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

                                    Form 13F

                               Form 13F Cover Page

Report for Calendar Year or Quarter Ended: March 31, 2004

Check here if amendment [X]  Amendment Number 1

Institutional Investment Manager filing this report:

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

Form 13F File Number:  28-399

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

Person signing this report on behalf of the reporting manager:

Name:       James J. Malerba
Title       Senior Vice President and Deputy Controller
Telephone:  617-664-8697

Signature, Place, and Date of Signing:

    /s/James J. Malerba           Boston, Massachusetts       October 19, 2005
---------------------------       ---------------------       ----------------
        [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:         None
Form 13F Information Table Entry Total:    3,397
Form 13F Information Table Value Total:    406,473,430
                                           (thousands)

List of Other Included Managers:

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

NONE





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
1 800 FLOWERS COM     CL A        68243Q10        3,327     348,355 SH           348,355            312,555                 35,800
1-800 CONTACTS INC    COM         68197710        1,715      97,374 SH            97,374             87,174                 10,200
1ST SOURCE CORP       COM         33690110        6,374     257,524 SH           257,524            239,074                 18,450
21ST CENTY INS GROUP  COM         90130N10        7,373     512,044 SH           512,044            485,844                 26,200
24/7 REAL MEDIA INC   COM NEW     90131420          441      60,836 SH            60,836             60,836
3COM CORP             COM         88553510       39,469   5,590,447 SH         5,589,647    800   5,148,180      61,669    380,598
3M CO                 COM         88579Y10    4,949,699  60,458,034 SH        60,455,434  2,600  24,874,532  33,603,232  1,980,270
4 KIDS ENTMT INC      COM         35086510        4,860     217,262 SH           217,262            199,262                 18,000
7-ELEVEN INC          COM NEW     81782620        7,691     507,012 SH           507,012            453,962                 53,050
99 CENTS ONLY STORES  COM         65440K10       20,679     846,804 SH           846,684    120     835,376         120     11,308
A C MOORE ARTS & CRA  COM         00086T10        5,910     219,687 SH           219,687            194,587                 25,100
A D C TELECOMMUNICAT  COM         00088610       61,339  21,151,251 SH        21,151,251         19,267,270      18,226  1,865,755
A S V INC             COM         00196310        4,282     140,892 SH           140,892            140,492                    400
AAIPHARMA INC         COM         00252W10        3,559     536,737 SH           536,737            502,062                 34,675
AAON INC              COM PAR $0  00036020        3,132     154,446 SH           154,446            142,146                 12,300
AAR CORP              COM         00036110        7,331     596,988 SH           596,988            539,188                 57,800
AARON RENTS INC       COM         00253520       10,350     415,849 SH           415,849            382,774                 33,075
ABAXIS INC            COM         00256710          353      17,356 SH            17,356             17,356
ABB LTD               SPONSORED   00037520          336      56,253 SH            56,253             56,253
ABBOTT LABS           COM         00282410    1,708,415  41,567,281 SH        41,565,781  1,500  37,886,626     373,783  3,306,872
ABC BANCORP           COM         00040010        3,283     173,062 SH           173,062            156,062                 17,000
ABERCROMBIE & FITCH   CL A        00289620       53,689   1,586,556 SH         1,586,356    200   1,556,839         200     29,517
ABGENIX INC           COM         00339B10       20,144   1,512,344 SH         1,512,344          1,375,542                136,802
ABITIBI-CONSOLIDATED  COM         00392410          310      43,717 SH            43,717             34,273                  9,444
ABLE LABORATORIES IN  COM NEW     00371N40        4,980     255,801 SH           255,801            234,501                 21,300
ABM INDS INC          COM         00095710       11,322     630,775 SH           630,775            576,925                 53,850
ABN AMRO HLDG NV      SPONSORED   00093710        1,754      78,177 SH            78,177             78,177
ACADIA RLTY TR        COM SH BEN  00423910        3,901     276,462 SH           276,462            250,662                 25,800
ACCENTURE LTD BERMUD  CL A        G1150G11       13,330     537,504 SH           537,504            350,130       4,700    182,674
ACCREDITED HOME LEND  COM         00437P10        6,745     171,205 SH           171,205            156,505                 14,700
ACCREDO HEALTH INC    COM         00437V10       34,235     898,568 SH           898,568            824,132                 74,436
ACE CASH EXPRESS INC  COM         00440310          395      13,100 SH            13,100             13,100
ACE LTD               ORD         G0070K10      301,659   7,071,227 SH         7,071,227          6,436,107      18,700    616,420
ACETO CORP            COM         00444610        3,679     234,188 SH           234,188            212,888                 21,300
ACLARA BIOSCIENCES I  COM         00461P10        1,358     339,523 SH           339,523            338,523                  1,000
ACME COMMUNICATION I  COM         00463110        1,389     174,976 SH           174,976            171,776                  3,200
ACTEL CORP            COM         00493410       10,016     442,611 SH           442,611            406,461                 36,150
ACTION PERFORMANCE C  COM         00493310        4,099     268,463 SH           268,463            243,213                 25,250
ACTIVCARD CORP        COM         00506J10        5,652     917,545 SH           917,545            863,945                 53,600
ACTIVISION INC NEW    COM NEW     00493020       53,080   3,355,223 SH         3,355,223          3,112,496                242,727
ACTUANT CORP          CL A NEW    00508X20       15,926     405,963 SH           405,963            368,963                 37,000
ACTUATE CORP          COM         00508B10          249      77,095 SH            77,095             77,095
ACUITY BRANDS INC     COM         00508Y10       18,510     775,141 SH           775,141            713,641                 61,500
ACXIOM CORP           COM         00512510       22,734   1,035,245 SH         1,035,245          1,019,946                 15,299
ADAPTEC INC           COM         00651F10       17,456   1,992,642 SH         1,992,642          1,806,292                186,350
ADE CORP MASS         COM         00089C10          271      13,814 SH            13,814             13,814
ADECCO SA             SPONSORED   00675410          253      18,311 SH            18,311             18,311
Page Total                                    7,457,056


                                                                    Page 1 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
ADMINISTAFF INC       COM         00709410        7,759     445,147 SH           445,147            399,847                 45,300
ADOBE SYS INC         COM         00724F10      270,011   6,870,502 SH         6,870,402    100   6,291,297      92,842    486,363
ADOLOR CORP           COM         00724X10       11,401     757,011 SH           757,011            700,711                 56,300
ADTRAN INC            COM         00738A10       23,384     778,673 SH           778,473    200     766,974         200     11,499
ADVANCE AUTO PARTS I  COM         00751Y10       39,073     960,721 SH           960,721            927,597                 33,124
ADVANCED DIGITAL INF  COM         00752510       12,235   1,075,149 SH         1,075,149            948,779                126,370
ADVANCED ENERGY INDS  COM         00797310        7,036     345,054 SH           345,054            315,554                 29,500
ADVANCED FIBRE COMMU  COM         00754A10       33,130   1,499,761 SH         1,499,561    200   1,468,598         200     30,963
ADVANCED MARKETING S  COM         00753T10        2,413     243,704 SH           243,704            219,304                 24,400
ADVANCED MEDICAL OPT  COM         00763M10       15,028     615,884 SH           615,884            570,265                 45,619
ADVANCED MICRO DEVIC  COM         00790310      145,742   8,979,811 SH         8,979,811          8,188,953       8,200    782,658
ADVANCED NEUROMODULA  COM         00757T10       11,249     311,698 SH           311,698            283,748                 27,950
ADVANTA CORP          CL B        00794220        5,437     329,525 SH           329,525            297,175                 32,350
ADVANTA CORP          CL A        00794210          748      44,466 SH            44,466             44,466
ADVENT SOFTWARE INC   COM         00797410       15,479     828,658 SH           828,658            768,908                 59,750
ADVISORY BRD CO       COM         00762W10        6,741     183,689 SH           183,689            168,339                 15,350
ADVO INC              COM         00758510       18,293     567,755 SH           567,755            520,230                 47,525
AEGON N V             ORD AMER R  00792410          909      70,750 SH            70,750             70,750
AEROFLEX INC          COM         00776810       19,321   1,435,464 SH         1,435,464          1,336,114                 99,350
AEROPOSTALE           COM         00786510       17,225     475,041 SH           475,041            427,381                 47,660
AES CORP              COM         00130H10      135,447  15,878,869 SH        15,878,869         14,790,077      97,200    991,592
AETHER SYS INC        COM         00808V10        2,649     614,587 SH           614,587            536,287                 78,300
AETNA INC NEW         COM         00817Y10      356,192   3,970,035 SH         3,970,035          3,619,605       7,926    342,504
AFFILIATED COMPUTER   CL A        00819010       88,509   1,705,384 SH         1,704,984    400   1,646,316         700     58,368
AFFILIATED MANAGERS   COM         00825210       42,990     787,654 SH           786,544  1,110     725,194       1,110     61,350
AFFORDABLE RESIDENTI  COM         00827310        2,137     115,500 SH           115,500            103,600                 11,900
AFFYMETRIX INC        COM         00826T10       23,078     683,387 SH           683,387            673,475                  9,912
AFLAC INC             COM         00105510      626,319  15,603,363 SH        15,603,163    200  14,114,332      50,273  1,438,758
AFTERMARKET TECHNOLO  COM         00831810        7,777     529,428 SH           529,428            528,828                    600
AGCO CORP             COM         00108410       20,447     987,309 SH           987,309            973,422                 13,887
AGERE SYS INC         CL B        00845V20       49,297  15,800,276 SH        15,800,096    180  15,376,348      13,680    410,248
AGERE SYS INC         CL A        00845V10        5,958   1,855,950 SH         1,855,950          1,808,567                 47,383
AGILE SOFTWARE CORP   COM         00846X10        8,696     993,847 SH           993,847            924,129                 69,718
AGILENT TECHNOLOGIES  COM         00846U10      390,781  12,354,747 SH        12,354,347    400  11,377,651      76,450    900,646
AGILYSYS INC          COM         00847J10        6,808     577,398 SH           577,398            526,598                 50,800
AGL RES INC           COM         00120410       26,897     926,837 SH           926,837            898,467                 28,370
AGRIUM INC            COM         00891610          293      19,929 SH            19,929             19,929
AIR PRODS & CHEMS IN  COM         00915810      731,704  14,599,052 SH        14,596,242  2,810   6,407,745   7,677,562    513,745
AIRGAS INC            COM         00936310       24,008   1,127,159 SH         1,127,159          1,095,821                 31,338
AIRGATE PCS INC       COM NEW     00936730          234      15,629 SH            15,629             15,629
AIRTRAN HLDGS INC     COM         00949P10       17,439   1,467,956 SH         1,467,956          1,355,506                112,450
AK STL HLDG CORP      COM         00154710       10,272   1,749,868 SH         1,749,868          1,615,396                134,472
AKAMAI TECHNOLOGIES   COM         00971T10       24,476   1,862,719 SH         1,862,719          1,663,869                198,850
AKSYS LTD             COM         01019610        3,201     493,267 SH           493,267            445,029                 48,238
AKZO NOBEL NV         SPONSORED   01019930          502      13,563 SH            13,563             13,563
ALABAMA NATL BANCORP  COM         01031710        9,436     169,979 SH           169,979            151,629                 18,350
ALAMO GROUP INC       COM         01131110        1,328      76,393 SH            76,393             76,193                    200
ALAMOSA HLDGS INC     COM         01158910          478      81,816 SH            81,816             80,316                  1,500
ALARIS MEDICAL SYSTE  COM         01163710        6,512     349,146 SH           349,146            325,046                 24,100
ALASKA AIR GROUP INC  COM         01165910       12,907     523,385 SH           523,385            473,233                 50,152
ALBANY INTL CORP      CL A        01234810       13,345     496,280 SH           496,280            456,030                 40,250
ALBANY MOLECULAR RES  COM         01242310        6,597     442,747 SH           442,747            402,647                 40,100
ALBEMARLE CORP        COM         01265310       19,989     689,291 SH           689,291            640,891                 48,400
Page Total                                    3,339,316


                                                                    Page 2 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
ALBERTO CULVER CO     COM         01306810       89,609   2,042,613 SH         2,041,713    900   1,872,258       1,800    168,555
ALBERTSONS INC        COM         01310410      200,327   9,044,094 SH         9,044,094          8,203,306       8,700    832,088
ALCAN INC             COM         01371610        4,903     109,476 SH           109,476            106,846                  2,630
ALCATEL               SPONSORED   01390430          761      47,996 SH            47,996             47,996
ALCOA INC             COM         01381710    1,038,699  29,942,326 SH        29,941,886    440  28,092,770      21,890  1,827,666
ALCON INC             COM SHS     H0130110          801      12,647 SH            12,647             12,647
ALDERWOODS GROUP INC  COM         01438310        7,930     763,981 SH           763,981            689,031                 74,950
ALEXANDER & BALDWIN   COM         01448210       28,132     853,506 SH           853,506            783,577                 69,929
ALEXANDERS INC        COM         01475210        6,570      41,063 SH            41,063             35,351                  5,712
ALEXANDRIA REAL ESTA  COM         01527110       29,068     461,389 SH           461,389            420,613                 40,776
ALEXION PHARMACEUTIC  COM         01535110        8,213     345,534 SH           345,534            316,184                 29,350
ALFA CORP             COM         01538510        9,023     662,992 SH           662,992            583,692                 79,300
ALICO INC             COM         01623010        1,610      50,473 SH            50,473             50,273                    200
ALIGN TECHNOLOGY INC  COM         01625510       14,444     759,800 SH           759,800            687,700                 72,100
ALKERMES INC          COM         01642T10       18,323   1,145,934 SH         1,145,934          1,054,784                 91,150
ALLEGHANY CORP DEL    COM         01717510       11,079      44,801 SH            44,801             44,597                    204
ALLEGHENY ENERGY INC  COM         01736110       73,163   5,336,486 SH         5,336,486          4,888,625       2,050    445,811
ALLEGHENY TECHNOLOGI  COM         01741R10       33,542   2,772,076 SH         2,772,076          2,545,400         800    225,876
ALLEGIANT BANCORP IN  COM         01747610        6,447     218,307 SH           218,307            197,107                 21,200
ALLERGAN INC          COM         01849010      281,998   3,350,733 SH         3,350,733          3,069,009      19,450    262,274
ALLETE INC            COM         01852210       40,266   1,147,516 SH         1,147,116    400   1,131,294         400     15,822
ALLIANCE CAP MGMT HL  UNIT LTD P  01855A10        5,755     156,388 SH           156,388            155,888                    500
ALLIANCE DATA SYSTEM  COM         01858110        8,057     240,157 SH           240,157            236,257                  3,900
ALLIANCE GAMING CORP  COM NEW     01859P60       30,097     936,741 SH           936,741            860,191                 76,550
ALLIANCE IMAGING INC  COM NEW     01860620          800     205,133 SH           205,133            204,633                    500
ALLIANCE RES PARTNER  UT LTD PAR  01877R10          504      12,600 SH            12,600             12,600
ALLIANCE SEMICONDUCT  COM         01877H10        3,337     438,501 SH           438,501            353,881                 84,620
ALLIANT ENERGY CORP   COM         01880210       42,935   1,647,549 SH         1,646,549  1,000   1,624,294       1,000     22,255
ALLIANT TECHSYSTEMS   COM         01880410       26,945     495,306 SH           495,056    250     488,114         250      6,942
ALLIANZ AKTIENGESELL  SP ADR 1/1  01880510          833      76,274 SH            76,274             76,274
ALLIED CAP CORP NEW   COM         01903Q10       39,201   1,294,178 SH         1,294,178          1,241,896                 52,282
ALLIED DOMECQ PLC     SPON ADR N  01912120          419      12,439 SH            12,439             12,439
ALLIED IRISH BKS P L  SPON ADR O  01922840          614      20,510 SH            20,510             20,510
ALLIED WASTE INDS IN  COM PAR$.0  01958930      103,761   7,795,720 SH         7,795,720          7,313,449       3,100    479,171
ALLMERICA FINL CORP   COM         01975410       39,819   1,152,518 SH         1,152,118    400   1,071,075         400     81,043
ALLOS THERAPEUTICS I  COM         01977710          921     191,971 SH           191,971            191,971
ALLOY INC             COM         01985510        2,678     587,326 SH           587,326            535,126                 52,200
ALLSCRIPTS HEALTHCAR  COM         01988P10        3,908     402,870 SH           402,870            385,070                 17,800
ALLSTATE CORP         COM         02000210      965,829  21,245,682 SH        21,245,282    400  19,397,833     129,919  1,717,930
ALLSTREAM INC         CL B LT VT  02004C20        5,897     104,924 SH           104,924            104,924
ALLTEL CORP           COM         02003910      412,385   8,265,882 SH         8,260,907  4,975   7,711,975      20,547    533,360
ALPHARMA INC          CL A        02081310       21,939   1,118,771 SH         1,118,771          1,060,921                 57,850
ALTEON INC            COM         02144G10          976     542,063 SH           542,063            489,963                 52,100
ALTERA CORP           COM         02144110      245,561  11,990,299 SH        11,990,199    100  10,870,152     203,526    916,621
ALTIRIS INC           COM         02148M10        4,787     171,563 SH           171,563            155,963                 15,600
ALTRIA GROUP INC      COM         02209S10    4,017,308  73,779,762 SH        73,778,862    900  50,494,952  20,544,039  2,740,771
AMAZON COM INC        COM         02313510      128,109   2,960,011 SH         2,960,011          2,746,342       8,300    205,369
AMB PROPERTY CORP     COM         00163T10       59,575   1,602,764 SH         1,602,764          1,543,869         100     58,795
AMBAC FINL GROUP INC  COM         02313910      221,653   3,004,245 SH         3,004,145    100   2,713,242       5,100    285,903
AMBASSADORS GROUP IN  COM         02317710        2,065      83,449 SH            83,449             83,249                    200
AMBASSADORS INTL INC  COM         02317810        1,043      79,536 SH            79,536             79,336                    200
AMC ENTMT INC         COM         00166910        8,194     533,822 SH           533,822            488,972                 44,850
AMCOL INTL CORP       COM         02341W10        5,854     335,467 SH           335,467            300,067                 35,400
Page Total                                    8,316,669


                                                                    Page 3 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
AMCORE FINL INC       COM         02391210       12,946     435,735 SH           435,735            398,085                 37,650
AMDOCS LTD            ORD         G0260210        4,935     177,584 SH           177,584             87,858                 89,726
AMEDISYS INC          COM         02343610          248      10,107 SH            10,107             10,107
AMERADA HESS CORP     COM         02355110      195,698   2,997,823 SH         2,997,823          2,739,290       8,900    249,633
AMERCO                COM         02358610          748      31,693 SH            31,693             31,693
AMEREN CORP           COM         02360810      234,320   5,083,972 SH         5,083,972          4,703,867       4,556    375,549
AMERICA MOVIL S A DE  SPON ADR L  02364W10       15,479     400,498 SH           400,498            314,606      57,154     28,738
AMERICA SVC GROUP IN  COM         02364L10          448      13,067 SH            13,067             13,067
AMERICA WEST HLDG CO  CL B        02365720        4,983     522,865 SH           522,865            475,865                 47,000
AMERICAN AXLE & MFG   COM         02406110       41,649   1,130,242 SH         1,130,242          1,035,442      10,800     84,000
AMERICAN CAPITAL STR  COM         02493710       21,551     648,355 SH           648,355            643,726                  4,629
AMERICAN EAGLE OUTFI  COM         02553E10       36,385   1,350,097 SH         1,350,097          1,261,897                 88,200
AMERICAN ELEC PWR IN  COM         02553710      388,523  11,802,039 SH        11,802,039         10,873,445      23,700    904,894
AMERICAN EQTY INVT L  COM         02567620          233      18,100 SH            18,100             18,100
AMERICAN EXPRESS CO   COM         02581610    2,168,633  41,825,127 SH        41,817,687  7,440  38,074,479     329,832  3,420,816
AMERICAN FINL GROUP   COM         02593210       19,704     660,532 SH           660,532            648,675                 11,857
AMERICAN FINL RLTY T  COM         02607P30          986      58,200 SH            58,200             58,200
AMERICAN GREETINGS C  CL A        02637510       45,849   2,013,585 SH         2,013,585          1,828,660         700    184,225
AMERICAN HEALTHWAYS   COM         02649V10       12,043     493,562 SH           493,562            451,312                 42,250
AMERICAN HOME MTG IN  COM         02660R10        9,463     328,563 SH           328,563            295,861                 32,702
AMERICAN INTL GROUP   COM         02687410    5,112,245  71,650,248 SH        71,644,243  6,005  64,819,288     214,545  6,616,415
AMERICAN ITALIAN PAS  CL A        02707010       10,560     264,466 SH           264,466            237,366                 27,100
AMERICAN LD LEASE IN  COM         02711810        2,061     100,860 SH           100,860             83,960                 16,900
AMERICAN MED SEC GRO  COM         02744P10        6,232     233,324 SH           233,324            184,309      32,015     17,000
AMERICAN MED SYS HLD  COM         02744M10       10,628     400,594 SH           400,594            370,694                 29,900
AMERICAN MGMT SYS IN  COM         02735210       14,840     773,729 SH           773,729            699,529                 74,200
AMERICAN MTG ACCEP C  SH BEN INT  02756810        2,409     133,442 SH           133,442            114,142                 19,300
AMERICAN NATL BANKSH  COM         02774510        1,829      74,935 SH            74,935             66,735                  8,200
AMERICAN NATL INS CO  COM         02859110       12,031     134,443 SH           134,443            133,342                  1,101
AMERICAN PHARMACEUTI  COM         02886P10        8,449     180,155 SH           180,155            179,255                    900
AMERICAN PHYSICIANS   COM         02888410        3,099     148,289 SH           148,289            130,639                 17,650
AMERICAN PWR CONVERS  COM         02906610      118,892   5,171,484 SH         5,171,124    360   4,676,348       4,860    490,276
AMERICAN REAL ESTATE  DEPOSITRY   02916910          702      45,525 SH            45,525             45,525
AMERICAN RLTY INVS I  COM         02917410          417      43,390 SH            43,390             43,190                    200
AMERICAN SOFTWARE IN  CL A        02968310          206      30,700 SH            30,700             30,700
AMERICAN STD COS INC  COM         02971210      210,064   1,846,716 SH         1,846,516    200   1,689,662      14,084    142,970
AMERICAN STS WTR CO   COM         02989910        6,108     250,309 SH           250,309            229,209                 21,100
AMERICAN SUPERCONDUC  COM         03011110          270      21,031 SH            21,031             21,031
AMERICAN TOWER CORP   CL A        02991220       23,302   2,053,045 SH         2,053,045          2,038,454                 14,591
AMERICAN WOODMARK CO  COM         03050610        8,518     128,163 SH           128,163            113,112                 15,051
AMERICANWEST BANCORP  COM         03058P10        3,092     156,612 SH           156,612            139,892                 16,720
AMERICAS CAR MART IN  COM         03062T10        1,885      69,945 SH            69,945             69,645                    300
AMERICREDIT CORP      COM         03060R10       40,938   2,403,870 SH         2,403,510    360   2,373,137         810     29,923
AMERIGROUP CORP       COM         03073T10       20,651     451,871 SH           451,871            418,571                 33,300
AMERISOURCEBERGEN CO  COM         03073E10      152,808   2,794,592 SH         2,794,444    148   2,578,730       2,792    213,070
AMERISTAR CASINOS IN  COM         03070Q10        6,571     196,095 SH           196,095            180,245                 15,850
AMERITRADE HLDG CORP  COM         03074K10       43,022   2,793,662 SH         2,793,662          2,759,705                 33,957
AMERON INTL INC       COM         03071010        4,102     121,610 SH           121,610            106,590                 15,020
AMERUS GROUP CO       COM         03072M10       32,880     814,859 SH           814,859            755,159                 59,700
AMETEK INC NEW        COM         03110010       21,377     833,747 SH           833,747            821,681                 12,066
AMGEN INC             COM         03116210    2,119,718  36,452,581 SH        36,448,553  4,028  32,910,974     258,665  3,282,942
AMIS HLDGS INC        COM         03153810          502      31,058 SH            31,058             29,342                  1,716
AMKOR TECHNOLOGY INC  COM         03165210       15,846   1,083,130 SH         1,083,130          1,074,393                  8,737
Page Total                                   11,231,078


                                                                    Page 4 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
AMLI RESIDENTIAL PPT  SH BEN INT  00173510       12,902     456,720 SH           456,720            414,054                 42,666
AMN HEALTHCARE SERVI  COM         00174410        5,994     326,643 SH           326,643            307,267                 19,376
AMPCO-PITTSBURGH COR  COM         03203710          999      77,354 SH            77,354             61,154                 16,200
AMPHENOL CORP NEW     CL A        03209510       17,294     582,292 SH           582,292            566,010                 16,282
AMR CORP              COM         00176510       35,152   2,761,324 SH         2,761,324          2,473,264                288,060
AMSOUTH BANCORPORATI  COM         03216510      213,871   9,097,008 SH         9,097,008          8,382,002      18,476    696,530
AMSURG CORP           COM         03232P40       12,189     536,734 SH           536,734            488,809                 47,925
AMVESCAP PLC          SPONSORED   03235E10          278      18,351 SH            18,351             18,351
AMYLIN PHARMACEUTICA  COM         03234610       22,463     948,222 SH           948,222            938,537                  9,685
ANADARKO PETE CORP    COM         03251110      373,801   7,207,887 SH         7,207,887          6,648,864       2,500    556,523
ANALOG DEVICES INC    COM         03265410      537,607  11,197,806 SH        11,193,596  4,210  10,147,580      79,723    970,503
ANALOGIC CORP         COM PAR $0  03265720        6,757     148,531 SH           148,531            128,781                 19,750
ANAREN INC            COM         03274410        5,863     369,657 SH           369,657            331,807                 37,850
ANCHOR BANCORP WIS I  COM         03283910       14,256     563,701 SH           563,701            520,823                 42,878
ANDREW CORP           COM         03442510       87,389   4,993,648 SH         4,993,648          4,500,309       2,000    491,339
ANDRX CORP DEL        ANDRX GROU  03455310       40,948   1,505,428 SH         1,505,428          1,471,374         100     33,954
ANGELICA CORP         COM         03466310        3,879     169,917 SH           169,337    580     148,887         580     20,450
ANHEUSER BUSCH COS I  COM         03522910    1,195,018  23,431,724 SH        23,431,324    400  21,334,836     171,596  1,925,292
ANIXTER INTL INC      COM         03529010       17,546     621,099 SH           621,099            565,368                 55,731
ANNALY MTG MGMT INC   COM         03571040       24,741   1,265,536 SH         1,265,536          1,199,536      48,400     17,600
ANNTAYLOR STORES COR  COM         03611510       49,330   1,152,568 SH         1,152,418    150   1,076,673         150     75,745
ANSOFT CORP           COM         03638410        1,459     101,180 SH           101,180            100,880                    300
ANSWERTHINK INC       COM         03691610          270      35,036 SH            35,036             35,036
ANSYS INC             COM         03662Q10       18,343     461,568 SH           461,568            439,718                 21,850
ANTEON INTL CORP      COM         03674E10        9,742     337,217 SH           337,217            309,817                 27,400
ANTHEM INC            COM         03674B10      497,320   5,486,765 SH         5,486,659    106   4,347,787     718,656    420,322
ANTHRACITE CAP INC    COM         03702310       10,480     823,257 SH           823,257            731,890                 91,367
ANTIGENICS INC DEL    COM         03703210        4,182     392,332 SH           392,332            350,032                 42,300
ANWORTH MORTGAGE ASS  COM         03734710        9,561     684,904 SH           684,904            645,204                 39,700
AO TATNEFT            SPON ADR R  03737P30        1,607      57,779 SH            57,779             34,793      10,536     12,450
AON CORP              COM         03738910      598,489  21,443,550 SH        21,443,550          8,452,201  12,322,272    669,077
APAC CUSTOMER SERVIC  COM         00185E10        1,116     383,436 SH           383,436            382,236                  1,200
APACHE CORP           COM         03741110      387,277   8,970,965 SH         8,969,165  1,800   8,230,283       5,290    735,392
APARTMENT INVT & MGM  CL A        03748R10       97,819   3,146,318 SH         3,146,318          2,949,446       2,300    194,572
APHTON CORP           COM         03759P10        1,851     393,752 SH           393,752            366,352                 27,400
APOGEE ENTERPRISES I  COM         03759810       15,135   1,229,465 SH         1,229,465            372,406     807,359     49,700
APOGENT TECHNOLOGIES  COM         03760A10       52,700   1,717,742 SH         1,717,642    100   1,673,710         100     43,932
APOLLO GROUP INC      CL A        03760410      367,521   4,265,562 SH         4,265,112    450   3,924,322      28,142    313,098
APOLLO GROUP INC      COM UNV PH  03760420       12,498     143,627 SH           143,627            142,427                  1,200
APPLE COMPUTER INC    COM         03783310      256,714   9,493,847 SH         9,493,847          8,666,750       9,350    817,747
APPLEBEES INTL INC    COM         03789910       40,685     985,590 SH           985,590            963,644         350     21,596
APPLERA CORP          COM AP BIO  03802010      137,362   6,944,495 SH         6,935,495  9,000   6,473,585      14,100    456,810
APPLERA CORP          COM CE GEN  03802020       27,444   1,891,395 SH         1,891,395          1,770,945                120,450
APPLICA INC           COM         03815A10        4,656     414,271 SH           414,271            366,671                 47,600
APPLIED FILMS CORP    COM         03819710        6,974     248,972 SH           248,972            229,922                 19,050
APPLIED INDL TECHNOL  COM         03820C10        6,797     299,160 SH           299,160            272,610                 26,550
APPLIED MATLS INC     COM         03822210      955,798  44,810,029 SH        44,809,529    500  40,698,885     275,215  3,835,929
APPLIED MICRO CIRCUI  COM         03822W10       41,483   7,264,890 SH         7,264,890          6,855,155       3,000    406,735
APPLIED SIGNAL TECHN  COM         03823710        3,908     142,524 SH           142,524            129,224                 13,300
APRIA HEALTHCARE GRO  COM         03793310       22,762     760,267 SH           760,267            750,544                  9,723
APTARGROUP INC        COM         03833610       19,684     512,605 SH           511,070  1,535     508,070       1,535      3,000
AQUA AMERICA INC      COM         03836W10       27,212   1,255,169 SH         1,255,169          1,237,848                 17,321
AQUANTIVE INC         COM         03839G10        7,332     763,784 SH           763,784            695,284                 68,500
Page Total                                    6,324,458


