-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, Qhj1B/k8TZ2X0gvt7Q4+FG4F0cIgSxpLmvPJ3zI/aNsO4idxsLWiA1dXyPhCAaIR 9qpDLUD4QURkncrj0VH89g== 0000893838-08-000265.txt : 20081114 0000893838-08-000265.hdr.sgml : 20081114 20081114105735 ACCESSION NUMBER: 0000893838-08-000265 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20080930 FILED AS OF DATE: 20081114 DATE AS OF CHANGE: 20081114 EFFECTIVENESS DATE: 20081114 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BESSEMER GROUP INC CENTRAL INDEX KEY: 0001054074 IRS NUMBER: 133093730 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-07806 FILM NUMBER: 081187922 BUSINESS ADDRESS: STREET 1: 100 WOODBRIDGE CENTER DR CITY: WOODBRIDGE STATE: NJ ZIP: 07095-1191 BUSINESS PHONE: 7326945500 MAIL ADDRESS: STREET 1: 100 WOODBRIDGE CENTER DR CITY: WOODBRIDGE STATE: NJ ZIP: 07095-1191 13F-HR 1 bgi13fhr3q2008.txt 13F HOLDINGS REPORT - 3Q 2008 UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 Form 13F Form 13F COVER PAGE Report for the Calendar Year or Quarter Ended: September 30, 2008 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one.): [ ] is a restatement. [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: The Bessemer Group, Incorporated Address: 100 Woodbridge Center Drive Woodbridge, New Jersey 07095-1195 Form 13F File Number: 28-7806 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: Richard T. Murtagh Title: Principal & Controller Phone: 212-708-9182 Signature, Place, and Date of Signing: /s/ Richard T. Murtagh New York, NY November 12, 2008 - ----------------------------- [Signature] [City, State] [Date] Report Type (Check only one.): [X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) [ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) [ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).) Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 7 Form 13F Information Table Entry Total: 7 Form 13F Information Table Value Total: $ 8,609,679 ----------- (thousands) List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. No. Form 13F File Number Name - --- -------------------- ---- 1 28-10255 Bessemer Investment Management LLC 2 28-0356 Bessemer Securities Corporation 3 28-0587 Bessemer Trust Company 4 28-0563 Bessemer Trust Company, N. A. 5 28-11457 Bessemer Trust Company of California 6 28-11458 Bessemer Trust Company of Delaware, N. A. 7 28-1102 Bessemer Trust Company of Florida
