160109       34       1239 SH  -    DEFINED 02               1239         0        0
D VULCAN MATLS CO                COMMON     929160109     1240      45003 SH  -    DEFINED 02                  0         0    45003
D VULCAN MATLS CO                COMMON     929160109       43       1556 SH  -    DEFINED 02               1489         0       67
D VULCAN MATLS CO                COMMON     929160109      517      18770 SH  -    OTHER   02                500     18270        0
D VULCAN MATLS CO                COMMON     929160109       46       1667 SH  -    OTHER   02                410         7     1250
D VULCAN MATLS CO                COMMON     929160109      634      23005 SH  -    DEFINED 04              19305         0     3700
D VULCAN MATLS CO                COMMON     929160109      574      20830 SH  -    DEFINED 04              20830         0        0
D VULCAN MATLS CO                COMMON     929160109      125       4524 SH  -    DEFINED 05               4524         0        0
D VULCAN MATLS CO                COMMON     929160109       49       1788 SH  -    DEFINED 06               1788         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 844
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D VULCAN MATLS CO                COMMON     929160109       21        762 SH  -    OTHER   01                  0       762        0
D W & T OFFSHORE INC             COMMON     92922P106        3        235 SH  -    OTHER   02                  0       235        0
D W & T OFFSHORE INC             COMMON     92922P106     9099     661266 SH  -    DEFINED 04             590766         0    70500
D W & T OFFSHORE INC             COMMON     92922P106     3109     225960 SH  -    DEFINED 04             225960         0        0
D W & T OFFSHORE INC             COMMON     92922P106       20       1425 SH  -    DEFINED 05               1425         0        0
D W & T OFFSHORE INC             COMMON     92922P106       29       2103 SH  -    DEFINED 08               2103         0        0
D W & T OFFSHORE INC             COMMON     92922P106       95       6886 SH  -    DEFINED 09               6886         0        0
D W & T OFFSHORE INC             COMMON     92922P106    10448     759298 SH  -    OTHER   10                  0         0   759298
D WD-40 CO                       COMMON     929236107       68       1710 SH  -    DEFINED 02               1710         0        0
D WD-40 CO                       COMMON     929236107       14        353 SH  -    OTHER   02                  0       312        0
D WD-40 CO                       COMMON     929236107      485      12176 SH  -    DEFINED 04              12176         0        0
D WD-40 CO                       COMMON     929236107      322       8083 SH  -    DEFINED 05               8083         0        0
D WD-40 CO                       COMMON     929236107      291       7300 SH  -    OTHER   01               7300         0        0
D WGL HLDGS INC                  COMMON     92924F106       56       1431 SH  -    DEFINED 02               1431         0        0
D WGL HLDGS INC                  COMMON     92924F106      156       3994 SH  -    OTHER   02                  0       994     3000
D WGL HLDGS INC                  COMMON     92924F106       76       1946 SH  -    OTHER   02                  3         3     1940
D WGL HLDGS INC                  COMMON     92924F106     5382     137760 SH  -    DEFINED 04             132360         0     5400
D WGL HLDGS INC                  COMMON     92924F106      423      10828 SH  -    DEFINED 04              10828         0        0
D WGL HLDGS INC                  COMMON     92924F106       30        775 SH  -    DEFINED 05                775         0        0
D WGL HLDGS INC                  COMMON     92924F106      405      10364 SH  -    DEFINED 08              10364         0        0
D WABCO HLDGS INC                COMMON     92927K102       58       1535 SH  -    OTHER   02                  0      1404      100
D WABCO HLDGS INC                COMMON     92927K102        1         17 SH  -    OTHER   02                  0        17        0
D WABCO HLDGS INC                COMMON     92927K102     3820     100904 SH  -    DEFINED 04              85004         0    15900
D WABCO HLDGS INC                COMMON     92927K102      117       3100 SH  -    DEFINED 04               3100         0        0
D WABCO HLDGS INC                COMMON     92927K102        3         89 SH  -    OTHER   04                  0        89        0
D WABCO HLDGS INC                COMMON     92927K102      418      11052 SH  -    DEFINED 05              11052         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 845
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WABCO HLDGS INC                COMMON     92927K102       87       2287 SH  -    DEFINED 09               2287         0        0
D WABCO HLDGS INC                COMMON     92927K102      217       5732 SH  -    OTHER   10                  0         0     5732
D WMS INDUSTRIES                 COMMON     929297109     1430      81322 SH  -    OTHER   02                  0      6322    75000
D WMS INDUSTRIES                 COMMON     929297109       15        866 SH  -    DEFINED 05                866         0        0
D WMS INDUSTRIES                 COMMON     929297109       16        918 SH  -    DEFINED 08                918         0        0
D WMS INDUSTRIES                 COMMON     929297109     1015      57718 SH  -    OTHER   10                  0         0    57718
D W P CAREY & CO LLC             COMMON     92930Y107       51       1400 SH  -    DEFINED 02               1400         0        0
D W P CAREY & CO LLC             COMMON     92930Y107        7        184 SH  -    DEFINED 02                184         0        0
D W P CAREY & CO LLC             COMMON     92930Y107     3115      85500 SH  -    OTHER   02                  0     85500        0
D W P CAREY & CO LLC             COMMON     92930Y107       55       1500 SH  -    OTHER   02                  0         0     1500
D W P CAREY & CO LLC             COMMON     92930Y107     9001     247068 SH  -    DEFINED 04             194209         0    52859
D W P CAREY & CO LLC             COMMON     92930Y107     2503      68700 SH  -    DEFINED 04              68700         0        0
D W P CAREY & CO LLC             COMMON     92930Y107       26        718 SH  -    DEFINED 04                718         0        0
D W P CAREY & CO LLC             COMMON     92930Y107        8        219 SH  -    OTHER   04                  0       219        0
D W P CAREY & CO LLC             COMMON     92930Y107      273       7500 SH  -    OTHER   01               7500         0        0
D W P CAREY & CO LLC             COMMON     92930Y107     1140      31302 SH  -    OTHER   10                  0         0    31302
D WSFS FINL CORP                 COMMON     929328102        3         82 SH  -    OTHER   02                  0        82        0
D WSFS FINL CORP                 COMMON     929328102      432      13690 SH  -    DEFINED 04              13690         0        0
D WSFS FINL CORP                 COMMON     929328102      410      13000 SH  -    DEFINED 04              13000         0        0
D WSFS FINL CORP                 COMMON     929328102        3        105 SH  -    DEFINED 05                105         0        0
D WSFS FINL CORP                 COMMON     929328102       13        407 SH  -    DEFINED 08                407         0        0
D WPP PLC                        ADR        92933H101        2         35 SH  -    DEFINED 02                 35         0        0
D WPP PLC                        ADR        92933H101        5        116 SH  -    DEFINED 02                116         0        0
D WPP PLC                        ADR        92933H101      512      11129 SH  -    OTHER   02              10884       245        0
D WPP PLC                        ADR        92933H101        2         45 SH  -    OTHER   02                 45         0        0
D WPP PLC                        ADR        92933H101     1547      33588 SH  -    DEFINED 04              33588         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 846
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WPP PLC                        ADR        92933H101     4248      92242 SH  -    OTHER   04                  0     92242        0
D WPP PLC                        ADR        92933H101     1168      25369 SH  -    OTHER   04                  0     25369        0
D WPP PLC                        ADR        92933H101     3377      73333 SH  -    DEFINED 06              73333         0        0
D WPP PLC                        ADR        92933H101        1         21 SH  -    OTHER   01                  0        21        0
D WPP PLC                        ADR        92933H101       11        235 SH  -    OTHER   10                  0         0      235
D WUXI PHARMATECH CAYMAN INC     ADR        929352102      496      42600 SH  -    DEFINED 02              42600         0        0
D WUXI PHARMATECH CAYMAN INC     ADR        929352102     4745     407621 SH  -    DEFINED 04             407621         0        0
D WUXI PHARMATECH CAYMAN INC     ADR        929352102    11386     978157 SH  -    DEFINED 09             582846    395311        0
D WABASH NATIONAL CP             COMMON     929566107       17       3570 SH  -    DEFINED 05               3570         0        0
D WABASH NATIONAL CP             COMMON     929566107       19       4014 SH  -    DEFINED 08               4014         0        0
D WABASH NATIONAL CP             COMMON     929566107       65      13655 SH  -    OTHER   10                  0         0    13655
D WABTEC CORP                    COMMON     929740108        6        106 SH  -    DEFINED 02                  0       106        0
D WABTEC CORP                    COMMON     929740108      152       2880 SH  -    DEFINED 02               2880         0        0
D WABTEC CORP                    COMMON     929740108      397       7510 SH  -    OTHER   02                  0      7498        0
D WABTEC CORP                    COMMON     929740108      296       5607 SH  -    OTHER   02                500         3     5104
D WABTEC CORP                    COMMON     929740108    56971    1077571 SH  -    DEFINED 04             632612         0   444959
D WABTEC CORP                    COMMON     929740108    27152     513561 SH  -    DEFINED 04             513561         0        0
D WABTEC CORP                    COMMON     929740108     1580      29880 SH  -    DEFINED 04              29880         0        0
D WABTEC CORP                    COMMON     929740108     1615      30556 SH  -    DEFINED 04              30556         0        0
D WABTEC CORP                    COMMON     929740108       74       1394 SH  -    OTHER   04                  0      1394        0
D WABTEC CORP                    COMMON     929740108      105       1995 SH  -    DEFINED 05               1995         0        0
D WABTEC CORP                    COMMON     929740108      748      14141 SH  -    DEFINED 08              14141         0        0
D WABTEC CORP                    COMMON     929740108        2         46 SH  -    OTHER   01                  0        46        0
D WADDELL & REED FINL INC        COMMON     930059100       95       3800 SH  -    DEFINED 02                  0         0     3800
D WADDELL & REED FINL INC        COMMON     930059100       83       3322 SH  -    OTHER   02               1750      1572        0
D WADDELL & REED FINL INC        COMMON     930059100        4        140 SH  -    OTHER   02                  0         0      140

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 847
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WADDELL & REED FINL INC        COMMON     930059100      589      23565 SH  -    DEFINED 04              23565         0        0
D WADDELL & REED FINL INC        COMMON     930059100     1013      40511 SH  -    DEFINED 04              40511         0        0
D WADDELL & REED FINL INC        COMMON     930059100      430      17182 SH  -    DEFINED 05              17182         0        0
D WADDELL & REED FINL INC        COMMON     930059100       89       3574 SH  -    DEFINED 08               3574         0        0
D WAL-MART STORES IN             COMMON     931142103    12916     248856 SH  -    DEFINED 02             205877      2225    40754
D WAL-MART STORES IN             COMMON     931142103     9587     184723 SH  -    DEFINED 02             169645      3825    11253
D WAL-MART STORES IN             COMMON     931142103     1118      21546 SH  -    DEFINED 02              20258         0     1288
D WAL-MART STORES IN             COMMON     931142103    52116    1004160 SH  -    OTHER   02             362870    579773    58353
D WAL-MART STORES IN             COMMON     931142103     7436     143281 SH  -    OTHER   02             107577     23001    12703
D WAL-MART STORES IN             COMMON     931142103      208       4004 SH  -    OTHER   02                  0      4004        0
D WAL-MART STORES IN             COMMON     931142103   224520    4326021 SH  -    DEFINED 04            2885647         0  1440374
D WAL-MART STORES IN             COMMON     931142103    20067     386644 SH  -    DEFINED 04             386644         0        0
D WAL-MART STORES IN             COMMON     931142103     3784      72911 SH  -    DEFINED 04              72911         0        0
D WAL-MART STORES IN             COMMON     931142103      324       6242 SH  -    DEFINED 04               6242         0        0
D WAL-MART STORES IN             COMMON     931142103      454       8750 SH  -    DEFINED 04               8750         0        0
D WAL-MART STORES IN             COMMON     931142103      204       3927 SH  -    DEFINED 04                  0         0     3927
D WAL-MART STORES IN             COMMON     931142103     1840      35459 SH  -    OTHER   04                  0     35459        0
D WAL-MART STORES IN             COMMON     931142103   115470    2224862 SH  -    DEFINED 05            2224862         0        0
D WAL-MART STORES IN             COMMON     931142103    33882     652829 SH  -    DEFINED 08             652829         0        0
D WAL-MART STORES IN             COMMON     931142103     3118      60081 SH  -    DEFINED 09              60081         0        0
D WAL-MART STORES IN             COMMON     931142103      837      16119 SH  -    DEFINED 09              16119         0        0
D WAL-MART STORES IN             COMMON     931142103     2980      57410 SH  -    OTHER   09                  0     57410        0
D WAL-MART STORES IN             COMMON     931142103    13171     253780 SH  -    DEFINED 01             253750         0       30
D WAL-MART STORES IN             COMMON     931142103     1082      20851 SH  -    OTHER   01               3542     17234       75
D WAL-MART STORES IN             COMMON     931142103     4355      83910 SH  -    OTHER   10                  0         0    83910
D WAL-MART STORES IN             OPTION     931142905    46316     892400 SH  C    DEFINED 05             892400         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 848