                                                                    Page 5 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
AQUILA INC            COM         03840P10       17,936   3,808,084 SH         3,808,084          3,517,084                291,000
ARACRUZ CELULOSE S A  SPON ADR P  03849620        2,138      55,901 SH            55,901             37,822      11,685      6,394
ARAMARK CORP          CL B        03852110       44,950   1,639,904 SH         1,639,904          1,556,967      31,600     51,337
ARBITRON INC          COM         03875Q10       21,793     541,300 SH           541,300            491,296                 50,004
ARCH CAP GROUP LTD    ORD         G0450A10        1,359      32,276 SH            32,276             32,276
ARCH CHEMICALS INC    COM         03937R10        9,753     345,471 SH           345,471            316,671                 28,800
ARCH COAL INC         COM         03938010       31,015     988,069 SH           988,069            912,019                 76,050
ARCHER DANIELS MIDLA  COM         03948310      268,449  15,912,785 SH        15,912,785         14,485,737      14,495  1,412,553
ARCHSTONE SMITH TR    COM         03958310       95,899   3,249,714 SH         3,249,714          3,099,242         400    150,072
ARCTIC CAT INC        COM         03967010        7,475     294,509 SH           294,509            262,210                 32,299
ARDEN GROUP INC       CL A        03976210        1,969      26,249 SH            26,249             25,149                  1,100
ARDEN RLTY INC        COM         03979310       34,159   1,056,570 SH         1,056,570          1,021,659                 34,911
ARENA PHARMACEUTICAL  COM         04004710        2,102     323,403 SH           323,403            274,453                 48,950
ARGONAUT GROUP INC    COM         04015710        8,481     442,660 SH           442,660            401,460                 41,200
ARGOSY GAMING CO      COM         04022810       15,862     446,180 SH           446,180            407,680                 38,500
ARIAD PHARMACEUTICAL  COM         04033A10        6,306     660,312 SH           660,312            605,412                 54,900
ARIBA INC             COM         04033V10       13,032   4,604,971 SH         4,604,971          4,170,821                434,150
ARKANSAS BEST CORP D  COM         04079010       10,056     377,346 SH           377,346            343,146                 34,200
ARMOR HOLDINGS INC    COM         04226010       23,302     703,977 SH           703,977            666,477                 37,500
ARRIS GROUP INC       COM         04269Q10       14,757   1,614,598 SH         1,614,598          1,498,748                115,850
ARROW ELECTRS INC     COM         04273510       45,416   1,783,834 SH         1,783,634    200   1,689,772         200     93,862
ARROW FINL CORP       COM         04274410        4,283     142,528 SH           142,528            128,299                 14,229
ARROW INTL INC        COM         04276410       19,136     640,218 SH           640,218            603,446                 36,772
ARTESYN TECHNOLOGIES  COM         04312710        6,000     630,280 SH           630,280            553,139                 77,141
ARTHROCARE CORP       COM         04313610        8,217     353,439 SH           353,439            314,289                 39,150
ARTISAN COMPONENTS I  COM         04292310        6,677     299,571 SH           299,571            271,321                 28,250
ARVINMERITOR INC      COM         04335310       17,736     894,384 SH           894,384            880,884                 13,500
ASBURY AUTOMOTIVE GR  COM         04343610        3,765     217,479 SH           217,479            200,179                 17,300
ASCENTIAL SOFTWARE C  COM NEW     04362P20       26,487   1,213,869 SH         1,213,869          1,108,939                104,930
ASHLAND INC           COM         04420410       99,369   2,137,427 SH         2,137,427          2,004,367         700    132,360
ASHWORTH INC          COM         04516H10          296      34,013 SH            34,013             34,013
ASIAINFO HLDGS INC    COM         04518A10        3,181     488,676 SH           488,676            428,926                 59,750
ASK JEEVES INC        COM         04517410       33,767     945,067 SH           945,067            888,688                 56,379
ASML HLDG NV          N Y SHS     N0705911       22,019   1,201,247 SH         1,198,147  3,100     493,747       3,100    704,400
ASPECT COMMUNICATION  COM         04523Q10       14,683     936,988 SH           936,988            809,143                127,845
ASPECT MED SYS INC    COM         04523510        2,357     157,165 SH           157,165            150,265                  6,900
ASPEN TECHNOLOGY INC  COM         04532710        8,815   1,079,007 SH         1,079,007            996,007                 83,000
ASSOCIATED BANC CORP  COM         04548710       42,032     938,422 SH           938,422            920,682         310     17,430
ASSOCIATED ESTATES R  COM         04560410        4,260     464,520 SH           464,520            395,688                 68,832
ASSURANT INC          COM         04621X10        1,932      76,800 SH            76,800             75,700                  1,100
ASTA FDG INC          COM         04622010          299      15,600 SH            15,600             15,600
ASTEC INDS INC        COM         04622410        4,331     268,809 SH           268,629    180     244,729         180     23,900
ASTORIA FINL CORP     COM         04626510       45,503   1,196,506 SH         1,195,906    600   1,145,160         600     50,746
ASTRAZENECA PLC       SPONSORED   04635310        8,695     186,060 SH           186,060            186,060
ASYST TECHNOLOGY COR  COM         04648X10        6,662     809,422 SH           809,422            714,992                 94,430
AT RD INC             COM         04648K10        6,251     509,418 SH           509,418            465,818                 43,600
AT&T CORP             COM NEW     00195750      741,153  37,871,909 SH        37,871,909         23,890,285  12,118,741  1,862,883
AT&T WIRELESS SVCS I  COM         00209A10      943,195  69,301,602 SH        69,299,542  2,060  62,971,719     141,288  6,188,595
ATARI INC             COM         04651M10          608     178,443 SH           178,443            178,143                    300
ATHEROGENICS INC      COM         04743910       13,865     606,266 SH           606,266            549,716                 56,550
ATLANTIC COAST AIRLI  COM         04839610        6,132     852,783 SH           852,783            783,783                 69,000
ATMEL CORP            COM         04951310       88,169  13,564,507 SH        13,564,507         12,916,703     244,403    403,401
ATMI INC              COM         00207R10       13,567     515,457 SH           515,457            472,307                 43,150
Page Total                                    2,879,649


                                                                    Page 6 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
ATMOS ENERGY CORP     COM         04956010       23,609     923,302 SH           923,302            846,852                 76,450
ATRIX LABS INC        COM         04962L10        8,984     352,327 SH           352,327            317,677                 34,650
ATWOOD OCEANICS INC   COM         05009510        5,479     153,942 SH           153,942            136,461                 17,481
AU OPTRONICS CORP     SPONSORED   00225510        9,764     467,200 SH           467,200            467,200
AUDIOVOX CORP         CL A        05075710       10,248     512,404 SH           512,404            486,891                 25,513
AUGUST TECHNOLOGY CO  COM         05106U10          267      17,756 SH            17,756             17,756
AUSTRALIA&NEW ZEALAN  SPONSORED   05252830          944      13,059 SH            13,059             13,059
AUTHENTIDATE HLDG CO  COM         05266610          355      26,600 SH            26,600             26,600
AUTOBYTEL INC         COM         05275N10       11,992     908,470 SH           908,470            860,170                 48,300
AUTODESK INC          COM         05276910       87,991   2,791,598 SH         2,791,598          2,582,841      16,400    192,357
AUTOLIV INC           COM         05280010       39,181     955,628 SH           955,628            943,778         250     11,600
AUTOMATIC DATA PROCE  COM         05301510      738,147  17,574,925 SH        17,569,955  4,970  15,879,133     159,385  1,536,407
AUTONATION INC        COM         05329W10      111,966   6,566,897 SH         6,566,897          6,048,112       2,700    516,085
AUTOZONE INC          COM         05333210      253,110   2,944,165 SH         2,944,165          2,647,142      24,731    272,292
AVALONBAY CMNTYS INC  COM         05348410       77,127   1,439,465 SH         1,439,465          1,377,302       1,000     61,163
AVANEX CORP           COM         05348W10        4,809   1,113,118 SH         1,113,118          1,024,318                 88,800
AVANT IMMUNOTHERAPEU  COM         05349110        2,922   1,119,491 SH         1,119,491          1,024,591                 94,900
AVATAR HLDGS INC      COM         05349410        3,433      91,581 SH            91,581             84,081                  7,500
AVAYA INC             COM         05349910      159,539  10,046,564 SH        10,046,564          9,404,841      61,816    579,907
AVENTIS               SPONSORED   05356110       12,043     156,603 SH           156,243    360      77,993         360     78,250
AVERY DENNISON CORP   COM         05361110      176,765   2,841,421 SH         2,841,421          2,586,931      17,367    237,123
AVI BIOPHARMA INC     COM         00234610        1,005     331,598 SH           331,598            320,698                 10,900
AVIALL INC NEW        COM         05366B10        7,847     516,278 SH           516,278            478,628                 37,650
AVID TECHNOLOGY INC   COM         05367P10       26,676     578,270 SH           578,270            527,070                 51,200
AVISTA CORP           COM         05379B10       16,421     867,922 SH           867,922            783,772                 84,150
AVNET INC             COM         05380710      106,672   4,355,735 SH         4,354,935    800   3,966,436     170,800    218,499
AVOCENT CORP          COM         05389310       21,895     594,325 SH           594,225    100     585,925         100      8,300
AVON PRODS INC        COM         05430310      472,259   6,224,586 SH         6,224,486    100   5,637,035      38,388    549,163
AVX CORP NEW          COM         00244410       12,210     740,473 SH           740,473            735,811                  4,662
AXA                   SPONSORED   05453610       16,552     788,564 SH           786,364  2,200     336,541       2,200    449,823
AXCELIS TECHNOLOGIES  COM         05454010       22,966   2,065,310 SH         2,065,310          1,898,949                166,361
AZTAR CORP            COM         05480210       12,485     509,397 SH           508,547    850     456,847         850     51,700
B A S F  A G          SPONSORED   05526250        1,457      28,522 SH            28,522             28,522
BAKER HUGHES INC      COM         05722410      341,355   9,357,326 SH         9,352,276  5,050   8,781,115       8,250    567,961
BALDOR ELEC CO        COM         05774110       12,899     561,332 SH           561,332            503,682                 57,650
BALDWIN & LYONS INC   CL B        05775520        3,876     133,534 SH           133,534            115,211                 18,323
BALL CORP             COM         05849810      133,472   1,969,194 SH         1,969,194          1,838,619       8,925    121,650
BALLY TOTAL FITNESS   COM         05873K10        3,123     532,883 SH           532,883            476,783                 56,100
BANCFIRST CORP        COM         05945F10        3,724      67,179 SH            67,179             61,522                  5,657
BANCO BILBAO VIZCAYA  SPONSORED   05946K10        1,771     133,372 SH           133,372            133,372
BANCO SANTANDER CENT  ADR         05964H10        1,685     153,461 SH           153,461            153,461
BANCO SANTANDER CHIL  SP ADR REP  05965X10          277      10,299 SH            10,299             10,299
BANCORPSOUTH INC      COM         05969210       17,312     791,236 SH           791,236            786,404                  4,832
BANCTRUST FINANCIAL   COM         05978R10        2,094     119,699 SH           119,699            109,299                 10,400
BANDAG INC            COM         05981510       14,184     284,994 SH           284,994            258,894                 26,100
BANK HAWAII CORP      COM         06254010       33,807     729,695 SH           729,695            718,515                 11,180
BANK MUTUAL CORP NEW  COM         06375010        7,615     680,546 SH           680,546            619,683                 60,863
BANK NEW YORK INC     COM         06405710      625,844  19,868,060 SH        19,862,360  5,700  18,320,266      24,550  1,523,244
BANK OF AMERICA CORP  COM         06050510    3,518,211  43,445,427 SH        43,442,097  3,330  39,772,664     143,690  3,529,073
BANK OF GRANITE CORP  COM         06240110        5,040     243,816 SH           243,816            217,116                 26,700
BANK OF THE OZARKS I  COM         06390410        4,853     176,170 SH           176,170            160,570                 15,600
BANK ONE CORP         COM         06423A10    1,684,918  30,904,578 SH        30,904,178    400  27,904,367     205,517  2,794,694
BANK SOUTH CAROLINA   COM         06506610          203      14,806 SH            14,806             14,806
Page Total                                    8,873,384


                                                                    Page 7 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
BANKATLANTIC BANCORP  CL A        06590850       22,426   1,322,283 SH         1,322,283          1,238,833                 83,450
BANKNORTH GROUP INC   COM         06646R10       83,041   2,439,504 SH         2,439,104    400   2,330,170       2,600    106,734
BANKRATE INC          COM         06646V10        2,294     115,150 SH           115,150            114,850                    300
BANKUNITED FINL CORP  CL A        06652B10       14,975     504,206 SH           504,206            460,656                 43,550
BANNER CORP           COM         06652V10        7,190     245,491 SH           245,491            227,991                 17,500
BANTA CORP            COM         06682110       30,984     669,337 SH           669,337            622,046                 47,291
BARCLAYS PLC          ADR         06738E20        3,138      86,824 SH            86,824             86,824
BARD C R INC          COM         06738310      193,137   1,978,053 SH         1,978,053          1,803,626       8,500    165,927
BARNES & NOBLE INC    COM         06777410       89,423   2,743,039 SH         2,742,839    200   2,599,115      68,200     75,724
BARNES GROUP INC      COM         06780610        6,412     229,904 SH           229,904            209,954                 19,950
BARR PHARMACEUTICALS  COM         06830610       55,256   1,203,827 SH         1,203,602    225   1,186,206         225     17,396
BARRA INC             COM         06831310       10,468     299,179 SH           299,179            272,429                 26,750
BARRICK GOLD CORP     COM         06790110          636      26,733 SH            26,633    100      24,097         100      2,536
BASSETT FURNITURE IN  COM         07020310        4,263     215,069 SH           214,429    640     195,079         640     19,350
BAUSCH & LOMB INC     COM         07170710      119,221   1,988,007 SH         1,988,007          1,749,677      44,850    193,480
BAXTER INTL INC       COM         07181310      606,692  19,640,395 SH        19,640,395         14,088,183   4,178,257  1,373,955
BAY VIEW CAP CORP DE  COM         07262L10        2,341   1,049,861 SH         1,049,861            964,361                 85,500
BAYER A G             SPONSORED   07273030          725      29,711 SH            29,711             29,711
BB&T CORP             COM         05493710      478,819  13,564,267 SH        13,563,200  1,067  12,597,256      26,195    940,816
BEA SYS INC           COM         07332510       56,660   4,454,391 SH         4,450,631  3,760   4,208,777       8,760    236,854
BEAR STEARNS COS INC  COM         07390210      274,638   3,132,272 SH         3,132,272          2,887,666      17,250    227,356
BEARINGPOINT INC      COM         07400210       16,459   1,535,334 SH         1,535,334          1,522,559                 12,775
BEASLEY BROADCAST GR  CL A        07401410        1,284      72,761 SH            72,761             72,561                    200
BEAZER HOMES USA INC  COM         07556Q10       24,704     233,250 SH           233,250            206,980                 26,270
BEBE STORES INC       COM         07557110        3,173      94,592 SH            94,592             94,392                    200
BECKMAN COULTER INC   COM         07581110      112,638   2,065,230 SH         2,065,030    200   1,955,745      59,500     49,985
BECTON DICKINSON & C  COM         07588710      566,292  11,680,934 SH        11,680,934          6,914,182   4,148,524    618,228
BED BATH & BEYOND IN  COM         07589610      319,558   7,626,694 SH         7,626,694          6,996,392      48,039    582,263
BEDFORD PPTY INVS IN  COM PAR $0  07644630       11,574     379,839 SH           379,839            337,741                 42,098
BEI TECHNOLOGIES INC  COM         05538P10        6,164     276,395 SH           276,395            252,495                 23,900
BEL FUSE INC          CL B        07734730        4,983     151,908 SH           151,908            137,808                 14,100
BEL FUSE INC          CL A        07734720          333      11,771 SH            11,771             11,771
BELDEN INC            COM         07745910        8,272     436,072 SH           436,072            389,672                 46,400
BELLSOUTH CORP        COM         07986010    3,891,040 140,521,478 SH       140,520,538    940  49,582,967  86,043,406  4,895,105
BELO CORP             COM SER A   08055510       38,176   1,375,220 SH         1,374,820    400   1,353,320       2,400     19,500
BEMIS INC             COM         08143710       73,800   2,838,476 SH         2,838,476          2,642,388       1,000    195,088
BENCHMARK ELECTRS IN  COM         08160H10       50,311   1,598,201 SH         1,598,201          1,425,455      12,200    160,546
BENTLEY PHARMACEUTIC  COM         08265710        2,791     232,398 SH           232,398            207,398                 25,000
BERKLEY W R CORP      COM         08442310       56,767   1,423,438 SH         1,423,438          1,304,353      13,250    105,835
BERKSHIRE HATHAWAY I  CL B        08467020      506,578     162,834 SH           162,834                931     161,805         98
BERKSHIRE HILLS BANC  COM         08468010        3,389      97,096 SH            97,096             84,996                 12,100
BERRY PETE CO         CL A        08578910        9,457     346,660 SH           346,660            316,110                 30,550
BEST BUY INC          COM         08651610      443,982   8,584,341 SH         8,582,891  1,450   7,886,720      53,010    644,611
BEVERLY ENTERPRISES   COM NEW     08785130       10,554   1,649,008 SH         1,649,008          1,474,508                174,500
BG PLC                ADR FIN IN  05543420        1,016      33,313 SH            33,313             33,313
BHA GROUP HLDGS INC   COM         05544610        2,059      68,663 SH            68,663             68,363                    300
BHP BILLITON LTD      SPONSORED   08860610        1,421      75,649 SH            75,649             75,649
BIG 5 SPORTING GOODS  COM         08915P10        5,851     231,830 SH           231,830            210,730                 21,100
BIG LOTS INC          COM         08930210       39,955   2,755,484 SH         2,755,484          2,601,341       1,000    153,143
BIO RAD LABS INC      CL A        09057220       11,473     203,524 SH           203,524            202,624                    900
BIOGEN IDEC INC       COM         09062X10      470,717   8,466,140 SH         8,466,140          7,656,534      52,892    756,714
BIOLASE TECHNOLOGY I  COM         09091110        5,960     340,562 SH           340,562            309,462                 31,100
BIOMARIN PHARMACEUTI  COM         09061G10        8,570   1,139,686 SH         1,139,686            986,286                153,400
BIOMET INC            COM         09061310      266,083   6,936,473 SH         6,936,473          6,345,680      46,291    544,502
Page Total                                    9,038,119


                                                                    Page 8 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
BIOPURE CORP          CL A        09065H10          791     507,367 SH           507,367            457,967                 49,400
BIOSITE INC           COM         09094510        8,163     255,321 SH           255,321            234,321                 21,000
BIOVAIL CORP          COM         09067J10        3,204     205,407 SH           205,407            203,308                  2,099
BIOVERIS CORP         COM         09067610        4,193     353,840 SH           353,840            320,020                 33,820
BISYS GROUP INC       COM         05547210       26,056   1,554,671 SH         1,554,671          1,533,145         200     21,326
BJ SVCS CO            COM         05548210      189,805   4,386,516 SH         4,386,236    280   4,077,445       6,680    302,391
BJS WHOLESALE CLUB I  COM         05548J10       42,097   1,654,109 SH         1,654,109          1,542,059                112,050
BKF CAP GROUP INC     COM         05548G10          907      35,153 SH            35,153             35,153
BLACK & DECKER CORP   COM         09179710      185,741   3,262,043 SH         3,262,043          2,918,486      32,700    310,857
BLACK BOX CORP DEL    COM         09182610       15,932     298,126 SH           298,126            266,226                 31,900
BLACK HILLS CORP      COM         09211310       21,620     678,381 SH           678,381            624,545                 53,836
BLACKROCK INC         CL A        09247X10       11,375     185,953 SH           185,953            184,459                  1,494
BLAIR CORP            COM         09282810        4,637     174,014 SH           174,014            160,164                 13,850
BLOCK H & R INC       COM         09367110      250,526   4,909,388 SH         4,909,388          4,505,931      28,940    374,517
BLOCKBUSTER INC       CL A        09367910        6,929     395,960 SH           395,960            384,846                 11,114
BLOUNT INTL INC NEW   COM         09518010          539      53,884 SH            53,884             53,684                    200
BLUE COAT SYSTEMS IN  COM NEW     09534T50          631      11,781 SH            11,781             11,781
BLUE RHINO CORP       COM         09581110        3,107     183,431 SH           183,431            168,331                 15,100
BLUEGREEN CORP        COM         09623110          395      30,500 SH            30,500             30,500
BLYTH INC             COM         09643P10       16,243     497,188 SH           497,188            490,788                  6,400
BMC SOFTWARE INC      COM         05592110      219,528  11,229,079 SH        11,228,739    340  10,102,301      99,840  1,026,938
BOB EVANS FARMS INC   COM         09676110       23,742     734,355 SH           734,355            658,207                 76,148
BOC GROUP PLC         SPONSORED   05561760          385      11,617 SH            11,617             11,617
BOCA RESORTS INC      CL A        09688T10        7,488     429,122 SH           429,122            388,922                 40,200
BOEING CO             COM         09702310    3,736,549  90,980,005 SH        90,979,565    440  83,479,199   5,878,554  1,622,252
BOISE CASCADE CORP    COM         09738310      100,613   2,903,684 SH         2,903,684          1,781,170   1,002,381    120,133
BOK FINL CORP         COM NEW     05561Q20        8,580     209,274 SH           209,274            208,374                    900
BOMBAY CO INC         COM         09792410        4,497     572,883 SH           572,883            512,683                 60,200
BONE CARE INTL INC    COM         09807210        3,251     160,926 SH           160,926            141,526                 19,400
BON-TON STORES INC    COM         09776J10          239      15,506 SH            15,506             15,506
BOOKHAM TECHNOLOGY P  SPONSORED   09856Q10        2,443   1,120,816 SH         1,120,816            989,874                130,942
BORDERS GROUP INC     COM         09970910       36,282   1,528,319 SH         1,528,119    200   1,481,259         200     46,860
BORG WARNER INC       COM         09972410       35,208     415,045 SH           414,845    200     409,870         200      4,975
BORLAND SOFTWARE COR  COM         09984910       11,157   1,236,892 SH         1,236,892          1,104,792                132,100
BOSTON BEER INC       CL A        10055710        2,787     151,300 SH           151,300            138,400                 12,900
BOSTON COMMUNICATION  COM         10058210        3,703     312,465 SH           312,465            273,015                 39,450
BOSTON PRIVATE FINL   COM         10111910       11,498     410,640 SH           410,640            381,275                 29,365
BOSTON PROPERTIES IN  COM         10112110       98,015   1,804,737 SH         1,804,737          1,719,409       1,300     84,028
BOSTON SCIENTIFIC CO  COM         10113710      874,100  20,625,285 SH        20,624,885    400  18,793,788     131,596  1,699,901
BOTTOMLINE TECH DEL   COM         10138810          286      29,396 SH            29,396             29,396
BOWATER INC           COM         10218310       34,689     795,061 SH           795,061            771,759                 23,302
BOWNE & CO INC        COM         10304310       10,073     589,049 SH           589,049            541,749                 47,300
BOYD GAMING CORP      COM         10330410       19,440     849,281 SH           849,281            794,281                 55,000
BOYDS COLLECTION LTD  COM         10335410          842     335,432 SH           335,432            334,632                    800
BOYKIN LODGING CO     COM         10343010        5,236     564,272 SH           564,272            518,665                 45,607
BP PLC                SPONSORED   05562210    3,045,382  59,480,121 SH        59,476,091  4,030     661,086  58,611,355    207,680
BP PRUDHOE BAY RTY T  UNIT BEN I  05563010          723      23,967 SH            23,967             23,967
BRADLEY PHARMACEUTIC  COM         10457610        5,439     216,022 SH           216,022            202,422                 13,600
BRADY CORP            CL A        10467410       13,078     343,436 SH           343,436            308,286                 35,150
BRANDYWINE RLTY TR    SH BEN INT  10536820       31,118   1,018,592 SH         1,018,592            943,067                 75,525
BRASCAN CORP          CL A LTD V  10549P60          789      19,605 SH            19,605             19,605
BRASIL TELECOM PARTI  SPON ADR P  10553010          756      22,142 SH            22,142             18,540                  3,602
BRE PROPERTIES INC    CL A        05564E10       28,951     843,568 SH           843,568            816,326                 27,242
Page Total                                    9,169,760


                                                                    Page 9 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
BRIGGS & STRATTON CO  COM         10904310       41,762     618,970 SH           618,970            583,220                 35,750
BRIGHAM EXPLORATION   COM         10917810          248      33,700 SH            33,700             33,700
BRIGHT HORIZON FAMIL  COM         10919510        9,678     205,206 SH           205,206            182,056                 23,150
BRIGHTPOINT INC       COM NEW     10947340          868      56,574 SH            56,574             56,574
BRINKER INTL INC      COM         10964110       56,381   1,486,441 SH         1,484,101  2,340   1,465,111       2,590     18,740
BRINKS CO             COM         10969610       35,867   1,300,474 SH         1,300,474          1,214,774                 85,700
BRISTOL MYERS SQUIBB  COM         11012210    1,238,105  51,098,005 SH        51,097,305    700  46,626,109     316,173  4,155,723
BRISTOL WEST HLDGS I  COM         11037M10          360      17,663 SH            17,663             17,663
BRITISH AMERN TOB PL  SPONSORED   11044810       34,989   1,160,890 SH         1,160,890             31,395   1,129,495
BRITISH SKY BROADCAS  SPONSORED   11101310       13,719     269,151 SH           268,321    830     110,471         830    157,850
BROADCOM CORP         CL A        11132010      287,052   7,358,431 SH         7,358,291    140   6,721,976      47,240    589,215
BROADVISION INC       COM NEW     11141260        2,414     393,170 SH           393,170            353,370                 39,800
BROCADE COMMUNICATIO  COM         11162110       17,425   2,624,302 SH         2,624,302          2,538,501                 85,801
BROOKFIELD HOMES COR  COM         11272310       15,629     445,395 SH           445,395            427,895                 17,500
BROOKFIELD PPTYS COR  COM         11290010          377      12,122 SH            12,122             12,122
BROOKLINE BANCORP IN  COM         11373M10       15,940     999,379 SH           999,379            912,046                 87,333
BROOKS AUTOMATION IN  COM         11434010       19,190     912,065 SH           910,220  1,845     843,822       1,845     66,398
BROOKSTONE INC        COM         11453710        5,842     214,054 SH           214,054            192,479                 21,575
BROOKTROUT INC        COM         11458010          621      31,289 SH            31,289             31,289
BROWN & BROWN INC     COM         11523610       37,389     964,616 SH           964,616            953,582                 11,034
BROWN FORMAN CORP     CL B        11563720      119,680   2,511,122 SH         2,511,122          2,325,090      17,762    168,270
BROWN SHOE INC NEW    COM         11573610       12,799     351,325 SH           351,325            323,925                 27,400
BROWN TOM INC         COM NEW     11566020       23,644     628,833 SH           628,833            574,658                 54,175
BRT RLTY TR           SH BEN INT  05564530        1,578      66,132 SH            66,132             45,632                 20,500
BRUKER BIOSCIENCES C  COM         11679410        1,989     397,098 SH           397,098            396,298                    800
BRUNSWICK CORP        COM         11704310      111,718   2,736,171 SH         2,736,171          2,534,018       1,150    201,003
BRUSH ENGINEERED MAT  COM         11742110        4,588     226,347 SH           226,347            225,747                    600
BRYN MAWR BK CORP     COM         11766510        2,595     113,297 SH           113,297            102,097                 11,200
BSB BANCORP           COM         05565210        5,691     148,132 SH           148,132            128,432                 19,700
BT GROUP PLC          ADR         05577E10        1,032      30,908 SH            30,908             30,908
BUCKEYE PARTNERS L P  UNIT LTD P  11823010        1,361      31,500 SH            31,500             30,800                    700
BUCKEYE TECHNOLOGIES  COM         11825510        4,798     463,161 SH           463,161            408,911                 54,250
BUCKLE INC            COM         11844010        4,126     142,465 SH           142,465            131,966                 10,499
BUILDING MATLS HLDG   COM         12011310        3,500     200,372 SH           200,372            182,222                 18,150
BUNGE LIMITED         COM         G1696210        9,226     229,378 SH           229,378            146,565      72,943      9,870
BURLINGTON COAT FACT  COM         12157910        8,099     409,037 SH           409,037            382,587                 26,450
BURLINGTON NORTHN SA  COM         12189T10      392,272  12,453,069 SH        12,450,669  2,400  11,391,552      44,461  1,017,056
BURLINGTON RES INC    COM         12201410      363,083   5,706,159 SH         5,703,809  2,350   5,314,180       4,400    387,579
BUTLER MFG CO DEL     COM         12365510          579      25,781 SH            25,781             24,781                  1,000
C & F FINL CORP       COM         12466Q10        1,998      49,028 SH            49,028             42,128                  6,900
C COR NET CORP        COM         12501010        9,086     648,061 SH           648,061            589,711                 58,350
C D I CORP            COM         12507110        7,865     243,656 SH           243,656            218,556                 25,100
C D W CORP            COM         12512N10       82,417   1,219,008 SH         1,218,808    200   1,165,905         200     52,903
C H ROBINSON WORLDWI  COM         12541W10       46,113   1,111,156 SH         1,110,956    200   1,091,514         200     19,442
C&D TECHNOLOGIES INC  COM         12466110        6,528     390,641 SH           390,641            349,855                 40,786
CABLE & WIRELESS PUB  SPONSORED   12683020          309      43,404 SH            43,404             43,404
CABLE DESIGN TECHNOL  COM         12692410        7,981     841,930 SH           841,930            765,480                 76,450
CABLEVISION SYS CORP  CL A NY CA  12686C10       27,459   1,200,134 SH         1,200,133      1   1,127,388         301     72,445
CABOT CORP            COM         12705510      271,284   8,270,858 SH         8,270,733    125     877,701   7,320,074     73,083
CABOT MICROELECTRONI  COM         12709P10       18,005     427,379 SH           427,224    155     386,474         155     40,750
CABOT OIL & GAS CORP  COM         12709710       25,932     848,558 SH           848,558            779,048                 69,510
CACI INTL INC         CL A        12719030       31,656     736,194 SH           736,194            689,794                 46,400
CADBURY SCHWEPPES PL  ADR         12720930          808      25,135 SH            25,135             25,135
Page Total                                    3,443,655