Bessemer Trust 13F - Equities Disclosure Report as of Sep 30 2008 NAME OF ISSUER TITLE OF CUSIP # VALUE SHARE OR SH/PUT INVESTMENT OTHER VOTING VOTING CLASS (x 1000) PRIN AMT PRIN/CALL DISCRETION MGRS SOLE NONE 3M CO SC 88579Y101 $1,387 20,300SH OTHER 7 20,300 0 3M CO SC 88579Y101 $209 3,060SH DEFINED 7 3,060 0 3M CO SC 88579Y101 $246 3,600SH OTHER 3 3,600 0 3M CO SC 88579Y101 $123 1,800SH DEFINED 3 1,800 0 3M CO SC 88579Y101 $633 9,267SH OTHER 4 8,867 400 3M CO SC 88579Y101 $1,919 28,097SH DEFINED 4 28,097 0 99 CENTS STORES SC 65440K106 $14 1,285SH DEFINED 7 1,285 0 99 CENTS STORES SC 65440K106 $87 7,924SH DEFINED 3 7,924 0 99 CENTS STORES SC 65440K106 $18 1,646SH OTHER 4 1,646 0 99 CENTS STORES SC 65440K106 $528 48,103SH DEFINED 4 48,103 0 AAR CORP SC 000361105 $10 600SH OTHER 3 600 0 AAR CORP SC 000361105 $1 74SH DEFINED 4 74 0 AARON RENTS INC SC 002535201 $9 350SH DEFINED 4 350 0 ABB LTD SPONSORED ADR SA 000375204 $4 183SH DEFINED 4 183 0 ABBOTT LABORATORIES SC 002824100 $84 1,461SH OTHER 7 1,461 0 ABBOTT LABORATORIES SC 002824100 $492 8,552SH DEFINED 7 8,552 0 ABBOTT LABORATORIES SC 002824100 $3,488 60,570SH OTHER 3 60,570 0 ABBOTT LABORATORIES SC 002824100 $437 7,597SH DEFINED 3 7,597 0 ABBOTT LABORATORIES SC 002824100 $1,193 20,719SH OTHER 4 11,039 9,680 ABBOTT LABORATORIES SC 002824100 $7,388 128,303SH DEFINED 4 127,119 1,184 ABBOTT LABORATORIES SC 002824100 $19 325SH OTHER 6 325 0 ABERCROMBIE&FITCH CO CL A SC 002896207 $59 1,500SH DEFINED 7 1,500 0 ABERCROMBIE&FITCH CO CL A SC 002896207 $8 200SH DEFINED 4 200 0 ABIOMED INC SC 003654100 $14 792SH DEFINED 7 792 0 ABIOMED INC SC 003654100 $87 4,881SH DEFINED 3 4,881 0 ABIOMED INC SC 003654100 $18 1,014SH OTHER 4 1,014 0 ABIOMED INC SC 003654100 $407 22,927SH DEFINED 4 22,927 0 ABITIBIBOWATER INC SC 003687100 $0 52SH DEFINED 7 52 0 ABITIBIBOWATER INC SC 003687100 $1,899 490,793SH DEFINED 4 490,793 0 ABM INDS INC SC 000957100 $2 100SH OTHER 4 0 100 ACCELRYS INC SC 00430U103 $5 1,000SH OTHER 4 0 1,000 ACCENTURE LTD CLASS A SN G1150G111 $108 2,833SH DEFINED 3 2,833 0 ACCENTURE LTD CLASS A SN G1150G111 $711 18,700SH OTHER 4 0 18,700 ACCENTURE LTD CLASS A SN G1150G111 $188 4,950SH DEFINED 4 4,950 0 ACE LIMITED SN H0023R105 $58 1,070SH DEFINED 7 1,070 0 ACE LIMITED SN H0023R105 $2 37SH DEFINED 3 37 0 ACE LIMITED SN H0023R105 $94 1,740SH OTHER 4 1,640 100 ACE LIMITED SN H0023R105 $142 2,627SH DEFINED 4 2,227 400 ACTIVISION BLIZZARD INC SC 00507V109 $117 7,590SH OTHER 3 7,590 0 ACTIVISION BLIZZARD INC SC 00507V109 $63 4,088SH DEFINED 4 4,088 0 ACTUATE CORP SC 00508B102 $9 2,445SH DEFINED 4 2,445 0 ACUITY BRANDS INC SC 00508Y102 $44 1,055SH DEFINED 4 1,055 0 ACXIOM CORP SC 005125109 $38 3,000SH DEFINED 4 3,000 0 ADC TELECOMMUNICATIONS NEW SC 000886309 $62 7,338SH DEFINED 4 7,338 0 ADOBE SYSTEMS INC SC 00724F101 $5 118SH DEFINED 7 118 0 ADOBE SYSTEMS INC SC 00724F101 $29 725SH DEFINED 3 725 0 ADOBE SYSTEMS INC SC 00724F101 $663 16,800SH OTHER 4 0 16,800 ADOBE SYSTEMS INC SC 00724F101 $2,126 53,859SH DEFINED 4 53,859 0 ADVANCE AUTO PARTS SC 00751Y106 $126 3,185SH OTHER 7 3,185 0 ADVANCE AUTO PARTS SC 00751Y106 $128 3,221SH DEFINED 7 3,221 0 ADVANCE AUTO PARTS SC 00751Y106 $261 6,571SH DEFINED 3 6,571 0 ADVANCE AUTO PARTS SC 00751Y106 $4,309 108,654SH DEFINED 4 108,654 0 ADVANCE AUTO PARTS SC 00751Y106 $587 14,797SH DEFINED 6 14,797 0 ADVANCED MEDICAL OPTICS SC 00763M108 $0 5SH DEFINED 4 5 0 ADVANCED MICRO DEVICES INC SC 007903107 $1 135SH DEFINED 4 135 0 ADVENT SOFTWARE INC SC 007974108 $6 177SH DEFINED 7 177 0 ADVENT SOFTWARE INC SC 007974108 $13 364SH DEFINED 3 364 0 ADVENT SOFTWARE INC SC 007974108 $1 29SH DEFINED 4 29 0 ADVENTRIX PHARMACEUTICALS SC 00764X103 $4 20,000SH DEFINED 7 20,000 0 AECOM TECHNOLOGY CORP SC 00766T100 $971 39,734SH OTHER 3 39,734 0 AEGON NV ADR SA 007924103 $22 2,554SH DEFINED 7 2,554 0 AEGON NV ADR SA 007924103 $26 3,000SH DEFINED 3 3,000 0 AEGON NV ADR SA 007924103 $173 19,733SH DEFINED 4 19,733 0 AEROPOSTALE INC SC 007865108 $861 26,800SH DEFINED 4 26,800 0 AEROSONIC CORP SC 008015307 $32 14,000SH DEFINED 7 14,000 0 AES CORP SC 00130H105 $362 30,953SH DEFINED 3 30,953 0 AES CORP SC 00130H105 $430 36,810SH DEFINED 4 36,810 0 AETNA INC NEW SC 00817Y108 $144 4,000SH DEFINED 7 4,000 0 AETNA INC NEW SC 00817Y108 $96 2,660SH OTHER 4 2,660 0 AETNA INC NEW SC 00817Y108 $596 16,506SH DEFINED 4 16,506 0 AFFILIATED MANAGERS SC 008252108 $16 198SH OTHER 3 198 0 AFFILIATED MANAGERS SC 008252108 $131 1,580SH DEFINED 4 1,580 0 AFFYMETRIX INC SC 00826T108 $16 2,100SH DEFINED 4 2,100 0 AFLAC INC SC 001055102 $238 4,056SH DEFINED 3 4,056 0 AFLAC INC SC 001055102 $1,418 24,144SH DEFINED 4 24,144 0 AFLAC INC SC 001055102 $149 2,540SH DEFINED 6 2,540 0 AGCO CORP SC 001084102 $60 1,400SH OTHER 7 1,400 0 AGCO CORP SC 001084102 $61 1,431SH DEFINED 7 1,431 0 AGCO CORP SC 001084102 $127 2,972SH DEFINED 3 2,972 0 AGCO CORP SC 001084102 $1,969 46,206SH DEFINED 4 46,206 0 AGCO CORP SC 001084102 $262 6,150SH DEFINED 6 6,150 0 AGILENT TECHNOLOGIES SC 00846U101 $20 675SH DEFINED 4 675 0 AGILYSYS INC COM SC 00847J105 $1 82SH DEFINED 4 82 0 AGNICO EAGLE MINES LTD SN 008474108 $30 551SH DEFINED 4 551 0 AIR PRODUCTS & CHEMICALS SC 009158106 $5 75SH OTHER 3 75 0 AIR PRODUCTS & CHEMICALS SC 009158106 $421 6,150SH DEFINED 3 6,150 0 AIR PRODUCTS & CHEMICALS SC 009158106 $1,070 15,618SH DEFINED 4 15,618 0 AIRGAS INC SC 009363102 $21 430SH OTHER 3 430 0 AK STL HLDG CORP SC 001547108 $0 12SH DEFINED 7 12 0 AKAMAI TECHNOLOGIES SC 00971T101 $7 409SH DEFINED 7 409 0 AKAMAI TECHNOLOGIES SC 00971T101 $14 789SH DEFINED 3 789 0 AKAMAI TECHNOLOGIES SC 00971T101 $9 524SH OTHER 4 524 0 AKAMAI TECHNOLOGIES SC 00971T101 $199 11,427SH DEFINED 4 11,427 0 ALBANY INTL CORP CL A SC 012348108 $38 1,375SH DEFINED 7 1,375 0 ALBANY INTL CORP CL A SC 012348108 $88 3,237SH DEFINED 3 3,237 0 ALBANY INTL CORP CL A SC 012348108 $18 672SH OTHER 4 672 0 ALBANY INTL CORP CL A SC 012348108 $415 15,184SH DEFINED 4 15,184 0 ALBEMARLE CORP SC 012653101 $17 544SH DEFINED 4 544 0 ALBERTO-CULVER CO NEW SC 013078100 $10 356SH OTHER 3 356 0 ALBERTO-CULVER CO NEW SC 013078100 $5 200SH DEFINED 4 200 0 ALCATEL-LUCENT ADR SA 013904305 $2 398SH DEFINED 7 398 0 ALCATEL-LUCENT ADR SA 013904305 $2 399SH OTHER 4 399 0 ALCATEL-LUCENT ADR SA 013904305 $34 8,742SH DEFINED 4 8,742 0 ALCOA INC SC 013817101 $102 4,500SH DEFINED 7 4,500 0 ALCOA INC SC 013817101 $768 34,033SH OTHER 3 34,033 0 ALCOA INC SC 013817101 $61 2,703SH DEFINED 4 2,703 0 ALCOA INC SC 013817101 $166 7,350SH DEFINED 6 7,350 0 ALCON INC SN H01301102 $8 50SH DEFINED 7 50 0 ALCON INC SN H01301102 $11 70SH OTHER 3 70 0 ALCON INC SN H01301102 $30 185SH OTHER 4 185 0 ALCON INC SN H01301102 $128 795SH DEFINED 4 795 0 ALEXANDRIA REAL EST EQ INC SRE 015271109 $15 135SH DEFINED 7 135 0 ALEXANDRIA REAL EST EQ INC SRE 015271109 $5 48SH DEFINED 4 48 0 ALICO INC SC 016230104 $688 14,500SH DEFINED 7 14,500 0 ALKERMES INC NEW SC 01642T108 $2 133SH DEFINED 7 133 0 ALKERMES INC NEW SC 01642T108 $11 820SH DEFINED 3 820 0 ALKERMES INC NEW SC 01642T108 $3 224SH DEFINED 4 224 0 ALLEGHANY CORP SC 017175100 $201 550SH DEFINED 4 550 0 ALLEGHENY ENERGY INC SC 017361106 $18 500SH OTHER 4 500 0 ALLEGHENY TECH INC SC 01741R102 $5 175SH DEFINED 3 175 0 ALLEGHENY TECH INC SC 01741R102 $35 1,200SH OTHER 4 1,200 0 ALLEGHENY TECH INC SC 01741R102 $72 2,445SH DEFINED 4 2,445 0 ALLERGAN INC SC 018490102 $4 69SH DEFINED 3 69 0 ALLERGAN INC SC 018490102 $2,393 46,466SH DEFINED 4 46,466 0 ALLIANCE DATA SYS CORP SC 018581108 $337 5,314SH OTHER 4 2,100 3,214 ALLIANT ENERGY CORP SC 018802108 $6 200SH DEFINED 7 200 0 ALLIANT ENERGY CORP SC 018802108 $32 1,000SH DEFINED 4 1,000 0 ALLIANZ AKTIENGES ADR SA 018805101 $3 209SH DEFINED 3 209 0 ALLIANZ AKTIENGES ADR SA 018805101 $8 595SH DEFINED 4 595 0 ALLIED NEV GOLD CORP SC 019344100 $1 198SH DEFINED 4 198 0 ALLIED WASTE INDUSTRIES SC 019589308 $2 225SH OTHER 3 225 0 ALLIED WASTE INDUSTRIES SC 019589308 $18 1,607SH DEFINED 4 1,607 0 ALLIED WRLD ASU HLD LTD SN G0219G203 $53 1,500SH DEFINED 4 1,500 0 ALLOT COMMUNICATION