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WAL-MART STORES IN             OPTION     931142905    15435     297400 SH  C    DEFINED 08             297400         0        0
D WAL-MART STORES IN             OPTION     931142954    13899     267800 SH  P    DEFINED 05             267800         0        0
D WAL-MART STORES IN             OPTION     931142954     9783     188500 SH  P    DEFINED 08             188500         0        0
D WALGREEN CO                    COMMON     931422109     4566     138829 SH  -    DEFINED 02             138829         0        0
D WALGREEN CO                    COMMON     931422109     3575     108681 SH  -    DEFINED 02             108681         0        0
D WALGREEN CO                    COMMON     931422109      364      11055 SH  -    DEFINED 02              10434         0      621
D WALGREEN CO                    COMMON     931422109    36864    1120825 SH  -    OTHER   02            1091678     23158     3733
D WALGREEN CO                    COMMON     931422109    14957     454744 SH  -    OTHER   02             436740      3992    14012
D WALGREEN CO                    COMMON     931422109    73488    2234369 SH  -    DEFINED 04            1761245         0   473124
D WALGREEN CO                    COMMON     931422109     5115     155519 SH  -    DEFINED 04             155519         0        0
D WALGREEN CO                    COMMON     931422109       42       1285 SH  -    DEFINED 04               1285         0        0
D WALGREEN CO                    COMMON     931422109      115       3500 SH  -    DEFINED 04               3500         0        0
D WALGREEN CO                    COMMON     931422109       14        415 SH  -    OTHER   04                  0       415        0
D WALGREEN CO                    COMMON     931422109    15532     472247 SH  -    DEFINED 05             472247         0        0
D WALGREEN CO                    COMMON     931422109      600      18256 SH  -    DEFINED 09              18256         0        0
D WALGREEN CO                    COMMON     931422109     2993      91000 SH  -    OTHER   09                  0     91000        0
D WALGREEN CO                    COMMON     931422109       64       1950 SH  -    DEFINED 01               1950         0        0
D WALGREEN CO                    COMMON     931422109       19        572 SH  -    OTHER   01                486        86        0
D WALGREEN CO                    COMMON     931422109     1835      55786 SH  -    OTHER   10                  0         0    55786
D WALGREEN CO                    OPTION     931422901      970      29500 SH  C    DEFINED 05              29500         0        0
D WALGREEN CO                    OPTION     931422950     1615      49100 SH  P    DEFINED 05              49100         0        0
D WALTER ENERGY INC              COMMON     93317Q105       48        800 SH  -    DEFINED 02                  0         0      800
D WALTER ENERGY INC              COMMON     93317Q105       30        498 SH  -    DEFINED 02                498         0        0
D WALTER ENERGY INC              COMMON     93317Q105      189       3146 SH  -    OTHER   02                  0       346     2800
D WALTER ENERGY INC              COMMON     93317Q105        8        130 SH  -    OTHER   02                  0         0      130
D WALTER ENERGY INC              COMMON     93317Q105      732      12200 SH  -    DEFINED 04                  0         0    12200

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 849
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WALTER ENERGY INC              COMMON     93317Q105     3890      64830 SH  -    DEFINED 04              64830         0        0
D WALTER ENERGY INC              COMMON     93317Q105      684      11400 SH  -    DEFINED 04              11400         0        0
D WALTER ENERGY INC              COMMON     93317Q105      850      14161 SH  -    DEFINED 05              14161         0        0
D WALTER ENERGY INC              COMMON     93317Q105       10        168 SH  -    DEFINED 06                168         0        0
D WALTER ENERGY INC              COMMON     93317Q105     5519      91964 SH  -    DEFINED 08              91964         0        0
D WALTER ENERGY INC              COMMON     93317Q105    42110     701716 SH  -    DEFINED 09             701716         0        0
D WALTER ENERGY INC              COMMON     93317Q105     8432     140510 SH  -    DEFINED 09             140510         0        0
D WALTER ENERGY INC              COMMON     93317Q105      823      13719 SH  -    OTHER   09                  0     13719        0
D WALTER ENERGY INC              COMMON     93317Q105        7        121 SH  -    OTHER   10                  0         0      121
D WALTER INVT MGMT CORP          COMMON     93317W102       61       2652 SH  -    DEFINED 05               2652         0        0
D WALTER INVT MGMT CORP          COMMON     93317W102    14744     642984 SH  -    DEFINED 08             642984         0        0
D WARNACO GROUP INC              COMMON     934390402      161       3488 SH  -    OTHER   02                123      3365        0
D WARNACO GROUP INC              COMMON     934390402     1429      31000 SH  -    DEFINED 04              31000         0        0
D WARNACO GROUP INC              COMMON     934390402     2342      50819 SH  -    DEFINED 04              50819         0        0
D WARNACO GROUP INC              COMMON     934390402       33        711 SH  -    DEFINED 05                711         0        0
D WARNACO GROUP INC              COMMON     934390402      288       6242 SH  -    DEFINED 08               6242         0        0
D WARREN RES INC                 COMMON     93564A100        1        280 SH  -    OTHER   02                  0       280        0
D WARREN RES INC                 COMMON     93564A100      692     290900 SH  -    DEFINED 04             256200         0    34700
D WARREN RES INC                 COMMON     93564A100        2       1027 SH  -    DEFINED 05               1027         0        0
D WARREN RES INC                 COMMON     93564A100       10       4243 SH  -    DEFINED 08               4243         0        0
D WASHINGTON FED INC             COMMON     938824109      132      10374 SH  -    OTHER   02                  0      9000     1374
D WASHINGTON FED INC             COMMON     938824109      708      55600 SH  -    DEFINED 04              55600         0        0
D WASHINGTON FED INC             COMMON     938824109      320      25102 SH  -    DEFINED 04              25102         0        0
D WASHINGTON FED INC             COMMON     938824109       52       4115 SH  -    DEFINED 05               4115         0        0
D WASHINGTON FED INC             COMMON     938824109      201      15785 SH  -    DEFINED 08              15785         0        0
D THE WASHINGTON POST COMPANY    COMMON     939640108        8         25 SH  -    DEFINED 02                 15        10        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 850
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D THE WASHINGTON POST COMPANY    COMMON     939640108       23         70 SH  -    DEFINED 02                 60         0       10
D THE WASHINGTON POST COMPANY    COMMON     939640108       19         57 SH  -    DEFINED 02                 57         0        0
D THE WASHINGTON POST COMPANY    COMMON     939640108    24714      75584 SH  -    OTHER   02                  0     65244    10340
D THE WASHINGTON POST COMPANY    COMMON     939640108       75        230 SH  -    OTHER   02                 40       110       80
D THE WASHINGTON POST COMPANY    COMMON     939640108    29434      90022 SH  -    DEFINED 04              86993         0     3029
D THE WASHINGTON POST COMPANY    COMMON     939640108      280        856 SH  -    DEFINED 04                856         0        0
D THE WASHINGTON POST COMPANY    COMMON     939640108       24         74 SH  -    DEFINED 04                 74         0        0
D THE WASHINGTON POST COMPANY    COMMON     939640108      412       1260 SH  -    DEFINED 04               1260         0        0
D THE WASHINGTON POST COMPANY    COMMON     939640108      224        685 SH  -    OTHER   04                  0       685        0
D THE WASHINGTON POST COMPANY    COMMON     939640108      669       2047 SH  -    OTHER   04                  0      2047        0
D THE WASHINGTON POST COMPANY    COMMON     939640108       85        261 SH  -    DEFINED 05                261         0        0
D THE WASHINGTON POST COMPANY    COMMON     939640108       58        176 SH  -    DEFINED 08                176         0        0
D THE WASHINGTON POST COMPANY    COMMON     939640108       23         70 SH  -    OTHER   01                  0        70        0
D THE WASHINGTON POST COMPANY    COMMON     939640108      438       1341 SH  -    OTHER   10                  0         0     1341
D WASHINGTON RL EST              COMMON     939653101     1260      44700 SH  -    DEFINED 04              44700         0        0
D WASHINGTON RL EST              COMMON     939653101     2052      72826 SH  -    DEFINED 05              72826         0        0
D WASHINGTON RL EST              COMMON     939653101        9        316 SH  -    DEFINED 06                316         0        0
D WASHINGTON RL EST              COMMON     939653101        8        300 SH  -    DEFINED 09                300         0        0
D WASHINGTON TR BANCORP          COMMON     940610108        2         87 SH  -    OTHER   02                  0        87        0
D WASHINGTON TR BANCORP          COMMON     940610108      603      30470 SH  -    DEFINED 04              30470         0        0
D WASHINGTON TR BANCORP          COMMON     940610108      674      34100 SH  -    DEFINED 04              34100         0        0
D WASHINGTON TR BANCORP          COMMON     940610108       61       3073 SH  -    DEFINED 05               3073         0        0
D WASHINGTON TR BANCORP          COMMON     940610108       17        853 SH  -    DEFINED 08                853         0        0
D WASTE CONNECTION I             COMMON     941053100       49       1447 SH  -    OTHER   02                  0      1447        0
D WASTE CONNECTION I             COMMON     941053100    69028    2041049 SH  -    DEFINED 04            1900298         0   140751
D WASTE CONNECTION I             COMMON     941053100      207       6118 SH  -    DEFINED 05               6118         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 851
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WASTE CONNECTION I             COMMON     941053100        3         88 SH  -    OTHER   01                  0        88        0
D WASTE CONNECTION I             COMMON     941053100        3         88 SH  -    OTHER   10                  0         0       88
D WASTE MANAGEMENT               COMMON     94106L109       27        816 SH  -    DEFINED 02                816         0        0
D WASTE MANAGEMENT               COMMON     94106L109       21        650 SH  -    DEFINED 02                650         0        0
D WASTE MANAGEMENT               COMMON     94106L109      190       5844 SH  -    DEFINED 02               5441         0      403
D WASTE MANAGEMENT               COMMON     94106L109     4160     127777 SH  -    OTHER   02              85428     39103     3224
D WASTE MANAGEMENT               COMMON     94106L109       77       2351 SH  -    OTHER   02                  0        24     2327
D WASTE MANAGEMENT               COMMON     94106L109     2747      84376 SH  -    DEFINED 04              70861         0    13515
D WASTE MANAGEMENT               COMMON     94106L109     2499      76745 SH  -    DEFINED 04              76745         0        0
D WASTE MANAGEMENT               COMMON     94106L109     6584     202196 SH  -    DEFINED 05             202196         0        0
D WASTE MANAGEMENT               COMMON     94106L109     1206      37032 SH  -    OTHER   10                  0         0    37032
D WASTE MANAGEMENT               OPTION     94106L901    35116    1078500 SH  C    DEFINED 08            1078500         0        0
D WATERS CORP                    COMMON     941848103       61        804 SH  -    DEFINED 02                754        50        0
D WATERS CORP                    COMMON     941848103        4         48 SH  -    DEFINED 02                 18         0       30
D WATERS CORP                    COMMON     941848103       83       1105 SH  -    DEFINED 02               1053         0       52
D WATERS CORP                    COMMON     941848103     2231      29552 SH  -    OTHER   02                945     22720     5887
D WATERS CORP                    COMMON     941848103      181       2396 SH  -    OTHER   02                165       329     1902
D WATERS CORP                    COMMON     941848103     2103      27864 SH  -    DEFINED 04              25249         0     2615
D WATERS CORP                    COMMON     941848103     1113      14740 SH  -    DEFINED 04              14740         0        0
D WATERS CORP                    COMMON     941848103     3502      46392 SH  -    DEFINED 05              46392         0        0
D WATERS CORP                    COMMON     941848103      554       7340 SH  -    OTHER   01               7100       240        0
D WATERS CORP                    COMMON     941848103       29        382 SH  -    OTHER   10                  0         0      382
D WATERSTONE FINANCIAL INC       COMMON     941888109       34      13000 SH  -    DEFINED 04              13000         0        0
D WATSCO INC                     COMMON     942622200      203       3974 SH  -    DEFINED 02               3974         0        0
D WATSCO INC                     COMMON     942622200      649      12693 SH  -    DEFINED 02              12617         0       76
D WATSCO INC                     COMMON     942622200      145       2831 SH  -    OTHER   02               1638      1193        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 852
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WATSCO INC                     COMMON     942622200       63       1226 SH  -    OTHER   02               1045        41      140
D WATSCO INC                     COMMON     942622200    34966     684258 SH  -    DEFINED 04             458430         0   225828
D WATSCO INC                     COMMON     942622200     3147      61593 SH  -    DEFINED 04              61593         0        0
D WATSCO INC                     COMMON     942622200     1104      21600 SH  -    DEFINED 04              21600         0        0
D WATSCO INC                     COMMON     942622200       61       1194 SH  -    OTHER   04                  0      1194        0
D WATSCO INC                     COMMON     942622200      355       6951 SH  -    DEFINED 05               6951         0        0
D WATSCO INC                     COMMON     942622200      197       3862 SH  -    DEFINED 08               3862         0        0
D WATSCO INC                     COMMON     942622200       99       1939 SH  -    DEFINED 01               1900         0       39
D WATSCO INC                     COMMON     942622200       10        200 SH  -    OTHER   01                  0       125       75