                                                                   Page 10 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
CADENCE DESIGN SYSTE  COM         12738710       97,313   6,601,952 SH         6,600,552  1,400   6,155,279      95,400    351,273
CADMUS COMMUNICATION  COM         12758710          473      35,415 SH            35,415             35,415
CAESARS ENTMT INC     COM         12768710       87,861   6,737,795 SH         6,737,795          6,209,857      42,802    485,136
CAL DIVE INTL INC     COM         12791410       15,645     606,390 SH           606,390            544,840                 61,550
CALGON CARBON CORP    COM         12960310        4,585     595,512 SH           595,512            531,613                 63,899
CALIFORNIA FIRST NTN  COM         13022210          261      20,020 SH            20,020             20,020
CALIFORNIA MICRO DEV  COM         13043910          327      24,400 SH            24,400             24,400
CALIFORNIA PIZZA KIT  COM         13054D10        5,710     285,481 SH           285,481            259,931                 25,550
CALIFORNIA WTR SVC G  COM         13078810        7,506     265,312 SH           265,312            234,612                 30,700
CALLAWAY GOLF CO      COM         13119310       27,588   1,453,553 SH         1,453,553          1,350,153                103,400
CALPINE CORP          COM         13134710       50,005  10,707,670 SH        10,707,670         10,179,581       3,700    524,389
CAMBREX CORP          COM         13201110        9,427     350,446 SH           350,446            311,946                 38,500
CAMCO FINL CORP       COM         13261810        2,197     133,948 SH           133,948            119,048                 14,900
CAMDEN NATL CORP      COM         13303410        4,407     137,924 SH           137,924            120,624                 17,300
CAMDEN PPTY TR        SH BEN INT  13313110       38,271     851,413 SH           851,413            829,953                 21,460
CAMPBELL SOUP CO      COM         13442910      262,405   9,622,479 SH         9,622,479          8,697,251      63,180    862,048
CANADIAN NATL RY CO   COM         13637510          700      17,791 SH            17,791             17,791
CANADIAN PAC RY LTD   COM         13645T10          489      20,223 SH            20,223             18,923                  1,300
CANDELA CORP          COM         13690710        3,918     284,944 SH           284,944            255,544                 29,400
CANON INC             ADR         13800630        2,149      41,493 SH            41,493             41,493
CANTEL MEDICAL CORP   COM         13809810        1,815     101,474 SH           101,474            101,174                    300
CAPITAL AUTOMOTIVE R  COM SH BEN  13973310       30,709     869,707 SH           869,707            830,727                 38,980
CAPITAL CITY BK GROU  COM         13967410        6,104     147,982 SH           147,982            132,695                 15,287
CAPITAL CORP OF THE   COM         14006510        3,097      79,158 SH            79,158             71,058                  8,100
CAPITAL ONE FINL COR  COM         14040H10      512,497   6,794,343 SH         6,794,183    160   6,170,081      10,060    614,202
CAPITAL SOUTHWEST CO  COM         14050110        1,706      22,600 SH            22,600             22,600
CAPITALSOURCE INC     COM         14055X10          594      26,440 SH            26,440             26,440
CAPITOL BANCORP LTD   COM         14056D10        4,547     167,791 SH           167,791            153,041                 14,750
CAPITOL FED FINL      COM         14057C10       10,896     303,515 SH           303,515            302,400                  1,115
CAPSTEAD MTG CORP     COM NO PAR  14067E50        3,050     165,307 SH           165,307            150,057                 15,250
CAPTARIS INC          COM         14071N10          203      36,928 SH            36,928             36,928
CAPTIVA SOFTWARE COR  COM         14073T10          267      19,260 SH            19,260             19,260
CARAUSTAR INDS INC    COM         14090910        5,763     494,716 SH           494,716            446,266                 48,450
CARBO CERAMICS INC    COM         14078110       15,202     241,491 SH           241,491            218,811                 22,680
CARDIAC SCIENCE INC   COM NEW     14141020        4,119     946,990 SH           946,990            832,240                114,750
CARDINAL HEALTH INC   COM         14149Y10      852,738  12,376,454 SH        12,372,484  3,970  11,391,888      74,070    910,496
CARDIODYNAMICS INTL   COM         14159710        3,650     577,467 SH           577,467            510,667                 66,800
CAREER EDUCATION COR  COM         14166510       77,502   1,370,507 SH         1,370,507          1,344,633                 25,874
CAREMARK RX INC       COM         14170510      363,864  10,943,285 SH        10,942,860    425   9,693,452     609,705    640,128
CARLISLE COS INC      COM         14233910       26,688     471,104 SH           471,104            463,304                  7,800
CARMAX INC            COM         14313010       44,871   1,536,682 SH         1,536,342    340   1,484,449       1,840     50,393
CARMIKE CINEMAS INC   COM         14343640        1,628      43,794 SH            43,794             43,594                    200
CARNIVAL CORP         PAIRED CTF  14365830      524,406  11,676,830 SH        11,672,300  4,530  10,481,998      15,830  1,179,002
CARPENTER TECHNOLOGY  COM         14428510       15,817     481,061 SH           481,061            438,461                 42,600
CARRAMERICA RLTY COR  COM         14441810       37,416   1,103,728 SH         1,103,728          1,070,616                 33,112
CARREKER CORP         COM         14443310          421      53,149 SH            53,149             53,149
CARRIAGE SVCS INC     COM         14390510          275      55,400 SH            55,400             55,400
CARRIER ACCESS CORP   COM         14446010          279      22,723 SH            22,723             22,723
CARRINGTON LABS INC   COM         14452510          222      52,300 SH            52,300             52,300
CARTER INC            COM         14622910        3,103     108,536 SH           107,356  1,180     107,356       1,180
CASCADE BANCORP       COM         14715410        4,672     201,745 SH           201,745            181,745                 20,000
CASCADE CORP          COM         14719510        4,089     201,424 SH           201,424            185,824                 15,600
CASCADE NAT GAS CORP  COM         14733910        4,291     196,933 SH           196,233    700     176,883         700     19,350
Page Total                                    3,187,740


                                                                   Page 11 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
CASELLA WASTE SYS IN  CL A        14744810        3,595     247,275 SH           247,275            212,675                 34,600
CASEYS GEN STORES IN  COM         14752810       12,585     791,509 SH           790,769    740     725,119         740     65,650
CASH AMER INTL INC    COM         14754D10       11,679     506,671 SH           506,671            469,171                 37,500
CASUAL MALE RETAIL G  COM         14871110        5,278     510,488 SH           510,488            462,188                 48,300
CATALINA MARKETING C  COM         14886710       16,474     849,593 SH           849,593            786,693                 62,900
CATAPULT COMMUNICATI  COM         14901610        1,813     101,489 SH           101,489            101,289                    200
CATELLUS DEV CORP NE  COM         14911310       28,750   1,105,333 SH         1,105,333          1,079,179                 26,154
CATERPILLAR INC DEL   COM         14912310    1,106,250  13,990,766 SH        13,990,546    220  13,252,042      22,515    716,209
CATHAY GENERAL BANCO  COM         14915010       23,685     359,849 SH           359,849            317,381                 42,468
CATO CORP NEW         CL A        14920510        6,860     341,648 SH           341,648            317,648                 24,000
CAVALIER HOMES INC    COM         14950710          262      49,900 SH            49,900             49,900
CAVALRY BANCORP INC   COM         14954710        1,429      84,836 SH            84,836             84,636                    200
CB BANCSHARES INC HA  COM         12478510        5,158      73,784 SH            73,784             66,554                  7,230
CBL & ASSOC PPTYS IN  COM         12483010       26,119     425,801 SH           425,801            407,688                 18,113
CBRL GROUP INC        COM         12489V10       72,313   1,824,246 SH         1,824,046    200   1,722,646      61,700     39,900
CCBT FINL COS INC     COM         12500Q10        5,878     159,515 SH           159,515            141,315                 18,200
CCC INFORMATION SVCS  COM         12487Q10        4,151     229,189 SH           229,189            205,289                 23,900
CCF HLDG CO           COM         12487X10          305      11,250 SH            11,250             11,250
CDN IMPERIAL BK OF C  COM         13606910        1,019      19,605 SH            19,605             19,605
CEC ENTMT INC         COM         12513710       25,405     732,141 SH           732,141            682,491                 49,650
CEDAR FAIR L P        DEPOSITRY   15018510        1,988      56,862 SH            56,862             55,862                  1,000
CEDAR SHOPPING CTRS   COM NEW     15060220          253      17,800 SH            17,800             17,800
CELANESE AG           ORD         D1497A10       20,146     496,211 SH           496,211              2,653     493,558
CELESTICA INC         SUB VTG SH  15101Q10        2,969     181,023 SH           181,023            181,023
CELGENE CORP          COM         15102010       39,805     835,372 SH           835,372            828,648                  6,724
CELL GENESYS INC      COM         15092110        7,464     619,913 SH           619,913            535,243                 84,670
CELL THERAPEUTICS IN  COM         15093410        5,337     630,896 SH           630,896            507,176                123,720
CELLSTAR CORP         COM NEW     15092520          241      22,950 SH            22,950             22,950
CELLTECH GROUP PLC    SPONSORED   15115810        3,664     212,549 SH           211,049  1,500     204,249       1,500      6,800
CEMEX S A             SPON ADR 5  15129088        3,743     125,526 SH           125,526             84,459      26,995     14,072
CENDANT CORP          COM         15131310      676,116  27,721,033 SH        27,720,468    565  25,441,717      25,715  2,253,601
CENTENE CORP DEL      COM         15135B10        9,853     322,104 SH           322,104            292,084                 30,020
CENTENNIAL COMMUNCTN  CL A NEW    15133V20        1,665     245,176 SH           245,176            244,676                    500
CENTER BANCORP INC    COM         15140810        1,912     120,277 SH           120,277            105,477                 14,800
CENTER FINL CORP CAL  COM         15146E10        2,134     133,946 SH           133,946            133,546                    400
CENTERPOINT ENERGY I  COM         15189T10      101,162   8,850,554 SH         8,850,554          8,214,691       7,950    627,913
CENTERPOINT PPTYS TR  COM         15189510       38,498     466,648 SH           466,648            453,854                 12,794
CENTEX CORP           COM         15231210      229,011   4,236,243 SH         4,236,243          3,870,512      19,332    346,399
CENTILLIUM COMMUNICA  COM         15231910        2,438     539,288 SH           539,288            484,788                 54,500
CENTRAL COAST BANCOR  COM         15314510        2,515     136,922 SH           136,922            124,008                 12,914
CENTRAL EUROPEAN DIS  COM         15343510        3,976     122,780 SH           122,780            112,980                  9,800
CENTRAL GARDEN & PET  COM         15352710        9,639     267,746 SH           267,746            241,546                 26,200
CENTRAL PAC FINL COR  COM         15476010        8,661     290,745 SH           290,745            265,145                 25,600
CENTRAL PKG CORP      COM         15478510        6,748     336,077 SH           335,557    520     307,207         520     28,350
CENTRAL VT PUB SVC C  COM         15577110        6,782     301,401 SH           300,761    640     273,161         640     27,600
CENTURY ALUM CO       COM         15643110       13,368     473,537 SH           473,537            442,887                 30,650
CENTURY BANCORP INC   CL A NON V  15643210        1,776      53,680 SH            53,680             46,380                  7,300
CENTURY BUSINESS SVC  COM         15649010        5,902   1,202,129 SH         1,202,129          1,091,879                110,250
CENTURYTEL INC        COM         15670010      105,387   3,833,645 SH         3,833,465    180   3,635,226       1,580    196,839
CEPHALON INC          COM         15670810       41,624     726,035 SH           725,325    710     712,913         710     12,412
CEPHEID               COM         15670R10        5,535     594,549 SH           594,549            522,549                 72,000
CERADYNE INC          COM         15671010        5,042     139,481 SH           139,481            127,381                 12,100
CERES GROUP INC       COM         15677210          232      32,860 SH            32,860             32,860
Page Total                                    2,724,596


                                                                   Page 12 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
CERIDIAN CORP NEW     COM         15677910       41,338   2,097,286 SH         2,096,986    300   1,948,961       2,500    145,825
CERNER CORP           COM         15678210       26,496     587,492 SH           587,492            537,042                 50,450
CERTEGY INC           COM         15688010       35,257   1,006,769 SH         1,006,509    260     930,738       1,160     74,871
CERUS CORP            COM         15708510        8,151   2,390,242 SH         2,390,242          2,365,742                 24,500
CEVA INC              COM         15721010        2,192     231,205 SH           231,205            230,605                    600
CFS BANCORP INC       COM         12525D10        2,676     181,563 SH           181,563            156,163                 25,400
CH ENERGY GROUP INC   COM         12541M10       12,743     259,582 SH           259,582            232,476                 27,106
CHAMPION ENTERPRISES  COM         15849610       12,888   1,215,842 SH         1,215,842          1,085,642                130,200
CHARLES RIV LABS INT  COM         15986410       39,512     922,110 SH           922,110            855,392      32,900     33,818
CHARLES RIVER ASSOCI  COM         15985210        4,444     135,623 SH           135,623            121,423                 14,200
CHARLOTTE RUSSE HLDG  COM         16104810        3,719     203,237 SH           203,237            183,887                 19,350
CHARMING SHOPPES INC  COM         16113310       14,281   1,833,238 SH         1,833,238          1,605,988                227,250
CHARTER COMMUNICATIO  CL A        16117M10       20,444   4,331,427 SH         4,331,427          3,930,977         950    399,500
CHARTER FINL CORP WE  COM         16122M10        3,028      76,901 SH            76,901             76,401                    500
CHARTER ONE FINL INC  COM         16090310      212,541   6,010,776 SH         6,010,523    253   5,509,045       5,551    496,180
CHARTERMAC            SH BEN INT  16090810       17,086     689,499 SH           689,499            624,449                 65,050
CHATTEM INC           COM         16245610        7,581     295,307 SH           295,307            273,807                 21,500
CHECK POINT SOFTWARE  ORD         M2246510        2,431     106,879 SH           106,879             77,683                 29,196
CHECKERS DRIVE-IN RE  COM NEW     16280930          733      60,300 SH            60,300             60,300
CHECKFREE CORP NEW    COM         16281310       77,673   2,636,543 SH         2,636,383    160   2,479,452      13,760    143,331
CHECKPOINT SYS INC    COM         16282510       17,943     949,350 SH           949,350            899,400                 49,950
CHEESECAKE FACTORY I  COM         16307210       34,720     753,136 SH           753,136            743,436                  9,700
CHELSEA PPTY GROUP I  COM         16342110       53,646     852,328 SH           852,328            828,480                 23,848
CHEMICAL FINL CORP    COM         16373110       14,310     399,602 SH           399,602            361,195                 38,407
CHEROKEE INC DEL NEW  COM         16444H10        2,348     100,117 SH           100,117             89,317                 10,800
CHESAPEAKE CORP       COM         16515910        6,172     258,578 SH           258,578            237,778                 20,800
CHESAPEAKE ENERGY CO  COM         16516710       27,490   2,051,525 SH         2,051,525          2,019,343                 32,182
CHESAPEAKE UTILS COR  COM         16530310        2,480      96,815 SH            96,815             79,915                 16,900
CHEVRONTEXACO CORP    COM         16676410    3,417,828  38,936,300 SH        38,935,849    451  29,499,250   7,183,544  2,253,506
CHICAGO MERCANTILE H  CL A        16776010        8,222      84,993 SH            84,993             82,627                  2,366
CHICAGO PIZZA & BREW  COM         16788910        2,243     171,578 SH           171,578            171,178                    400
CHICOS FAS INC        COM         16861510       56,382   1,215,140 SH         1,213,340  1,800   1,197,545       1,800     15,795
CHILDRENS PL RETAIL   COM         16890510        8,586     277,234 SH           277,234            255,134                 22,100
CHIPPAC INC           CL A        16965710        7,198     909,997 SH           909,997            814,697                 95,300
CHIQUITA BRANDS INTL  COM         17003280       15,930     764,011 SH           764,011            703,011                 61,000
CHIRON CORP           COM         17004010      179,840   4,086,346 SH         4,086,086    260   3,730,566      29,273    326,507
CHITTENDEN CORP       COM         17022810       24,822     752,173 SH           752,173            683,376                 68,797
CHOICE HOTELS INTL I  COM         16990510       26,455     591,303 SH           591,303            548,203                 43,100
CHOICEPOINT INC       COM         17038810       47,589   1,251,352 SH         1,251,219    133   1,202,758       1,433     47,161
CHOLESTECH CORP       COM         17039310        1,781     202,362 SH           202,362            175,912                 26,450
CHORDIANT SOFTWARE I  COM         17040410          247      47,112 SH            47,112             47,112
CHRISTOPHER & BANKS   COM         17104610       14,918     706,657 SH           706,657            636,292                 70,365
CHRONIMED INC         COM         17116410        1,483     190,880 SH           190,880            169,380                 21,500
CHUBB CORP            COM         17123210      346,503   4,982,786 SH         4,982,686    100   4,553,942       6,500    422,344
CHURCH & DWIGHT INC   COM         17134010       25,017     577,625 SH           577,625            550,005                 27,620
CHURCHILL DOWNS INC   COM         17148410        5,114     131,878 SH           131,878            120,390                 11,488
CIBA SPECIALTY CHEMI  SPONSORED   17162W20        5,732     166,680 SH           166,680              6,319     160,361
CIBER INC             COM         17163B10       10,192     926,541 SH           925,541  1,000     837,041       1,000     88,500
CIENA CORP            COM         17177910       60,705  12,214,350 SH        12,213,690    660  11,035,224      12,610  1,166,516
CIGNA CORP            COM         12550910      222,438   3,768,851 SH         3,768,701    150   3,423,657       3,450    341,744
CIMA LABS INC         COM         17179610        7,781     247,556 SH           247,556            221,606                 25,950
CIMAREX ENERGY CO     COM         17179810       20,848     721,372 SH           721,213    159     660,210         159     61,003
CINCINNATI BELL INC   COM         17187110       17,591   4,321,993 SH         4,321,993          3,954,993                367,000
Page Total                                    5,239,764


                                                                   Page 13 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
CINCINNATI FINL CORP  COM         17206210      221,766   5,103,943 SH         5,103,943          4,671,588       8,895    423,460
CINERGY CORP          COM         17247410      214,268   5,240,118 SH         5,240,118          4,876,159      10,669    353,290
CINTAS CORP           COM         17290810      175,872   4,043,953 SH         4,043,853    100   3,693,677      31,560    318,716
CIPHERGEN BIOSYSTEMS  COM         17252Y10        3,081     366,776 SH           366,776            329,776                 37,000
CIRCOR INTL INC       COM         17273K10        4,649     205,690 SH           205,690            188,040                 17,650
CIRCUIT CITY STORE I  COM         17273710       55,634   4,923,338 SH         4,923,338          4,581,500       1,900    339,938
CIRRUS LOGIC INC      COM         17275510        9,520   1,255,974 SH         1,255,974          1,112,367                143,607
CISCO SYS INC         COM         17275R10    4,612,359 195,687,692 SH       195,671,152 16,540 176,659,450   1,417,003 17,611,239
CIT GROUP INC         COM         12558110       88,483   2,325,445 SH         2,325,445          2,227,541       2,900     95,004
CITADEL BROADCASTING  COM         17285T10          363      20,800 SH            20,800             20,800
CITIGROUP INC         COM         17296710   13,040,118 252,226,654 SH       252,213,402 13,252 138,290,844 102,256,531 11,679,279
CITIZENS BKG CORP MI  COM         17442010       24,541     752,112 SH           752,112            690,574                 61,538
CITIZENS COMMUNICATI  COM         17453B10       91,259   7,052,437 SH         7,051,893    544   6,527,747       3,894    520,796
CITIZENS FIRST BANCO  COM         17461R10        3,656     151,019 SH           151,019            132,382                 18,637
CITIZENS INC          CL A        17474010        3,670     492,571 SH           492,571            448,143                 44,428
CITIZENS SOUTH BKG C  COM         17668210        2,015     146,883 SH           146,883            129,783                 17,100
CITRIX SYS INC        COM         17737610      123,461   5,710,482 SH         5,710,482          5,331,743      86,834    291,905
CITY BK LYNNWOOD WAS  COM         17770A10        4,579     133,491 SH           133,491            121,491                 12,000
CITY HLDG CO          COM         17783510       11,118     321,420 SH           321,420            296,195                 25,225
CITY NATL CORP        COM         17856610       35,232     588,188 SH           588,188            576,926                 11,262
CKE RESTAURANTS INC   COM         12561E10        7,988     806,909 SH           806,909            724,509                 82,400
CLAIRES STORES INC    COM         17958410       38,093   1,827,884 SH         1,827,484    400   1,727,384      30,300     70,200
CLARCOR INC           COM         17989510       25,029     566,901 SH           566,461    440     522,661         440     43,800
CLARK INC             COM         18145710        4,279     251,705 SH           251,705            226,955                 24,750
CLEAN HARBORS INC     COM         18449610          752     101,443 SH           101,443            101,143                    300
CLEAR CHANNEL COMMUN  COM         18450210      706,226  16,675,934 SH        16,670,234  5,700  15,259,736      29,467  1,386,731
CLECO CORP NEW        COM         12561W10       20,351   1,069,415 SH         1,069,415            973,465                 95,950
CLEVELAND CLIFFS INC  COM         18589610       13,468     205,838 SH           205,838            180,638                 25,200
CLOROX CO DEL         COM         18905410      255,676   5,227,482 SH         5,227,482          4,693,440      41,170    492,872
CLOSURE MED CORP      COM         18909310        3,883     141,204 SH           141,204            130,604                 10,600
CMGI INC              COM         12575010       15,366   6,271,904 SH         6,271,904          5,694,604                577,300
CMS ENERGY CORP       COM         12589610       53,723   6,002,599 SH         6,002,599          5,403,074       1,700    597,825
CNA FINL CORP         COM         12611710       19,480     706,835 SH           706,835            637,735      44,200     24,900
CNA SURETY CORP       COM         12612L10        3,057     276,663 SH           276,663            253,363                 23,300
CNB FINL CORP PA      COM         12612810        2,288      52,602 SH            52,602             45,605                  6,997
CNET NETWORKS INC     COM         12613R10       19,202   1,857,104 SH         1,857,104          1,652,504                204,600
CNF INC               COM         12612W10       35,136   1,045,715 SH         1,045,615    100   1,036,385         100      9,230
COACH INC             COM         18975410      121,588   2,966,287 SH         2,965,651    636   2,825,288       9,936    131,063
COACHMEN INDS INC     COM         18987310        3,828     229,478 SH           229,478            208,478                 21,000
COASTAL BANCORP INC   COM         19041P10        2,749      66,489 SH            66,489             59,889                  6,600
COASTAL FINL CORP DE  COM         19046E10        2,920     179,706 SH           179,706            160,519                 19,187
COBIZ INC             COM         19089710        2,542     124,446 SH           124,446            124,146                    300
COCA COLA BOTTLING C  COM         19109810        4,909      96,154 SH            95,954    200      89,354         200      6,600
COCA COLA CO          COM         19121610    3,518,535  69,950,998 SH        69,944,223  6,775  63,835,656     479,196  5,636,146
COCA COLA ENTERPRISE  COM         19121910      237,000   9,805,535 SH         9,805,335    200   9,040,725       4,600    760,210
COCA-COLA FEMSA S A   SPON ADR R  19124110        3,260     135,332 SH           135,332             91,322      27,960     16,050
COEUR D ALENE MINES   COM         19210810       24,993   3,570,404 SH         3,570,404          3,255,604                314,800
COGNEX CORP           COM         19242210       22,605     679,837 SH           679,677    160     620,027         160     59,650
COGNIZANT TECHNOLOGY  CL A        19244610       37,960     838,886 SH           838,886            827,209                 11,677
COGNOS INC            COM         19244C10          353      11,380 SH            11,380             11,380
COHERENT INC          COM         19247910       13,282     505,204 SH           505,204            452,254                 52,950
COHU INC              COM         19257610        7,342     391,144 SH           391,144            340,574                 50,570
COINSTAR INC          COM         19259P30        6,459     409,050 SH           409,050            371,000                 38,050
Page Total                                   23,959,966


                                                                   Page 14 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
COLDWATER CREEK INC   COM         19306810        4,215     197,686 SH           197,686            197,186                    500
COLE KENNETH PRODTNS  CL A        19329410        4,376     128,343 SH           128,343            113,843                 14,500
COLE NATIONAL CORP N  CL A        19329010        4,187     189,698 SH           189,698            179,598                 10,100
COLGATE PALMOLIVE CO  COM         19416210      811,688  14,731,181 SH        14,727,431  3,750  13,524,930      95,271  1,110,980
COLLAGENEX PHARMACEU  COM         19419B10        3,853     289,276 SH           289,276            288,876                    400
COLLINS & AIKMAN COR  COM NEW     19483020        3,380     614,523 SH           614,521      2     547,871           2     66,650
COLONIAL BANCGROUP I  COM         19549330       33,450   1,808,109 SH         1,808,109          1,783,580                 24,529
COLONIAL PPTYS TR     COM SH BEN  19587210       20,067     491,849 SH           491,849            449,457                 42,392
COLUMBIA BANCORP      COM         19722710        2,982      96,129 SH            96,129             86,729                  9,400
COLUMBIA BANCORP ORE  COM         19723110        1,999     121,886 SH           121,886            107,786                 14,100
COLUMBIA BKG SYS INC  COM         19723610        6,392     228,446 SH           228,446            201,346                 27,100
COLUMBIA LABS INC     COM         19777910        2,632     531,714 SH           531,714            476,414                 55,300
COLUMBIA SPORTSWEAR   COM         19851610        9,285     167,664 SH           167,664            166,864                    800
COMCAST CORP NEW      CL A        20030N10    1,919,552  66,743,821 SH        66,742,936    885  51,191,328  11,095,615  4,456,878
COMCAST CORP NEW      CL A SPL    20030N20       44,962   1,614,417 SH         1,614,417          1,053,740      12,600    548,077
COMERICA INC          COM         20034010      252,228   4,643,376 SH         4,643,376          4,207,879       4,400    431,097
COMFORT SYS USA INC   COM         19990810          348      48,205 SH            48,205             48,205
COMMERCE BANCORP INC  COM         20051910       68,981   1,047,064 SH         1,046,144    920   1,028,840         920     17,304
COMMERCE BANCSHARES   COM         20052510       34,740     728,144 SH           728,144            718,987                  9,157
COMMERCE GROUP INC M  COM         20064110       20,349     423,940 SH           423,940            385,964                 37,976
COMMERCIAL BANKSHARE  COM         20160710        1,742      64,166 SH            64,166             56,541                  7,625
COMMERCIAL CAP BANCO  COM         20162L10        3,988     173,975 SH           173,975            166,243                  7,732
COMMERCIAL FEDERAL C  COM         20164710       31,634   1,146,153 SH         1,146,153          1,067,122                 79,031
COMMERCIAL METALS CO  COM         20172310       16,048     504,017 SH           504,017            455,107                 48,910
COMMERCIAL NET LEASE  COM         20221810       16,301     825,346 SH           825,346            758,066                 67,280
COMMONWEALTH TEL ENT  COM         20334910       20,099     490,097 SH           490,097            458,097                 32,000
COMMSCOPE INC         COM         20337210       20,435   1,227,346 SH         1,227,346          1,134,296                 93,050
COMMUNITY BK NORTHN   COM         20356610        1,222      71,879 SH            71,879             71,679                    200
COMMUNITY BK SYS INC  COM         20360710       13,055     282,081 SH           282,081            258,481                 23,600
COMMUNITY BKS INC MI  COM         20362810        6,126     196,355 SH           196,355            177,625                 18,730
COMMUNITY FIRST BANK  COM         20390210       23,298     724,906 SH           724,906            665,856                 59,050
COMMUNITY HEALTH SYS  COM         20366810       26,078     937,053 SH           936,268    785     899,659         785     36,609
COMMUNITY TR BANCORP  COM         20414910        7,859     238,155 SH           238,155            218,733                 19,422
COMPANHIA DE BEBIDAS  SPON ADR P  20441W20        8,070     403,486 SH           403,486            267,758      84,851     50,877
COMPANHIA DE BEBIDAS  SPONSORED   20441W10          484      14,901 SH            14,901             14,901
COMPANHIA ENERGETICA  SP ADR N-V  20440960        1,467      84,083 SH            84,083             68,841                 15,242
COMPANHIA SIDERURGIC  SPONSORED   20440W10        2,973      43,590 SH            43,590             37,376                  6,214
COMPANHIA VALE DO RI  SPON ADR P  20441210       13,683     292,057 SH           292,057            205,219      52,740     34,098
COMPASS BANCSHARES I  COM         20449H10       75,442   1,819,202 SH         1,818,802    400   1,752,054       2,100     65,048
COMPUCOM SYS INC      COM         20478010        2,128     387,652 SH           387,652            386,652                  1,000
COMPUCREDIT CORP      COM         20478N10        7,419     350,964 SH           350,964            309,764                 41,200
COMPUTER ASSOC INTL   COM         20491210      408,177  15,196,449 SH        15,196,089    360  14,012,161      13,060  1,171,228
COMPUTER HORIZONS CO  COM         20590810        2,022     470,299 SH           470,299            408,799                 61,500
COMPUTER NETWORK TEC  COM         20492510        4,203     524,056 SH           524,056            472,056                 52,000
COMPUTER PROGRAMS &   COM         20530610        1,900      99,996 SH            99,996             90,396                  9,600
COMPUTER SCIENCES CO  COM         20536310      197,936   4,907,907 SH         4,907,907          4,531,546       4,200    372,161
COMPUWARE CORP        COM         20563810       76,784  10,362,258 SH        10,362,258          9,571,072      10,100    781,086
COMSTOCK RES INC      COM NEW     20576820       13,995     704,333 SH           704,333            663,483                 40,850
COMTECH TELECOMMUNIC  COM NEW     20582620        5,804     250,189 SH           250,189            231,539                 18,650
COMVERSE TECHNOLOGY   COM PAR $0  20586240       86,721   4,780,641 SH         4,780,201    440   4,384,363       5,540    390,738
CONAGRA FOODS INC     COM         20588710      928,931  34,481,475 SH        34,481,175    300  13,851,857  19,504,290  1,125,328
CONCEPTUS INC         COM         20601610        3,770     314,964 SH           314,964            278,547                 36,417
CONCORD CAMERA CORP   COM         20615610        2,675     425,930 SH           425,930            385,480                 40,450
Page Total                                    5,282,136