SN M0854Q105 $40 16,483SH DEFINED 3 16,483 0 ALLSTATE CORP SC 020002101 $692 15,000SH OTHER 7 15,000 0 ALLSTATE CORP SC 020002101 $10 220SH OTHER 3 220 0 ALLSTATE CORP SC 020002101 $223 4,831SH OTHER 4 4,831 0 ALLSTATE CORP SC 020002101 $294 6,378SH DEFINED 4 6,378 0 ALON USA ENERGY SC 020520102 $18 1,350SH DEFINED 7 1,350 0 ALPHA NATURAL RES SC 02076X102 $1 25SH OTHER 7 25 0 ALPHA NATURAL RES SC 02076X102 $51,606 1,003,420SH DEFINED 4 1,003,420 0 ALTERA CORP SC 021441100 $2 99SH DEFINED 4 99 0 ALTERA CORP SC 021441100 $2 120SH DEFINED 6 120 0 ALTRIA GROUP INC SC 02209S103 $15 775SH OTHER 7 775 0 ALTRIA GROUP INC SC 02209S103 $64 3,216SH DEFINED 7 3,216 0 ALTRIA GROUP INC SC 02209S103 $139 7,025SH OTHER 3 7,025 0 ALTRIA GROUP INC SC 02209S103 $5 267SH DEFINED 3 267 0 ALTRIA GROUP INC SC 02209S103 $76 3,838SH OTHER 4 3,638 200 ALTRIA GROUP INC SC 02209S103 $951 47,953SH DEFINED 4 47,953 0 ALTRIA GROUP INC SC 02209S103 $12 600SH OTHER 6 600 0 AMAZON.COM INC SC 023135106 $77 1,057SH DEFINED 7 1,057 0 AMAZON.COM INC SC 023135106 $36 497SH DEFINED 4 497 0 AMB PROPERTY CORP SC 00163T109 $16 350SH DEFINED 7 350 0 AMB PROPERTY CORP SC 00163T109 $3 67SH DEFINED 3 67 0 AMBAC FINANCIAL GROUP INC SC 023139108 $1 500SH DEFINED 7 500 0 AMBAC FINANCIAL GROUP INC SC 023139108 $2 877SH DEFINED 4 877 0 AMCOL INTERNATIONAL CORP SC 02341W103 $1 23SH DEFINED 4 23 0 AMDOCS LTD ORD SN G02602103 $7 245SH DEFINED 7 245 0 AMDOCS LTD ORD SN G02602103 $108 3,937SH OTHER 4 0 3,937 AMDOCS LTD ORD SN G02602103 $19 684SH DEFINED 4 0 684 AMEDISYS INC SC 023436108 $9 180SH DEFINED 4 180 0 AMER EAGLE OUTFITTERS NEW SC 02553E106 $130 8,500SH DEFINED 4 8,500 0 AMEREN CORP SC 023608102 $40 1,019SH DEFINED 4 1,019 0 AMERICA MOVIL SAB ADR SA 02364W105 $40 860SH DEFINED 7 860 0 AMERICA MOVIL SAB ADR SA 02364W105 $6 135SH OTHER 3 135 0 AMERICA MOVIL SAB ADR SA 02364W105 $73 1,575SH OTHER 4 875 700 AMERICA MOVIL SAB ADR SA 02364W105 $840 18,111SH DEFINED 4 17,311 800 AMERICAN CAMPUS CMNTYS INC SC 024835100 $16 460SH DEFINED 7 460 0 AMERICAN CAPITAL LTD SC 02503Y103 $18 700SH OTHER 7 700 0 AMERICAN CAPITAL LTD SC 02503Y103 $77 3,000SH OTHER 4 3,000 0 AMERICAN CAPITAL LTD SC 02503Y103 $111 4,350SH DEFINED 4 4,350 0 AMERICAN ELECTRIC POWER CO SC 025537101 $50 1,356SH OTHER 3 0 1,356 AMERICAN ELECTRIC POWER CO SC 025537101 $3 73SH DEFINED 3 73 0 AMERICAN ELECTRIC POWER CO SC 025537101 $115 3,118SH DEFINED 4 3,118 0 AMERICAN ELECTRIC POWER CO SC 025537101 $4 100SH DEFINED 6 100 0 AMERICAN EXPRESS SC 025816109 $3,384 95,500SH DEFINED 2,4 95,500 0 AMERICAN EXPRESS SC 025816109 $2,349 66,287SH OTHER 7 66,287 