D WATSON PHARMACEUTICALS INC     COMMON     942683103       45        660 SH  -    DEFINED 02                660         0        0
D WATSON PHARMACEUTICALS INC     COMMON     942683103        1         15 SH  -    DEFINED 02                 15         0        0
D WATSON PHARMACEUTICALS INC     COMMON     942683103      113       1658 SH  -    DEFINED 02               1450         0      208
D WATSON PHARMACEUTICALS INC     COMMON     942683103      356       5223 SH  -    OTHER   02                 32      5191        0
D WATSON PHARMACEUTICALS INC     COMMON     942683103        1         18 SH  -    OTHER   02                  0         5       13
D WATSON PHARMACEUTICALS INC     COMMON     942683103    14057     205959 SH  -    DEFINED 04             202357         0     3602
D WATSON PHARMACEUTICALS INC     COMMON     942683103     2860      41909 SH  -    DEFINED 04              41909         0        0
D WATSON PHARMACEUTICALS INC     COMMON     942683103     4018      58873 SH  -    DEFINED 04              34047         0    24826
D WATSON PHARMACEUTICALS INC     COMMON     942683103      998      14626 SH  -    DEFINED 05              14626         0        0
D WATSON PHARMACEUTICALS INC     COMMON     942683103    15234     223205 SH  -    DEFINED 09             207987     15218        0
D WATSON PHARMACEUTICALS INC     COMMON     942683103     1071      15690 SH  -    DEFINED 09              15690         0        0
D WATSON PHARMACEUTICALS INC     COMMON     942683103     7409     108558 SH  -    DEFINED 09             108558         0        0
D WATSON PHARMACEUTICALS INC     COMMON     942683103      177       2587 SH  -    OTHER   09                  0      2587        0
D WATSON PHARMACEUTICALS INC     COMMON     942683103      253       3700 SH  -    OTHER   01               3700         0        0
D WATSON PHARMACEUTICALS INC     COMMON     942683103       98       1439 SH  -    OTHER   10                  0         0     1439
D WATSON PHARMACEUTICALS INC     OPTION     942683905      150       2200 SH  C    DEFINED 05               2200         0        0
D WATTS WATER TECHNOLOGIES INC   COMMON     942749102      408      15300 SH  -    DEFINED 04              12200         0     3100

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 853
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WATTS WATER TECHNOLOGIES INC   COMMON     942749102      833      31241 SH  -    DEFINED 04              31241         0        0
D WATTS WATER TECHNOLOGIES INC   COMMON     942749102     1185      44450 SH  -    DEFINED 05              44450         0        0
D WATTS WATER TECHNOLOGIES INC   COMMON     942749102     1161      43569 SH  -    DEFINED 08              43569         0        0
D WAUSAU PAPER CORP              COMMON     943315101        6        943 SH  -    OTHER   02                  0       943        0
D WAUSAU PAPER CORP              COMMON     943315101        0         44 SH  -    OTHER   02                  0        44        0
D WAUSAU PAPER CORP              COMMON     943315101      218      34093 SH  -    DEFINED 04              34093         0        0
D WAUSAU PAPER CORP              COMMON     943315101      146      22918 SH  -    DEFINED 05              22918         0        0
D WAUSAU PAPER CORP              COMMON     943315101       13       2019 SH  -    OTHER   10                  0         0     2019
D WEBSENSE INC                   COMMON     947684106        4        259 SH  -    DEFINED 02                  0       259        0
D WEBSENSE INC                   COMMON     947684106     2617     151292 SH  -    OTHER   02                  0    151292        0
D WEBSENSE INC                   COMMON     947684106       10        551 SH  -    OTHER   02                  0         0      551
D WEBSENSE INC                   COMMON     947684106     2333     134875 SH  -    DEFINED 04             114175         0    20700
D WEBSENSE INC                   COMMON     947684106      503      29092 SH  -    DEFINED 04              29092         0        0
D WEBSENSE INC                   COMMON     947684106      321      18582 SH  -    DEFINED 05              18582         0        0
D WEBMD HEALTH CORP              COMMON     94770V102       18        585 SH  -    OTHER   02                  0       130      455
D WEBMD HEALTH CORP              COMMON     94770V102       14        455 SH  -    OTHER   02                  0         0      455
D WEBMD HEALTH CORP              COMMON     94770V102      997      33060 SH  -    DEFINED 05              33060         0        0
D WEBMD HEALTH CORP              COMMON     94770V102    10275     340785 SH  -    OTHER   10                  0         0   340785
D WEBSTER FINL CORP              COMMON     947890109       15        987 SH  -    OTHER   02                  0       987        0
D WEBSTER FINL CORP              COMMON     947890109        5        327 SH  -    OTHER   02                  0         0      327
D WEBSTER FINL CORP              COMMON     947890109     1907     124664 SH  -    DEFINED 04             124664         0        0
D WEBSTER FINL CORP              COMMON     947890109       17       1125 SH  -    DEFINED 05               1125         0        0
D WEBSTER FINL CORP              COMMON     947890109      101       6597 SH  -    DEFINED 08               6597         0        0
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106       62       1072 SH  -    OTHER   02                 38       475      559
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106    11833     203143 SH  -    DEFINED 04             188743         0    14400
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106     1209      20754 SH  -    DEFINED 04              20754         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 854
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106      172       2948 SH  -    DEFINED 04               2948         0        0
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106     2835      48666 SH  -    DEFINED 04              27608         0    21058
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106      497       8524 SH  -    OTHER   04                  0      8524        0
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106       51        882 SH  -    DEFINED 05                882         0        0
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106    11356     194961 SH  -    DEFINED 09             182810     12151        0
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106      722      12392 SH  -    DEFINED 09              12392         0        0
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106     5236      89888 SH  -    DEFINED 09              89888         0        0
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106      130       2237 SH  -    OTHER   09                  0      2237        0
D WEIGHT WATCHERS INTL INC NEW   COMMON     948626106       10        177 SH  -    OTHER   10                  0         0      177
D WEINGARTEN RLTY INVS           COMMON     948741103      900      42500 SH  -    DEFINED 02              42500         0        0
D WEINGARTEN RLTY INVS           COMMON     948741103     9127     431125 SH  -    DEFINED 04             373449         0    57676
D WEINGARTEN RLTY INVS           COMMON     948741103     1816      85764 SH  -    DEFINED 04              85764         0        0
D WEINGARTEN RLTY INVS           COMMON     948741103      315      14900 SH  -    DEFINED 04              14900         0        0
D WEINGARTEN RLTY INVS           COMMON     948741103       70       3300 SH  -    DEFINED 04               3300         0        0
D WEINGARTEN RLTY INVS           COMMON     948741103     3482     164500 SH  -    DEFINED 04             142800         0        0
D WEINGARTEN RLTY INVS           COMMON     948741103       60       2826 SH  -    DEFINED 05               2826         0        0
D WEINGARTEN RLTY INVS           COMMON     948741103       14        646 SH  -    DEFINED 06                646         0        0
D WEINGARTEN RLTY INVS           COMMON     948741103       58       2736 SH  -    DEFINED 08               2736         0        0
D WEINGARTEN RLTY INVS           COMMON     948741103       37       1760 SH  -    DEFINED 09               1760         0        0
D WEINGARTEN RLTY INVS           COMMON     948741103      229      10800 SH  -    OTHER   09                  0     10800        0
D WEINGARTEN RLTY INVS           OPTION     948741905     2117     100000 SH  C    DEFINED 05             100000         0        0
D WELLCARE HEALTH PLANS INC      COMMON     94946T106       27        698 SH  -    OTHER   02                  0       188      510
D WELLCARE HEALTH PLANS INC      COMMON     94946T106    38776    1020961 SH  -    DEFINED 04             943561         0    77400
D WELLCARE HEALTH PLANS INC      COMMON     94946T106     7022     184874 SH  -    DEFINED 04             184874         0        0
D WELLCARE HEALTH PLANS INC      COMMON     94946T106      132       3466 SH  -    DEFINED 05               3466         0        0
D WELLCARE HEALTH PLANS INC      COMMON     94946T106      337       8868 SH  -    DEFINED 08               8868         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 855
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WELLCARE HEALTH PLANS INC      COMMON     94946T106        5        138 SH  -    OTHER   10                  0         0      138
D WELLPOINT INC                  COMMON     94973V107      736      11278 SH  -    DEFINED 02               7558        25     3695
D WELLPOINT INC                  COMMON     94973V107      438       6717 SH  -    DEFINED 02               6717         0        0
D WELLPOINT INC                  COMMON     94973V107      289       4426 SH  -    DEFINED 02               4157         0      269
D WELLPOINT INC                  COMMON     94973V107     1303      19958 SH  -    OTHER   02               8242     10879      738
D WELLPOINT INC                  COMMON     94973V107      142       2177 SH  -    OTHER   02               1791       115      271
D WELLPOINT INC                  COMMON     94973V107    46585     713615 SH  -    DEFINED 04             463094         0   250521
D WELLPOINT INC                  COMMON     94973V107    10607     162485 SH  -    DEFINED 04             162485         0        0
D WELLPOINT INC                  COMMON     94973V107     5079      77800 SH  -    DEFINED 04              77800         0        0
D WELLPOINT INC                  COMMON     94973V107     3505      53699 SH  -    DEFINED 04              30951         0    22748
D WELLPOINT INC                  COMMON     94973V107      151       2318 SH  -    OTHER   04                  0      2318        0
D WELLPOINT INC                  COMMON     94973V107    14015     214693 SH  -    DEFINED 05             214693         0        0
D WELLPOINT INC                  COMMON     94973V107      104       1592 SH  -    DEFINED 06               1592         0        0
D WELLPOINT INC                  COMMON     94973V107     4050      62034 SH  -    DEFINED 08              62034         0        0
D WELLPOINT INC                  COMMON     94973V107    15189     232669 SH  -    DEFINED 09             218412     14257        0
D WELLPOINT INC                  COMMON     94973V107     1004      15373 SH  -    DEFINED 09              15373         0        0
D WELLPOINT INC                  COMMON     94973V107     7270     111366 SH  -    DEFINED 09             111366         0        0
D WELLPOINT INC                  COMMON     94973V107     2555      39143 SH  -    OTHER   09                  0     39143        0
D WELLPOINT INC                  COMMON     94973V107        1         15 SH  -    DEFINED 01                 15         0        0
D WELLPOINT INC                  COMMON     94973V107        3         40 SH  -    OTHER   01                  0        40        0
D WELLPOINT INC                  COMMON     94973V107       56        853 SH  -    OTHER   10                  0         0      853
D WELLPOINT INC                  OPTION     94973V909    13794     211300 SH  C    DEFINED 05             211300         0        0
D WELLPOINT INC                  OPTION     94973V958     1306      20000 SH  P    DEFINED 05              20000         0        0
D WELLS FARGO & CO               COMMON     949746101    55070    2283167 SH  -    DEFINED 02            1966948     17189   299030
D WELLS FARGO & CO               COMMON     949746101    29734    1232737 SH  -    DEFINED 02            1202359       873    29505
D WELLS FARGO & CO               COMMON     949746101    12275     508917 SH  -    DEFINED 02             508917         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 856
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WELLS FARGO & CO               COMMON     949746101     3571     148070 SH  -    DEFINED 02              84014         0    64056
D WELLS FARGO & CO               COMMON     949746101    29052    1204476 SH  -    OTHER   02             715694    411463    76767
D WELLS FARGO & CO               COMMON     949746101    12453     516304 SH  -    OTHER   02             453641     10480    52183
D WELLS FARGO & CO               COMMON     949746101     1295      53708 SH  -    OTHER   02                  0     53708        0
D WELLS FARGO & CO               COMMON     949746101      375      15566 SH  -    OTHER   02                  0     15566        0
D WELLS FARGO & CO               COMMON     949746101     1740      72150 SH  -    OTHER   02                  0     72150        0
D WELLS FARGO & CO               COMMON     949746101       61       2533 SH  -    OTHER   02                  0      2533        0
D WELLS FARGO & CO               COMMON     949746101  1158053   48012129 SH  -    DEFINED 04           39156090         0  8856039
D WELLS FARGO & CO               COMMON     949746101    55339    2294338 SH  -    DEFINED 04            2294338         0        0
D WELLS FARGO & CO               COMMON     949746101    89711    3719349 SH  -    DEFINED 04            3719349         0        0
D WELLS FARGO & CO               COMMON     949746101      478      19838 SH  -    DEFINED 04              19838         0        0
D WELLS FARGO & CO               COMMON     949746101    10380     430368 SH  -    DEFINED 04             430368         0        0
D WELLS FARGO & CO               COMMON     949746101    85754    3555327 SH  -    DEFINED 04            3276476         0   218267
D WELLS FARGO & CO               COMMON     949746101      683      28336 SH  -    DEFINED 04                  0         0    28336
D WELLS FARGO & CO               COMMON     949746101        7        275 SH  -    OTHER   04                  0       275        0
D WELLS FARGO & CO               COMMON     949746101    38433    1593409 SH  -    OTHER   04                  0   1593409        0
D WELLS FARGO & CO               COMMON     949746101    44156    1830681 SH  -    DEFINED 05            1830681         0        0
D WELLS FARGO & CO               COMMON     949746101     1176      48754 SH  -    DEFINED 06              48754         0        0
D WELLS FARGO & CO               COMMON     949746101   155296    6438490 SH  -    DEFINED 08            6438490         0        0