                                                                   Page 15 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
CONCORD COMMUNICATIO  COM         20618610        4,560     311,661 SH           311,661            279,011                 32,650
CONCUR TECHNOLOGIES   COM         20670810        4,535     404,867 SH           404,867            367,967                 36,900
CONCURRENT COMPUTER   COM         20671020        3,744   1,085,305 SH         1,085,305            939,055                146,250
CONEXANT SYSTEMS INC  COM         20714210       44,743   7,299,041 SH         7,299,041          6,658,359                640,682
CONMED CORP           COM         20741010       15,491     524,398 SH           524,398            474,898                 49,500
CONNECTICUT BANCSHAR  COM         20754010        9,813     188,746 SH           188,746            170,946                 17,800
CONNECTICUT WTR SVC   COM         20779710        3,708     130,525 SH           130,525            115,275                 15,250
CONNETICS CORP        COM         20819210       10,944     497,007 SH           497,007            452,307                 44,700
CONOCOPHILLIPS        COM         20825C10    1,305,367  18,698,847 SH        18,698,500    347  17,385,926      38,721  1,274,200
CONSECO INC           COM NEW     20846488        5,670     244,814 SH           244,814            244,814
CONSOL ENERGY INC     COM         20854P10        8,484     316,571 SH           316,571            299,361                 17,210
CONSOLIDATED EDISON   COM         20911510      283,933   6,438,385 SH         6,438,385          5,920,274      13,681    504,430
CONSOLIDATED GRAPHIC  COM         20934110       18,366     477,665 SH           477,665            320,672     134,129     22,864
CONSOLIDATED TOMOKA   COM         21022610        3,669      98,838 SH            98,838             89,338                  9,500
CONSTELLATION BRANDS  CL A        21036P10       45,402   1,414,397 SH         1,414,397          1,394,324                 20,073
CONSTELLATION ENERGY  COM         21037110      204,065   5,108,016 SH         5,108,016          4,702,197      10,495    395,324
CONTINENTAL AIRLS IN  CL B        21079530       16,042   1,280,320 SH         1,280,320          1,180,320                100,000
CONVERA CORP          CL A        21191910          581     162,737 SH           162,737            162,237                    500
CONVERGYS CORP        COM         21248510       91,351   6,009,926 SH         6,009,926          5,577,923       3,400    428,603
COOPER CAMERON CORP   COM         21664010       33,036     749,968 SH           749,968            705,503                 44,465
COOPER COS INC        COM NEW     21664840       33,265     616,011 SH           616,011            565,889                 50,122
COOPER INDS LTD       CL A        G2418210      122,432   2,141,170 SH         2,141,170          1,897,003       2,200    241,967
COOPER TIRE & RUBR C  COM         21683110       44,607   2,213,741 SH         2,213,741          2,004,240         900    208,601
COORS ADOLPH CO       CL B        21701610       80,944   1,165,505 SH         1,165,505          1,059,560       5,900    100,045
COPART INC            COM         21720410       36,995   1,702,468 SH         1,702,468          1,592,618                109,850
CORE LABORATORIES N   COM         N2271710          308      14,525 SH            14,525             14,525
CORINTHIAN COLLEGES   COM         21886810       41,585   1,259,765 SH         1,259,365    400   1,239,151         400     20,214
CORIXA CORP           COM         21887F10        5,310     829,663 SH           829,663            720,813                108,850
CORN PRODS INTL INC   COM         21902310       34,524     863,106 SH           862,856    250     809,106         250     53,750
CORNELL COMPANIES IN  COM         21914110        2,510     216,898 SH           216,898            188,798                 28,100
CORNERSTONE RLTY INC  COM         21922V10       12,211   1,305,953 SH         1,305,953          1,190,553                115,400
CORNING INC           COM         21935010      374,352  33,484,094 SH        33,484,094         30,899,221      33,450  2,551,423
CORPORATE EXECUTIVE   COM         21988R10       22,250     473,413 SH           473,413            462,706                 10,707
CORPORATE OFFICE PPT  SH BEN INT  22002T10       27,005   1,080,192 SH         1,080,192          1,020,566                 59,626
CORRECTIONAL PPTYS T  COM         22025E10        5,297     171,987 SH           171,987            159,287                 12,700
CORRECTIONS CORP AME  COM NEW     22025Y40       22,493     631,813 SH           631,813            580,463                 51,350
CORUS BANKSHARES INC  COM         22087310       15,908     394,830 SH           394,830            362,130                 32,700
CORVEL CORP           COM         22100610        4,049     111,848 SH           111,848             99,848                 12,000
CORVIS CORP           COM         22100910       11,183   5,824,707 SH         5,824,707          5,359,407                465,300
COST PLUS INC CALIF   COM         22148510       17,101     409,616 SH           409,616            366,596                 43,020
COSTAR GROUP INC      COM         22160N10        9,240     250,620 SH           250,620            225,820                 24,800
COSTCO WHSL CORP NEW  COM         22160K10      440,597  11,714,902 SH        11,714,802    100  10,682,367      10,950  1,021,585
COTT CORP QUE         COM         22163N10        2,746      93,422 SH            92,022  1,400      92,022       1,400
COUNTRYWIDE FINANCIA  COM         22237210      440,097   4,589,126 SH         4,589,126          4,220,795       4,432    363,899
COURIER CORP          COM         22266010        4,395      97,912 SH            97,912             87,937                  9,975
COUSINS PPTYS INC     COM         22279510       23,434     714,676 SH           714,676            688,281                 26,395
COVANCE INC           COM         22281610       47,210   1,370,790 SH         1,368,890  1,900   1,261,290       1,900    107,600
COVANSYS CORP         COM         22281W10          401      34,529 SH            34,529             34,529
COVENANT TRANS INC    CL A        22284P10        2,258     125,256 SH           125,256            112,856                 12,400
COVENTRY HEALTH CARE  COM         22286210       78,536   1,855,336 SH         1,855,126    210   1,803,168       5,460     46,708
COX COMMUNICATIONS I  CL A        22404410      132,398   4,189,813 SH         4,183,613  6,200   3,979,884      19,650    190,279
COX RADIO INC         CL A        22405110        8,966     420,956 SH           420,956            416,524                  4,432
CPI CORP              COM         12590210        2,836     149,050 SH           149,050            146,350                  2,700
Page Total                                    4,220,949


                                                                   Page 16 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
CRANE CO              COM         22439910       48,536   1,470,782 SH         1,470,782          1,382,729         500     87,553
CRAWFORD & CO         CL B        22463310        1,402     275,981 SH           275,981            237,421                 38,560
CRAY INC              COM         22522310        7,696   1,160,727 SH         1,160,727          1,059,327                101,400
CREDENCE SYS CORP     COM         22530210       18,899   1,590,844 SH         1,590,844          1,481,544                109,300
CREDIT ACCEP CORP MI  COM         22531010        5,034     265,083 SH           265,083            236,710                 28,373
CREDIT SUISSE GROUP   SPONSORED   22540110        1,974      56,723 SH            56,723             56,723
CREE INC              COM         22544710       22,369   1,006,252 SH         1,006,252            991,660                 14,592
CRESCENT REAL ESTATE  COM         22575610       30,504   1,697,472 SH         1,697,472          1,613,004       1,300     83,168
CRH PLC               ADR         12626K20       24,490   1,192,286 SH         1,189,286  3,000     437,702     118,484    636,100
CRIIMI MAE INC        COM NEW     22660350        2,675     239,925 SH           239,925            221,325                 18,600
CROMPTON CORP         COM         22711610       35,646   5,587,069 SH         5,587,069          3,513,778   1,869,091    204,200
CROSS CTRY HEALTHCAR  COM         22748310        6,270     376,358 SH           376,358            316,108                 60,250
CROSS TIMBERS RTY TR  TR UNIT     22757R10          404      14,259 SH            14,259             14,246                     13
CROWN CASTLE INTL CO  COM         22822710       13,893   1,100,009 SH         1,100,009          1,092,256                  7,753
CROWN HOLDINGS INC    COM         22836810       27,661   2,967,895 SH         2,967,895          2,632,855                335,040
CROWN MEDIA HLDGS IN  CL A        22841110        2,667     329,713 SH           329,713            281,713                 48,000
CRYOLIFE INC          COM         22890310        1,665     279,868 SH           279,868            252,568                 27,300
CSG SYS INTL INC      COM         12634910       19,556   1,138,308 SH         1,138,308          1,052,908                 85,400
CSK AUTO CORP         COM         12596510       17,272     953,726 SH           953,726            883,796                 69,930
CSS INDS INC          COM         12590610        5,019     150,950 SH           150,950            136,250                 14,700
CSX CORP              COM         12640810      171,066   5,647,607 SH         5,647,607          5,228,159       5,100    414,348
CT COMMUNICATIONS IN  COM NEW     12642640        3,918     282,852 SH           282,852            257,752                 25,100
CTI MOLECULAR IMAGIN  COM         22943D10        6,399     438,560 SH           438,560            402,760                 35,800
CTS CORP              COM         12650110        8,051     617,416 SH           617,416            567,016                 50,400
CUBIC CORP            COM         22966910        9,378     360,691 SH           360,691            334,591                 26,100
CUBIST PHARMACEUTICA  COM         22967810        5,815     632,783 SH           632,783            580,236                 52,547
CULLEN FROST BANKERS  COM         22989910       29,149     681,691 SH           681,691            672,166                  9,525
CUMMINS INC           COM         23102110       60,073   1,027,773 SH         1,027,773            957,139         400     70,234
CUMULUS MEDIA INC     CL A        23108210       18,088     904,863 SH           901,078  3,785     835,728       3,785     65,350
CUNO INC              COM         12658310       13,165     293,983 SH           293,983            264,333                 29,650
CURAGEN CORP          COM         23126R10        6,723   1,077,452 SH         1,077,452            644,826     356,376     76,250
CURATIVE HEALTH SRVC  COM         23126W10        2,183     162,944 SH           162,944            146,994                 15,950
CURTISS WRIGHT CORP   COM         23156110       13,768     293,753 SH           293,753            260,751                 33,002
CV THERAPEUTICS INC   COM         12666710        8,685     574,030 SH           574,030            527,130                 46,900
CVB FINL CORP         COM         12660010       12,894     621,121 SH           621,121            567,278                 53,843
CVS CORP              COM         12665010      371,389  10,520,921 SH        10,520,921          9,621,298       9,950    889,673
CYBERGUARD CORP       COM         23191010        1,514     153,756 SH           153,756            141,256                 12,500
CYBERONICS INC        COM         23251P10        8,393     350,429 SH           350,429            311,729                 38,700
CYBEROPTICS CORP      COM         23251710          342      18,950 SH            18,950             18,950
CYMER INC             COM         23257210       28,974     750,428 SH           750,428            664,999                 85,429
CYPRESS SEMICONDUCTO  COM         23280610       39,164   1,913,222 SH         1,913,222          1,888,921                 24,301
CYTEC INDS INC        COM         23282010       22,463     631,502 SH           631,502            612,918                 18,584
CYTYC CORP            COM         23294610       52,203   2,346,220 SH         2,346,220          2,157,330                188,890
D & E COMMUNICATIONS  COM         23286010        2,997     212,829 SH           212,829            192,929                 19,900
D & K HEALTHCARE RES  COM         23286110        2,352     229,429 SH           229,429            206,129                 23,300
D R HORTON INC        COM         23331A10       95,492   2,695,234 SH         2,694,844    390   2,538,928         390    155,916
DADE BEHRING HLDGS I  COM         23342J20       52,802   1,187,103 SH         1,187,103          1,110,203                 76,900
DAIMLERCHRYSLER AG    ORD         D1668R12        1,857      44,499 SH            44,499             44,499
DAKTRONICS INC        COM         23426410        5,910     261,867 SH           261,867            237,970                 23,897
DANA CORP             COM         23581110       70,964   3,573,195 SH         3,573,195          3,261,567       1,500    310,128
DANAHER CORP DEL      COM         23585110      392,057   4,198,958 SH         4,198,858    100   3,855,778      11,495    331,685
DANIELSON HLDG CORP   COM         23627410          406      43,700 SH            43,700             43,700
DARDEN RESTAURANTS I  COM         23719410      105,027   4,236,671 SH         4,236,671          3,882,340       3,850    350,481
Page Total                                    1,917,293


                                                                   Page 17 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
DARLING INTL INC      COM         23726610        3,136     922,219 SH           922,219            818,419                103,800
DATASCOPE CORP        COM         23811310        8,809     250,686 SH           250,686            228,886                 21,800
DATASTREAM SYS INC    COM         23812410        2,359     329,537 SH           329,537            298,737                 30,800
DAVE & BUSTERS INC    COM         23833N10        3,918     260,349 SH           260,349            234,299                 26,050
DAVITA INC            COM         23918K10       53,025   1,110,481 SH         1,110,481          1,090,799                 19,682
DAWSON GEOPHYSICAL C  COM         23935910          343      27,887 SH            27,887             27,887
DEAN FOODS CO NEW     COM         24237010       88,908   2,661,928 SH         2,661,502    426   2,536,541      34,626     90,761
DEB SHOPS INC         COM         24272810        2,060      79,552 SH            79,552             70,052                  9,500
DECKERS OUTDOOR CORP  COM         24353710          362      13,962 SH            13,962             13,962
DECODE GENETICS INC   COM         24358610        8,200     771,420 SH           771,420            671,783                 99,637
DEERE & CO            COM         24419910      567,244   8,184,156 SH         8,184,156          7,408,704      15,350    760,102
DEL LABS INC          COM         24509110        2,611      78,652 SH            78,652             78,452                    200
DEL MONTE FOODS CO    COM         24522P10       21,638   1,923,343 SH         1,923,254     89   1,858,905          89     64,349
DELL INC              COM         24702R10    2,361,002  70,226,106 SH        70,225,246    860  63,352,867     500,017  6,373,222
DELPHI CORP           COM         24712610      758,266  76,131,159 SH        76,131,159         12,524,169  62,394,289  1,212,701
DELPHI FINL GROUP IN  CL A        24713110       22,585     537,493 SH           537,493            501,865                 35,628
DELTA & PINE LD CO    COM         24735710       17,343     695,101 SH           695,101            636,301                 58,800
DELTA AIR LINES INC   COM         24736110       24,168   3,051,543 SH         3,051,543          2,824,832       1,500    225,211
DELTA FINANCIAL CORP  COM         24791810          434      51,399 SH            51,399             51,399
DELTA PETE CORP       COM NEW     24790720          357      33,200 SH            33,200             33,200
DELTIC TIMBER CORP    COM         24785010        5,667     159,733 SH           159,233    500     143,370         500     15,863
DELUXE CORP           COM         24801910       56,364   1,405,587 SH         1,405,587          1,297,199       7,407    100,981
DENBURY RES INC       COM NEW     24791620       10,155     602,290 SH           602,290            553,790                 48,500
DENDREON CORP         COM         24823Q10        3,187     239,602 SH           239,602            233,202                  6,400
DENDRITE INTL INC     COM         24823910       10,951     684,005 SH           684,005            622,805                 61,200
DENTSPLY INTL INC NE  COM         24903010       48,037   1,083,633 SH         1,083,473    160   1,064,070         160     19,403
DEPARTMENT 56 INC     COM         24950910        3,145     212,811 SH           212,811            186,511                 26,300
DESERT CMNTY BK VICT  COM         25037Y10          620      26,246 SH            26,246             26,246
DEUTSCHE TELEKOM AG   SPONSORED   25156610        1,397      77,434 SH            77,434             77,434
DEVELOPERS DIVERSIFI  COM         25159110       64,227   1,589,782 SH         1,589,782          1,541,212                 48,570
DEVON ENERGY CORP NE  COM         25179M10      375,382   6,455,406 SH         6,455,131    275   5,884,529       2,575    568,302
DEVRY INC DEL         COM         25189310       29,527     979,337 SH           979,137    200     948,845         200     30,292
DHB INDS INC          COM         23321E10        2,278     309,099 SH           309,099            308,299                    800
DIAGEO P L C          SPON ADR N  25243Q20        8,957     169,389 SH           168,979    410      81,879         410     87,100
DIAGNOSTIC PRODS COR  COM         25245010       17,397     401,771 SH           401,771            371,052                 30,719
DIAMOND OFFSHORE DRI  COM         25271C10       21,177     875,452 SH           875,452            852,655                 22,797
DIAMONDCLUSTER INTL   COM         25278P10          326      33,747 SH            33,747             33,747
DICKS SPORTING GOODS  COM         25339310       12,775     219,735 SH           219,735            201,235                 18,500
DIEBOLD INC           COM         25365110       47,512     987,365 SH           987,165    200     968,778         350     18,237
DIGENE CORP           COM         25375210        9,450     274,865 SH           274,865            249,165                 25,700
DIGI INTL INC         COM         25379810          240      24,308 SH            24,308             24,308
DIGIMARC CORP         COM         25380710        2,153     174,056 SH           174,056            158,556                 15,500
DIGITAL GENERATION S  COM         25392110          546     361,603 SH           361,603            360,403                  1,200
DIGITAL INSIGHT CORP  COM         25385P10       10,853     523,815 SH           523,815            478,765                 45,050
DIGITAL RIV INC       COM         25388B10       18,530     788,490 SH           788,490            744,390                 44,100
DIGITAL THEATER SYS   COM         25389G10          307      12,000 SH            12,000             12,000
DIGITALTHINK INC      COM         25388M10        1,462     616,787 SH           616,787            558,087                 58,700
DIGITAS INC           COM         25388K10        3,319     322,568 SH           322,568            317,668                  4,900
DILLARDS INC          CL A        25406710       51,136   2,668,878 SH         2,668,878          2,451,527       1,000    216,351
DIME CMNTY BANCSHARE  COM         25392210       18,290     898,773 SH           898,773            835,623                 63,150
DIMON INC             COM         25439410        4,068     572,928 SH           572,928            570,528                  2,400
DIODES INC            COM         25454310        1,956      89,870 SH            89,870             89,470                    400
DIONEX CORP           COM         25454610       17,894     339,098 SH           339,098            302,548                 36,550
Page Total                                    4,806,055


                                                                   Page 18 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
DISCOVERY LABORATORI  COM         25466810        6,976     575,556 SH           575,556            528,775                 46,781
DISNEY WALT CO        COM DISNEY  25468710    1,537,857  61,538,902 SH        61,537,842  1,060  56,271,567     142,879  5,124,456
DITECH COMMUNICATION  COM         25500M10        7,625     457,408 SH           457,408            424,308                 33,100
DIVERSA CORP          COM         25506410        3,665     410,882 SH           410,882            366,082                 44,800
DJ ORTHOPEDICS INC    COM         23325G10        3,199     123,765 SH           123,765            118,365                  5,400
DNP SELECT INCOME FD  COM         23325P10          288      25,221 SH            25,221              9,300                 15,921
DOBSON COMMUNICATION  CL A        25606910        1,452     502,506 SH           502,506            470,806                 31,700
DOLLAR GEN CORP       COM         25666910      192,394  10,020,546 SH        10,020,346    200   7,525,072   1,764,325    731,149
DOLLAR THRIFTY AUTOM  COM         25674310       10,780     426,607 SH           426,607            351,987                 74,620
DOLLAR TREE STORES I  COM         25674710       53,569   1,735,881 SH         1,735,631    250   1,713,171         400     22,310
DOMINION HOMES INC    COM         25738610        2,216      58,237 SH            58,237             58,037                    200
DOMINION RES INC VA   COM         25746U10      626,296   9,740,210 SH         9,740,210          9,059,783      25,520    654,907
DOMTAR INC            COM         25756110          525      43,749 SH            43,749             29,349                 14,400
DONALDSON INC         COM         25765110       29,608   1,116,006 SH         1,116,006          1,064,502                 51,504
DONEGAL GROUP INC     CL A        25770120          837      41,771 SH            41,771             38,271                  3,500
DONEGAL GROUP INC     CL B        25770130          219      10,966 SH            10,966             10,966
DONNELLEY R R & SONS  COM         25786710      145,444   4,808,076 SH         4,808,076          4,342,686       4,900    460,490
DORAL FINL CORP       COM         25811P10       53,351   1,515,657 SH         1,515,657          1,438,766                 76,891
DORCHESTER MINERALS   COM UNIT    25820R10          533      29,765 SH            29,765             29,765
DOT HILL SYS CORP     COM         25848T10        5,806     578,273 SH           578,273            536,773                 41,500
DOUBLECLICK INC       COM         25860930       13,053   1,160,304 SH         1,160,304          1,140,833                 19,471
DOV PHARMACEUTICAL I  COM         25985810        3,007     193,748 SH           193,748            178,048                 15,700
DOVER CORP            COM         26000310      210,962   5,441,385 SH         5,441,385          4,969,301       4,800    467,284
DOVER DOWNS GAMING &  COM         26009510        3,218     300,451 SH           300,451            270,551                 29,900
DOVER MOTORSPORTS IN  COM         26017410          655     170,104 SH           170,104            167,504                  2,600
DOW CHEM CO           COM         26054310    1,040,383  25,828,776 SH        25,828,336    440  23,908,370     151,084  1,769,322
DOW JONES & CO INC    COM         26056110       87,517   1,826,702 SH         1,826,702          1,659,733      12,620    154,349
DOWNEY FINL CORP      COM         26101810       15,336     289,912 SH           289,912            285,602                  4,310
DPL INC               COM         23329310       32,243   1,719,638 SH         1,719,638          1,695,574                 24,064
DRESS BARN INC        COM         26157010        6,210     354,058 SH           354,058            312,608                 41,450
DREW INDS INC         COM NEW     26168L20        3,258      92,887 SH            92,887             92,487                    400
DREXLER TECHNOLOGY C  COM         26187610        1,940     145,660 SH           145,660            133,660                 12,000
DRIL-QUIP INC         COM         26203710        1,923     116,975 SH           116,975            106,675                 10,300
DRS TECHNOLOGIES INC  COM         23330X10       11,417     408,057 SH           408,057            369,459                 38,598
DRUGSTORE COM INC     COM         26224110        2,992     556,127 SH           556,127            506,327                 49,800
DSP GROUP INC         COM         23332B10       15,731     609,724 SH           609,624    100     563,474         100     46,150
DST SYS INC DEL       COM         23332610       56,446   1,244,671 SH         1,244,471    200   1,195,858       5,700     43,113
DTE ENERGY CO         COM         23333110      196,896   4,784,838 SH         4,784,838          4,440,336       3,900    340,602
DU PONT E I DE NEMOU  COM         26353410    1,802,835  42,700,975 SH        42,697,045  3,930  40,758,993     165,780  1,776,202
DUANE READE INC       COM         26357810        6,320     373,080 SH           373,080            336,880                 36,200
DUCOMMUN INC DEL      COM         26414710        3,156     135,062 SH           135,062            119,962                 15,100
DUKE ENERGY CORP      COM         26439910    1,705,283  75,454,986 SH        75,453,936  1,050  24,889,250  48,672,303  1,893,433
DUKE REALTY CORP      COM NEW     26441150       89,316   2,572,471 SH         2,572,471          2,494,299         500     77,672
DUN & BRADSTREET COR  COM         26483E10       58,049   1,085,025 SH         1,084,925    100   1,044,109       1,700     39,216
DUPONT PHOTOMASKS IN  COM         26613X10        4,867     209,313 SH           209,313            188,613                 20,700
DUQUESNE LT HLDGS IN  COM         26623310       22,758   1,167,099 SH         1,167,099            961,035     193,564     12,500
DURA AUTOMOTIVE SYST  CL A        26590310        5,712     434,050 SH           434,050            408,650                 25,400
DURATEK INC           COM         26658Q10        2,062     129,340 SH           129,340            129,040                    300
DURECT CORP           COM         26660510        1,656     488,505 SH           488,505            471,705                 16,800
DYAX CORP             COM         26746E10          422      41,035 SH            41,035             41,035
DYCOM INDS INC        COM         26747510       38,107   1,436,921 SH         1,436,921          1,356,371                 80,550
DYNACQ HEALTHCARE IN  COM         26779V10          478      90,460 SH            90,460             84,760                  5,700
DYNEGY INC NEW        CL A        26816Q10       39,377   9,943,812 SH         9,943,812          9,462,896       3,600    477,316
Page Total                                    8,166,229


                                                                   Page 19 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
E M C CORP MASS       COM         26864810      941,058  69,144,576 SH        69,129,751 14,825  62,476,074     492,330  6,176,172
E ON AG               SPONSORED   26878010       13,197     199,895 SH           199,385    510      97,615         510    101,770
E PIPHANY INC         COM         26881V10        7,143     989,396 SH           989,396            888,411                100,985
E TRADE FINANCIAL CO  COM         26924610       97,084   7,272,195 SH         7,271,215    980   6,737,535       4,480    530,180
EAGLE MATERIALS INC   COM         26969P10       17,834     303,045 SH           303,045            273,468          35     29,542
EAGLE MATERIALS INC   CL B        26969P20          665      11,393 SH            11,393             10,896         119        378
EARTHLINK INC         COM         27032110       20,247   2,282,645 SH         2,282,645          2,063,945                218,700
EAST WEST BANCORP IN  COM         27579R10       26,971     481,625 SH           481,625            439,717                 41,908
EASTERN AMERN NAT GA  SPERS RCT   27621710          763      32,100 SH            32,100             32,100
EASTERN VA BANKSHARE  COM         27719610        1,412      61,270 SH            61,270             61,070                    200
EASTGROUP PPTY INC    COM         27727610       17,864     503,208 SH           503,208            466,106                 37,102
EASTMAN CHEM CO       COM         27743210       86,814   2,034,063 SH         2,034,063          1,907,680         700    125,683
EASTMAN KODAK CO      COM         27746110      345,409  13,198,673 SH        13,198,673         12,597,303       7,100    594,270
EATON CORP            COM         27805810      240,275   4,276,125 SH         4,276,125          3,893,273      26,198    356,654
EATON VANCE CORP      COM NON VT  27826510       35,864     940,808 SH           940,808            928,734                 12,074
EBAY INC              COM         27864210    1,020,386  14,728,431 SH        14,728,231    200  13,272,840     108,342  1,347,249
ECHELON CORP          COM         27874N10        5,347     474,463 SH           474,463            429,713                 44,750
ECHOSTAR COMMUNICATI  CL A        27876210       88,005   2,687,171 SH         2,687,171          2,538,631       3,650    144,890
ECLIPSYS CORP         COM         27885610        8,269     613,456 SH           613,456            543,709                 69,747
ECOLAB INC            COM         27886510      204,160   7,155,960 SH         7,155,960          6,537,063      41,300    577,597
ECOLLEGE COM          COM         27887E10        4,837     231,657 SH           231,657            208,257                 23,400
EDISON INTL           COM         28102010      947,066  38,989,955 SH        38,989,955          8,557,565  29,775,661    656,729
EDO CORP              COM         28134710        6,150     255,394 SH           255,394            231,294                 24,100
EDP-ELECTRICIDADE DE  SPONSORED   26835310          403      14,264 SH            14,264             14,264
EDUCATION MGMT CORP   COM         28139T10       29,784     935,731 SH           935,731            922,153                 13,578
EDWARDS AG INC        COM         28176010       48,853   1,248,793 SH         1,248,493    300   1,167,307         300     81,186
EDWARDS LIFESCIENCES  COM         28176E10       53,699   1,680,723 SH         1,680,563    160     831,115     838,523     11,085
EFUNDS CORP           COM         28224R10       14,557     887,592 SH           887,592            810,992                 76,600
EGL INC               COM         26848410       11,171     622,349 SH           622,349            552,299                 70,050
EL PASO CORP          COM         28336L10      248,833  34,997,541 SH        34,996,661    880  16,292,690  17,533,088  1,171,763
EL PASO ELEC CO       COM NEW     28367785       14,022   1,013,162 SH         1,013,162            935,412                 77,750
ELAN PLC              ADR         28413120          556      26,980 SH            26,980             26,980
ELECTRO RENT CORP     COM         28521810        2,759     271,039 SH           271,039            269,739                  1,300
ELECTRO SCIENTIFIC I  COM         28522910       11,215     476,419 SH           476,419            430,369                 46,050
ELECTRONIC ARTS INC   COM         28551210      400,652   7,455,370 SH         7,454,970    400   6,705,292      59,648    690,430
ELECTRONIC DATA SYS   COM         28566110      542,427  28,032,390 SH        28,031,950    440  11,128,088  15,847,179  1,057,123
ELECTRONICS BOUTIQUE  COM         28604510        7,349     250,579 SH           250,579            230,979                 19,600
ELECTRONICS FOR IMAG  COM         28608210       28,318   1,152,552 SH         1,152,552          1,066,350                 86,202
ELIZABETH ARDEN INC   COM         28660G10        5,648     267,417 SH           267,417            240,317                 27,100
ELKCORP               COM         28745610       10,171     375,451 SH           375,451            340,839                 34,612
ELLIS PERRY INTL INC  COM         28885310        1,280      46,557 SH            46,557             46,457                    100
E-LOAN INC            COM         26861P10        4,467   1,436,211 SH         1,436,211          1,365,111                 71,100
EMBARCADERO TECHNOLO  COM         29078710        2,598     203,569 SH           203,569            199,369                  4,200
EMBOTELLADORA ANDINA  SPON ADR B  29081P30          669      61,182 SH            61,182             41,505      12,714      6,963
EMBREX INC            COM         29081710        1,383     122,105 SH           122,105            122,105
EMC INS GROUP INC     COM         26866410        1,236      58,673 SH            58,673             55,973                  2,700
EMCOR GROUP INC       COM         29084Q10        8,539     232,657 SH           232,657            204,361                 28,296
EMERSON ELEC CO       COM         29101110      668,772  11,161,077 SH        11,160,877    200  10,071,324      85,835  1,003,918
EMERSON RADIO CORP    COM NEW     29108720          925     242,077 SH           242,077            209,477                 32,600
EMISPHERE TECHNOLOGI  COM         29134510          202      30,549 SH            30,549             30,549
EMMIS COMMUNICATIONS  CL A        29152510       23,496     986,796 SH           986,796            902,002                 84,794
EMPIRE DIST ELEC CO   COM         29164110        9,125     402,866 SH           402,866            355,266                 47,600
EMPRESA NACIONAL DE   SPONSORED   29244T10          208      17,031 SH            17,031             17,031
Page Total                                    6,290,136