0 AMERICAN EXPRESS SC 025816109 $19,324 545,406SH DEFINED 7 543,250 2,156 AMERICAN EXPRESS SC 025816109 $2,010 56,732SH OTHER 3 56,732 0 AMERICAN EXPRESS SC 025816109 $16,091 454,176SH DEFINED 3 453,476 700 AMERICAN EXPRESS SC 025816109 $2,978 84,063SH OTHER 4 79,892 4,171 AMERICAN EXPRESS SC 025816109 $74,477 2,102,097SH DEFINED 4 2,060,629 41,468 AMERICAN EXPRESS SC 025816109 $102 2,880SH OTHER 5 2,880 0 AMERICAN EXPRESS SC 025816109 $184 5,187SH DEFINED 5 5,187 0 AMERICAN EXPRESS SC 025816109 $47 1,318SH OTHER 6 1,318 0 AMERICAN EXPRESS SC 025816109 $3,098 87,442SH DEFINED 6 87,442 0 AMERICAN EXPRESS SC 025816109 $7,476 211,000SH OTHER 1 211,000 0 AMERICAN FINL GRP INC OHIO SC 025932104 $13 457SH DEFINED 4 457 0 AMERICAN GREETINGS CORP SC 026375105 $15 1,000SH OTHER 3 1,000 0 AMERICAN INTL GROUP INC SC 026874107 $2 501SH OTHER 7 501 0 AMERICAN INTL GROUP INC SC 026874107 $178 53,509SH DEFINED 7 53,509 0 AMERICAN INTL GROUP INC SC 026874107 $2 500SH OTHER 3 500 0 AMERICAN INTL GROUP INC SC 026874107 $31 9,231SH DEFINED 3 9,231 0 AMERICAN INTL GROUP INC SC 026874107 $43 13,030SH OTHER 4 6,780 6,250 AMERICAN INTL GROUP INC SC 026874107 $166 49,896SH DEFINED 4 49,726 170 AMERICAN INTL GROUP INC SC 026874107 $7 2,000SH OTHER 6 2,000 0 AMERICAN SUPERCONDUCTOR CP SC 030111108 $47 2,000SH OTHER 4 2,000 0 AMERICAN SUPERCONDUCTOR CP SC 030111108 $24 1,030SH DEFINED 4 1,030 0 AMERICAN TOWER CORP CL A SC 029912201 $55 1,520SH DEFINED 7 1,520 0 AMERICAN TOWER CORP CL A SC 029912201 $39 1,089SH DEFINED 3 1,089 0 AMERICAN TOWER CORP CL A SC 029912201 $19 518SH OTHER 4 518 0 AMERICAN TOWER CORP CL A SC 029912201 $497 13,827SH DEFINED 4 13,064 763 AMERICAS CAROMART SC 03062T105 $0 24SH DEFINED 4 24 0 AMERIPRISE FINANCIAL INC SC 03076C106 $100 2,623SH OTHER 4 2,590 33 AMERIPRISE FINANCIAL INC SC 03076C106 $3 83SH DEFINED 4 83 0 AMERISOURCE BERGEN CORP SC 03073E105 $26 700SH DEFINED 7 700 0 AMERISOURCE BERGEN CORP SC 03073E105 $34 900SH OTHER 4 0 900 AMERISOURCE BERGEN CORP SC 03073E105 $65 1,735SH DEFINED 4 535 1,200 AMETEK INC NEW SC 031100100 $53 1,291SH DEFINED 4 1,291 0 AMGEN INC SC 031162100 $41 686SH DEFINED 7 686 0 AMGEN INC SC 031162100 $16 265SH OTHER 3 265 0 AMGEN INC SC 031162100 $14 237SH DEFINED 3 237 0 AMGEN INC SC 031162100 $913 15,400SH OTHER 4 6,550 8,850 AMGEN INC SC 031162100 $1,789 30,189SH DEFINED 4 30,065 124 AMGEN INC SC 031162100 $38 640SH DEFINED 6 640 0 AMKOR TECHNOLOGY INC SC 031652100 $1,459 229,060SH DEFINED 4 229,060 0 AMPHENOL CORP SC 032095101 $153 3,800SH OTHER 4 3,800 0 AMPHENOL CORP SC 032095101 $21 520SH DEFINED 4 520 0 AMR CORP SC 001765106 $1 72SH DEFINED 7 72 0 AMR CORP SC 001765106 $54 5,500SH OTHER 3 0 5,500 AMR CORP SC 001765106 $1 133SH DEFINED 4 133 0 AMYLIN PHARMACEUTICALS SC 032346108 $51 2,511SH DEFINED 4 2,511 0 ANADARKO PETROLEUM SC 032511107 $796 16,412SH OTHER 7 16,412 0 ANADARKO PETROLEUM SC 032511107 $177 3,650SH OTHER 4 3,650 0 ANADARKO PETROLEUM SC 032511107 $564 11,619SH DEFINED 4 11,619 0 ANALOG DEVICES SC 032654105 $1 53SH DEFINED 7 53 0 ANALOG DEVICES SC 032654105 $5 179SH DEFINED 3 179 0 ANALOG DEVICES SC 032654105 $355 13,471SH DEFINED 4 13,471 0 ANGLGLD ASHANTI LTD ADR SA 035128206 $83 3,600SH OTHER 4 3,600 0 ANGLGLD ASHANTI LTD ADR SA 035128206 $18 791SH DEFINED 4 791 0 ANGLO AMERN PLC-ADR SA 03485P201 $46 2,730SH OTHER 4 2,730 0 ANHEUSER BUSCH COS. SC 035229103 $9 136SH DEFINED 7 136 0 ANHEUSER BUSCH COS. SC 035229103 $35 540SH OTHER 4 540 0 ANHEUSER BUSCH COS. SC 035229103 $800 12,331SH DEFINED 4 12,331 0 ANHEUSER BUSCH COS. SC 035229103 $33 510SH OTHER 6 510 0 ANNALY MTG MGMT INC COM SC 035710409 $1 82SH DEFINED 4 82 0 ANNTAYLOR STORES SC 036115103 $72 3,500SH OTHER 7 3,500 0 ANNTAYLOR STORES SC 036115103 $74 3,609SH DEFINED 7 3,609 0 ANNTAYLOR STORES SC 036115103 $149 7,225SH DEFINED 3 7,225 0 ANNTAYLOR STORES SC 036115103 $4,365 211,482SH DEFINED 4 211,482 0 ANNTAYLOR STORES SC 036115103 $315 15,250SH DEFINED 6 15,250 0 ANSYS INC SC 03662Q105 $40 1,044SH OTHER 3 1,044 0 ANSYS INC SC 03662Q105 $6 146SH DEFINED 4 146 0 ANWORTH MORTGAGE ASSET COR SC 037347101 $1 93SH DEFINED 4 93 0 AON CORP SC 037389103 $67 1,487SH DEFINED 7 1,487 0 AON CORP SC 037389103 $8 181SH DEFINED 3 181 0 AON CORP SC 037389103 $352 7,833SH DEFINED 4 7,833 0 AON CORP SC 037389103 $104 2,320SH DEFINED 6 2,320 0 APACHE CORP SC 037411105 $23 220SH OTHER 7 220 0 APACHE CORP SC 037411105 $47 450SH DEFINED 7 450 0 APACHE CORP SC 037411105 $9 85SH OTHER 3 85 0 APACHE CORP SC 037411105 $532 5,100SH OTHER 4 5,100 0 APACHE CORP SC 037411105 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149123101 $60 1,010SH OTHER 4 1,010 0 CATERPILLAR INC SC 149123101 $116 1,950SH DEFINED 4 1,615 335 CATO CORP CL A SC 149205106 $2,898 165,140SH DEFINED 4 165,140 0 CB-RICHARD ELLIS GROUP SC 12497T101 $501 37,483SH OTHER 3 0 37,483 CB-RICHARD ELLIS GROUP SC 12497T101 $12 925SH DEFINED 3 0 925 CB-RICHARD ELLIS GROUP SC 12497T101 $21 1,570SH DEFINED 4 0 1,570 CBEYOND INC SC 149847105 $27 1,862SH DEFINED 7 1,862 0 CBRL GROUP INC SC 12489V106 $1 30SH DEFINED 7 0 30 CBS CORP CL B NEW SC 124857202 $824 56,500SH DEFINED 7 56,500 0 CBS CORP CL B NEW SC 124857202 $20 1,375SH OTHER 3 1,375 0 CBS CORP CL B NEW SC 124857202 $4 