D WELLS FARGO & CO               COMMON     949746101   205860    8534813 SH  -    DEFINED 09            8229227    119194   121401
D WELLS FARGO & CO               COMMON     949746101     4416     183086 SH  -    DEFINED 09             176954         0     6132
D WELLS FARGO & CO               COMMON     949746101    37917    1572002 SH  -    DEFINED 09            1130238         0        0
D WELLS FARGO & CO               COMMON     949746101    10194     422640 SH  -    DEFINED 09             145224         0        0
D WELLS FARGO & CO               COMMON     949746101    14424     598000 SH  -    OTHER   09                  0    598000        0
D WELLS FARGO & CO               COMMON     949746101    27492    1139796 SH  -    DEFINED 01            1094646      7945    37205
D WELLS FARGO & CO               COMMON     949746101     1181      48976 SH  -    OTHER   01              25637      9787    13552

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 857
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WELLS FARGO & CO               COMMON     949746101    60174    2494778 SH  -    OTHER   10                  0         0  2494778
D WELLS FARGO & CO NEW           WARRANT    949746119       96      12500 SH  -    OTHER   10                  0         0    12500
D WELLS FARGO & CO NEW           PREF CONV  949746804      103        100 SH  -    DEFINED 02                  0         0        0
D WELLS FARGO & CO NEW           PREF CONV  949746804        4          4 SH  -    DEFINED 02                  0         0        0
D WELLS FARGO & CO NEW           PREF CONV  949746804      367        356 SH  -    DEFINED 04                  0         0        0
D WELLS FARGO & CO NEW           PREF CONV  949746804    13519      13100 SH  -    DEFINED 07                  0         0        0
D WELLS FARGO & CO NEW           PREF CONV  949746804    19241      18644 SH  -    DEFINED 09                  0         0        0
D WELLS FARGO & CO NEW           PREF CONV  949746804     6249       6055 SH  -    OTHER   10                  0         0        0
D WELLS FARGO & CO               OPTION     949746903   102042    4230600 SH  C    DEFINED 05            4230600         0        0
D WELLS FARGO & CO               OPTION     949746903     5702     236400 SH  C    DEFINED 08             236400         0        0
D WELLS FARGO & CO               OPTION     949746952    95966    3978700 SH  P    DEFINED 05            3978700         0        0
D WELLS FARGO & CO               OPTION     949746952     9834     407700 SH  P    DEFINED 08             407700         0        0
D WENDYS CO                      COMMON     95058W100       56      12163 SH  -    OTHER   02              12000       163        0
D WENDYS CO                      COMMON     95058W100       11       2500 SH  -    OTHER   02                  0         0     2500
D WENDYS CO                      COMMON     95058W100       93      20183 SH  -    DEFINED 04              20183         0        0
D WENDYS CO                      COMMON     95058W100       45       9805 SH  -    DEFINED 05               9805         0        0
D WENDYS CO                      COMMON     95058W100      115      25017 SH  -    DEFINED 08              25017         0        0
D WENDYS CO                      COMMON     95058W100        1        239 SH  -    OTHER   01                  0       239        0
D WENDYS CO                      COMMON     95058W100      318      69242 SH  -    OTHER   10                  0         0    69242
D WENDYS CO                      OPTION     95058W902      207      45000 SH  C    DEFINED 05              45000         0        0
D WERNER ENTERPRISES             COMMON     950755108        7        335 SH  -    OTHER   02                  0         0      335
D WERNER ENTERPRISES             COMMON     950755108      323      15500 SH  -    DEFINED 04              15500         0        0
D WERNER ENTERPRISES             COMMON     950755108     1577      75700 SH  -    DEFINED 04              75700         0        0
D WERNER ENTERPRISES             COMMON     950755108      103       4952 SH  -    DEFINED 05               4952         0        0
D WERNER ENTERPRISES             COMMON     950755108      186       8929 SH  -    DEFINED 08               8929         0        0
D WESBANCO INC                   COMMON     950810101      142       8188 SH  -    DEFINED 02               2250         0     5938

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 858
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WESBANCO INC                   COMMON     950810101       99       5700 SH  -    OTHER   02               5700         0        0
D WESBANCO INC                   COMMON     950810101     1317      76090 SH  -    DEFINED 04              68690         0     7400
D WESBANCO INC                   COMMON     950810101        7        383 SH  -    DEFINED 05                383         0        0
D WESBANCO INC                   COMMON     950810101       23       1357 SH  -    DEFINED 08               1357         0        0
D WESCO AIRCRAFT HLDGS INC       COMMON     950814103     4198     384075 SH  -    DEFINED 04             341375         0    42700
D WESCO AIRCRAFT HLDGS INC       COMMON     950814103      478      43743 SH  -    DEFINED 05              43743         0        0
D WESCO INTL INC                 BOND       95082PAH8   114612   80855000 PRN -    DEFINED 05                  0         0        0
D WESCO INTL INC                 COMMON     95082P105       32        959 SH  -    OTHER   02                  0       959        0
D WESCO INTL INC                 COMMON     95082P105        9        275 SH  -    OTHER   02                  0         0      275
D WESCO INTL INC                 COMMON     95082P105      267       7950 SH  -    DEFINED 04               7950         0        0
D WESCO INTL INC                 COMMON     95082P105     3154      94000 SH  -    DEFINED 04              94000         0        0
D WESCO INTL INC                 COMMON     95082P105        1         26 SH  -    OTHER   04                  0        26        0
D WESCO INTL INC                 COMMON     95082P105      332       9906 SH  -    DEFINED 05               9906         0        0
D WESCO INTL INC                 COMMON     95082P105      510      15195 SH  -    DEFINED 08              15195         0        0
D WESCO INTL INC                 COMMON     95082P105        5        147 SH  -    OTHER   01                  0       147        0
D WESCO INTL INC                 COMMON     95082P105     2182      65041 SH  -    OTHER   10                  0         0    65041
D WEST BANCORPORATION INC        COMMON     95123P106        5        563 SH  -    OTHER   02                  0       563        0
D WEST BANCORPORATION INC        COMMON     95123P106     1698     200265 SH  -    DEFINED 04             184865         0    15400
D WEST BANCORPORATION INC        COMMON     95123P106       80       9400 SH  -    DEFINED 04               9400         0        0
D WEST BANCORPORATION INC        COMMON     95123P106        8        910 SH  -    DEFINED 08                910         0        0
D WEST COAST BANCORP ORE NEW     COMMON     952145209        7        469 SH  -    OTHER   02                  0       469        0
D WEST COAST BANCORP ORE NEW     COMMON     952145209      732      52260 SH  -    DEFINED 04              52260         0        0
D WEST COAST BANCORP ORE NEW     COMMON     952145209      359      25660 SH  -    DEFINED 04              25660         0        0
D WEST COAST BANCORP ORE NEW     COMMON     952145209        4        278 SH  -    DEFINED 05                278         0        0
D WEST PHARMACEUTICAL SVSC INC   COMMON     955306105       43       1160 SH  -    OTHER   02                  0       390      770
D WEST PHARMACEUTICAL SVSC INC   COMMON     955306105       59       1585 SH  -    OTHER   02                  0         0     1585

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 859
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WEST PHARMACEUTICAL SVSC INC   COMMON     955306105      147       3967 SH  -    DEFINED 04               3967         0        0
D WEST PHARMACEUTICAL SVSC INC   COMMON     955306105      583      15716 SH  -    DEFINED 05              15716         0        0
D WESTAR ENERGY INC              COMMON     95709T100       34       1300 SH  -    DEFINED 02               1300         0        0
D WESTAR ENERGY INC              COMMON     95709T100       10        380 SH  -    OTHER   02                  0       380        0
D WESTAR ENERGY INC              COMMON     95709T100       22        850 SH  -    OTHER   02                  0         0      850
D WESTAR ENERGY INC              COMMON     95709T100   113799    4307295 SH  -    DEFINED 04            4148195         0   159100
D WESTAR ENERGY INC              COMMON     95709T100     1796      67966 SH  -    DEFINED 04              67966         0        0
D WESTAR ENERGY INC              COMMON     95709T100     2504      94790 SH  -    DEFINED 04              94790         0        0
D WESTAR ENERGY INC              COMMON     95709T100     1394      52757 SH  -    OTHER   04                  0     52757        0
D WESTAR ENERGY INC              COMMON     95709T100     7159     270983 SH  -    OTHER   04                  0    270983        0
D WESTAR ENERGY INC              COMMON     95709T100       48       1819 SH  -    DEFINED 05               1819         0        0
D WESTAR ENERGY INC              COMMON     95709T100     1321      50000 SH  -    DEFINED 08              50000         0        0
D WESTAR ENERGY INC              COMMON     95709T100        3        107 SH  -    OTHER   01                  0       107        0
D WESTAR ENERGY INC              COMMON     95709T100       57       2155 SH  -    OTHER   10                  0         0     2155
D WESTAMERICA BANCP              COMMON     957090103        3         79 SH  -    OTHER   02                  0        79        0
D WESTAMERICA BANCP              COMMON     957090103        8        196 SH  -    OTHER   02                  0         0      196
D WESTAMERICA BANCP              COMMON     957090103      981      25600 SH  -    DEFINED 04              20900         0     4700
D WESTAMERICA BANCP              COMMON     957090103     1322      34505 SH  -    DEFINED 04              34505         0        0
D WESTAMERICA BANCP              COMMON     957090103       17        438 SH  -    DEFINED 05                438         0        0
D WESTAMERICA BANCP              COMMON     957090103       95       2471 SH  -    DEFINED 08               2471         0        0
D WESTELL TECHNOLOGI             COMMON     957541105        0        124 SH  -    OTHER   02                  0       124        0
D WESTELL TECHNOLOGI             COMMON     957541105      227     105229 SH  -    DEFINED 04              79729         0    25500
D WESTELL TECHNOLOGI             COMMON     957541105        0          1 SH  -    DEFINED 05                  1         0        0
D WESTELL TECHNOLOGI             COMMON     957541105        7       3106 SH  -    DEFINED 08               3106         0        0
D WESTERN ALLIANCE BANCORP       COMMON     957638109    19205    3504582 SH  -    DEFINED 04            3265149         0   239433
D WESTERN ALLIANCE BANCORP       COMMON     957638109       23       4108 SH  -    DEFINED 08               4108         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 860
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WESTN DIGITAL CORP             COMMON     958102105      280      10873 SH  -    DEFINED 02                  0      3973     6900
D WESTN DIGITAL CORP             COMMON     958102105       14        541 SH  -    DEFINED 02                541         0        0
D WESTN DIGITAL CORP             COMMON     958102105       73       2836 SH  -    DEFINED 02               2688         0      148
D WESTN DIGITAL CORP             COMMON     958102105      522      20307 SH  -    OTHER   02               3888     15753      666
D WESTN DIGITAL CORP             COMMON     958102105       11        427 SH  -    OTHER   02                427         0        0
D WESTN DIGITAL CORP             COMMON     958102105      560      21769 SH  -    OTHER   02                  0     21769        0
D WESTN DIGITAL CORP             COMMON     958102105     9118     354503 SH  -    DEFINED 04             181127         0   173376
D WESTN DIGITAL CORP             COMMON     958102105     2997     116542 SH  -    DEFINED 04             116542         0        0
D WESTN DIGITAL CORP             COMMON     958102105       20        790 SH  -    DEFINED 04                790         0        0
D WESTN DIGITAL CORP             COMMON     958102105       21        800 SH  -    DEFINED 04                800         0        0
D WESTN DIGITAL CORP             COMMON     958102105       13        524 SH  -    DEFINED 04                  0         0      524
D WESTN DIGITAL CORP             COMMON     958102105      112       4346 SH  -    DEFINED 05               4346         0        0
D WESTN DIGITAL CORP             COMMON     958102105      193       7502 SH  -    DEFINED 09               7502         0        0
D WESTN DIGITAL CORP             COMMON     958102105       15        575 SH  -    OTHER   10                  0         0      575
D WESTERN GAS PARTNERS LP        COMMON     958254104      115       3400 SH  -    DEFINED 02               3400         0        0
D WESTERN GAS PARTNERS LP        COMMON     958254104     2152      63740 SH  -    OTHER   02               1800     61940        0
D WESTERN GAS PARTNERS LP        COMMON     958254104      395      11700 SH  -    OTHER   02                  0     11700        0
D WESTERN GAS PARTNERS LP        COMMON     958254104      366      10845 SH  -    OTHER   01                  0     10845        0
D WESTERN GAS PARTNERS LP        COMMON     958254104    30617     906621 SH  -    DEFINED 10             906621         0        0
D WESTERN GAS PARTNERS LP        COMMON     958254104      263       7780 SH  -    OTHER   10                  0         0     7780
D WESTERN REFNG INC              COMMON     959319104       22       1770 SH  -    OTHER   02                  0        89     1635
D WESTERN REFNG INC              COMMON     959319104     2824     226625 SH  -    DEFINED 04             177925         0    48700
D WESTERN REFNG INC              COMMON     959319104       18       1457 SH  -    DEFINED 05               1457         0        0
D WESTERN REFNG INC              COMMON     959319104      463      37198 SH  -    DEFINED 08              37198         0        0
D WESTERN REFNG INC              COMMON     959319104       16       1268 SH  -    OTHER   10                  0         0     1268
D WESTERN UN CO                  COMMON     959802109      100       6558 SH  -    DEFINED 02               6558         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 861
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WESTERN UN CO                  COMMON     959802109      117       7649 SH  -    DEFINED 02               7234         0      415