                                                                   Page 20 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
EMS TECHNOLOGIES INC  COM         26873N10        3,399     177,413 SH           177,413            160,063                 17,350
EMULEX CORP           COM NEW     29247520       21,872   1,027,334 SH         1,025,684  1,650     963,402       1,650     62,282
ENBRIDGE ENERGY MANA  SHS UNITS   29250X10          506      10,229 SH            10,229             10,229
ENBRIDGE INC          COM         29250N10          607      14,913 SH            14,913             14,913
ENCANA CORP           COM         29250510        1,616      37,478 SH            37,478             37,478
ENCORE ACQUISITION C  COM         29255W10        4,473     161,490 SH           161,490            149,690                 11,800
ENCORE CAP GROUP INC  COM         29255410          381      23,000 SH            23,000             23,000
ENCORE MED CORP       COM         29256E10          253      31,611 SH            31,611             31,611
ENCORE WIRE CORP      COM         29256210        7,193     193,211 SH           193,211            172,311                 20,900
ENCYSIVE PHARMACEUTI  COM         29256X10        8,628     839,287 SH           839,287            768,587                 70,700
ENDESA S A            SPONSORED   29258N10          803      44,044 SH            44,044             44,044
ENDO PHARMACEUTICALS  COM         29264F20       26,925   1,102,560 SH         1,102,560          1,079,560                 23,000
ENERGEN CORP          COM         29265N10       36,654     888,584 SH           888,284    300     824,834         300     63,450
ENERGIZER HLDGS INC   COM         29266R10       99,352   2,127,912 SH         2,127,712    200   2,013,144       3,700    111,068
ENERGY CONVERSION DE  COM         29265910        2,809     286,949 SH           286,949            260,499                 26,450
ENERGY EAST CORP      COM         29266M10       52,231   2,059,585 SH         2,059,585          2,022,390                 37,195
ENERGY PARTNERS LTD   COM         29270U10        5,054     378,588 SH           378,588            349,488                 29,100
ENERGYSOUTH INC       COM         29297010        2,683      76,859 SH            76,859             67,959                  8,900
ENESCO GROUP INC      COM         29297310          524      45,580 SH            45,580             45,580
ENGELHARD CORP        COM         29284510      158,936   5,317,362 SH         5,317,362          4,909,342       1,200    406,820
ENGINEERED SUPPORT S  COM         29286610       25,510     522,637 SH           522,637            481,810                 40,827
ENI S P A             SPONSORED   26874R10       15,911     157,614 SH           157,184    430      66,584         430     90,600
ENNIS BUSINESS FORMS  COM         29338910        4,347     259,690 SH           259,690            234,990                 24,700
ENPRO INDS INC        COM         29355X10        7,025     371,309 SH           371,289     20     340,237         110     30,962
ENSCO INTL INC        COM         26874Q10       62,034   2,202,117 SH         2,201,817    300   2,100,438         300    101,379
ENSTAR GROUP INC GA   COM         29358R10        1,927      42,911 SH            42,911             36,911                  6,000
ENTEGRIS INC          COM         29362U10       19,743   1,554,562 SH         1,554,562          1,456,962                 97,600
ENTERASYS NETWORKS I  COM         29363710        8,828   3,489,265 SH         3,489,265          3,170,005                319,260
ENTERCOM COMMUNICATI  CL A        29363910       26,169     578,068 SH           577,968    100     570,168         100      7,800
ENTERGY CORP NEW      COM         29364G10      491,018   8,252,395 SH         8,251,195  1,200   7,606,884      23,840    621,671
ENTERPRISE PRODS PAR  COM         29379210        4,835     206,014 SH           206,014            205,267                    747
ENTERTAINMENT PPTYS   COM SH BEN  29380T10       14,846     362,884 SH           362,884            333,734                 29,150
ENTRAVISION COMMUNIC  CL A        29382R10        4,044     450,887 SH           450,887            448,219                  2,668
ENTRUST INC           COM         29384810        3,391     777,689 SH           777,689            695,989                 81,700
ENZO BIOCHEM INC      COM         29410010        7,541     448,066 SH           448,066            412,036                 36,030
ENZON PHARMACEUTICAL  COM         29390410       14,210     920,902 SH           920,902            847,159                 73,743
EOG RES INC           COM         26875P10      161,774   3,525,258 SH         3,525,258          3,263,246       1,100    260,912
EON LABS INC          COM         29412E10       12,721     189,644 SH           189,644            184,244                  5,400
EPICOR SOFTWARE CORP  COM         29426L10        8,590     651,717 SH           651,717            589,617                 62,100
EPIQ SYS INC          COM         26882D10        3,824     234,609 SH           234,609            215,509                 19,100
EPIX MEDICAL INC      COM         26881Q10        5,561     268,002 SH           268,002            248,802                 19,200
EQUIFAX INC           COM         29442910      110,989   4,298,575 SH         4,298,575          3,883,618      30,197    384,760
EQUITABLE RES INC     COM         29454910       38,808     873,650 SH           873,650            841,616                 32,034
EQUITY INNS INC       COM         29470310        8,912     968,649 SH           968,649            885,896                 82,753
EQUITY OFFICE PROPER  COM         29474110      401,238  13,888,484 SH        13,888,484         12,796,109      45,025  1,047,350
EQUITY ONE            COM         29475210       19,312   1,004,798 SH         1,004,798            932,648                 72,150
EQUITY RESIDENTIAL    SH BEN INT  29476L10      270,794   9,071,823 SH         9,071,823          8,471,692       6,400    593,731
ERESEARCHTECHNOLOGY   COM         29481V10       13,303     474,259 SH           474,259            427,284                 46,975
ERICSSON L M TEL CO   ADR B SEK   29482160        2,847     102,555 SH           102,555            102,555
ERIE INDTY CO         CL A        29530P10       13,888     287,780 SH           287,780            284,562                  3,218
ESB FINL CORP         COM         26884F10        1,617     114,650 SH           114,650             97,650                 17,000
ESCO TECHNOLOGIES IN  COM         29631510        9,373     203,220 SH           203,220            183,420                 19,800
ESPEED INC            CL A        29664310        9,099     434,089 SH           434,089            396,589                 37,500
Page Total                                    2,238,926


                                                                   Page 21 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
ESS TECHNOLOGY INC    COM         26915110       12,338     841,622 SH           841,622            790,572                 51,050
ESSEX PPTY TR INC     COM         29717810       36,488     557,071 SH           557,071            510,259                 46,812
ESTERLINE TECHNOLOGI  COM         29742510        9,163     368,727 SH           368,727            338,727                 30,000
ETHAN ALLEN INTERIOR  COM         29760210       19,336     468,647 SH           468,647            465,936                  2,711
ETHYL CORP            COM NEW     29765960        4,710     237,752 SH           237,752            214,052                 23,700
EURONET WORLDWIDE IN  COM         29873610        5,307     279,158 SH           279,158            243,058                 36,100
EVEREST RE GROUP LTD  COM         G3223R10       23,768     278,183 SH           277,983    200     265,693         200     12,290
EVERGREEN RES INC     COM NO PAR  29990030       26,883     782,609 SH           782,609            717,479                 65,130
EVERGREEN SOLAR INC   COM         30033R10          325     133,672 SH           133,672            133,672
EVERTRUST FINL GROUP  COM         30041210        1,652      91,805 SH            91,805             75,455                 16,350
EXACT SCIENCES CORP   COM         30063P10        2,322     296,173 SH           296,173            267,523                 28,650
EXACTECH INC          COM         30064E10        1,628      88,500 SH            88,500             79,000                  9,500
EXAR CORP             COM         30064510       15,271     829,948 SH           829,948            768,198                 61,750
EXCEL TECHNOLOGY INC  COM         30067T10        4,740     150,700 SH           150,700            137,550                 13,150
EXCHANGE NATL BANCSH  COM         30130910        2,287      72,704 SH            72,704             63,754                  8,950
EXELIXIS INC          COM         30161Q10        8,443     991,011 SH           991,011            768,525     146,836     75,650
EXELON CORP           COM         30161N10      855,179  12,417,298 SH        12,417,298         11,387,794      81,004    948,500
EXPEDITORS INTL WASH  COM         30213010       64,277   1,633,055 SH         1,632,855    200   1,576,615       1,700     54,740
EXPRESS SCRIPTS INC   COM         30218210      156,218   2,095,476 SH         2,094,526    950   1,936,329      13,450    145,697
EXPRESSJET HOLDINGS   CL A        30218U10       48,061   3,863,395 SH         3,863,395          3,811,806                 51,589
EXTENDED STAY AMER I  COM         30224P10       30,447   1,571,854 SH         1,571,854          1,459,496                112,358
EXTREME NETWORKS INC  COM         30226D10       13,945   1,934,168 SH         1,934,168          1,759,518                174,650
EXULT INC DEL         COM         30228410        4,643     753,702 SH           753,702            613,423                140,279
EXXON MOBIL CORP      COM         30231G10    8,074,215 194,138,364 SH       194,126,094 12,270 178,635,916     497,064 15,005,384
F M C CORP            COM NEW     30249130       39,870     931,118 SH           931,118            876,418                 54,700
F N B CORP N C        COM         30251910        1,631      76,532 SH            76,532             67,732                  8,800
F N B CORP VA         COM         30293010        2,990     108,597 SH           108,597             97,947                 10,650
F5 NETWORKS INC       COM         31561610       15,904     470,243 SH           470,243            430,161                 40,082
FACTSET RESH SYS INC  COM         30307510       16,554     388,950 SH           388,850    100     379,650         100      9,200
FAIR ISAAC CORP       COM         30325010       35,522     984,547 SH           984,322    225     963,699         225     20,623
FAIRCHILD CORP        CL A        30369810          788     158,280 SH           158,280            157,780                    500
FAIRCHILD SEMICONDUC  COM         30372610       32,809   1,365,329 SH         1,365,329          1,343,529                 21,800
FALCONSTOR SOFTWARE   COM         30613710        4,404     591,103 SH           591,103            525,203                 65,900
FAMILY DLR STORES IN  COM         30700010      151,581   4,216,449 SH         4,216,049    400   3,846,113      27,781    342,555
FARGO ELECTRONICS IN  COM         30744P10        2,067     182,917 SH           182,917            165,217                 17,700
FARMER BROS CO        COM         30767510        5,044      14,012 SH            14,012             12,683                  1,329
FARMERS CAP BK CORP   COM         30956210        3,487      99,617 SH            99,617             90,367                  9,250
FARO TECHNOLOGIES IN  COM         31164210          356      15,500 SH            15,500             15,500
FASTENAL CO           COM         31190010       53,889   1,003,713 SH         1,003,513    200     964,725         200     38,788
FBL FINL GROUP INC    CL A        30239F10        6,240     222,070 SH           222,070            195,120                 26,950
FEDDERS CORP          COM NEW     31313550          428      74,953 SH            74,953             74,953
FEDERAL AGRIC MTG CO  CL C        31314830        3,255     124,188 SH           124,188            112,788                 11,400
FEDERAL HOME LN MTG   COM         31340030    1,173,444  19,868,674 SH        19,865,734  2,940  18,095,631      43,656  1,729,387
FEDERAL NATL MTG ASS  COM         31358610    2,099,405  28,236,781 SH        28,236,481    300  25,562,481     195,195  2,479,105
FEDERAL REALTY INVT   SH BEN INT  31374720       35,630     771,208 SH           771,208            745,141                 26,067
FEDERAL SIGNAL CORP   COM         31385510       19,456     980,153 SH           980,153            898,653                 81,500
FEDERATED DEPT STORE  COM         31410H10      436,826   8,081,880 SH         8,081,880          7,354,326      91,816    635,738
FEDERATED INVS INC P  CL B        31421110       93,752   2,982,889 SH         2,982,889          2,587,278      16,200    379,411
FEDEX CORP            COM         31428X10      586,931   7,809,091 SH         7,808,991    100   7,134,240       7,450    667,401
FEI CO                COM         30241L10       10,480     479,651 SH           479,651            437,351                 42,300
FELCOR LODGING TR IN  COM         31430F10       13,146   1,261,593 SH         1,261,593          1,133,488                128,105
FERRO CORP            COM         31540510       19,955     763,115 SH           763,115            698,940                 64,175
FFLC BANCORP INC      COM         30242W10        1,734      64,930 SH            64,930             56,430                  8,500
Page Total                                   14,289,224


                                                                   Page 22 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
FIDELITY BANKSHARES   COM         31604Q10        8,548     233,105 SH           233,105            206,005                 27,100
FIDELITY NATL FINL I  COM         31632610      136,422   3,445,011 SH         3,444,769    242   3,312,824       2,427    129,760
FIFTH THIRD BANCORP   COM         31677310      774,810  13,993,322 SH        13,993,172    150  12,613,492     110,124  1,269,706
FILENET CORP          COM         31686910       17,278     648,346 SH           647,946    400     595,146         400     52,800
FINANCIAL FED CORP    COM         31749210        8,602     257,327 SH           257,327            231,127                 26,200
FINANCIAL INDS CORP   COM         31757410        1,571     116,914 SH           116,914            102,314                 14,600
FINANCIAL INSTNS INC  COM         31758540        3,137     136,731 SH           136,731            121,931                 14,800
FINDWHAT COM          COM         31779410        4,673     216,229 SH           216,229            197,329                 18,900
FINISAR               COM         31787A10        5,387   2,493,953 SH         2,493,953          2,297,686                196,267
FINISH LINE INC       CL A        31792310       10,996     298,652 SH           298,652            271,252                 27,400
FINLAY ENTERPRISES I  COM NEW     31788420        2,094     116,288 SH           116,288            100,388                 15,900
FIRST ALBANY COS INC  COM         31846510        1,452     104,228 SH           104,228            103,828                    400
FIRST AMERN CORP CAL  COM         31852230       39,928   1,312,543 SH         1,312,383    160   1,244,619      13,460     54,464
FIRST BANCORP N C     COM         31891010        3,771     119,768 SH           119,768            107,568                 12,200
FIRST BANCORP P R     COM         31867210       16,825     404,436 SH           404,436            402,636                  1,800
FIRST BANCTRUST CORP  COM         31868F10          372      14,320 SH            14,320             14,320
FIRST BUSEY CORP      COM         31938310        3,959     146,148 SH           146,148            126,848                 19,300
FIRST CASH FINL SVCS  COM         31942D10          432      12,800 SH            12,800             12,800
FIRST CHARTER CORP    COM         31943910       10,751     508,554 SH           508,554            463,704                 44,850
FIRST CMNTY BANCORP   COM         31983B10        9,048     241,997 SH           241,997            222,897                 19,100
FIRST CMNTY BANCSHAR  COM         31983A10        4,570     149,625 SH           149,625            131,015                 18,610
FIRST COMWLTH FINL C  COM         31982910       14,964   1,012,429 SH         1,012,429            923,629                 88,800
FIRST CONSULTING GRO  COM         31986R10        1,887     301,384 SH           301,384            267,784                 33,600
FIRST CTZNS BANC COR  COM NO PAR  31945920        1,616      60,265 SH            60,265             52,965                  7,300
FIRST CTZNS BANCSHAR  CL A        31946M10       13,119     106,658 SH           106,658             98,719                  7,939
FIRST DATA CORP       COM         31996310    1,209,999  28,700,166 SH        28,696,146  4,020  22,989,784   3,806,957  1,903,425
FIRST DEFIANCE FINL   COM         32006W10        2,385      87,594 SH            87,594             77,194                 10,400
FIRST FED CAP CORP    COM         31996010        7,092     332,650 SH           332,650            302,700                 29,950
FIRST FED FINL CORP   COM         31996110        1,205      45,512 SH            45,512             44,712                    800
FIRST FINL BANCORP O  COM         32020910       10,627     574,446 SH           574,446            520,996                 53,450
FIRST FINL BANKSHARE  COM         32020R10        9,522     236,913 SH           236,913            213,407                 23,506
FIRST FINL CORP IND   COM         32021810        6,943     236,888 SH           236,888            211,188                 25,700
FIRST FINL HLDGS INC  COM         32023910        6,138     204,952 SH           204,952            187,502                 17,450
FIRST HEALTH GROUP C  COM         32096010       32,297   1,477,456 SH         1,477,456          1,452,763                 24,693
FIRST HORIZON PHARMA  COM         32051K10       12,073     766,082 SH           766,082            740,682                 25,400
FIRST IND CORP        COM         32054R10        4,424     219,540 SH           219,540            195,540                 24,000
FIRST INDUSTRIAL REA  COM         32054K10       35,951     910,144 SH           910,144            839,348                 70,796
FIRST LONG IS CORP    COM         32073410        2,780      55,519 SH            55,519             49,369                  6,150
FIRST M & F CORP      COM         32074410        1,824      54,417 SH            54,417             48,717                  5,700
FIRST MARBLEHEAD COR  COM         32077110          430      14,600 SH            14,600             14,600
FIRST MERCHANTS CORP  COM         32081710        7,385     307,076 SH           307,076            281,505                 25,571
FIRST MIDWEST BANCOR  COM         32086710       22,536     658,565 SH           657,905    660     653,930         660      3,975
FIRST NATL BANKSHRS   COM         32110010        8,218     467,705 SH           467,705            464,355                  3,350
FIRST NIAGARA FINL G  COM         33582V10       18,544   1,359,562 SH         1,359,562          1,228,051                131,511
FIRST OAK BROOK BANC  COM         33584720        3,242     106,274 SH           106,274             96,624                  9,650
FIRST PL FINL CORP    COM         33610T10        4,651     256,420 SH           256,420            230,670                 25,750
FIRST REP BK SAN FRA  COM         33615810        7,085     183,748 SH           183,688     60     167,438          60     16,250
FIRST SENTINEL BANCO  COM         33640T10        8,383     396,367 SH           396,367            361,767                 34,600
FIRST SOUTH BANCORP   COM         33646W10        1,887      48,730 SH            48,730             43,030                  5,700
FIRST ST BANCORPORAT  COM         33645310        4,922     159,965 SH           159,965            148,465                 11,500
FIRST TENN NATL CORP  COM         32051710      195,998   4,108,970 SH         4,107,620  1,350   3,607,270      13,150    488,550
FIRST UTD CORP        COM         33741H10        2,185      94,405 SH            94,405             83,305                 11,100
FIRSTBANK CORP MICH   COM         33761G10        3,307     124,308 SH           124,308            114,448                  9,860
Page Total                                    2,728,248


                                                                   Page 23 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
FIRSTENERGY CORP      COM         33793210      869,459  22,248,191 SH        22,248,191          9,058,386  12,553,155    636,650
FIRSTFED AMER BANCOR  COM         33792910        7,238     259,692 SH           259,692            234,892                 24,800
FIRSTFED FINL CORP    COM         33790710       22,153     480,226 SH           480,226            449,736                 30,490
FIRSTMERIT CORP       COM         33791510       28,901   1,109,430 SH         1,109,030    400   1,092,773         400     16,257
FISERV INC            COM         33773810      189,019   5,284,299 SH         5,284,149    150   4,882,072       4,900    397,327
FISHER COMMUNICATION  COM         33775620        4,175      85,204 SH            85,204             78,804                  6,400
FISHER SCIENTIFIC IN  COM NEW     33803220       43,177     784,462 SH           784,462            757,595      11,000     15,867
FLAG FINL CORP        COM         33832H10        1,216      94,887 SH            94,887             94,587                    300
FLAGSTAR BANCORP INC  COM         33793010       46,496   1,812,698 SH         1,812,698          1,589,298      16,100    207,300
FLEETBOSTON FINL COR  COM         33903010    1,299,053  28,932,136 SH        28,931,636    500  26,643,242      64,432  2,224,462
FLEETWOOD ENTERPRISE  COM         33909910        8,754     712,895 SH           712,895            636,645                 76,250
FLEXTRONICS INTL LTD  ORD         Y2573F10       86,573   5,065,737 SH         5,052,202 13,535   3,836,666      20,735  1,208,336
FLIR SYS INC          COM         30244510       23,342     612,332 SH           612,332            561,132                 51,200
FLORIDA EAST COAST I  COM         34063210       10,546     294,413 SH           294,413            261,913                 32,500
FLORIDA ROCK INDS IN  COM         34114010       16,842     399,563 SH           399,563            393,495                  6,068
FLORIDAFIRST BANCORP  COM         34325810        2,526      93,629 SH            93,629             83,029                 10,600
FLOWERS FOODS INC     COM         34349810       15,392     586,597 SH           586,462    135     536,212         135     50,250
FLOWSERVE CORP        COM         34354P10       22,392   1,068,847 SH         1,068,847            994,247                 74,600
FLUOR CORP NEW        COM         34341210       79,143   2,045,566 SH         2,045,566          1,880,051       2,250    163,265
FLUSHING FINL CORP    COM         34387310        7,596     419,676 SH           419,676            387,951                 31,725
FMC TECHNOLOGIES INC  COM         30249U10       23,609     873,428 SH           873,343     85     848,984         585     23,859
FMS FINL CORP         COM         30250910          903      51,055 SH            51,055             50,855                    200
FNB CORP PA           COM         30252010       10,700     484,155 SH           484,155            480,600                  3,555
FOMENTO ECONOMICO ME  SPON ADR U  34441910        2,441      49,534 SH            49,534             36,500       5,500      7,534
FOOT LOCKER INC       COM         34484910       38,208   1,480,942 SH         1,480,942          1,417,513         350     63,079
FOOTHILL INDPT BANCO  COM         34490510        1,575      71,608 SH            71,608             71,390                    218
FORD MTR CO DEL       COM PAR $0  34537086      768,531  56,634,587 SH        56,634,149    438  51,575,134     355,226  4,704,227
FOREST CITY ENTERPRI  CL A        34555010       16,931     314,418 SH           314,418            311,318                  3,100
FOREST LABS INC       COM         34583810      657,796   9,184,530 SH         9,184,330    200   8,388,451      68,688    727,391
FOREST OIL CORP       COM PAR $0  34609170       23,858     944,879 SH           944,879            879,079                 65,800
FORMFACTOR INC        COM         34637510          700      33,500 SH            33,500             33,500
FORRESTER RESH INC    COM         34656310        4,645     245,484 SH           245,484            216,834                 28,650
FORTUNE BRANDS INC    COM         34963110      350,290   4,571,184 SH         4,571,184          3,912,334     321,311    337,539
FORWARD AIR CORP      COM         34985310       16,371     498,068 SH           498,068            477,818                 20,250
FOSSIL INC            COM         34988210       16,663     500,984 SH           500,984            460,342                 40,642
FOUNDRY NETWORKS INC  COM         35063R10       30,458   1,773,913 SH         1,773,913          1,699,935                 73,978
FOX ENTMT GROUP INC   CL A        35138T10       72,806   2,686,578 SH         2,686,578          2,548,686       8,900    128,992
FPL GROUP INC         COM         30257110      378,008   5,654,575 SH         5,654,575          5,270,808      11,122    372,645
FRANCE TELECOM        SPONSORED   35177Q10          356      13,894 SH            13,894             13,894
FRANKLIN BANCORP INC  COM         35242V10          259      12,500 SH            12,500             12,500
FRANKLIN ELEC INC     COM         35351410        8,783     137,930 SH           137,930            126,180                 11,750
FRANKLIN FINL CORP T  COM NEW     35352320        1,925      61,004 SH            61,004             54,704                  6,300
FRANKLIN RES INC      COM         35461310      333,182   5,983,875 SH         5,983,875          5,391,631      11,565    580,679
FREDS INC             CL A        35610810       17,941     740,760 SH           740,760            671,375                 69,385
FREEMARKETS INC       COM         35660210        5,631     684,241 SH           684,241            614,941                 69,300
FREEPORT-MCMORAN COP  CL B        35671D85      225,803   5,776,495 SH         5,776,495          5,288,843      91,013    396,639
FREMONT GEN CORP      COM         35728810       33,480   1,094,126 SH         1,094,126            999,976                 94,150
FRESH DEL MONTE PROD  ORD         G3673810        1,527      59,267 SH            59,267             59,267
FRIEDMAN BILLINGS RA  CL A        35843410       21,615     800,869 SH           800,869            794,221                  6,648
FRIEDMANS INC         CL A        35843810        2,940     506,856 SH           506,856            479,556                 27,300
FRONTIER AIRLINES IN  COM         35906510        5,806     557,239 SH           557,239            508,839                 48,400
FRONTIER FINL CORP W  COM         35907K10        9,020     261,532 SH           261,532            236,582                 24,950
FRONTIER OIL CORP     COM         35914P10       13,945     719,544 SH           719,544            671,894                 47,650
Page Total                                    5,880,703


                                                                   Page 24 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
FROZEN FOOD EXPRESS   COM         35936010          202      29,256 SH            29,256             29,256
FSI INTL INC          COM         30263310          250      30,552 SH            30,552             30,552
FTI CONSULTING INC    COM         30294110       13,241     794,807 SH           794,807            730,932                 63,875
FUELCELL ENERGY INC   COM         35952H10        9,725     717,184 SH           717,184            641,834                 75,350
FUJI PHOTO FILM LTD   ADR         35958630          540      17,042 SH            17,042             17,042
FULLER H B CO         COM         35969410       14,290     502,472 SH           502,272    200     451,572         200     50,700
FULTON FINL CORP PA   COM         36027110       26,867   1,206,400 SH         1,206,400          1,197,862                  8,538
FURNITURE BRANDS INT  COM         36092110       24,745     768,467 SH           768,467            758,488                  9,979
FX ENERGY INC         COM         30269510          207      22,039 SH            22,039             22,039
G & K SVCS INC        CL A        36126810       11,681     313,842 SH           313,842            278,792                 35,050
G B & T BANCSHARES I  COM         36146210        2,343      83,225 SH            83,225             74,325                  8,900
GA FINL INC           COM         36143710        2,348      67,002 SH            67,002             58,802                  8,200
GABELLI ASSET MGMT I  CL A        36239Y10        4,530     112,475 SH           112,475             96,375                 16,100
GABLES RESIDENTIAL T  SH BEN INT  36241810       24,983     689,176 SH           689,176            622,355                 66,821
GALLAGHER ARTHUR J &  COM         36357610       39,886   1,224,631 SH         1,224,631          1,202,731                 21,900
GALLAHER GROUP PLC    SPONSORED   36359510        1,016      21,159 SH            21,159             21,159
GALYANS TRADING INC   COM         36458R10        1,476     146,721 SH           146,721            126,569                 20,152
GAMESTOP CORP         CL A        36466R10        6,436     357,163 SH           357,163            325,663                 31,500
GANNETT INC           COM         36473010      613,036   6,955,258 SH         6,955,158    100   6,417,995       6,850    530,413
GAP INC DEL           COM         36476010      551,908  25,178,268 SH        25,178,268         22,969,236     164,081  2,044,951
GARDNER DENVER INC    COM         36555810        7,226     266,845 SH           266,845            244,645                 22,200
GARMIN LTD            ORD         G3726010          630      14,753 SH            14,753             13,811                    942
GARTNER INC           COM         36665110       16,381   1,406,115 SH         1,406,115          1,271,565                134,550
GARTNER INC           CL B        36665120        4,416     385,702 SH           385,702            376,802                  8,900
GATEWAY INC           COM         36762610       45,985   8,709,374 SH         8,709,374          7,905,550       3,300    800,524
GATX CORP             COM         36144810       28,158   1,270,087 SH         1,267,987  2,100   1,191,187       2,100     76,800
GAYLORD ENTMT CO NEW  COM         36790510        7,379     238,810 SH           238,810            201,030                 37,780
GEMSTAR-TV GUIDE INT  COM         36866W10       15,714   2,341,931 SH         2,341,931          2,325,740         900     15,291
GENCORP INC           COM         36868210        5,755     531,404 SH           531,404            471,704                 59,700
GENE LOGIC INC        COM         36868910        2,644     523,638 SH           523,638            471,013                 52,625
GENELABS TECHNOLOGIE  COM         36870610          252      93,825 SH            93,825             93,825
GENENCOR INTL INC     COM         36870910        3,124     234,682 SH           234,682            234,382                    300
GENENTECH INC         COM NEW     36871040      270,772   2,558,800 SH         2,558,800          2,413,272       3,450    142,078
GENERAL BINDING CORP  COM         36915410        1,671      98,306 SH            98,306             98,106                    200
GENERAL CABLE CORP D  COM         36930010        4,595     622,654 SH           622,654            559,004                 63,650
GENERAL COMMUNICATIO  CL A        36938510        6,819     749,311 SH           749,311            681,261                 68,050
GENERAL DYNAMICS COR  COM         36955010      550,382   6,161,223 SH         6,158,873  2,350   5,637,087      22,620    501,516
GENERAL ELEC CO       COM         36960410    8,619,991 282,437,448 SH       282,416,393 21,055 257,976,747   2,012,188 22,448,513
GENERAL GROWTH PPTYS  COM         37002110      153,590   4,369,554 SH         4,369,554          4,195,247       3,250    171,057
GENERAL MARITIME COR  SHS         Y2692M10          872      34,679 SH            34,679             34,679
GENERAL MLS INC       COM         37033410      434,417   9,306,287 SH         9,305,087  1,200   8,474,022       9,000    823,265
GENERAL MTRS CORP     COM         37044210    4,690,732  99,590,916 SH        99,590,566    350  18,543,389  79,951,047  1,096,480
GENESCO INC           COM         37153210       14,368     619,864 SH           619,864            585,764                 34,100
GENESEE & WYO INC     CL A        37155910        8,815     356,884 SH           356,884            332,134                 24,750
GENESIS HEALTHCARE C  COM         37184D10        5,546     227,765 SH           227,765            203,465                 24,300
GENESIS MICROCHIP IN  COM         37184C10        9,286     554,389 SH           554,389            502,539                 51,850
GENLYTE GROUP INC     COM         37230210       14,084     250,788 SH           250,788            228,738                 22,050
GEN-PROBE INC NEW     COM         36866T10       40,362   1,210,268 SH         1,210,268          1,116,283                 93,985
GENTA INC             COM NEW     37245M20        8,636     822,490 SH           822,490            750,140                 72,350
GENTEX CORP           COM         37190110       52,494   1,210,372 SH         1,208,557  1,815   1,190,493       1,815     18,064
GENTIVA HEALTH SERVI  COM         37247A10        6,603     426,281 SH           426,281            380,064                 46,217
GENUINE PARTS CO      COM         37246010      145,333   4,441,729 SH         4,441,329    400   4,060,147       4,500    377,082
GENZYME CORP          COM GENL D  37291710      255,350   5,458,536 SH         5,458,336    200   5,006,489       5,700    446,347
Page Total                                   16,782,097