271SH DEFINED 3 271 0 CBS CORP CL B NEW SC 124857202 $23 1,550SH OTHER 4 1,550 0 CBS CORP CL B NEW SC 124857202 $25 1,710SH DEFINED 4 1,710 0 CDN IMPERIAL BK COMMER SN 136069101 $0 1SH DEFINED 4 1 0 CELANESE CRP DEL COM SER A SC 150870103 $58 2,077SH DEFINED 7 2,077 0 CELANESE CRP DEL COM SER A SC 150870103 $20 700SH OTHER 4 0 700 CELANESE CRP DEL COM SER A SC 150870103 $46 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7,887 CENTENNIAL COMM CORP SC 15133V208 $841 134,830SH DEFINED 4 134,830 0 CENTERPOINT ENERGY INC SC 15189T107 $384 26,331SH OTHER 3 26,331 0 CENTERPOINT ENERGY INC SC 15189T107 $24 1,630SH DEFINED 4 1,630 0 CENTEX CORP SC 152312104 $2 101SH DEFINED 7 101 0 CENTEX CORP SC 152312104 $2 140SH OTHER 3 140 0 CENTEX CORP SC 152312104 $0 23SH DEFINED 4 23 0 CENTRAL EUROPEAN DISTRIB SC 153435102 $19 424SH OTHER 3 424 0 CENTRAL EUROPEAN DISTRIB SC 153435102 $9 200SH DEFINED 4 200 0 CENTRAL EUROPEAN ENTRPRS SC G20045202 $458 7,005SH OTHER 3 0 7,005 CENTRAL EUROPEAN ENTRPRS SC G20045202 $10 160SH DEFINED 3 0 160 CENTRAL EUROPEAN ENTRPRS SC G20045202 $18 275SH DEFINED 4 0 275 CEPHALON SC 156708109 $1 14SH DEFINED 3 14 0 CERADYNE INC SC 156710105 $73 1,995SH OTHER 3 1,995 0 CERADYNE INC SC 156710105 $2,542 69,340SH DEFINED 4 69,340 0 CERNER CORP SC 156782104 $132 2,950SH DEFINED 4 2,950 0 CF-INDUSTRIES HOLDINGS SC 125269100 $12 135SH DEFINED 4 135 0 CGI GRP INC CLA SUB-VTG SN 39945C109 $5 571SH 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$346 27,924SH DEFINED 7 27,924 0 YUM BRANDS INC SC 988498101 $2 49SH DEFINED 7 49 0 YUM BRANDS INC SC 988498101 $20 600SH DEFINED 3 600 0 YUM BRANDS INC SC 988498101 $219 6,720SH OTHER 4 6,720 0 YUM BRANDS INC SC 988498101 $455 13,968SH DEFINED 4 13,968 0 ZEBRA TECHNOLOGIES CP CL A SC 989207105 $28 1,000SH OTHER 4 1,000 0 ZENITH NATL INSURANCE CORP SC 989390109 $1 34SH DEFINED 4 34 0 ZHONE TECHNOLOGIES NEW SC 98950P108 $1 5,376SH DEFINED 7 5,376 0 ZIMMER HLDGS INC SC 98956P102 $58 893SH DEFINED 7 893 0 ZIMMER HLDGS INC SC 98956P102 $492 7,624SH OTHER 3 7,624 0 ZIMMER HLDGS INC SC 98956P102 $82 1,272SH DEFINED 3 1,272 0 ZIMMER HLDGS INC SC 98956P102 $210 3,259SH OTHER 4 3,166 93 ZIMMER HLDGS INC SC 98956P102 $989 15,318SH DEFINED 4 15,318 0 ZIONS BANCORPORATION SC 989701107 $79 2,044SH DEFINED 3 2,044 0 ZIONS BANCORPORATION SC 989701107 $1,348 34,828SH DEFINED 4 34,828 0 - --------------------------------------------------------------------------------------------------------------------------- $8,609,679 276,909,018 4,271,915 ========== =========== =========
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