D WESTERN UN CO                  COMMON     959802109      440      28761 SH  -    OTHER   02               2700     24660     1401
D WESTERN UN CO                  COMMON     959802109       28       1863 SH  -    OTHER   02               1134        28      701
D WESTERN UN CO                  COMMON     959802109    22761    1488604 SH  -    DEFINED 04            1206633         0   281971
D WESTERN UN CO                  COMMON     959802109     4888     319710 SH  -    DEFINED 04             319710         0        0
D WESTERN UN CO                  COMMON     959802109     1868     122200 SH  -    DEFINED 04             122200         0        0
D WESTERN UN CO                  COMMON     959802109       20       1326 SH  -    DEFINED 04                  0         0     1326
D WESTERN UN CO                  COMMON     959802109     2868     187567 SH  -    DEFINED 05             187567         0        0
D WESTERN UN CO                  COMMON     959802109       20       1308 SH  -    OTHER   10                  0         0     1308
D WESTERN UN CO                  OPTION     959802901       15       1000 SH  C    DEFINED 05               1000         0        0
D WESTLAKE CHEM CORP             COMMON     960413102       10        281 SH  -    OTHER   02                  0       281        0
D WESTLAKE CHEM CORP             COMMON     960413102     5120     149352 SH  -    DEFINED 04             135952         0    13400
D WESTLAKE CHEM CORP             COMMON     960413102      967      28221 SH  -    DEFINED 04              28221         0        0
D WESTLAKE CHEM CORP             COMMON     960413102       10        303 SH  -    DEFINED 05                303         0        0
D WESTMORELAND COAL CO           COMMON     960878106        2        236 SH  -    OTHER   02                  0       236        0
D WESTMORELAND COAL CO           COMMON     960878106      171      22000 SH  -    DEFINED 04              22000         0        0
D WESTMORELAND COAL CO           COMMON     960878106        0          1 SH  -    DEFINED 05                  1         0        0
D WESTMORELAND COAL CO           COMMON     960878106        5        581 SH  -    DEFINED 08                581         0        0
D WESTWOOD ONE INC               COMMON     961815305      247      68109 SH  -    DEFINED 02              68109         0        0
D WESTWOOD ONE INC               COMMON     961815305        1        297 SH  -    DEFINED 08                297         0        0
D WEYERHAEUSER CO                COMMON     962166104      227      14569 SH  -    DEFINED 02                150     14419        0
D WEYERHAEUSER CO                COMMON     962166104       22       1414 SH  -    DEFINED 02               1414         0        0
D WEYERHAEUSER CO                COMMON     962166104      103       6626 SH  -    DEFINED 02               6208         0      418
D WEYERHAEUSER CO                COMMON     962166104      549      35322 SH  -    OTHER   02               8648     21907     4767
D WEYERHAEUSER CO                COMMON     962166104       33       2131 SH  -    OTHER   02               1774        38      319
D WEYERHAEUSER CO                COMMON     962166104     1491      95895 SH  -    DEFINED 04              80473         0    15422

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 862
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WEYERHAEUSER CO                COMMON     962166104     1348      86703 SH  -    DEFINED 04              86703         0        0
D WEYERHAEUSER CO                COMMON     962166104     2815     181005 SH  -    DEFINED 05             181005         0        0
D WEYERHAEUSER CO                COMMON     962166104      280      17988 SH  -    DEFINED 06              17988         0        0
D WEYERHAEUSER CO                COMMON     962166104     1580     101634 SH  -    DEFINED 08             101634         0        0
D WEYERHAEUSER CO                COMMON     962166104        2        151 SH  -    OTHER   01                  0       151        0
D WEYERHAEUSER CO                COMMON     962166104        6        415 SH  -    OTHER   10                  0         0      415
D WEYERHAEUSER CO                OPTION     962166906     1555     100000 SH  C    DEFINED 05             100000         0        0
D WHIRLPOOL CORP                 COMMON     963320106        9        176 SH  -    DEFINED 02                176         0        0
D WHIRLPOOL CORP                 COMMON     963320106     4277      85700 SH  -    DEFINED 02              85700         0        0
D WHIRLPOOL CORP                 COMMON     963320106       45        907 SH  -    DEFINED 02                881         0       26
D WHIRLPOOL CORP                 COMMON     963320106       57       1137 SH  -    OTHER   02                400       737        0
D WHIRLPOOL CORP                 COMMON     963320106       29        584 SH  -    OTHER   02                  0        26      558
D WHIRLPOOL CORP                 COMMON     963320106    11664     233700 SH  -    DEFINED 04             110813         0   122887
D WHIRLPOOL CORP                 COMMON     963320106     1948      39031 SH  -    DEFINED 04              39031         0        0
D WHIRLPOOL CORP                 COMMON     963320106       35        707 SH  -    DEFINED 04                707         0        0
D WHIRLPOOL CORP                 COMMON     963320106       17        350 SH  -    DEFINED 04                350         0        0
D WHIRLPOOL CORP                 COMMON     963320106       24        473 SH  -    DEFINED 04                  0         0      473
D WHIRLPOOL CORP                 COMMON     963320106      218       4373 SH  -    OTHER   04                  0      4373        0
D WHIRLPOOL CORP                 COMMON     963320106      120       2409 SH  -    DEFINED 05               2409         0        0
D WHIRLPOOL CORP                 COMMON     963320106      281       5630 SH  -    DEFINED 08               5630         0        0
D WHIRLPOOL CORP                 COMMON     963320106       91       1828 SH  -    DEFINED 09               1828         0        0
D WHIRLPOOL CORP                 OPTION     963320908     1467      29400 SH  C    DEFINED 05              29400         0        0
D WHIRLPOOL CORP                 OPTION     963320957     1467      29400 SH  P    DEFINED 05              29400         0        0
D WHITING PETE CORP NEW          COMMON     966387102        4        118 SH  -    DEFINED 02                118         0        0
D WHITING PETE CORP NEW          COMMON     966387102      276       7878 SH  -    OTHER   02                  0      4428     3450
D WHITING PETE CORP NEW          COMMON     966387102    13368     381077 SH  -    DEFINED 04             176362         0   204715

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 863
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WHITING PETE CORP NEW          COMMON     966387102    12156     346510 SH  -    DEFINED 04             346510         0        0
D WHITING PETE CORP NEW          COMMON     966387102     2293      65362 SH  -    DEFINED 04              65362         0        0
D WHITING PETE CORP NEW          COMMON     966387102       12        334 SH  -    OTHER   04                  0       334        0
D WHITING PETE CORP NEW          COMMON     966387102      116       3311 SH  -    DEFINED 05               3311         0        0
D WHITING PETE CORP NEW          COMMON     966387102       49       1399 SH  -    DEFINED 06               1399         0        0
D WHITING PETE CORP NEW          COMMON     966387102      695      19798 SH  -    DEFINED 08              19798         0        0
D WHITING PETE CORP NEW          COMMON     966387102      741      21114 SH  -    OTHER   10                  0         0    21114
D WHITING PETE CORP NEW          OPTION     966387904      323       9200 SH  C    DEFINED 05               9200         0        0
D WHITING PETE CORP NEW          OPTION     966387953      323       9200 SH  P    DEFINED 05               9200         0        0
D WHOLE FOODS MARKET             COMMON     966837106       11        174 SH  -    DEFINED 02                174         0        0
D WHOLE FOODS MARKET             COMMON     966837106        4         68 SH  -    DEFINED 02                 68         0        0
D WHOLE FOODS MARKET             COMMON     966837106      126       1936 SH  -    DEFINED 02               1817         0      119
D WHOLE FOODS MARKET             COMMON     966837106      867      13279 SH  -    OTHER   02               4447      8291      541
D WHOLE FOODS MARKET             COMMON     966837106       49        756 SH  -    OTHER   02                  9        33      714
D WHOLE FOODS MARKET             COMMON     966837106     1833      28073 SH  -    DEFINED 04              23558         0     4515
D WHOLE FOODS MARKET             COMMON     966837106     1555      23812 SH  -    DEFINED 04              23812         0        0
D WHOLE FOODS MARKET             COMMON     966837106     1723      26378 SH  -    DEFINED 05              26378         0        0
D WHOLE FOODS MARKET             COMMON     966837106        3         52 SH  -    OTHER   01                  0        52        0
D WHOLE FOODS MARKET             COMMON     966837106     1549      23721 SH  -    OTHER   10                  0         0    23721
D WHOLE FOODS MARKET             OPTION     966837908     1698      26000 SH  C    DEFINED 05              26000         0        0
D WHOLE FOODS MARKET             OPTION     966837957     1587      24300 SH  P    DEFINED 05              24300         0        0
D WHOLE FOODS MARKET             OPTION     966837957    12344     189000 SH  P    DEFINED 08             189000         0        0
D WILEY JOHN & SONS INC          COMMON     968223206     2272      51142 SH  -    OTHER   02                  0     51142        0
D WILEY JOHN & SONS INC          COMMON     968223206        0          3 SH  -    OTHER   02                  0         3        0
D WILEY JOHN & SONS INC          COMMON     968223206      648      14594 SH  -    DEFINED 04              14594         0        0
D WILEY JOHN & SONS INC          COMMON     968223206     2890      65070 SH  -    DEFINED 04              65070         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 864
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WILEY JOHN & SONS INC          COMMON     968223206      132       2972 SH  -    DEFINED 05               2972         0        0
D WILEY JOHN & SONS INC          COMMON     968223206        2         38 SH  -    OTHER   10                  0         0       38
D WILLIAMS COS INC               COMMON     969457100    17536     720465 SH  -    DEFINED 02             621764      4071    94630
D WILLIAMS COS INC               COMMON     969457100     5689     233723 SH  -    DEFINED 02             225279       225     8219
D WILLIAMS COS INC               COMMON     969457100      683      28056 SH  -    DEFINED 02              13441         0    14615
D WILLIAMS COS INC               COMMON     969457100    13307     546717 SH  -    OTHER   02             262696    250796    33225
D WILLIAMS COS INC               COMMON     969457100     2040      83801 SH  -    OTHER   02              77291      5845      665
D WILLIAMS COS INC               COMMON     969457100      100       4102 SH  -    OTHER   02                  0      4102        0
D WILLIAMS COS INC               COMMON     969457100      104       4263 SH  -    OTHER   02                  0      4263        0
D WILLIAMS COS INC               COMMON     969457100      265      10880 SH  -    OTHER   02                  0     10880        0
D WILLIAMS COS INC               COMMON     969457100   315832   12975833 SH  -    DEFINED 04           10699391         0  2276442
D WILLIAMS COS INC               COMMON     969457100     9807     402903 SH  -    DEFINED 04             402903         0        0
D WILLIAMS COS INC               COMMON     969457100    18750     770320 SH  -    DEFINED 04             770320         0        0
D WILLIAMS COS INC               COMMON     969457100       16        676 SH  -    DEFINED 04                676         0        0
D WILLIAMS COS INC               COMMON     969457100     3742     153726 SH  -    DEFINED 04             153726         0        0
D WILLIAMS COS INC               COMMON     969457100     2632     108125 SH  -    DEFINED 04             108125         0        0
D WILLIAMS COS INC               COMMON     969457100      234       9619 SH  -    DEFINED 04                  0         0     9619
D WILLIAMS COS INC               COMMON     969457100     1336      54876 SH  -    OTHER   04                  0     54876        0
D WILLIAMS COS INC               COMMON     969457100    19337     794447 SH  -    OTHER   04                  0    794447        0
D WILLIAMS COS INC               COMMON     969457100    10120     415769 SH  -    DEFINED 05             415769         0        0
D WILLIAMS COS INC               COMMON     969457100      169       6954 SH  -    DEFINED 06               6954         0        0
D WILLIAMS COS INC               COMMON     969457100    30418    1249718 SH  -    DEFINED 08            1249718         0        0
D WILLIAMS COS INC               COMMON     969457100     4281     175893 SH  -    DEFINED 09             175893         0        0
D WILLIAMS COS INC               COMMON     969457100     3318     136300 SH  -    OTHER   09                  0    136300        0
D WILLIAMS COS INC               COMMON     969457100     1188      48822 SH  -    DEFINED 01              43602      2736     2484
D WILLIAMS COS INC               COMMON     969457100      653      26829 SH  -    OTHER   01              18825      3240     4764

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 865
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WILLIAMS COS INC               COMMON     969457100      404      16581 SH  -    OTHER   10                  0         0    16581
D WILLIAMS COS INC               OPTION     969457902     2573     105700 SH  C    DEFINED 05             105700         0        0
D WILLIAMS COS INC               OPTION     969457951     1779      73100 SH  P    DEFINED 05              73100         0        0
D CLAYTON WILLIAMS               COMMON     969490101     2372      55415 SH  -    DEFINED 04              42115         0    13300
D CLAYTON WILLIAMS               COMMON     969490101       13        297 SH  -    DEFINED 05                297         0        0
D CLAYTON WILLIAMS               COMMON     969490101       15        357 SH  -    DEFINED 08                357         0        0
D WILLIAMS PARTNERS L P          COMMON     96950F104       37        681 SH  -    DEFINED 02                681         0        0
D WILLIAMS PARTNERS L P          COMMON     96950F104       98       1800 SH  -    DEFINED 02               1800         0        0
D WILLIAMS PARTNERS L P          COMMON     96950F104     1940      35775 SH  -    OTHER   02               1125     34650        0
D WILLIAMS PARTNERS L P          COMMON     96950F104      392       7230 SH  -    OTHER   02                400      6350      480