                                                                   Page 25 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
GEO GROUP INC         COM         36159R10        3,206     139,411 SH           139,411            138,711                    700
GEORGIA GULF CORP     COM PAR $0  37320020       26,797     888,805 SH           888,805            838,755                 50,050
GEORGIA PAC CORP      COM         37329810      333,486   9,898,672 SH         9,898,672          9,050,811      73,775    774,086
GERBER SCIENTIFIC IN  COM         37373010        2,442     359,072 SH           359,072            321,272                 37,800
GERDAU S A            SPONSORED   37373710        1,236      53,045 SH            53,045             47,054                  5,991
GERMAN AMERN BANCORP  COM         37386510        2,607     152,885 SH           152,885            136,285                 16,600
GERON CORP            COM         37416310        6,320     672,315 SH           672,315            622,015                 50,300
GETTY IMAGES INC      COM         37427610       19,053     352,969 SH           352,969            350,238                  2,731
GETTY RLTY CORP NEW   COM         37429710        8,341     313,912 SH           313,912            287,062                 26,850
GEVITY HR INC         COM         37439310        6,733     230,578 SH           230,578            207,978                 22,600
GIANT INDS INC        COM         37450810        1,459      70,496 SH            70,496             70,496
GIBRALTAR STL CORP    COM         37476F10        4,530     184,090 SH           184,090            171,505                 12,585
GILEAD SCIENCES INC   COM         37555810      186,968   3,371,837 SH         3,368,372  3,465   3,180,455       6,465    184,917
GILLETTE CO           COM         37576610    1,173,445  30,011,375 SH        30,005,875  5,500  27,204,372     212,159  2,594,844
GLACIER BANCORP INC   COM         37637Q10        9,688     300,394 SH           300,394            271,714                 28,680
GLADSTONE CAPITAL CO  COM         37653510        2,929     130,684 SH           130,684            117,084                 13,600
GLAMIS GOLD LTD       COM         37677510        2,957     164,207 SH           164,207            157,916                  6,291
GLATFELTER            COM         37731610        7,443     662,215 SH           662,215            617,016                 45,199
GLAXOSMITHKLINE PLC   SPONSORED   37733W10      786,039  19,675,562 SH        19,674,112  1,450  19,390,755       1,450    283,357
GLENBOROUGH RLTY TR   COM         37803P10       11,879     531,499 SH           531,499            491,018                 40,481
GLIMCHER RLTY TR      SH BEN INT  37930210       21,300     785,993 SH           785,993            719,204                 66,789
GLOBAL CROSSING LTD   SHS NEW     G3921A17          436      21,800 SH            21,800             21,800
GLOBAL IMAGING SYSTE  COM         37934A10        9,667     291,014 SH           291,014            270,414                 20,600
GLOBAL INDS LTD       COM         37933610        7,575   1,283,916 SH         1,283,916          1,170,616                113,300
GLOBAL PMTS INC       COM         37940X10       17,707     392,790 SH           392,630    160     389,430         160      3,200
GLOBAL POWER EQUIPME  COM         37941P10        5,777     686,134 SH           686,134            587,034                 99,100
GLOBALSANTAFE CORP    SHS         G3930E10       16,552     596,026 SH           596,026            474,182                121,844
GOLD BANC CORP INC    COM         37990710       10,142     622,189 SH           622,189            566,336                 55,853
GOLDCORP INC NEW      COM         38095640          444      29,993 SH            29,993             27,370                  2,623
GOLDEN TELECOM INC    COM         38122G10        7,253     213,137 SH           213,137            187,137                 26,000
GOLDEN WEST FINL COR  COM         38131710      426,994   3,814,145 SH         3,814,145          3,442,926       8,400    362,819
GOLDMAN SACHS GROUP   COM         38141G10    1,178,272  11,291,534 SH        11,289,194  2,340  10,171,930     249,047    870,557
GOODRICH CORP         COM         38238810       93,565   3,333,291 SH         3,333,191    100   3,061,981       1,600    269,710
GOODYEAR TIRE & RUBR  COM         38255010       43,671   5,113,702 SH         5,113,702          4,599,626       2,900    511,176
GOODYS FAMILY CLOTHI  COM         38258810        5,147     360,656 SH           360,656            310,906                 49,750
GORMAN RUPP CO        COM         38308210        4,965     191,695 SH           191,695            173,045                 18,650
GOVERNMENT PPTYS TR   COM         38374W10          296      22,500 SH            22,500             22,500
GRACE W R & CO DEL N  COM         38388F10       25,489   8,169,648 SH         8,169,648            947,867              7,221,781
GRACO INC             COM         38410910       31,593   1,085,294 SH         1,084,529    765   1,052,599         765     31,930
GRAFTECH INTL LTD     COM         38431310       21,926   1,466,601 SH         1,466,601          1,354,051                112,550
GRAINGER W W INC      COM         38480210      111,277   2,318,275 SH         2,318,275          2,120,991       2,000    195,284
GRANITE CONSTR INC    COM         38732810       17,175     722,550 SH           722,550            659,975                 62,575
GRANT PRIDECO INC     COM         38821G10       27,315   1,762,247 SH         1,762,247          1,739,892         250     22,105
GRAY TELEVISION INC   COM         38937510        9,604     656,877 SH           656,877            597,677                 59,200
GRAY TELEVISION INC   CL A        38937520          300      21,183 SH            21,183             21,183
GREAT AMERN FINL RES  COM         38991510        2,408     152,809 SH           152,809            152,509                    300
GREAT ATLANTIC & PAC  COM         39006410        2,400     310,048 SH           310,048            271,298                 38,750
GREAT LAKES CHEM COR  COM         39056810       35,664   1,495,351 SH         1,495,351          1,370,462         600    124,289
GREAT LAKES REIT INC  COM         39075210        5,125     331,091 SH           331,091            302,893                 28,198
GREAT NORTHN IRON OR  CTFS BEN I  39106410        1,213      13,300 SH            13,300             13,300
GREAT PLAINS ENERGY   COM         39116410       35,315   1,045,142 SH         1,044,842    300   1,030,809         300     14,033
GREAT SOUTHN BANCORP  COM         39090510        4,430      90,170 SH            90,170             82,120                  8,050
GREATER BAY BANCORP   COM         39164810       35,069   1,198,953 SH         1,196,808  2,145   1,105,808       2,145     91,000
Page Total                                    4,813,625


                                                                   Page 26 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
GREATER COMMUNITY BA  COM         39167M10        1,087      67,529 SH            67,529             67,329                    200
GREEN MOUNTAIN PWR C  COM         39315410          869      33,583 SH            33,583             33,583
GREEN MTN COFFEE ROA  COM         39312210        1,089      54,049 SH            54,049             52,149                  1,900
GREENBRIER COS INC    COM         39365710        1,822     107,886 SH           107,886             85,586                 22,300
GREENE CNTY BANCSHAR  COM NEW     39436120        1,938      86,395 SH            86,395             76,895                  9,500
GREENPOINT FINL CORP  COM         39538410      117,989   2,699,355 SH         2,698,905    450   2,469,158      65,450    164,747
GREIF INC             CL A        39762410        7,626     218,254 SH           218,254            198,904                 19,350
GREY GLOBAL GROUP IN  COM         39787M10       11,364      16,504 SH            16,504             14,776                  1,728
GREY WOLF INC         COM         39788810       12,780   3,086,905 SH         3,086,905          2,827,305                259,600
GRIFFON CORP          COM         39843310        9,271     429,194 SH           429,194            389,264                 39,930
GROUP 1 AUTOMOTIVE I  COM         39890510       10,614     293,215 SH           293,215            264,265                 28,950
GROUP 1 SOFTWARE INC  COM         39943Y10        2,623     160,352 SH           160,352            145,952                 14,400
GROUPE DANONE         SPONSORED   39944910          981      29,748 SH            29,748             29,748
GRUPO TELEVISA SA DE  SP ADR REP  40049J20        7,614     160,843 SH           160,843            112,014      29,364     19,465
GSI COMMERCE INC      COM         36238G10        2,325     229,097 SH           229,097            228,497                    600
GTC BIOTHERAPEUTICS   COM         36238T10          992     450,902 SH           450,902            428,302                 22,600
GTECH HLDGS CORP      COM         40051810       50,234     849,405 SH           849,405            789,654      47,100     12,651
GUESS INC             COM         40161710        2,652     147,115 SH           147,115            146,815                    300
GUIDANT CORP          COM         40169810      641,244  10,119,049 SH        10,118,949    100   9,110,797     104,378    903,874
GUILFORD PHARMACEUTI  COM         40182910        2,899     398,205 SH           398,205            344,555                 53,650
GUITAR CTR MGMT INC   COM         40204010       10,355     278,810 SH           278,810            253,110                 25,700
GULF ISLAND FABRICAT  COM         40230710        2,886     141,877 SH           141,877            130,077                 11,800
GULFMARK OFFSHORE IN  COM         40262910        3,813     242,729 SH           242,729            219,429                 23,300
GUNDLE/SLT ENVIRONME  COM         40280910        1,762      95,665 SH            95,665             95,465                    200
GYMBOREE CORP         COM         40377710       11,014     656,790 SH           656,790            601,050                 55,740
HAEMONETICS CORP      COM         40502410       16,495     524,470 SH           524,470            495,470                 29,000
HAIN CELESTIAL GROUP  COM         40521710        9,143     413,906 SH           413,906            367,856                 46,050
HALLIBURTON CO        COM         40621610      372,453  12,255,771 SH        12,255,431    340  11,334,987       5,040    915,744
HAMPSHIRE GROUP LTD   COM         40885910          933      30,582 SH            30,582             30,332                    250
HANCOCK FABRICS INC   COM         40990010        3,938     247,800 SH           247,800            225,050                 22,750
HANCOCK HLDG CO       COM         41012010       16,886     545,424 SH           545,424            499,224                 46,200
HANCOCK JOHN FINL SV  COM         41014S10      321,813   7,365,835 SH         7,365,835          6,796,755       6,800    562,280
HANDLEMAN CO DEL      COM         41025210       10,668     445,616 SH           445,616            400,016                 45,600
HANGER ORTHOPEDIC GR  COM NEW     41043F20        7,188     398,215 SH           398,215            367,565                 30,650
HANMI FINL CORP       COM         41049510        6,342     237,719 SH           237,719            225,219                 12,500
HANOVER CAP MTG HLDG  COM         41076110          210      13,500 SH            13,500             13,500
HANOVER COMPRESSOR C  COM         41076810       17,814   1,473,480 SH         1,473,480          1,384,180                 89,300
HARBOR FLA BANCSHARE  COM         41190110       10,488     362,033 SH           362,033            331,934                 30,099
HARDINGE INC          COM         41232430        6,087     492,899 SH           492,899              7,300     485,599
HARLAND JOHN H CO     COM         41269310       16,826     540,676 SH           540,676            489,226                 51,450
HARLEY DAVIDSON INC   COM         41282210      412,689   7,736,961 SH         7,736,961          7,016,957      49,023    670,981
HARLEYSVILLE GROUP I  COM         41282410        9,737     520,430 SH           520,430            474,430                 46,000
HARLEYSVILLE NATL CO  COM         41285010       11,334     407,267 SH           407,267            361,716                 45,551
HARMAN INTL INDS INC  COM         41308610       62,739     788,173 SH           788,173            758,653                 29,520
HARMONIC INC          COM         41316010       12,702   1,308,109 SH         1,308,109          1,186,134                121,975
HARRAHS ENTMT INC     COM         41361910      319,337   5,817,767 SH         5,817,767          2,808,426   2,752,893    256,448
HARRIS CORP DEL       COM         41387510       51,711   1,068,190 SH         1,067,990    200   1,023,483         200     44,507
HARRIS INTERACTIVE I  COM         41454910        6,175     741,350 SH           741,350            664,500                 76,850
HARSCO CORP           COM         41586410       24,636     541,448 SH           541,248    200     533,148         200      8,100
HARTE-HANKS INC       COM         41619610       42,981   1,835,246 SH         1,834,946    300   1,647,126     129,000     59,120
HARTFORD FINL SVCS G  COM         41651510    1,331,255  20,898,826 SH        20,895,176  3,650   8,326,893  11,773,471    798,462
HARTMARX CORP         COM         41711910          320      53,395 SH            53,395             44,895                  8,500
HARVEST NATURAL RESO  COM         41754V10        8,489     581,065 SH           581,065            527,115                 53,950
Page Total                                    4,029,235


                                                                   Page 27 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
HASBRO INC            COM         41805610      150,382   6,914,095 SH         6,914,095          6,260,115      60,000    593,980
HAVERTY FURNITURE IN  COM         41959610       10,671     501,447 SH           501,447            476,997                 24,450
HAWAIIAN ELEC INDUST  COM         41987010       26,995     520,732 SH           520,732            513,332                  7,400
HAWTHORNE FINL CORP   COM         42054210       10,532     239,201 SH           239,201            221,351                 17,850
HAYES LEMMERZ INTL I  COM NEW     42078130          494      32,100 SH            32,100             32,100
HCA INC               COM         40411910      502,966  12,382,226 SH        12,381,926    300  11,415,717      11,500    955,009
HCC INS HLDGS INC     COM         40413210       27,534     851,665 SH           851,665            840,160                 11,505
HEADWATERS INC        COM         42210P10       20,956     817,965 SH           817,965            775,894                 42,071
HEALTH CARE PPTY INV  COM         42191510       35,163   1,242,523 SH         1,242,523          1,227,496                 15,027
HEALTH CARE REIT INC  COM         42217K10       33,522     825,669 SH           825,669            764,892                 60,777
HEALTH MGMT ASSOC IN  CL A        42193310      148,416   6,394,496 SH         6,393,996    500   5,976,150       6,100    412,246
HEALTH NET INC        COM         42222G10       57,204   2,294,572 SH         2,294,307    265   2,108,450      43,065    143,057
HEALTHCARE RLTY TR    COM         42194610       20,250     474,250 SH           474,250            472,150                  2,100
HEALTHCARE SVCS GRP   COM         42190610        3,767     229,003 SH           229,003            203,353                 25,650
HEALTHEXTRAS INC      COM         42221110        3,379     294,375 SH           294,375            264,575                 29,800
HEARST-ARGYLE TELEVI  COM         42231710       19,072     709,245 SH           709,245            704,945         600      3,700
HEARTLAND EXPRESS IN  COM         42234710       14,181     622,251 SH           622,251            574,951                 47,300
HEARTLAND FINL USA I  COM         42234Q10        2,453     131,539 SH           131,539            130,789                    750
HECLA MNG CO          COM         42270410       16,743   1,990,885 SH         1,990,885          1,783,485                207,400
HEICO CORP NEW        COM         42280610        3,515     224,044 SH           224,044            222,744                  1,300
HEICO CORP NEW        CL A        42280620          425      34,489 SH            34,489             34,489
HEIDRICK & STRUGGLES  COM         42281910        7,002     292,593 SH           292,593            258,693                 33,900
HEINZ H J CO          COM         42307410      373,688  10,021,143 SH        10,020,943    200   9,132,683      70,983    817,477
HELEN OF TROY CORP L  COM         G4388N10        1,115      35,959 SH            35,959             35,959
HELIX TECHNOLOGY COR  COM         42331910       12,197     502,986 SH           502,986            460,695                 42,291
HELLENIC TELECOM ORG  SPONSORED   42332530          345      47,912 SH            47,912             47,912
HELMERICH & PAYNE IN  COM         42345210       22,519     785,999 SH           785,699    300     751,572         300     34,127
HENRY JACK & ASSOC I  COM         42628110       19,317   1,009,788 SH         1,009,788            994,141                 15,647
HERCULES INC          COM         42705610       39,765   3,463,824 SH         3,463,824          3,144,373      16,400    303,051
HERITAGE COMMERCE CO  COM         42692710        2,190     168,847 SH           168,847            151,347                 17,500
HERITAGE FINL CORP W  COM         42722X10        1,649      77,692 SH            77,692             69,292                  8,400
HERITAGE PPTY INVT T  COM         42725M10       28,449     914,755 SH           914,755            855,655                 59,100
HERLEY INDS INC DEL   COM         42739810        3,560     188,582 SH           188,582            170,382                 18,200
HERSHEY FOODS CORP    COM         42786610      277,467   3,349,023 SH         3,349,023          3,035,851      24,225    288,947
HEWITT ASSOCS INC     COM         42822Q10        5,955     186,028 SH           186,028            185,128                    900
HEWLETT PACKARD CO    COM         42823610    2,066,562  90,479,953 SH        90,469,318 10,635  82,790,886     101,489  7,587,578
HEXCEL CORP NEW       COM         42829110        2,746     377,193 SH           377,193            370,593                  6,600
HIBBETT SPORTING GOO  COM         42856510        7,411     194,315 SH           194,315            173,090                 21,225
HIBERNIA CORP         CL A        42865610       58,086   2,472,784 SH         2,472,084    700   2,403,507         700     68,577
HICKORY TECH CORP     COM         42906010        2,798     228,584 SH           228,584            208,484                 20,100
HIGHLAND HOSPITALITY  COM         43014110          447      38,100 SH            38,100             38,100
HIGHWOODS PPTYS INC   COM         43128410       38,927   1,485,215 SH         1,485,215          1,387,092                 98,123
HILB ROGAL & HAMILTO  COM         43129410       25,487     668,939 SH           668,939            613,739                 55,200
HILFIGER TOMMY CORP   ORD         G8915Z10          792      46,605 SH            46,605             44,605                  2,000
HILLENBRAND INDS INC  COM         43157310       51,806     763,084 SH           762,884    200     721,990         200     40,894
HILTON HOTELS CORP    COM         43284810      164,171  10,102,811 SH        10,095,111  7,700   9,271,858      17,400    813,553
HI-TECH PHARMACAL IN  COM         42840B10        1,534      78,457 SH            78,457             67,957                 10,500
HOLLINGER INTL INC    CL A        43556910       15,760     795,937 SH           795,937            715,387                 80,550
HOLLIS-EDEN PHARMACE  COM         43590210        1,404     145,296 SH           145,296            135,475                  9,821
HOLLY CORP            COM PAR $0  43575830        5,384     168,997 SH           168,997            151,047                 17,950
HOLLYWOOD ENTMT CORP  COM         43614110       12,379     912,872 SH           912,872            828,217                 84,655
HOLOGIC INC           COM         43644010        6,685     330,146 SH           330,146            300,146                 30,000
HOME DEPOT INC        COM         43707610    2,600,122  69,596,400 SH        69,588,490  7,910  63,606,791     155,520  5,834,089
Page Total                                    6,966,338


                                                                   Page 28 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
HOME PROPERTIES INC   COM         43730610       30,800     755,840 SH           755,840            694,956                 60,884
HOMESTORE INC         COM         43785210        6,061   1,432,922 SH         1,432,922          1,300,122                132,800
HON INDS INC          COM         43809210       30,499     820,740 SH           820,540    200     793,524         200     27,016
HONDA MOTOR LTD       AMERN SHS   43812830        4,599     198,759 SH           198,759            198,759
HONEYWELL INTL INC    COM         43851610    3,442,395 101,695,557 SH       101,695,077    480  25,145,124  74,769,011  1,781,422
HOOKER FURNITURE COR  COM         43903810        1,938      83,380 SH            83,380             82,780                    600
HOOPER HOLMES INC     COM         43910410        7,811   1,251,794 SH         1,251,794          1,162,444                 89,350
HORACE MANN EDUCATOR  COM         44032710       12,883     819,528 SH           819,528            757,878                 61,650
HORIZON FINL CORP WA  COM         44041F10        4,402     238,845 SH           238,845            222,345                 16,500
HORIZON OFFSHORE INC  COM         44043J10        1,092     360,484 SH           360,484            343,784                 16,700
HORMEL FOODS CORP     COM         44045210       41,825   1,426,024 SH         1,425,899    125   1,396,286         125     29,613
HOSPITALITY PPTYS TR  COM SH BEN  44106M10       64,928   1,399,309 SH         1,399,309          1,355,522                 43,787
HOST MARRIOTT CORP N  COM         44107P10       76,956   6,021,607 SH         6,021,607          5,691,812       4,200    325,595
HOT TOPIC INC         COM         44133910       23,319     881,615 SH           881,615            806,865                 74,750
HOUSTON EXPL CO       COM         44212010       11,582     258,934 SH           258,934            240,171                 18,763
HOVNANIAN ENTERPRISE  CL A        44248720       24,584     569,734 SH           569,734            561,034                  8,700
HRPT PPTYS TR         COM SH BEN  40426W10       22,567   1,997,090 SH         1,997,090          1,979,071                 18,019
HSBC HLDGS PLC        SPON ADR N  40428040       45,199     604,268 SH           603,011  1,257     389,503       1,524    213,241
HUBBELL INC           CL B        44351020       29,686     739,752 SH           739,552    200     716,945         350     22,457
HUDSON CITY BANCORP   COM         44368310       30,299     804,315 SH           804,315            799,947                  4,368
HUDSON HIGHLAND GROU  COM         44379210        4,315     154,830 SH           154,830            115,056          22     39,752
HUDSON RIV BANCORP I  COM         44412810       11,908     578,073 SH           578,073            525,973                 52,100
HUDSON UNITED BANCOR  COM         44416510       19,841     521,455 SH           521,455            517,355         300      3,800
HUGHES SUPPLY INC     COM         44448210       30,469     581,471 SH           581,471            542,594                 38,877
HUGOTON RTY TR TEX    UNIT BEN I  44471710          936      42,619 SH            42,619             42,619
HUMAN GENOME SCIENCE  COM         44490310       16,544   1,320,330 SH         1,320,330          1,295,263                 25,067
HUMANA INC            COM         44485910      100,721   5,295,505 SH         5,295,505          4,862,860      17,050    415,595
HUMBOLDT BANCORP      COM         44506910        3,718     187,495 SH           187,495            166,895                 20,600
HUNGARIAN TEL & CABL  COM         44554210          373      41,074 SH            41,074             40,974                    100
HUNT J B TRANS SVCS   COM         44565810       23,942     850,228 SH           850,228            836,846                 13,382
HUNTINGTON BANCSHARE  COM         44615010      159,697   7,249,081 SH         7,249,081          6,552,063       5,750    691,268
HURCO COMPANIES INC   COM         44732410          214      31,600 SH            31,600             31,600
HUTCHINSON TECHNOLOG  COM         44840710       12,850     457,940 SH           457,940            413,090                 44,850
HYDRIL                COM         44877410        7,120     271,761 SH           271,761            251,261                 20,500
HYPERCOM CORP         COM         44913M10        4,026     507,021 SH           507,021            430,621                 76,400
HYPERION SOLUTIONS C  COM         44914M10       36,211     873,600 SH           873,400    200     814,850         200     58,550
IBERIABANK CORP       COM         45082810        6,858     116,533 SH           116,533            102,586                 13,947
IBT BANCORP INC       COM         44923F10        1,898      39,501 SH            39,501             33,801                  5,700
ICICI BK LTD          ADR         45104G10          750      47,013 SH            47,013             32,953                 14,060
ICOS CORP             COM         44929510       22,080     597,896 SH           597,096    800     591,859         900      5,137
ICT GROUP INC         COM         44929Y10        1,916     147,293 SH           147,293            147,093                    200
ICU MED INC           COM         44930G10        6,012     197,956 SH           197,956            182,206                 15,750
IDACORP INC           COM         45110710       31,404   1,050,313 SH         1,049,863    450     981,878         700     67,735
IDENTIX INC           COM         45190610        8,632   1,495,976 SH         1,495,976          1,309,840                186,136
IDEX CORP             COM         45167R10       24,161     555,687 SH           553,857  1,830     509,799       1,830     44,058
IDEXX LABS INC        COM         45168D10       23,299     409,687 SH           409,687            403,790                  5,897
IDT CORP              COM         44894710       10,094     508,011 SH           508,011            503,210                  4,801
IDX SYS CORP          COM         44949110       10,819     312,690 SH           312,690            288,140                 24,550
I-FLOW CORP           COM NEW     44952030          268      19,000 SH            19,000             19,000
IGATE CORP            COM         45169U10        2,303     331,298 SH           331,298            319,798                 11,500
IHOP CORP             COM         44962310       12,171     353,409 SH           353,409            320,059                 33,350
II VI INC             COM         90210410        4,592     187,565 SH           187,565            166,265                 21,300
IKON OFFICE SOLUTION  COM         45171310      300,054  23,441,757 SH        23,441,757          1,549,649  21,840,834     51,274
Page Total                                    4,813,623


                                                                   Page 29 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
ILEX ONCOLOGY INC     COM         45192310       15,624     653,188 SH           653,188            599,738                 53,450
ILLINOIS TOOL WKS IN  COM         45230810      616,808   7,785,025 SH         7,784,925    100   7,052,834       7,340    724,851
ILLUMINA INC          COM         45232710          208      27,697 SH            27,697             27,697
IMAGISTICS INTERNATI  COM         45247T10       21,501     488,103 SH           488,103            455,917                 32,186
IMATION CORP          COM         45245A10       21,235     564,460 SH           564,360    100     549,443         100     14,917
IMC GLOBAL INC        COM         44966910       32,223   2,253,386 SH         2,253,386          2,077,386                176,000
IMCLONE SYS INC       COM         45245W10       28,672     564,956 SH           564,956            559,605                  5,351
IMMUCOR INC           COM         45252610        8,302     458,176 SH           458,176            430,551                 27,625
IMMUNOGEN INC         COM         45253H10        4,536     674,981 SH           674,981            599,924                 75,057
IMMUNOMEDICS INC      COM         45290710        2,937     725,166 SH           725,166            652,216                 72,950
IMPAC MED SYS INC     COM         45255A10        2,102      93,433 SH            93,433             83,833                  9,600
IMPAC MTG HLDGS INC   COM         45254P10       37,474   1,377,706 SH         1,377,706          1,297,356                 80,350
IMPAX LABORATORIES I  COM         45256B10       12,046     538,507 SH           538,507            481,092                 57,415
IMPERIAL CHEM INDS P  ADR NEW     45270450          237      14,125 SH            14,125             14,125
IMPERIAL OIL LTD      COM NEW     45303840          933      20,804 SH            20,804             20,804
IMPERIAL TOBACCO GRO  SPONSORED   45314210          542      12,382 SH            12,382             12,382
IMS HEALTH INC        COM         44993410      152,624   6,561,653 SH         6,561,453    200   5,840,653      39,702    681,298
INAMED CORP           COM         45323510       27,967     524,904 SH           524,904            478,754                 46,150
INCO LTD              COM         45325840          947      27,342 SH            27,342             27,342
INCYTE CORP           COM         45337C10       10,339   1,244,186 SH         1,244,186          1,111,936                132,250
INDEPENDENCE CMNTY B  COM         45341410       28,441     697,935 SH           697,935            688,235                  9,700
INDEPENDENCE HLDG CO  COM NEW     45344030        1,598      51,057 SH            51,057             50,957                    100
INDEPENDENT BANK COR  COM         45383810        9,382     336,749 SH           336,749            306,661                 30,088
INDEPENDENT BANK COR  COM         45383610        6,487     214,022 SH           214,022            195,422                 18,600
INDEVUS PHARMACEUTIC  COM         45407210        3,901     644,748 SH           644,748            580,348                 64,400
INDYMAC BANCORP INC   COM         45660710       27,120     747,306 SH           747,306            736,770                 10,536
INET TECHNOLOGIES IN  COM         45662V10        3,527     286,032 SH           286,032            264,732                 21,300
INFINITY PPTY & CAS   COM         45665Q10        6,679     212,643 SH           212,643            195,043                 17,600
INFOCUS CORP          COM         45665B10        6,710     717,617 SH           717,617            585,747                131,870
INFONET SVCS CORP     CL B        45666T10        2,462   1,237,324 SH         1,237,324          1,110,524                126,800
INFORMATICA CORP      COM         45666Q10       11,108   1,293,101 SH         1,293,101          1,000,516                292,585
INFORMATION HLDGS IN  COM         45672710        4,686     227,237 SH           227,237            209,537                 17,700
INFOSPACE INC         COM NEW     45678T20       26,367     678,346 SH           678,346            637,746                 40,600
INFOSYS TECHNOLOGIES  SPONSORED   45678810        1,451      17,748 SH            17,748             12,572                  5,176
INFOUSA INC NEW       COM         45681830        5,730     545,156 SH           545,156            491,977                 53,179
ING GROUP N V         SPONSORED   45683710       19,841     899,802 SH           897,427  2,375     394,627       2,375    502,800
INGERSOLL-RAND COMPA  CL A        G4776G10      256,447   3,790,797 SH         3,790,697    100   3,358,230       4,400    428,167
INGLES MKTS INC       CL A        45703010        1,563     143,686 SH           143,686            127,286                 16,400
INGRAM MICRO INC      CL A        45715310       23,958   1,323,657 SH         1,323,657          1,273,213                 50,444
INKINE PHARMACEUTICA  COM         45721410          204      39,238 SH            39,238             39,238
INNKEEPERS USA TR     COM         4576J010        6,045     661,411 SH           661,411            637,202                 24,209
INNOVEX INC           COM         45764710        1,973     290,566 SH           290,566            267,366                 23,200
INPUT/OUTPUT INC      COM         45765210        5,985     772,316 SH           772,316            685,266                 87,050
INSIGHT COMMUNICATIO  CL A        45768V10        7,740     770,942 SH           770,942            702,079                 68,863
INSIGHT ENTERPRISES   COM         45765U10       27,384   1,423,267 SH         1,423,267          1,352,227                 71,040
INSITUFORM TECHNOLOG  CL A        45766710        5,948     380,579 SH           380,579            344,629                 35,950
INSPIRE PHARMACEUTIC  COM         45773310        6,016     467,073 SH           467,073            421,973                 45,100
INSTINET GROUP INC    COM         45775010        9,573   1,357,913 SH         1,357,913          1,345,063       1,050     11,800
INSURANCE AUTO AUCTI  COM         45787510        2,317     159,477 SH           159,477            138,877                 20,600
INTEGRA BK CORP       COM         45814P10        6,674     277,279 SH           277,279            255,129                 22,150
INTEGRA LIFESCIENCES  COM NEW     45798520       16,201     531,184 SH           531,184            499,934                 31,250
INTEGRAL SYS INC MD   COM         45810H10        2,932     155,051 SH           155,051            139,901                 15,150
INTEGRATED CIRCUIT S  COM         45811K20       21,817     871,617 SH           871,617            859,457                 12,160
Page Total                                    1,565,523