D WILLIAMS PARTNERS L P          COMMON     96950F104      353       6500 SH  -    OTHER   01                  0      6500        0
D WILLIAMS PARTNERS L P          COMMON     96950F104    47307     872187 SH  -    DEFINED 10             872187         0        0
D WILLIAMS PARTNERS L P          COMMON     96950F104      670      12355 SH  -    OTHER   10                  0         0    12355
D WILLIAMS-SONOMA IN             COMMON     969904101        6        202 SH  -    OTHER   02                  0       202        0
D WILLIAMS-SONOMA IN             COMMON     969904101    32938    1069764 SH  -    DEFINED 04            1007613         0    62151
D WILLIAMS-SONOMA IN             COMMON     969904101     5400     175390 SH  -    DEFINED 04             175390         0        0
D WILLIAMS-SONOMA IN             COMMON     969904101       44       1429 SH  -    DEFINED 05               1429         0        0
D WILLIAMS-SONOMA IN             COMMON     969904101     2597      84333 SH  -    DEFINED 08              84333         0        0
D WILLIAMS-SONOMA IN             COMMON     969904101        2         69 SH  -    OTHER   10                  0         0       69
D WILLIAMS-SONOMA IN             OPTION     969904903       37       1200 SH  C    DEFINED 05               1200         0        0
D WILSHIRE BANCORP INC           COMMON     97186T108        3       1031 SH  -    OTHER   02                  0      1031        0
D WILSHIRE BANCORP INC           COMMON     97186T108     2178     795050 SH  -    DEFINED 04             705250         0    89800
D WILSHIRE BANCORP INC           COMMON     97186T108      613     223789 SH  -    DEFINED 04             223789         0        0
D WILSHIRE BANCORP INC           COMMON     97186T108       77      27950 SH  -    DEFINED 05              27950         0        0
D WINDSTREAM CORP                COMMON     97381W104      164      14052 SH  -    DEFINED 02              14052         0        0
D WINDSTREAM CORP                COMMON     97381W104       21       1811 SH  -    DEFINED 02               1811         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 866
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WINDSTREAM CORP                COMMON     97381W104       71       6116 SH  -    DEFINED 02               5877         0      239
D WINDSTREAM CORP                COMMON     97381W104      247      21173 SH  -    OTHER   02               2862     17311     1000
D WINDSTREAM CORP                COMMON     97381W104      848      72777 SH  -    OTHER   02              71935       179      663
D WINDSTREAM CORP                COMMON     97381W104     4479     384459 SH  -    DEFINED 04             349059         0    35400
D WINDSTREAM CORP                COMMON     97381W104     4033     346195 SH  -    DEFINED 04             346195         0        0
D WINDSTREAM CORP                COMMON     97381W104        7        627 SH  -    OTHER   04                  0       627        0
D WINDSTREAM CORP                COMMON     97381W104     2377     204073 SH  -    DEFINED 05             204073         0        0
D WINDSTREAM CORP                COMMON     97381W104      280      24000 SH  -    OTHER   01              24000         0        0
D WINDSTREAM CORP                COMMON     97381W104      854      73293 SH  -    OTHER   10                  0         0    73293
D WINN DIXIE STORES INC          COMMON     974280307       49       8308 SH  -    OTHER   02                  0       848     7460
D WINN DIXIE STORES INC          COMMON     974280307      133      22429 SH  -    OTHER   02                  0       960    21469
D WINN DIXIE STORES INC          COMMON     974280307        5        844 SH  -    DEFINED 05                844         0        0
D WINN DIXIE STORES INC          COMMON     974280307      211      35568 SH  -    DEFINED 08              35568         0        0
D WINN DIXIE STORES INC          COMMON     974280307        5        804 SH  -    OTHER   01                  0       804        0
D WINNEBAGO INDS INC             COMMON     974637100        2        265 SH  -    DEFINED 02                  0       265        0
D WINNEBAGO INDS INC             COMMON     974637100      108      15605 SH  -    OTHER   02                  0     15605        0
D WINNEBAGO INDS INC             COMMON     974637100        4        563 SH  -    OTHER   02                  0         0      563
D WINNEBAGO INDS INC             COMMON     974637100      140      20266 SH  -    DEFINED 04              20266         0        0
D WINNEBAGO INDS INC             COMMON     974637100       94      13598 SH  -    DEFINED 05              13598         0        0
D WINTHROP RLTY TR               COMMON     976391300      985     113300 SH  -    DEFINED 04             113300         0        0
D WINTHROP RLTY TR               COMMON     976391300        4        449 SH  -    DEFINED 05                449         0        0
D WINTRUST FINL CORP             COMMON     97650W108        4        162 SH  -    OTHER   02                  0       162        0
D WINTRUST FINL CORP             COMMON     97650W108      428      16579 SH  -    DEFINED 05              16579         0        0
D WIPRO                          ADR        97651M109       45       4820 SH  -    DEFINED 05               4820         0        0
D WIPRO                          ADR        97651M109     2963     320319 SH  -    DEFINED 08             320319         0        0
D WISCONSIN ENERGY               COMMON     976657106       68       2168 SH  -    DEFINED 02               2168         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 867
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WISCONSIN ENERGY               COMMON     976657106      423      13514 SH  -    DEFINED 02              12990         0      524
D WISCONSIN ENERGY               COMMON     976657106       89       2833 SH  -    DEFINED 02               2694         0      139
D WISCONSIN ENERGY               COMMON     976657106     1179      37669 SH  -    OTHER   02              25585      6574     5510
D WISCONSIN ENERGY               COMMON     976657106      787      25167 SH  -    OTHER   02              16690         7     8470
D WISCONSIN ENERGY               COMMON     976657106   108527    3468413 SH  -    DEFINED 04            3338722         0   129691
D WISCONSIN ENERGY               COMMON     976657106     1181      37729 SH  -    DEFINED 04              37729         0        0
D WISCONSIN ENERGY               COMMON     976657106     2378      76000 SH  -    DEFINED 04              76000         0        0
D WISCONSIN ENERGY               COMMON     976657106     1414      45203 SH  -    OTHER   04                  0     45203        0
D WISCONSIN ENERGY               COMMON     976657106     7253     231810 SH  -    OTHER   04                  0    231810        0
D WISCONSIN ENERGY               COMMON     976657106      136       4360 SH  -    DEFINED 05               4360         0        0
D WISCONSIN ENERGY               COMMON     976657106       52       1674 SH  -    OTHER   01               1674         0        0
D WISCONSIN ENERGY               COMMON     976657106       27        850 SH  -    OTHER   10                  0         0      850
D WISDOMTREE TRUST               COMMON     97717W125      948      19898 SH  -    OTHER   10                  0         0    19898
D WISDOMTREE TRUST               COMMON     97717W133      985      47625 SH  -    OTHER   10                  0         0    47625
D WISDOMTREE TRUST               COMMON     97717W182       91       3600 SH  -    OTHER   02               3600         0        0
D WISDOMTREE TRUST               COMMON     97717W182      632      25000 SH  -    DEFINED 05              25000         0        0
D WISDOMTREE TRUST               COMMON     97717W182      710      28072 SH  -    OTHER   10                  0         0    28072
D WISDOMTREE TRUST               COMMON     97717W315      225       4755 SH  -    DEFINED 02               4755         0        0
D WISDOMTREE TRUST               COMMON     97717W315     1744      36830 SH  -    OTHER   02              20715      9090     7025
D WISDOMTREE TRUST               COMMON     97717W315       32        675 SH  -    OTHER   02                  0       675        0
D WISDOMTREE TRUST               COMMON     97717W315       21        450 SH  -    OTHER   01                  0         0      450
D WISDOMTREE TRUST               COMMON     97717W315     4216      89038 SH  -    OTHER   10                  0         0    89038
D WISDOMTREE TRUST               COMMON     97717W422      910      50138 SH  -    DEFINED 02              50138         0        0
D WISDOMTREE TRUST               COMMON     97717W422      109       5978 SH  -    DEFINED 08               5978         0        0
D WISDOMTREE TRUST               COMMON     97717W422      105       5800 SH  -    OTHER   10                  0         0     5800
D WISDOMTREE TRUST               COMMON     97717W760      572      13134 SH  -    OTHER   10                  0         0    13134

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 868
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WISDOMTREE TRUST               COMMON     97717W794      800      21082 SH  -    OTHER   10                  0         0    21082
D WISDOMTREE TR                  COMMON     97717X305      267      18664 SH  -    OTHER   10                  0         0    18664
D WISDOMTREE TR                  COMMON     97717X867       96       2000 SH  -    OTHER   02               2000         0        0
D WISDOMTREE TR                  COMMON     97717X867      503      10453 SH  -    OTHER   10                  0         0    10453
D WOLVERINE WORLD WD             COMMON     978097103       21        621 SH  -    OTHER   02                100       521        0
D WOLVERINE WORLD WD             COMMON     978097103      628      18880 SH  -    DEFINED 04              18880         0        0
D WOLVERINE WORLD WD             COMMON     978097103      765      23011 SH  -    DEFINED 05              23011         0        0
D WOLVERINE WORLD WD             COMMON     978097103        1         45 SH  -    OTHER   01                  0        45        0
D WOODWARD INC                   COMMON     980745103        4        150 SH  -    DEFINED 02                150         0        0
D WOODWARD INC                   COMMON     980745103       10        362 SH  -    OTHER   02                  0       362        0
D WOODWARD INC                   COMMON     980745103       86       3130 SH  -    OTHER   02                  0         0     3130
D WOODWARD INC                   COMMON     980745103       24        884 SH  -    DEFINED 05                884         0        0
D WOODWARD INC                   COMMON     980745103      139       5074 SH  -    DEFINED 08               5074         0        0
D WOODWARD INC                   COMMON     980745103        4        152 SH  -    OTHER   10                  0         0      152
D WOORI FIN HLDGS CO LTD         ADR        981063100        0         16 SH  -    DEFINED 02                 16         0        0
D WOORI FIN HLDGS CO LTD         ADR        981063100        6        230 SH  -    DEFINED 05                230         0        0
D WOORI FIN HLDGS CO LTD         ADR        981063100      233       9212 SH  -    DEFINED 06               9212         0        0
D WORLD ACCEPTANCE               COMMON     981419104        4         79 SH  -    OTHER   02                  0        79        0
D WORLD ACCEPTANCE               COMMON     981419104    14391     257205 SH  -    DEFINED 04             224305         0    32900
D WORLD ACCEPTANCE               COMMON     981419104     5858     104700 SH  -    DEFINED 04             104700         0        0
D WORLD ACCEPTANCE               COMMON     981419104      392       7006 SH  -    DEFINED 05               7006         0        0
D WORLD FUEL SVCS CORP           COMMON     981475106     2451      75076 SH  -    OTHER   02               3680     57096    14240
D WORLD FUEL SVCS CORP           COMMON     981475106       57       1747 SH  -    OTHER   02                  0         0     1747
D WORLD FUEL SVCS CORP           COMMON     981475106     6208     190140 SH  -    DEFINED 04             161240         0    28900
D WORLD FUEL SVCS CORP           COMMON     981475106     1543      47265 SH  -    DEFINED 04              47265         0        0
D WORLD FUEL SVCS CORP           COMMON     981475106     1115      34145 SH  -    DEFINED 05              34145         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 869
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WORLD FUEL SVCS CORP           COMMON     981475106       57       1737 SH  -    DEFINED 08               1737         0        0
D WORTHINGTON INDS               COMMON     981811102       11        808 SH  -    OTHER   02                161       647        0
D WORTHINGTON INDS               COMMON     981811102        2        108 SH  -    OTHER   02                 16        62       30
D WORTHINGTON INDS               COMMON     981811102     7166     512975 SH  -    DEFINED 04             457725         0    55250
D WORTHINGTON INDS               COMMON     981811102     4640     332164 SH  -    DEFINED 04             332164         0        0
D WORTHINGTON INDS               COMMON     981811102       13        898 SH  -    DEFINED 05                898         0        0
D WORTHINGTON INDS               COMMON     981811102     1765     126347 SH  -    DEFINED 06             126347         0        0
D WRIGHT EXPRESS CORP            COMMON     98233Q105      175       4597 SH  -    OTHER   02                  0      4597        0
D WRIGHT EXPRESS CORP            COMMON     98233Q105       11        300 SH  -    OTHER   02                  0         0      300
D WRIGHT EXPRESS CORP            COMMON     98233Q105     1738      45700 SH  -    DEFINED 04              34800         0    10900
D WRIGHT EXPRESS CORP            COMMON     98233Q105      708      18601 SH  -    DEFINED 05              18601         0        0
D WRIGHT MED GROUP INC           BOND       98235TAA5       14      15000 PRN -    DEFINED 02                  0         0        0
D WRIGHT MED GROUP INC           COMMON     98235T107        1         75 SH  -    OTHER   02                 75         0        0
D WRIGHT MED GROUP INC           COMMON     98235T107    75340    4213619 SH  -    DEFINED 03            4213619         0        0
D WRIGHT MED GROUP INC           COMMON     98235T107       11        590 SH  -    DEFINED 05                590         0        0
D WRIGHT MED GROUP INC           COMMON     98235T107       27       1517 SH  -    DEFINED 08               1517         0        0
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108       16        550 SH  -    DEFINED 02                550         0        0
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108       58       2024 SH  -    DEFINED 02               1891         0      133
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108      225       7895 SH  -    OTHER   02                  0      7895        0
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108        9        307 SH  -    OTHER   02                  0         7      300
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108    24153     847173 SH  -    DEFINED 04             800675         0    46498
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108     7740     271498 SH  -    DEFINED 04             271498         0        0
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108      133       4666 SH  -    DEFINED 04               4666         0        0
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108      591      20732 SH  -    OTHER   04                  0     20732        0
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108      474      16613 SH  -    DEFINED 05              16613         0        0
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108      135       4721 SH  -    DEFINED 09                  0         0     4721

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 870
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108     1502      52700 SH  -    OTHER   09                  0     52700        0
D WYNDHAM WORLDWIDE CORP         COMMON     98310W108        1         52 SH  -    OTHER   01                  0        52        0
D WYNN RESORTS LTD               COMMON     983134107     1725      14992 SH  -    DEFINED 02              14992         0        0
D WYNN RESORTS LTD               COMMON     983134107       92        800 SH  -    DEFINED 02                800         0        0
D WYNN RESORTS LTD               COMMON     983134107      113        980 SH  -    DEFINED 02                921         0       59
D WYNN RESORTS LTD               COMMON     983134107      140       1213 SH  -    OTHER   02                206       988        0
D WYNN RESORTS LTD               COMMON     983134107        1          5 SH  -    OTHER   02                  0         5        0
D WYNN RESORTS LTD               COMMON     983134107      897       7798 SH  -    OTHER   02                  0      7798        0
D WYNN RESORTS LTD               COMMON     983134107   112308     975909 SH  -    DEFINED 04             615676         0   360233
D WYNN RESORTS LTD               COMMON     983134107    21657     188187 SH  -    DEFINED 04             188187         0        0
D WYNN RESORTS LTD               COMMON     983134107     6663      57900 SH  -    DEFINED 04              57900         0        0
D WYNN RESORTS LTD               COMMON     983134107       56        485 SH  -    DEFINED 04                  0         0      485
D WYNN RESORTS LTD               COMMON     983134107       86        746 SH  -    OTHER   04                  0       746        0
D WYNN RESORTS LTD               COMMON     983134107      380       3301 SH  -    DEFINED 05               3301         0        0
D WYNN RESORTS LTD               COMMON     983134107      403       3500 SH  -    OTHER   01               3500         0        0
D WYNN RESORTS LTD               COMMON     983134107      830       7213 SH  -    OTHER   10                  0         0     7213
D WYNN RESORTS LTD               OPTION     983134909      380       3300 SH  C    DEFINED 05               3300         0        0
D WYNN RESORTS LTD               OPTION     983134958      932       8100 SH  P    DEFINED 05               8100         0        0
D XO GROUP INC                   COMMON     983772104        0          6 SH  -    OTHER   02                  0         6        0
D XO GROUP INC                   COMMON     983772104      116      14201 SH  -    DEFINED 05              14201         0        0
D X-RITE INC                     COMMON     983857103   123992   33241708 SH  -    DEFINED 03           33241708         0        0
D X-RITE INC                     COMMON     983857103      346      92793 SH  -    DEFINED 05              92793         0        0
D X-RITE INC                     COMMON     983857103        3        848 SH  -    DEFINED 08                848         0        0
D XCEL ENERGY INC                COMMON     98389B100      249      10089 SH  -    DEFINED 02               9719         0      370
D XCEL ENERGY INC                COMMON     98389B100      184       7440 SH  -    DEFINED 02               7440         0        0
D XCEL ENERGY INC                COMMON     98389B100      147       5970 SH  -    DEFINED 02               5584         0      386

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 871
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D XCEL ENERGY INC                COMMON     98389B100      481      19464 SH  -    OTHER   02               8207      8372     2885
D XCEL ENERGY INC                COMMON     98389B100      823      33351 SH  -    OTHER   02               7680       571    25100
D XCEL ENERGY INC                COMMON     98389B100   127597    5167961 SH  -    DEFINED 04            4966188         0   201773
D XCEL ENERGY INC                COMMON     98389B100     1924      77907 SH  -    DEFINED 04              77907         0        0
D XCEL ENERGY INC                COMMON     98389B100    13763     557424 SH  -    DEFINED 04             496391         0        0
D XCEL ENERGY INC                COMMON     98389B100     1630      66017 SH  -    OTHER   04                  0     66017        0
D XCEL ENERGY INC                COMMON     98389B100     8382     339480 SH  -    OTHER   04                  0    339480        0
D XCEL ENERGY INC                COMMON     98389B100      303      12267 SH  -    DEFINED 05              12267         0        0
D XCEL ENERGY INC                COMMON     98389B100    10493     424977 SH  -    DEFINED 09             424977         0        0
D XCEL ENERGY INC                COMMON     98389B100       72       2923 SH  -    OTHER   09                  0      2923        0
D XCEL ENERGY INC                COMMON     98389B100       13        535 SH  -    OTHER   10                  0         0      535
D XILINX INC                     BOND       983919AD3     6931    6931000 PRN -    DEFINED 05                  0         0        0
D XILINX INC                     BOND       983919AD3    20603   20603000 PRN -    DEFINED 09                  0         0        0
D XILINX INC                     BOND       983919AD3     4893    4893000 PRN -    DEFINED 09                  0         0        0
D XILINX INC                     COMMON     983919101    13714     499789 SH  -    DEFINED 02             426004      4349    69436
D XILINX INC                     COMMON     983919101     4733     172488 SH  -    DEFINED 02             167141       137     5210
D XILINX INC                     COMMON     983919101     1528      55700 SH  -    DEFINED 02              55700         0        0
D XILINX INC                     COMMON     983919101      462      16840 SH  -    DEFINED 02               6874         0     9966
D XILINX INC                     COMMON     983919101     4905     178755 SH  -    OTHER   02             108797     38009    31949
D XILINX INC                     COMMON     983919101      729      26555 SH  -    OTHER   02              24691       907      957
D XILINX INC                     COMMON     983919101       88       3217 SH  -    OTHER   02                  0      3217        0
D XILINX INC                     COMMON     983919101       74       2681 SH  -    OTHER   02                  0      2681        0
D XILINX INC                     COMMON     983919101      188       6850 SH  -    OTHER   02                  0      6850        0
D XILINX INC                     COMMON     983919101   272968    9947820 SH  -    DEFINED 04            7270206         0  2677614
D XILINX INC                     COMMON     983919101    27791    1012795 SH  -    DEFINED 04            1012795         0        0
D XILINX INC                     COMMON     983919101    17415     634663 SH  -    DEFINED 04             634663         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 872
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D XILINX INC                     COMMON     983919101     3249     118416 SH  -    DEFINED 04             118416         0        0
D XILINX INC                     COMMON     983919101    15827     576779 SH  -    DEFINED 04             572232         0     4547
D XILINX INC                     COMMON     983919101      199       7253 SH  -    DEFINED 04                  0         0     7253
D XILINX INC                     COMMON     983919101     9973     363432 SH  -    OTHER   04                  0    363432        0
D XILINX INC                     COMMON     983919101     5349     194940 SH  -    DEFINED 05             194940         0        0
D XILINX INC                     COMMON     983919101    56879    2072848 SH  -    DEFINED 08            2072848         0        0
D XILINX INC                     COMMON     983919101    28607    1042522 SH  -    DEFINED 09            1012131         0    14518
D XILINX INC                     COMMON     983919101     1850      67437 SH  -    DEFINED 09              67437         0        0
D XILINX INC                     COMMON     983919101     1216      44301 SH  -    DEFINED 09              44301         0        0
D XILINX INC                     COMMON     983919101      134       4874 SH  -    OTHER   09                  0      4874        0
D XILINX INC                     COMMON     983919101      838      30527 SH  -    DEFINED 01              26817      1824     1886
D XILINX INC                     COMMON     983919101      277      10105 SH  -    OTHER   01               4842      2037     3226
D XILINX INC                     COMMON     983919101        9        346 SH  -    OTHER   10                  0         0      346
D XENOPORT INC                   COMMON     98411C100       66      11233 SH  -    DEFINED 05              11233         0        0
D XENOPORT INC                   COMMON     98411C100       13       2255 SH  -    DEFINED 08               2255         0        0
D XEROX CORP                     COMMON     984121103       84      12050 SH  -    DEFINED 02              12050         0        0
D XEROX CORP                     COMMON     984121103      218      31213 SH  -    DEFINED 02              31213         0        0
D XEROX CORP                     COMMON     984121103      120      17148 SH  -    DEFINED 02              16175         0      973
D XEROX CORP                     COMMON     984121103     2007     287926 SH  -    OTHER   02                535    283581     3810
D XEROX CORP                     COMMON     984121103      599      85932 SH  -    OTHER   02               6059     17671    62202
D XEROX CORP                     COMMON     984121103    23946    3435625 SH  -    DEFINED 04            3102644         0   332981
D XEROX CORP                     COMMON     984121103     5481     786361 SH  -    DEFINED 04             786361         0        0
D XEROX CORP                     COMMON     984121103       88      12577 SH  -    DEFINED 04              12577         0        0
D XEROX CORP                     COMMON     984121103      766     109846 SH  -    OTHER   04                  0    109846        0
D XEROX CORP                     COMMON     984121103     1562     224145 SH  -    DEFINED 05             224145         0        0
D XEROX CORP                     COMMON     984121103      158      22696 SH  -    OTHER   01                  0     20496        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 873
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D XEROX CORP                     COMMON     984121103       61       8763 SH  -    OTHER   10                  0         0     8763
D XEROX CORP                     OPTION     984121905       23       3300 SH  C    DEFINED 05               3300         0        0
D YM BIOSCIENCES INC             COMMON     984238105      251     134715 SH  -    DEFINED 09             134715         0        0
D YPF SOCIEDAD ANONIMA           ADR        984245100     1820      53200 SH  -    DEFINED 04              53200         0        0
D YPF SOCIEDAD ANONIMA           ADR        984245100      124       3614 SH  -    DEFINED 05               3614         0        0
D YRC WORLDWIDE INC              COMMON     984249300     4334   88439244 SH  -    DEFINED 02           88439244         0        0
D YRC WORLDWIDE INC              COMMON     984249300       33     677067 SH  -    DEFINED 05             677067         0        0
D YRC WORLDWIDE INC              COMMON     984249300        3      62032 SH  -    DEFINED 08              62032         0        0
D YAHOO INC                      COMMON     984332106     1522     115548 SH  -    DEFINED 02             115204         0      344
D YAHOO INC                      COMMON     984332106       39       2950 SH  -    DEFINED 02               1018      1932        0
D YAHOO INC                      COMMON     984332106      202      15334 SH  -    DEFINED 02              14551         0      783
D YAHOO INC                      COMMON     984332106     2909     220869 SH  -    OTHER   02               8539    195277    17053
D YAHOO INC                      COMMON     984332106     1051      79779 SH  -    OTHER   02               4390      8691    66698
D YAHOO INC                      COMMON     984332106      980      74431 SH  -    OTHER   02                  0     74431        0
D YAHOO INC                      COMMON     984332106     4230     321173 SH  -    DEFINED 04             285025         0    36148
D YAHOO INC                      COMMON     984332106     2783     211343 SH  -    DEFINED 04             211343         0        0
D YAHOO INC                      COMMON     984332106    21675    1645782 SH  -    DEFINED 05            1645782         0        0
D YAHOO INC                      COMMON     984332106     1685     127978 SH  -    DEFINED 08             127978         0        0
D YAHOO INC                      COMMON     984332106        0          4 SH  -    DEFINED 09                  4         0        0
D YAHOO INC                      COMMON     984332106       30       2244 SH  -    DEFINED 01               2244         0        0
D YAHOO INC                      COMMON     984332106     1984     150616 SH  -    OTHER   10                  0         0   150616
D YAHOO INC                      OPTION     984332908     8675     658700 SH  C    DEFINED 05             658700         0        0
D YAHOO INC                      OPTION     984332957     2361     179300 SH  P    DEFINED 05             179300         0        0
D YAMANA GOLD INC                COMMON     98462Y100        7        500 SH  -    OTHER   02                500         0        0
D YAMANA GOLD INC                COMMON     98462Y100      770      56400 SH  -    DEFINED 04              56400         0        0
D YAMANA GOLD INC                COMMON     98462Y100        3        188 SH  -    OTHER   04                  0       188        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 874
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D YAMANA GOLD INC                COMMON     98462Y100      211      15428 SH  -    DEFINED 05              15428         0        0
D YAMANA GOLD INC                COMMON     98462Y100      431      31568 SH  -    DEFINED 06              31568         0        0