                                                                   Page 30 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
INTEGRATED DEVICE TE  COM         45811810       26,918   1,794,509 SH         1,793,769    740   1,774,501       1,090     18,918
INTEGRATED ELECTRICA  COM         45811E10        6,787     603,852 SH           603,852            544,552                 59,300
INTEGRATED SILICON S  COM         45812P10        9,562     538,980 SH           538,980            513,459                 25,521
INTEL CORP            COM         45814010    5,153,418 189,463,891 SH       189,451,231 12,660 171,570,953   1,384,666 16,508,272
INTELIDATA TECHNOLOG  COM         45814T10          889     716,541 SH           716,541            636,541                 80,000
INTELLISYNC CORP      COM         45817610        2,508     762,336 SH           762,336            700,236                 62,100
INTER PARFUMS INC     COM         45833410        1,453      63,031 SH            63,031             62,931                    100
INTER TEL INC         COM         45837210       19,513     647,643 SH           647,643            611,193                 36,450
INTERACTIVE DATA COR  COM         45840J10        7,633     429,319 SH           429,319            417,519       9,000      2,800
INTERACTIVECORP       COM         45840Q10      164,717   5,207,614 SH         5,207,614          4,943,630       6,700    257,284
INTERCEPT INC         COM         45845L10        3,415     280,406 SH           280,406            251,256                 29,150
INTERCHANGE FINL SVC  COM         45844710        4,501     185,217 SH           185,217            169,317                 15,900
INTERCONTINENTAL HOT  SPONSORED   45857310          291      31,462 SH            31,462             31,462
INTERDIGITAL COMMUNI  COM         45866A10        9,748     557,640 SH           557,640            552,536                  5,104
INTERFACE INC         CL A        45866510        6,108     768,256 SH           768,256            679,206                 89,050
INTERGRAPH CORP       COM         45868310       18,905     779,250 SH           779,250            698,102                 81,148
INTERLAND INC         COM NEW     45872720          705     173,184 SH           173,184            172,684                    500
INTERMAGNETICS GEN C  COM         45877110        8,266     311,912 SH           311,912            287,662                 24,250
INTERMUNE INC         COM         45884X10       15,311     785,168 SH           785,168            741,118                 44,050
INTERNAP NETWORK SVC  COM         45885A10          228     132,749 SH           132,749            132,749
INTERNATIONAL BANCSH  COM         45904410       15,765     299,207 SH           299,207            295,167                  4,040
INTERNATIONAL BUSINE  COM         45920010   11,430,433 124,460,285 SH       124,457,185  3,100  47,988,623  50,991,635 25,480,027
INTERNATIONAL FLAVOR  COM         45950610       86,720   2,442,819 SH         2,442,819          2,265,176      15,602    162,041
INTERNATIONAL GAME T  COM         45990210      453,977  10,097,364 SH        10,096,564    800   9,266,290      70,279    760,795
INTERNATIONAL MULTIF  COM         46004310        7,587     306,926 SH           306,926            272,976                 33,950
INTERNATIONAL RECTIF  COM         46025410       40,629     883,430 SH           882,970    460     871,034         460     11,936
INTERNATIONAL SPEEDW  CL A        46033520       24,357     518,232 SH           518,132    100     509,935         100      8,197
INTERNATIONAL STL GR  COM         46037710          592      15,300 SH            15,300             15,300
INTERNET SEC SYS INC  COM         46060X10       18,472   1,047,176 SH         1,047,176            980,577                 66,599
INTERPORE INTL        COM         46062W10        4,387     305,057 SH           305,057            271,657                 33,400
INTERPUBLIC GROUP CO  COM         46069010      181,737  11,816,430 SH        11,805,930 10,500  11,028,117      20,750    767,563
INTERSIL CORP         CL A        46069S10       40,622   1,821,608 SH         1,821,428    180   1,801,878         430     19,300
INTERSTATE BAKERIES   COM         46072H10       16,246   1,428,806 SH         1,428,806          1,349,962                 78,844
INTERTAN INC          COM         46112010        4,720     337,838 SH           337,838            285,388                 52,450
INTERVOICE INC NEW    COM         46114210       10,535     628,226 SH           628,226            573,526                 54,700
INTERWOVEN INC        COM NEW     46114T50        6,450     646,965 SH           646,965            596,198                 50,767
INTEVAC INC           COM         46114810          236      22,900 SH            22,900             22,900
INTL PAPER CO         COM         46014610    1,569,279  37,133,907 SH        37,133,821     86  17,120,532  19,106,997    906,378
INTRADO INC           COM         46117A10        5,485     283,161 SH           283,161            257,411                 25,750
INTROGEN THERAPEUTIC  COM         46119F10          245      28,500 SH            28,500             28,500
INTUIT                COM         46120210      250,559   5,614,146 SH         5,614,046    100   5,131,610      46,822    435,714
INTUITIVE SURGICAL I  COM NEW     46120E60        7,481     440,843 SH           440,843            406,668                 34,175
INVACARE CORP         COM         46120310       21,515     476,635 SH           476,635            426,799                 49,836
INVERESK RESH GROUP   COM         46123810       14,274     502,236 SH           502,236            466,436                 35,800
INVERNESS MED INNOVA  COM         46126P10        3,973     217,098 SH           217,098            197,098                 20,000
INVESTMENT TECHNOLOG  COM         46145F10       15,965   1,043,459 SH         1,043,459            947,089                 96,370
INVESTORS FINL SERVI  COM         46191510       38,529     933,129 SH           931,749  1,380     919,539       1,380     12,210
INVESTORS REAL ESTAT  SH BEN INT  46173010        5,840     598,953 SH           598,953            531,903                 67,050
INVISION TECHNOLOGIE  COM         46185110       24,080     484,797 SH           484,797            459,847                 24,950
INVITROGEN CORP       COM         46185R10      115,683   1,613,650 SH         1,611,770  1,880   1,503,596      34,280     75,774
IOMEGA CORP           COM NEW     46203030        4,917     879,676 SH           879,676            795,526                 84,150
IONICS INC            COM         46221810        8,467     298,143 SH           298,143            266,843                 31,300
IPAYMENT INC          COM         46262E10        3,114      93,721 SH            93,721             93,421                    300
Page Total                                   19,893,744


                                                                   Page 31 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
IRELAND BK            SPONSORED   46267Q10          623      12,326 SH            12,326             12,326
IRON MTN INC PA       COM         46284610       30,686     687,560 SH           687,560            680,370                  7,190
IRWIN FINL CORP       COM         46411910       16,931     627,537 SH           627,537            599,187                 28,350
ISHARES TR            RUSSELL100  46428759        4,517      75,400 SH            75,400             75,400
ISIS PHARMACEUTICALS  COM         46433010        6,373     821,241 SH           821,241            717,591                103,650
ISLE OF CAPRI CASINO  COM         46459210       12,598     501,112 SH           501,112            470,062                 31,050
ISTAR FINL INC        COM         45031U10       41,071     970,945 SH           970,945            965,109                  5,836
ITLA CAP CORP         COM         45056510        4,033      81,919 SH            81,919             74,419                  7,500
ITRON INC             COM         46574110        8,684     466,637 SH           466,637            432,887                 33,750
ITT EDUCATIONAL SERV  COM         45068B10       33,910   1,086,870 SH         1,086,670    200   1,023,682      26,800     36,388
ITT INDS INC IND      COM         45091110      780,623  10,226,955 SH        10,224,135  2,820   2,431,293   7,614,609    181,053
IVAX CORP             COM         46582310       51,314   2,253,594 SH         2,253,294    300   2,178,609         400     74,585
IVILLAGE INC          COM         46588H10          322      47,045 SH            47,045             47,045
IXIA                  COM         45071R10        5,112     471,611 SH           471,611            416,461                 55,150
IXYS CORP             COM         46600W10        2,573     273,769 SH           273,769            248,969                 24,800
J & J SNACK FOODS CO  COM         46603210        6,440     142,539 SH           142,539            133,235                  9,304
J JILL GROUP INC      COM         46618910        6,246     304,218 SH           304,218            272,993                 31,225
J P MORGAN CHASE & C  COM         46625H10    2,702,430  64,420,270 SH        64,419,600    670  58,992,585     145,274  5,282,411
J2 GLOBAL COMMUNICAT  COM NEW     46626E20        7,449     329,904 SH           329,904            299,104                 30,800
JABIL CIRCUIT INC     COM         46631310      158,635   5,390,234 SH         5,388,659  1,575   4,907,222      85,081    397,931
JACK IN THE BOX INC   COM         46636710       14,838     594,214 SH           594,214            536,972                 57,242
JACOBS ENGR GROUP IN  COM         46981410       33,779     757,377 SH           757,377            733,963                 23,414
JACUZZI BRANDS INC    COM         46986510       12,045   1,284,152 SH         1,284,152          1,170,402                113,750
JAKKS PAC INC         COM         47012E10        6,209     414,220 SH           414,220            370,370                 43,850
JANUS CAP GROUP INC   COM         47102X10       97,633   5,960,498 SH         5,960,498          5,503,108       2,700    454,690
JARDEN CORP           COM         47110910       21,682     610,577 SH           610,577            576,802                 33,775
JDA SOFTWARE GROUP I  COM         46612K10       10,883     747,957 SH           747,957            700,557                 47,400
JDS UNIPHASE CORP     COM         46612J10      154,035  37,846,489 SH        37,845,469  1,020  34,551,998      31,720  3,262,771
JEFFERIES GROUP INC   COM         47231910       28,695     812,208 SH           812,208            763,608      34,200     14,400
JEFFERSON PILOT CORP  COM         47507010      197,835   3,596,353 SH         3,596,353          3,258,719       3,350    334,284
JETBLUE AWYS CORP     COM         47714310       32,244   1,276,979 SH         1,276,979          1,233,016                 43,963
JLG INDS INC          COM         46621010       11,295     789,835 SH           789,835            721,435                 68,400
JO-ANN STORES INC     COM         47758P30       11,763     419,353 SH           419,353            392,768                 26,585
JOHNSON & JOHNSON     COM         47816010    6,450,408 127,176,813 SH       127,171,488  5,325  83,204,522  36,362,865  7,609,426
JOHNSON CTLS INC      COM         47836610      280,555   4,743,117 SH         4,743,117          4,332,275       4,800    406,042
JONES APPAREL GROUP   COM         48007410      142,769   3,949,345 SH         3,949,145    200   3,605,398      15,700    328,247
JONES LANG LASALLE I  COM         48020Q10       14,295     556,012 SH           556,012            505,912                 50,100
JOS A BANK CLOTHIERS  COM         48083810        4,699     129,666 SH           129,666            119,466                 10,200
JOURNAL COMMUNICATIO  CL A        48113010          338      16,900 SH            16,900             16,900
JOURNAL REGISTER CO   COM         48113810       11,122     532,177 SH           532,177            487,777                 44,400
JOY GLOBAL INC        COM         48116510       23,570     840,295 SH           840,295            769,645                 70,650
JUNIPER NETWORKS INC  COM         48203R10      114,152   4,387,097 SH         4,387,097          4,131,702      15,750    239,645
JUNO LTG INC          COM NEW     48204720          321      11,400 SH            11,400             11,400
K V PHARMACEUTICAL C  CL A        48274020       13,967     568,695 SH           568,695            516,920                 51,775
K2 INC                COM         48273210        8,081     504,117 SH           504,117            468,867                 35,250
KADANT INC            COM         48282T10        5,986     287,103 SH           287,103            252,913          39     34,151
KAMAN CORP            CL A        48354810        5,784     388,738 SH           388,738            349,641                 39,097
KANA SOFTWARE INC     COM NEW     48360030        1,744     386,683 SH           386,683            379,083                  7,600
KANEB SERVICES LLC    COM         48417310          740      22,439 SH            22,439             22,439
KANSAS CITY LIFE INS  COM         48483610        2,992      69,923 SH            69,923             64,631                  5,292
KANSAS CITY SOUTHERN  COM NEW     48517030       15,536   1,117,705 SH         1,117,705          1,003,105                114,600
KAYDON CORP           COM         48658710       19,051     691,994 SH           691,994            648,194                 43,800
KB HOME               COM         48666K10      168,296   2,082,877 SH         2,082,877          1,830,181       6,800    245,896
Page Total                                   11,797,915


                                                                   Page 32 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
KCS ENERGY INC        COM         48243420        6,986     652,853 SH           652,853            593,353                 59,500
KEANE INC             COM         48666510       28,015   1,779,868 SH         1,779,868          1,683,918                 95,950
KEITHLEY INSTRS INC   COM         48758410        5,511     266,100 SH           266,100            248,600                 17,500
KELLOGG CO            COM         48783610      388,424   9,898,675 SH         9,898,675          8,926,921      73,804    897,950
KELLWOOD CO           COM         48804410       24,804     631,946 SH           631,946            589,444                 42,502
KELLY SVCS INC        CL A        48815220       12,748     430,537 SH           430,537            386,612                 43,925
KEMET CORP            COM         48836010       25,775   1,797,431 SH         1,797,431          1,651,331                146,100
KENNAMETAL INC        COM         48917010       28,633     693,803 SH           693,803            636,503                 57,300
KENSEY NASH CORP      COM         49005710        5,144     209,440 SH           209,440            197,840                 11,600
KERR MCGEE CORP       COM         49238610      282,869   5,492,600 SH         5,492,600          3,426,995   1,793,066    272,539
KEY ENERGY SVCS INC   COM         49291410       15,198   1,381,615 SH         1,381,615          1,346,397       7,100     28,118
KEYCORP NEW           COM         49326710      363,515  12,001,156 SH        12,000,756    400  11,035,882      27,069    938,205
KEYNOTE SYS INC       COM         49330810        3,868     299,612 SH           299,612            269,412                 30,200
KEYSPAN CORP          COM         49337W10      179,254   4,690,051 SH         4,689,851    200   4,293,827       6,650    389,574
KEYSTONE AUTOMOTIVE   COM         49338N10        5,228     190,792 SH           190,792            173,942                 16,850
KEYSTONE PPTY TR COR  COM         49359610       13,258     545,354 SH           545,354            502,954                 42,400
KFORCE INC            COM         49373210          308      32,423 SH            32,423             32,423
KFX INC               COM         48245L10        4,195     403,778 SH           403,778            395,178                  8,600
KILROY RLTY CORP      COM         49427F10       30,172     849,912 SH           849,912            798,170                 51,742
KIMBALL INTL INC      CL B        49427410        7,641     484,865 SH           484,865            431,015                 53,850
KIMBERLY CLARK CORP   COM         49436810      878,284  13,918,921 SH        13,918,921         12,603,040      96,214  1,219,667
KIMCO REALTY CORP     COM         49446R10       97,439   1,911,316 SH         1,911,316          1,848,885                 62,431
KINDER MORGAN ENERGY  UT LTD PAR  49455010          891      19,761 SH            19,761             18,061                  1,700
KINDER MORGAN INC KA  COM         49455P10      247,977   3,934,888 SH         3,934,788    100   3,645,918       6,438    282,532
KINDER MORGAN MANAGE  SHS         49455U10        2,075      49,046 SH            49,046             49,046
KINDRED HEALTHCARE I  COM         49458010       14,066     279,638 SH           279,638            256,538                 23,100
KING PHARMACEUTICALS  COM         49558210      101,812   6,045,869 SH         6,045,869          5,634,364       2,500    409,005
KINROSS GOLD CORP     COM NEW     49690220          260      35,496 SH            35,496             35,496
KIRBY CORP            COM         49726610       12,501     369,966 SH           369,966            340,250                 29,716
KIRKLANDS INC         COM         49749810        3,044     185,041 SH           185,041            168,041                 17,000
KLA-TENCOR CORP       COM         48248010      262,609   5,222,939 SH         5,222,839    100   4,750,849      31,234    440,856
KMART HLDG CORPORATI  COM         49878010        3,521      84,892 SH            84,892             84,892
KNBT BANCORP INC      COM         48292110          531      29,990 SH            29,990             29,990
KNIGHT RIDDER INC     COM         49904010      154,920   2,114,947 SH         2,114,847    100   1,946,921      13,400    154,626
KNIGHT TRADING GROUP  COM         49906310       17,988   1,423,064 SH         1,423,064          1,256,135                166,929
KNIGHT TRANSN INC     COM         49906410       11,718     490,723 SH           490,723            441,383                 49,340
KOGER EQUITY INC      COM         50022810       12,558     535,062 SH           535,062            471,316                 63,746
KOHLS CORP            COM         50025510      388,235   8,032,992 SH         8,032,792    200   7,342,300      54,761    635,931
KOMAG INC             COM NEW     50045320       12,688     689,548 SH           689,548            657,948                 31,600
KONINKLIJKE AHOLD N   SPON ADR N  50046730          257      31,135 SH            31,135             31,135
KONINKLIJKE PHILIPS   NY REG SH   50047230        2,466      85,106 SH            85,106             85,106
KOPIN CORP            COM         50060010        7,435   1,286,365 SH         1,286,365          1,171,165                115,200
KOREA ELECTRIC PWR    SPONSORED   50063110          742      71,912 SH            71,912             71,912
KORN FERRY INTL       COM NEW     50064320       11,177     698,564 SH           698,564            638,514                 60,050
KOS PHARMACEUTICALS   COM         50064810       11,130     273,208 SH           273,208            251,615                 21,593
KOSAN BIOSCIENCES IN  COM         50064W10        3,927     369,743 SH           369,743            328,743                 41,000
KRAFT FOODS INC       CL A        50075N10      252,418   7,885,613 SH         7,885,613          3,670,650   3,991,704    223,259
KRAMONT RLTY TR       COM SH BEN  50075Q10        7,247     383,451 SH           383,451            335,951                 47,500
KRISPY KREME DOUGHNU  COM         50101410       28,349     825,528 SH           825,528            814,543                 10,985
KROGER CO             COM         50104410      344,727  20,716,756 SH        20,716,456    300  19,013,826      49,823  1,653,107
KROLL INC             COM         50104910       16,962     631,715 SH           631,715            576,815                 54,900
KRONOS INC            COM         50105210       25,820     793,721 SH           793,721            741,958                 51,763
KRONOS WORLDWIDE INC  COM         50105F10        2,954      97,521 SH            97,521             91,132                  6,389
Page Total                                    4,370,272


                                                                   Page 33 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
K-SWISS INC           CL A        48268610       11,464     468,481 SH           468,481            431,281                 37,200
KT CORP               SPONSORED   48268K10        7,528     395,365 SH           395,365            264,993      81,049     49,323
KUBOTA CORP           ADR         50117320          252      10,500 SH            10,500             10,500
KULICKE & SOFFA INDS  COM         50124210       11,262     962,540 SH           962,540            873,390                 89,150
KVH INDS INC          COM         48273810        2,948     204,583 SH           204,583            188,583                 16,000
KYPHON INC            COM         50157710        7,955     332,693 SH           332,693            306,993                 25,700
L S B BANCSHARES N C  COM         50215810        2,141     123,813 SH           123,813            110,263                 13,550
L-3 COMMUNICATIONS H  COM         50242410       79,262   1,332,575 SH         1,332,375    200   1,301,595         400     30,580
LA BARGE INC          COM         50247010          215      27,500 SH            27,500             27,500
LA JOLLA PHARMACEUTI  COM         50345910        2,385     863,977 SH           863,977            801,077                 62,900
LA QUINTA CORP        PAIRED CTF  50419U20       22,052   2,924,630 SH         2,924,630          2,654,580                270,050
LA Z BOY INC          COM         50533610       11,798     542,196 SH           542,196            536,125                  6,071
LABONE INC NEW        COM         50540L10        6,410     210,082 SH           210,082            198,082                 12,000
LABOR READY INC       COM NEW     50540120       10,285     760,751 SH           760,751            700,201                 60,550
LABORATORY CORP AMER  COM NEW     50540R40       66,643   1,697,899 SH         1,697,899          1,618,414       2,000     77,485
LABRANCHE & CO INC    COM         50544710       20,783   1,853,988 SH         1,853,988          1,838,989         200     14,799
LACLEDE GROUP INC     COM         50559710       10,438     344,499 SH           344,499            315,799                 28,700
LAFARGE COPPEE S A    SPON ADR N  50586140          337      16,501 SH            16,501             16,501
LAFARGE NORTH AMERIC  COM         50586210       23,492     577,909 SH           577,909            573,076                  4,833
LAIDLAW INTL INC      COM         50730R10          986      67,800 SH            67,800             67,800
LAKELAND BANCORP INC  COM         51163710        2,983     181,246 SH           181,246            162,983                 18,263
LAKELAND FINL CORP    COM         51165610        2,783      82,772 SH            82,772             73,872                  8,900
LAKES ENTMNT INC      COM         51206P10          834      32,712 SH            32,712             32,712
LAM RESEARCH CORP     COM         51280710       47,332   1,884,225 SH         1,882,375  1,850   1,853,229       2,200     28,796
LAMAR ADVERTISING CO  CL A        51281510       33,032     818,629 SH           818,629            812,079                  6,550
LANCASTER COLONY COR  COM         51384710       21,599     534,634 SH           534,634            528,234                  6,400
LANCE INC             COM         51460610        7,326     447,781 SH           447,781            403,256                 44,525
LANDAMERICA FINL GRO  COM         51493610       24,865     549,385 SH           549,385            502,455                 46,930
LANDAUER INC          COM         51476K10        7,554     179,864 SH           179,864            124,449      39,707     15,708
LANDEC CORP           COM         51476610          224      25,961 SH            25,961             25,961
LANDRYS RESTAURANTS   COM         51508L10       11,454     383,965 SH           383,965            351,049                 32,916
LANDSTAR SYS INC      COM         51509810       30,471     744,092 SH           744,092            694,692                 49,400
LANNET INC            COM         51601210        1,381      82,697 SH            82,697             73,197                  9,500
LASALLE HOTEL PPTYS   COM SH BEN  51794210       19,003     805,224 SH           805,224            757,565                 47,659
LASERSCOPE            COM         51808110        4,396     222,254 SH           222,254            200,954                 21,300
LATTICE SEMICONDUCTO  COM         51841510       19,108   2,188,808 SH         2,187,808  1,000   2,022,908       1,000    164,900
LAUDER ESTEE COS INC  CL A        51843910       88,572   1,997,554 SH         1,992,404  5,150   1,928,719       5,150     63,685
LAWSON PRODS INC      COM         52077610        4,690     144,320 SH           144,320            126,621                 17,699
LAWSON SOFTWARE INC   COM         52078010       14,683   1,768,999 SH         1,766,499  2,500   1,693,899       2,500     72,600
LEAPFROG ENTERPRISES  CL A        52186N10        5,791     299,289 SH           299,289            293,939                  5,350
LEAR CORP             COM         52186510       95,064   1,534,286 SH         1,534,086    200   1,450,600       5,900     77,786
LEARNING TREE INTL I  COM         52201510        2,964     184,811 SH           184,811            162,661                 22,150
LEE ENTERPRISES INC   COM         52376810       29,402     650,781 SH           650,781            631,981                 18,800
LEGG MASON INC        COM         52490110      104,890   1,130,519 SH         1,129,649    870   1,091,638       1,870     37,011
LEGGETT & PLATT INC   COM         52466010      118,735   5,007,809 SH         5,007,809          4,644,596       9,738    353,475
LEHMAN BROS HLDGS IN  COM         52490810      713,401   8,608,681 SH         8,608,561    120   7,899,898      35,308    673,475
LENNAR CORP           CL A        52605710      117,981   2,183,611 SH         2,183,411    200   2,109,295       2,100     72,216
LENNOX INTL INC       COM         52610710       15,354     827,683 SH           827,683            764,783                 62,900
LEUCADIA NATL CORP    COM         52728810       39,832     747,606 SH           747,606            735,533                 12,073
LEVEL 3 COMMUNICATIO  COM         52729N10       23,476   5,869,070 SH         5,869,070          5,580,141       6,000    282,929
LEVITT CORP           CL A        52742P10        5,047     206,010 SH           206,010            185,577                 20,433
LEXAR MEDIA INC       COM         52886P10       16,923   1,021,921 SH         1,021,921            935,996                 85,925
LEXICON GENETICS INC  COM         52887210        4,032     642,998 SH           642,998            573,398                 69,600
Page Total                                    1,933,816


                                                                   Page 34 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
LEXINGTON CORP PPTYS  COM         52904310       13,072     599,902 SH           599,902            551,852                 48,050
LEXMARK INTL NEW      CL A        52977110      388,102   4,218,499 SH         4,218,499          3,837,267      37,221    344,011
LIBBEY INC            COM         52989810        6,461     249,157 SH           249,157            227,484                 21,673
LIBERTE INVS INC DEL  COM         53015410          221      27,000 SH            27,000             27,000
LIBERTY CORP S C      COM         53037010       13,175     284,742 SH           284,742            255,042                 29,700
LIBERTY MEDIA CORP N  COM SER A   53071810      346,148  31,611,721 SH        31,611,721         29,901,564     122,220  1,587,937
LIBERTY PPTY TR       SH BEN INT  53117210       73,535   1,634,121 SH         1,634,121          1,573,153                 60,968
LIFELINE SYS INC      COM         53219210        7,131     375,337 SH           375,337            136,764     218,473     20,100
LIFEPOINT HOSPITALS   COM         53219L10       24,777     766,144 SH           766,144            703,544                 62,600
LIFETIME HOAN CORP    COM         53192610          203      11,600 SH            11,600             11,600
LIGAND PHARMACEUTICA  CL B        53220K20       20,710   1,030,336 SH         1,030,336            942,286                 88,050
LIGHTBRIDGE INC       COM         53222610        2,661     451,004 SH           451,004            402,704                 48,300
LILLY ELI & CO        COM         53245710    1,963,059  29,343,185 SH        29,340,935  2,250  26,695,063     220,155  2,427,967
LIMITED BRANDS INC    COM         53271610      252,480  12,624,020 SH        12,623,820    200  11,290,477      11,700  1,321,843
LIN TV CORP           CL A        53277410       10,649     447,270 SH           447,270            408,370                 38,900
LINCARE HLDGS INC     COM         53279110       47,847   1,523,790 SH         1,523,590    200   1,464,654       1,700     57,436
LINCOLN ELEC HLDGS I  COM         53390010       16,266     577,821 SH           577,821            516,971                 60,850
LINCOLN NATL CORP IN  COM         53418710      220,096   4,651,232 SH         4,651,232          4,226,331       4,700    420,201
LINDSAY MFG CO        COM         53555510        4,990     207,244 SH           207,244            186,044                 21,200
LINEAR TECHNOLOGY CO  COM         53567810      301,333   8,124,379 SH         8,124,379          7,454,404      50,837    619,138
LINENS N THINGS INC   COM         53567910       29,427     831,026 SH           829,026  2,000     761,886       2,000     67,140
LIONBRIDGE TECHNOLOG  COM         53625210        5,024     516,290 SH           516,290            472,090                 44,200
LIQUIDMETAL TECHNOLO  COM         53634X10        1,151     360,839 SH           360,839            360,139                    700
LITHIA MTRS INC       CL A        53679710       10,915     394,748 SH           394,748            229,277     146,171     19,300
LITTELFUSE INC        COM         53700810       13,334     358,435 SH           358,435            322,386                 36,049
LIZ CLAIBORNE INC     COM         53932010      102,210   2,785,779 SH         2,785,779          2,546,360       2,900    236,519
LKQ CORP              COM         50188920          294      16,795 SH            16,795             16,795
LLOYDS TSB GROUP PLC  SPONSORED   53943910        2,282      73,410 SH            73,410             73,410
LNB BANCORP INC       COM         50210010        1,500      72,771 SH            72,771             63,971                  8,800
LNR PPTY CORP         COM         50194010       10,382     193,953 SH           193,953            192,872                  1,081
LOCAL FINL CORP       COM         53955310       10,411     477,565 SH           477,565            450,615                 26,950
LOCKHEED MARTIN CORP  COM         53983010    3,826,530  83,841,580 SH        83,837,770  3,810  10,677,329   2,490,722 70,673,529
LODGENET ENTMT CORP   COM         54021110        3,629     191,021 SH           191,021            163,871                 27,150
LOEWS CORP            COM         54042410      264,791   4,483,422 SH         4,483,422          4,259,353       8,800    215,269
LOEWS CORP            CAROLNA GP  54042420       30,664   1,121,156 SH         1,121,156          1,061,467      10,900     48,789
LONE STAR STEAKHOUSE  COM         54230710       10,583     362,554 SH           362,554            329,588                 32,966
LONE STAR TECHNOLOGI  COM         54231210        7,789     440,829 SH           440,829            396,179                 44,650
LONGS DRUG STORES CO  COM         54316210       12,365     656,675 SH           656,675            589,588                 67,087
LONGVIEW FIBRE CO     COM         54321310       11,841   1,061,065 SH         1,061,065            974,015                 87,050
LOOKSMART LTD         COM         54344210        2,395   1,215,904 SH         1,215,904          1,084,254                131,650
LOUISIANA PAC CORP    COM         54634710      182,390   7,069,390 SH         7,069,390          6,378,584      21,500    669,306
LOWES COS INC         COM         54866110    3,486,367  62,112,373 SH        62,112,093    280  18,087,280  42,218,834  1,806,259
LSI INDS INC          COM         50216C10        3,496     287,483 SH           287,483            262,546                 24,937
LSI LOGIC CORP        COM         50216110      100,466  10,756,532 SH        10,756,532          9,614,800      62,400  1,079,332
LTC PPTYS INC         COM         50217510        7,279     401,957 SH           401,957            378,457                 23,500
LTX CORP              COM         50239210       19,899   1,320,442 SH         1,320,442          1,234,092                 86,350
LUBRIZOL CORP         COM         54927110       81,537   2,589,292 SH         2,589,092    200     900,694   1,665,901     22,697
LUCENT TECHNOLOGIES   COM         54946310      440,281 107,124,345 SH       107,122,965  1,380  96,662,572     819,265  9,642,508
LUFKIN INDS INC       COM         54976410        2,972      95,721 SH            95,721             87,121                  8,600
LUMINENT MTG CAP INC  COM         55027830          204      14,400 SH            14,400             14,400
LUMINEX CORP DEL      COM         55027E10        3,171     350,398 SH           350,398            311,498                 38,900
LYDALL INC DEL        COM         55081910        2,425     237,718 SH           237,718            215,518                 22,200
LYON WILLIAM HOMES    COM         55207410        7,501      80,481 SH            80,481             71,581                  8,900
Page Total                                   12,408,424