D YAMANA GOLD INC                COMMON     98462Y100     1087      79591 SH  -    DEFINED 08              79591         0        0
D YAMANA GOLD INC                COMMON     98462Y100    69900    5117100 SH  -    DEFINED 09            5117100         0        0
D YAMANA GOLD INC                COMMON     98462Y100     7643     559500 SH  -    DEFINED 09             559500         0        0
D YAMANA GOLD INC                COMMON     98462Y100     1596     116814 SH  -    OTHER   09                  0    116814        0
D YAMANA GOLD INC                COMMON     98462Y100       30       2193 SH  -    OTHER   10                  0         0     2193
D YINGLI GREEN ENERGY HLDG CO LT ADR        98584B103        7       2122 SH  -    DEFINED 05               2122         0        0
D YINGLI GREEN ENERGY HLDG CO LT ADR        98584B103       23       7441 SH  -    DEFINED 06               7441         0        0
D YINGLI GREEN ENERGY HLDG CO LT ADR        98584B103       25       8046 SH  -    DEFINED 08               8046         0        0
D YINGLI GREEN ENERGY HLDG CO LT ADR        98584B103       16       5000 SH  -    OTHER   10                  0         0     5000
D YORK WTR CO                    COMMON     987184108       14        854 SH  -    OTHER   02                750       104        0
D YORK WTR CO                    COMMON     987184108      456      28200 SH  -    DEFINED 04              28200         0        0
D YORK WTR CO                    COMMON     987184108        0          1 SH  -    DEFINED 05                  1         0        0
D YORK WTR CO                    COMMON     987184108       12        745 SH  -    DEFINED 08                745         0        0
D YUM BRANDS INC                 COMMON     988498101    37629     761871 SH  -    DEFINED 02             671859      6850    83162
D YUM BRANDS INC                 COMMON     988498101    13297     269223 SH  -    DEFINED 02             263176       195     5852
D YUM BRANDS INC                 COMMON     988498101     1005      20339 SH  -    DEFINED 02               9442         0    10897
D YUM BRANDS INC                 COMMON     988498101    18407     372679 SH  -    OTHER   02             196282    116314    59995
D YUM BRANDS INC                 COMMON     988498101     4464      90382 SH  -    OTHER   02              78174      3132     9076
D YUM BRANDS INC                 COMMON     988498101      216       4370 SH  -    OTHER   02                  0      4370        0
D YUM BRANDS INC                 COMMON     988498101      189       3830 SH  -    OTHER   02                  0      3830        0
D YUM BRANDS INC                 COMMON     988498101      484       9801 SH  -    OTHER   02                  0      9801        0
D YUM BRANDS INC                 COMMON     988498101   296262    5998411 SH  -    DEFINED 04            5431795         0   566616
D YUM BRANDS INC                 COMMON     988498101     7825     158430 SH  -    DEFINED 04             158430         0        0
D YUM BRANDS INC                 COMMON     988498101    25954     525494 SH  -    DEFINED 04             525494         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 875
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D YUM BRANDS INC                 COMMON     988498101     1334      27000 SH  -    DEFINED 04              27000         0        0
D YUM BRANDS INC                 COMMON     988498101      187       3786 SH  -    DEFINED 04                  0         0     3786
D YUM BRANDS INC                 COMMON     988498101      840      16999 SH  -    OTHER   04                  0     16999        0
D YUM BRANDS INC                 COMMON     988498101    27627     559371 SH  -    OTHER   04                  0    559371        0
D YUM BRANDS INC                 COMMON     988498101     2838      57453 SH  -    DEFINED 05              57453         0        0
D YUM BRANDS INC                 COMMON     988498101      774      15674 SH  -    DEFINED 08              15674         0        0
D YUM BRANDS INC                 COMMON     988498101      616      12468 SH  -    DEFINED 09              12468         0        0
D YUM BRANDS INC                 COMMON     988498101     4376      88610 SH  -    OTHER   09                  0     88610        0
D YUM BRANDS INC                 COMMON     988498101     3192      64620 SH  -    DEFINED 01              59253      2642     2725
D YUM BRANDS INC                 COMMON     988498101     1572      31827 SH  -    OTHER   01              16160      9120     6345
D YUM BRANDS INC                 COMMON     988498101     2856      57821 SH  -    OTHER   10                  0         0    57821
D YUM BRANDS INC                 OPTION     988498903      845      17100 SH  C    DEFINED 05              17100         0        0
D YUM BRANDS INC                 OPTION     988498903     2963      60000 SH  C    DEFINED 08              60000         0        0
D ZBB ENERGY CORPORATION         COMMON     98876R204       39      72350 SH  -    DEFINED 05              72350         0        0
D ZAGG INC                       COMMON     98884U108        3        307 SH  -    OTHER   02                110       148        0
D ZAGG INC                       COMMON     98884U108     4464     450000 SH  -    DEFINED 05             450000         0        0
D ZAGG INC                       COMMON     98884U108       14       1399 SH  -    DEFINED 08               1399         0        0
D ZAGG INC                       COMMON     98884U108      113      11362 SH  -    OTHER   10                  0         0    11362
D ZALE CORP NEW                  COMMON     988858106        8       2896 SH  -    OTHER   02                  0      2896        0
D ZALE CORP NEW                  COMMON     988858106       57      19923 SH  -    DEFINED 04              19923         0        0
D ZALE CORP NEW                  COMMON     988858106       48      16975 SH  -    DEFINED 05              16975         0        0
D ZALICUS INC                    COMMON     98887C105        2       2311 SH  -    OTHER   02                  0         0     1900
D ZALICUS INC                    COMMON     98887C105      114     115740 SH  -    DEFINED 05             115740         0        0
D ZALICUS INC                    COMMON     98887C105        5       4982 SH  -    DEFINED 08               4982         0        0
D ZEBRA TECHNOLOGIES             COMMON     989207105       62       1990 SH  -    DEFINED 02               1990         0        0
D ZEBRA TECHNOLOGIES             COMMON     989207105       12        404 SH  -    OTHER   02                  0       404        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 876
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ZEBRA TECHNOLOGIES             COMMON     989207105       55       1790 SH  -    OTHER   02                  0         0     1790
D ZEBRA TECHNOLOGIES             COMMON     989207105    21105     682125 SH  -    DEFINED 04             370550         0   311575
D ZEBRA TECHNOLOGIES             COMMON     989207105    13160     425324 SH  -    DEFINED 04             425324         0        0
D ZEBRA TECHNOLOGIES             COMMON     989207105       39       1254 SH  -    OTHER   04                  0      1254        0
D ZEBRA TECHNOLOGIES             COMMON     989207105      120       3886 SH  -    DEFINED 05               3886         0        0
D ZEP INC                        COMMON     98944B108        1         57 SH  -    OTHER   02                  0        57        0
D ZEP INC                        COMMON     98944B108      230      15332 SH  -    DEFINED 04              15332         0        0
D ZEP INC                        COMMON     98944B108      153      10200 SH  -    DEFINED 05              10200         0        0
D ZEP INC                        COMMON     98944B108       10        656 SH  -    OTHER   10                  0         0      656
D ZHONGPIN INC                   COMMON     98952K107     4332     570000 SH  -    DEFINED 05             570000         0        0
D ZILLOW INC                     COMMON     98954A107     1223      44725 SH  -    DEFINED 04              40025         0     4700
D ZILLOW INC                     COMMON     98954A107      126       4599 SH  -    DEFINED 05               4599         0        0
D ZIMMER HLDGS INC               COMMON     98956P102      559      10449 SH  -    DEFINED 02               2771      1943     5735
D ZIMMER HLDGS INC               COMMON     98956P102      345       6447 SH  -    DEFINED 02               6447         0        0
D ZIMMER HLDGS INC               COMMON     98956P102      124       2320 SH  -    DEFINED 02               2196         0      124
D ZIMMER HLDGS INC               COMMON     98956P102     3023      56528 SH  -    OTHER   02              28498     23665     4365
D ZIMMER HLDGS INC               COMMON     98956P102      734      13724 SH  -    OTHER   02               6775       280     6669
D ZIMMER HLDGS INC               COMMON     98956P102    15831     296013 SH  -    DEFINED 04             283460         0    12553
D ZIMMER HLDGS INC               COMMON     98956P102     1814      33911 SH  -    DEFINED 04              33911         0        0
D ZIMMER HLDGS INC               COMMON     98956P102     1074      20075 SH  -    DEFINED 05              20075         0        0
D ZIMMER HLDGS INC               COMMON     98956P102       43        807 SH  -    DEFINED 06                807         0        0
D ZIMMER HLDGS INC               COMMON     98956P102       22        420 SH  -    DEFINED 09                420         0        0
D ZIMMER HLDGS INC               COMMON     98956P102     2019      37760 SH  -    OTHER   09                  0     37760        0
D ZIMMER HLDGS INC               COMMON     98956P102      305       5696 SH  -    OTHER   01               3640      2056        0
D ZIMMER HLDGS INC               COMMON     98956P102       80       1487 SH  -    OTHER   10                  0         0     1487
D ZIMMER HLDGS INC               OPTION     98956P904      802      15000 SH  C    DEFINED 05              15000         0        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 877
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ZIONS BANCORP                  COMMON     989701107      101       7150 SH  -    DEFINED 02               1540         0     5610
D ZIONS BANCORP                  COMMON     989701107       49       3452 SH  -    DEFINED 02               1931         0     1521
D ZIONS BANCORP                  COMMON     989701107      109       7741 SH  -    DEFINED 02               3964         0     3777
D ZIONS BANCORP                  COMMON     989701107      142      10103 SH  -    OTHER   02                  0      7317     2786
D ZIONS BANCORP                  COMMON     989701107        8        573 SH  -    OTHER   02                  0        38      535
D ZIONS BANCORP                  COMMON     989701107    56687    4026096 SH  -    DEFINED 04            3325489         0   700607
D ZIONS BANCORP                  COMMON     989701107     2062     146479 SH  -    DEFINED 04             146479         0        0
D ZIONS BANCORP                  COMMON     989701107     1867     132590 SH  -    DEFINED 04             132590         0        0
D ZIONS BANCORP                  COMMON     989701107      855      60725 SH  -    DEFINED 04              60725         0        0
D ZIONS BANCORP                  COMMON     989701107       34       2393 SH  -    DEFINED 04                  0         0     2393
D ZIONS BANCORP                  COMMON     989701107      389      27605 SH  -    OTHER   04                  0     27605        0
D ZIONS BANCORP                  COMMON     989701107     2054     145883 SH  -    OTHER   04                  0    145883        0
D ZIONS BANCORP                  COMMON     989701107     8991     638531 SH  -    DEFINED 05             638531         0        0
D ZIONS BANCORP                  COMMON     989701107     1621     115121 SH  -    DEFINED 09             115121         0        0
D ZIONS BANCORP                  COMMON     989701107        5        355 SH  -    OTHER   01                  0       355        0
D ZIONS BANCORP                  COMMON     989701107      897      63684 SH  -    OTHER   10                  0         0    63684
D ZIONS BANCORP                  OPTION     989701909       61       4300 SH  C    DEFINED 05               4300         0        0
D ZIONS BANCORP                  OPTION     989701958       83       5900 SH  P    DEFINED 05               5900         0        0
D ZIOPHARM ONCOLOGY INC          COMMON     98973P101       32       7231 SH  -    OTHER   02               7000       231        0
D ZIOPHARM ONCOLOGY INC          COMMON     98973P101      418      94892 SH  -    DEFINED 05              94892         0        0
D ZIOPHARM ONCOLOGY INC          COMMON     98973P101        8       1865 SH  -    DEFINED 08               1865         0        0
D ZIPCAR INC                     COMMON     98974X103     8729     484944 SH  -    DEFINED 04             348334         0   136610
D ZIPCAR INC                     COMMON     98974X103     5450     302800 SH  -    DEFINED 04             302800         0        0
D ZIPCAR INC                     COMMON     98974X103     1381      76700 SH  -    DEFINED 04              76700         0        0
D ZIPCAR INC                     COMMON     98974X103       11        609 SH  -    DEFINED 08                609         0        0
D ZOGENIX INC                    COMMON     98978L105        0        170 SH  -    OTHER   02                  0       170        0

                            FORM 13F INFORMATION TABLE                                              SEPTEMBER 30 2011      PAGE 878
                                 TITLE OF             VALUE       SHARES/ SH/ PUT/ INVSTMT               -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)    PRN AMT PRN CALL DSCRETN MANAGERS         SOLE    SHARED     NONE
D ZOGENIX INC                    COMMON     98978L105       23      12638 SH  -    DEFINED 05              12638         0        0
D ZOGENIX INC                    COMMON     98978L105        1        809 SH  -    DEFINED 08                809         0        0
D ZUMIEZ INC                     COMMON     989817101        3        199 SH  -    OTHER   02                  0       199        0
D ZUMIEZ INC                     COMMON     989817101      255      14542 SH  -    DEFINED 04              14542         0        0
D ZUMIEZ INC                     COMMON     989817101      178      10164 SH  -    DEFINED 05              10164         0        0
D ZOLL MEDICAL CP                COMMON     989922109        6        147 SH  -    OTHER   02                  0       147        0
D ZOLL MEDICAL CP                COMMON     989922109       86       2275 SH  -    OTHER   02                  0         0     2275
D ZOLL MEDICAL CP                COMMON     989922109      586      15526 SH  -    DEFINED 04              15526         0        0
D ZOLL MEDICAL CP                COMMON     989922109      390      10331 SH  -    DEFINED 05              10331         0        0

</TABLE>
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