                                                                   Page 35 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
LYONDELL CHEMICAL CO  COM         55207810       30,069   2,026,224 SH         2,025,304    920   1,994,573         920     30,731
M & F WORLDWIDE CORP  COM         55254110        2,292     167,414 SH           167,414            150,944                 16,470
M & T BK CORP         COM         55261F10      228,574   2,543,947 SH         2,543,836    111   2,332,506       2,211    209,230
M D C HLDGS INC       COM         55267610       14,069     199,838 SH           199,717    121     198,267         121      1,450
M/I HOMES INC         COM         55305B10       10,030     212,150 SH           212,150            176,845                 35,305
MACATAWA BK CORP      COM         55422510        3,323     119,238 SH           119,238            104,566                 14,672
MACDERMID INC         COM         55427310       17,711     503,300 SH           503,300            460,650                 42,650
MACERICH CO           COM         55438210       52,083     966,281 SH           966,281            933,634                 32,647
MACK CALI RLTY CORP   COM         55448910       54,121   1,205,102 SH         1,205,102          1,164,806                 40,296
MACROMEDIA INC        COM         55610010       18,631     928,323 SH           928,323            916,123                 12,200
MACROVISION CORP      COM         55590410       17,139     907,295 SH           907,295            831,745                 75,550
MADDEN STEVEN LTD     COM         55626910        4,842     242,571 SH           242,571            226,921                 15,650
MAF BANCORP INC       COM         55261R10       20,150     463,634 SH           463,394    240     417,545         240     45,849
MAGELLAN HEALTH SVCS  COM NEW     55907920          907      32,263 SH            32,263             32,263
MAGELLAN MIDSTREAM P  COM UNIT R  55908010        1,058      19,279 SH            19,279             18,453                    826
MAGMA DESIGN AUTOMAT  COM         55918110        8,895     426,002 SH           426,002            394,252                 31,750
MAGNA ENTMT CORP      CL A        55921110        3,833     638,771 SH           638,771            557,471                 81,300
MAGNA INTL INC        CL A        55922240        1,048      13,237 SH            13,237             13,237
MAGNUM HUNTER RES IN  COM PAR $0  55972F20       11,091   1,093,832 SH         1,093,832          1,003,733                 90,099
MAGUIRE PPTYS INC     COM         55977510        8,794     343,519 SH           343,519            322,819                 20,700
MAIL-WELL INC         COM         56032120        2,237     500,399 SH           500,399            484,099                 16,300
MAIN STR BKS INC NEW  COM         56034R10        5,985     218,914 SH           218,914            198,764                 20,150
MAINE & MARITIMES CO  COM         56037710          362      10,600 SH            10,600             10,600
MAINSOURCE FINANCIAL  COM         56062Y10        4,017     112,146 SH           112,146             97,193                 14,953
MAIR HOLDINGS INC     COM         56063510        2,526     272,190 SH           272,190            271,790                    400
MANAGEMENT NETWORK G  COM         56169310       11,389   1,912,695 SH         1,912,695             20,895              1,891,800
MANDALAY RESORT GROU  COM         56256710       43,728     763,671 SH           762,331  1,340     747,360       1,340     14,971
MANHATTAN ASSOCS INC  COM         56275010       16,514     593,593 SH           591,993  1,600     558,143       1,600     33,850
MANITOWOC INC         COM         56357110       22,586     763,570 SH           763,570            720,220                 43,350
MANNING GREG AUCTION  COM         56382310          231      16,250 SH            16,250             16,250
MANOR CARE INC NEW    COM         56405510       85,795   2,431,141 SH         2,431,141          2,221,172         900    209,069
MANPOWER INC          COM         56418H10      114,092   2,453,596 SH         2,453,356    240   2,366,285       1,540     85,771
MANTECH INTL CORP     CL A        56456310        6,010     293,337 SH           293,337            273,837                 19,500
MANUFACTURED HOME CM  COM         56468210       14,859     420,940 SH           420,940            379,898                 41,042
MANUGISTICS GROUP IN  COM         56501110        7,918   1,157,627 SH         1,157,627          1,042,327                115,300
MANULIFE FINL CORP    COM         56501R10        2,666      71,758 SH            71,758             52,458                 19,300
MAPICS INC            COM         56491010        2,746     341,537 SH           341,537            312,237                 29,300
MAPINFO CORP          COM         56510510          260      20,299 SH            20,299             20,299
MARATHON OIL CORP     COM         56584910      362,510  10,766,571 SH        10,766,571          9,970,845      40,794    754,932
MARCUS CORP           COM         56633010        8,646     498,324 SH           498,324            465,376                 32,948
MARIMBA INC           COM         56781Q10          225      38,187 SH            38,187             38,187
MARINE PRODS CORP     COM         56842710        2,248     160,714 SH           160,714            160,414                    300
MARINEMAX INC         COM         56790810        3,253     122,436 SH           122,436            122,036                    400
MARITRANS INC         COM         57036310        1,526      97,145 SH            97,145             96,845                    300
MARKEL CORP           COM         57053510       33,530     116,463 SH           116,463            111,093       3,000      2,370
MARKETWATCH COM INC   COM         57061910        1,174      84,244 SH            84,244             84,044                    200
MARRIOTT INTL INC NE  CL A        57190320      280,111   6,583,110 SH         6,583,110          5,132,266   1,058,217    392,627
MARSH & MCLENNAN COS  COM         57174810    1,870,224  40,393,613 SH        40,393,413    200  12,200,609  27,022,132  1,170,872
MARSHALL & ILSLEY CO  COM         57183410      200,139   5,293,292 SH         5,292,892    400   4,930,503       3,000    359,789
MARTEK BIOSCIENCES C  COM         57290110       24,864     436,516 SH           436,516            393,754                 42,762
MARTEN TRANS LTD      COM         57307510          292      15,350 SH            15,350             15,350
MARTHA STEWART LIVIN  CL A        57308310        2,353     213,908 SH           213,908            187,558                 26,350
MARTIN MARIETTA MATL  COM         57328410       57,619   1,248,236 SH         1,248,136    100     651,307     587,795      9,134
Page Total                                    3,701,296


                                                                   Page 36 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
MARVEL ENTERPRISES I  COM         57383M10       11,395     593,813 SH           593,813            586,670                  7,143
MARVELL TECHNOLOGY G  ORD         G5876H10        4,724     105,080 SH           105,080             25,302                 79,778
MASCO CORP            COM         57459910      391,472  12,860,434 SH        12,860,134    300  11,775,423      22,743  1,062,268
MASSBANK CORP READ M  COM         57615210        2,529      63,814 SH            63,814             57,214                  6,600
MASSEY ENERGY CORP    COM         57620610       24,762   1,121,988 SH         1,121,988          1,018,338                103,650
MASTEC INC            COM         57632310        3,220     340,066 SH           340,066            321,166                 18,900
MATERIAL SCIENCES CO  COM         57667410        2,400     218,150 SH           218,150            217,850                    300
MATRIA HEALTHCARE IN  COM NEW     57681720        3,981     156,776 SH           156,776            142,876                 13,900
MATRIX SVC CO         COM         57685310        3,958     292,560 SH           292,560            266,060                 26,500
MATRIXONE INC         COM         57685P30        5,557     765,391 SH           765,391            679,591                 85,800
MATSUSHITA ELEC INDL  ADR         57687920        1,337      86,716 SH            86,716             86,716
MATTEL INC            COM         57708110      232,196  12,591,968 SH        12,591,668    300  11,616,246      11,000    964,722
MATTHEWS INTL CORP    CL A        57712810       17,661     531,966 SH           531,966            477,583                 54,383
MATTSON TECHNOLOGY I  COM         57722310        5,730     479,059 SH           479,059            455,859                 23,200
MAUI LD & PINEAPPLE   COM         57734510        1,468      42,365 SH            42,365             42,265                    100
MAVERICK TUBE CORP    COM         57791410       17,588     746,836 SH           746,836            647,176                 99,660
MAXIM INTEGRATED PRO  COM         57772K10      408,779   8,702,973 SH         8,702,973          7,866,201      52,666    784,106
MAXIMUS INC           COM         57793310       11,788     336,799 SH           336,799            307,299                 29,500
MAXTOR CORP           COM NEW     57772920       16,998   2,085,603 SH         2,085,261    342   2,068,261         342     17,000
MAXWELL SHOE INC      CL A        57776610        8,443     375,266 SH           375,266            353,266                 22,000
MAXWELL TECHNOLOGIES  COM         57776710          220      16,800 SH            16,800             16,800
MAXYGEN INC           COM         57777610        4,311     454,726 SH           454,726            401,376                 53,350
MAY DEPT STORES CO    COM         57777810      335,479   9,701,532 SH         9,701,532          8,801,150      23,500    876,882
MAYTAG CORP           COM         57859210       63,417   2,008,762 SH         2,008,762          1,824,838      12,749    171,175
MB FINANCIAL INC NEW  COM         55264U10       13,411     343,963 SH           343,963            319,413                 24,550
MBIA INC              COM         55262C10      244,821   3,904,639 SH         3,904,489    150   3,536,820       3,600    364,219
MBNA CORP             COM         55262L10    1,001,846  36,259,353 SH        36,258,303  1,050  32,662,180      97,629  3,499,544
MBT FINL CORP         COM         57887710        4,072     234,438 SH           234,438            216,626                 17,812
MCCLATCHY CO          CL A        57948910       15,057     211,952 SH           211,952            208,532                  3,420
MCCORMICK & CO INC    COM NON VT  57978020      109,951   3,280,148 SH         3,279,748    400   3,072,384      21,233    186,531
MCDATA CORP           CL A        58003120       10,178   1,445,668 SH         1,445,307    361   1,395,231         361     50,076
MCDERMOTT INTL INC    COM         58003710          815      97,154 SH            97,154             97,054                    100
MCDONALDS CORP        COM         58013510    1,168,688  40,906,140 SH        40,905,320    820  37,522,422      82,535  3,301,183
MCG CAPITAL CORP      COM         58047P10        9,125     452,171 SH           452,171            413,971                 38,200
MCGRATH RENTCORP      COM         58058910        4,392     144,060 SH           144,060            124,610                 19,450
MCGRAW HILL COS INC   COM         58064510      404,385   5,311,069 SH         5,311,069          4,844,340      31,132    435,597
MCKESSON CORP         COM         58155Q10      219,029   7,279,145 SH         7,279,145          6,641,549       6,600    630,996
MCLEODUSA INC         CL A        58226670        1,652   1,108,966 SH         1,108,966          1,056,866                 52,100
MCMORAN EXPLORATION   COM         58241110        3,204     216,517 SH           216,517            198,617                 17,900
MDU RES GROUP INC     COM         55269010       34,392   1,464,092 SH         1,464,092          1,441,942                 22,150
MEADWESTVACO CORP     COM         58333410      162,130   5,731,014 SH         5,731,014          5,307,668       4,973    418,373
MEDALLION FINL CORP   COM         58392810        1,879     217,219 SH           217,219            206,119                 11,100
MEDAREX INC           COM         58391610       12,189   1,358,862 SH         1,358,862          1,156,892                201,970
MEDCATH CORP          COM         58404W10          516      33,250 SH            33,250             33,250
MEDCO HEALTH SOLUTIO  COM         58405U10      259,921   7,644,745 SH         7,644,683     62   6,938,378      30,898    675,469
MEDIA GEN INC         CL A        58440410       18,215     270,741 SH           270,741            260,361                 10,380
MEDIACOM COMMUNICATI  CL A        58446K10        7,303     910,565 SH           910,565            819,115                 91,450
MEDICAL ACTION INDS   COM         58449L10        2,382     116,590 SH           116,590            104,190                 12,400
MEDICAL STAFFING NET  COM         58463F10        1,820     231,288 SH           231,288            230,888                    400
MEDICINES CO          COM         58468810       23,470     728,646 SH           728,646            663,996                 64,650
MEDICIS PHARMACEUTIC  CL A NEW    58469030       25,953     648,818 SH           648,618    200     643,798         200      4,820
MEDIMMUNE INC         COM         58469910      149,617   6,482,520 SH         6,482,520          5,920,056       5,900    556,564
MEDIS TECHNOLOGIES L  COM         58500P10        2,475     186,922 SH           186,922            178,122                  8,800
Page Total                                    5,492,301


                                                                   Page 37 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
MEDQUIST INC          COM         58494910        4,647     295,251 SH           295,251            282,701                 12,550
MEDSOURCE TECHNOLOGI  COM         58505Y10          237      40,100 SH            40,100             40,100
MEDTRONIC INC         COM         58505510    1,619,477  33,915,755 SH        33,909,605  6,150  30,633,274     202,969  3,079,512
MELLON FINL CORP      COM         58551A10      349,598  11,172,850 SH        11,172,850         10,211,631      10,200    951,019
MEMBERWORKS INC       COM         58600210        6,282     179,385 SH           179,385            162,335                 17,050
MEMC ELECTR MATLS IN  COM         55271510        3,851     420,845 SH           420,845            419,745                  1,100
MENS WEARHOUSE INC    COM         58711810       17,148     645,377 SH           645,377            582,827                 62,550
MENTOR CORP MINN      COM         58718810       22,591     750,526 SH           750,526            688,626                 61,900
MENTOR GRAPHICS CORP  COM         58720010       24,803   1,391,851 SH         1,391,551    300   1,276,501         300    115,050
MERCANTILE BANK CORP  COM         58737610        3,406      95,950 SH            95,950             87,850                  8,100
MERCANTILE BANKSHARE  COM         58740510       50,829   1,183,993 SH         1,183,693    300   1,164,316         300     19,377
MERCHANTS BANCSHARES  COM         58844810        1,707      59,080 SH            59,080             58,880                    200
MERCK & CO INC        COM         58933110    3,071,609  69,509,144 SH        69,508,704    440  63,411,955     478,372  5,618,817
MERCURY COMPUTER SYS  COM         58937810       11,917     467,712 SH           467,712            420,182                 47,530
MERCURY GENL CORP NE  COM         58940010       37,410     749,257 SH           749,257            339,506     387,399     22,352
MERCURY INTERACTIVE   COM         58940510      112,682   2,515,229 SH         2,514,429    800   2,251,003      14,861    249,365
MEREDITH CORP         COM         58943310       59,523   1,177,269 SH         1,177,269          1,086,510       7,136     83,623
MERGE TECHNOLOGIES I  COM         58998110          204      14,000 SH            14,000             14,000
MERIDIAN BIOSCIENCE   COM         58958410        3,302     324,037 SH           324,037            309,437                 14,600
MERIDIAN GOLD INC     COM         58997510        1,913     156,765 SH           156,765            156,765
MERIDIAN RESOURCE CO  COM         58977Q10        4,388     728,963 SH           728,963            679,463                 49,500
MERISTAR HOSPITALITY  COM         58984Y10       10,000   1,438,800 SH         1,438,800          1,313,517                125,283
MERIT MED SYS INC     COM         58988910       10,619     490,717 SH           490,717            457,616                 33,101
MERITAGE CORP         COM         59001A10       12,210     164,442 SH           164,442            146,642                 17,800
MERIX CORP            COM         59004910          383      20,753 SH            20,753             17,003                  3,750
MERRILL LYNCH & CO I  COM         59018810    5,457,264  91,626,334 SH        91,625,934    400  25,121,182  64,024,444  2,480,708
MESA AIR GROUP INC    COM         59047910        4,599     557,423 SH           557,423            503,073                 54,350
MESTEK INC            COM         59082910        1,392      77,433 SH            77,433             77,333                    100
MET PRO CORP          COM         59087630          246      14,665 SH            14,665             14,665
METHODE ELECTRS INC   COM         59152020        8,566     664,062 SH           664,062            614,112                 49,950
METLIFE INC           COM         59156R10      648,852  18,185,319 SH        18,185,219    100  16,611,889      30,241  1,543,189
METRIS COS INC        COM         59159810        5,145     639,979 SH           639,979            549,779                 90,200
METRO GOLDWYN MAYER   COM         59161010       18,123   1,041,527 SH         1,041,527            985,736                 55,791
METRO ONE TELECOMMUN  COM         59163F10          822     354,134 SH           354,134            314,834                 39,300
METROLOGIC INSTRS IN  COM         59167610        4,245     181,421 SH           181,421            169,621                 11,800
METTLER TOLEDO INTER  COM         59268810       19,291     434,483 SH           434,483            431,967                  2,516
MFA MTG INVTS INC     COM         55272X10       10,329   1,022,665 SH         1,022,665            956,715                 65,950
MGE ENERGY INC        COM         55277P10        9,968     323,116 SH           323,116            287,467                 35,649
MGI PHARMA INC        COM         55288010       39,855     650,586 SH           650,586            598,086                 52,500
MGIC INVT CORP WIS    COM         55284810      168,387   2,621,618 SH         2,621,618          2,372,664       2,400    246,554
MGM MIRAGE            COM         55295310       40,889     901,825 SH           901,825            850,229                 51,596
MICHAELS STORES INC   COM         59408710       70,128   1,442,361 SH         1,442,201    160     971,652     454,209     16,500
MICREL INC            COM         59479310       17,289   1,292,133 SH         1,290,993  1,140   1,198,993       1,140     92,000
MICRO THERAPEUTICS I  COM         59500W10          490     116,700 SH           116,700            116,300                    400
MICROCHIP TECHNOLOGY  COM         59501710       85,221   3,225,641 SH         3,225,191    450   3,006,090       3,250    216,301
MICROMUSE INC         COM         59509410        7,804   1,000,506 SH         1,000,506            880,566                119,940
MICRON TECHNOLOGY IN  COM         59511210      250,103  14,967,277 SH        14,967,277         13,582,527      13,500  1,371,250
MICROS SYS INC        COM         59490110       17,067     377,765 SH           376,695  1,070     351,445       1,070     25,250
MICROSEMI CORP        COM         59513710       16,399   1,198,764 SH         1,198,764          1,089,164                109,600
MICROSOFT CORP        COM         59491810    7,381,280 296,080,234 SH       296,057,404 22,830 267,359,767   2,132,181 26,588,286
MICROSTRATEGY INC     CL A NEW    59497240        9,958     186,827 SH           186,827            164,367                 22,460
MID-AMER APT CMNTYS   COM         59522J10       16,686     449,402 SH           449,402            411,562                 37,840
MIDAS GROUP INC       COM         59562610        5,209     267,817 SH           267,817            247,217                 20,600
Page Total                                   19,756,345


                                                                   Page 38 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
MIDDLEBY CORP         COM         59627810          547      12,000 SH            12,000             12,000
MIDDLESEX WATER CO    COM         59668010        3,473     167,792 SH           167,792            149,926                 17,866
MIDLAND CO            COM         59748610        3,482     139,578 SH           139,578            129,178                 10,400
MID-STATE BANCSHARES  COM         59544010        9,334     388,912 SH           388,912            355,612                 33,300
MIDWAY GAMES INC      COM         59814810        4,453     611,707 SH           611,707            553,357                 58,350
MIDWEST BANC HOLDING  COM         59825110        4,253     179,737 SH           179,737            164,145                 15,592
MILACRON INC          COM         59870910        2,178     627,781 SH           627,781            575,181                 52,600
MILLENNIUM CHEMICALS  COM         59990310       16,148   1,080,851 SH         1,080,851            983,401                 97,450
MILLENNIUM PHARMACEU  COM         59990210       74,632   4,416,077 SH         4,414,947  1,130   4,210,613       5,330    200,134
MILLER HERMAN INC     COM         60054410       31,617   1,188,613 SH         1,188,413    200   1,133,071         200     55,342
MILLIPORE CORP        COM         60107310       62,685   1,220,023 SH         1,220,023          1,118,682       6,889     94,452
MILLS CORP            COM         60114810       48,872     917,092 SH           917,092            889,939                 27,153
MIM CORP              COM         55304410        2,789     366,679 SH           366,679            334,729                 31,950
MINDSPEED TECHNOLOGI  COM         60268210       10,451   1,600,390 SH         1,600,390          1,457,682                142,708
MINE SAFETY APPLIANC  COM         60272010        9,944     350,636 SH           350,636            315,136                 35,500
MINERALS TECHNOLOGIE  COM         60315810       68,621   1,201,764 SH         1,201,764            495,021     665,148     41,595
MIPS TECHNOLOGIES IN  COM         60456710          224      39,001 SH            39,001             39,001
MISSION RESOURCES CO  COM         60510910          279      85,700 SH            85,700             85,700
MISSION WEST PPTYS I  COM         60520310        3,741     282,335 SH           282,335            254,335                 28,000
MITCHAM INDS INC      COM         60650110          224      45,238 SH            45,238             45,238
MITSUBISHI TOKYO FIN  SPONSORED   60681610        1,436     144,601 SH           144,601            144,601
MKS INSTRUMENT INC    COM         55306N10       11,339     472,256 SH           472,256            434,856                 37,400
MMO2 PLC              ADR         55309W10          576      30,908 SH            30,908             30,908
MOBILE MINI INC       COM         60740F10        3,961     228,950 SH           228,950            204,850                 24,100
MOBILE TELESYSTEMS O  SPONSORED   60740910        2,536      19,284 SH            19,284             14,507       3,021      1,756
MOBILITY ELECTRONICS  COM         60741U10          211      23,239 SH            23,239             23,239
MOBIUS MGMT SYSTEMS   COM         60692510          962     105,337 SH           105,337            105,037                    300
MODINE MFG CO         COM         60782810       15,588     598,157 SH           598,057    100     535,607         100     62,450
MODTECH HLDGS INC     COM         60783C10        1,027     139,031 SH           139,031            117,931                 21,100
MOHAWK INDS INC       COM         60819010       61,781     750,222 SH           750,022    200     736,991         200     13,031
MOLDFLOW CORP         COM         60850710        1,290     128,400 SH           128,400            128,400
MOLECULAR DEVICES CO  COM         60851C10        4,857     257,826 SH           257,826            234,426                 23,400
MOLEX INC             COM         60855410      129,241   4,252,740 SH         4,252,740          3,946,009       1,900    304,831
MOLEX INC             CL A        60855420          833      31,995 SH            31,995             13,018                 18,977
MONACO COACH CORP     COM         60886R10       22,203     828,465 SH           828,465            789,265                 39,200
MONARCH CASINO & RES  COM         60902710        1,345      96,900 SH            96,900             96,900
MONDAVI ROBERT CORP   CL A        60920010        6,333     167,225 SH           167,225            151,225                 16,000
MONOLITHIC SYS TECHN  COM         60984210        5,101     380,987 SH           380,987            348,487                 32,500
MONRO MUFFLER BRAKE   COM         61023610        5,372     214,950 SH           214,950            201,350                 13,600
MONSANTO CO NEW       COM         61166W10      336,664   9,180,909 SH         9,180,835     74   8,500,997      81,789    598,123
MONSTER WORLDWIDE IN  COM         61174210       68,473   2,613,467 SH         2,613,467          2,445,190      16,800    151,477
MONY GROUP INC        COM         61533710       19,057     606,150 SH           606,150            597,389                  8,761
MOODYS CORP           COM         61536910      275,290   3,888,271 SH         3,888,271          3,526,309      29,225    332,737
MOOG INC              CL A        61539420       14,576     427,198 SH           427,198            394,609                 32,589
MORGAN STANLEY        COM NEW     61744644    5,127,930  89,492,678 SH        89,487,618  5,060  27,052,250  60,171,618  2,268,810
MOTHERS WK INC        COM         61990310        1,448      54,332 SH            54,332             53,032                  1,300
MOTOROLA INC          COM         62007610    1,126,681  64,015,942 SH        64,014,842  1,100  58,563,511      58,350  5,394,081
MOVADO GROUP INC      COM         62458010        4,974     166,145 SH           166,145            147,045                 19,100
MOVIE GALLERY INC     COM         62458110       16,020     817,786 SH           817,786            780,136                 37,650
MPS GROUP INC         COM         55340910       25,177   2,264,136 SH         2,263,836    300   2,100,586         300    163,250
MRO SOFTWARE INC      COM         55347W10        6,855     589,932 SH           589,932            552,432                 37,500
MRV COMMUNICATIONS I  COM         55347710        6,042   1,814,490 SH         1,814,490          1,607,790                206,700
MSC INDL DIRECT INC   CL A        55353010        8,006     267,313 SH           267,313            263,761                  3,552
Page Total                                    7,671,134


                                                                   Page 39 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
MSC SOFTWARE CORP     COM         55353110        3,332     378,216 SH           378,216            334,866                 43,350
MTC TECHNOLOGIES INC  COM         55377A10        2,822     112,378 SH           112,378            103,178                  9,200
MTR GAMING GROUP INC  COM         55376910        3,712     366,803 SH           366,803            332,453                 34,350
MTS SYS CORP          COM         55377710       13,436     483,843 SH           483,843            452,735                 31,108
MUELLER INDS INC      COM         62475610       19,963     587,326 SH           587,326            536,335                 50,991
MULTIMEDIA GAMES INC  COM         62545310        8,799     355,662 SH           355,662            320,262                 35,400
MURPHY OIL CORP       COM         62671710       73,756   1,171,282 SH         1,171,082    200   1,151,655         200     19,427
MUTUALFIRST FINL INC  COM         62845B10        1,583      65,067 SH            65,067             64,167                    900
MYERS INDS INC        COM         62846410        4,175     339,398 SH           339,398            314,236                 25,162
MYKROLIS CORP         COM         62852P10        8,448     592,394 SH           592,394            524,521                 67,873
MYLAN LABS INC        COM         62853010      125,455   5,519,367 SH         5,518,692    675   5,278,790      35,962    204,615
MYRIAD GENETICS INC   COM         62855J10       10,042     621,018 SH           621,018            536,018                 85,000
NABI BIOPHARMACEUTIC  COM         62951910       14,531     933,854 SH           933,854            857,302                 76,552
NABORS INDUSTRIES LT  SHS         G6359F10      138,625   3,030,065 SH         3,029,865    200   2,781,590       1,600    246,875
NACCO INDS INC        CL A        62957910        7,660      92,959 SH            92,959             80,859                 12,100
NARA BANCORP INC      COM         63080P10        4,867     163,263 SH           163,263            148,163                 15,100
NASB FINL INC         COM         62896810        2,202      55,351 SH            55,351             48,351                  7,000
NASH FINCH CO         COM         63115810        4,749     199,794 SH           199,794            182,579                 17,215
NASSDA CORP           COM         63172M10        1,540     221,916 SH           221,916            221,416                    500
NATIONAL AUSTRALIA B  SPONSORED   63252540        1,205      10,176 SH            10,176             10,176
NATIONAL BANKSHARES   COM         63486510        2,714      53,103 SH            53,103             46,120                  6,983
NATIONAL BEVERAGE CO  COM         63501710        1,419     149,076 SH           149,076            148,876                    200
NATIONAL BK GREECE S  SPONSORED   63364340          312      57,250 SH            57,250             57,250
NATIONAL CITY CORP    COM         63540510      680,298  19,120,240 SH        19,119,840    400  17,282,435     112,591  1,725,214
NATIONAL COMMERCE FI  COM         63545P10       86,839   3,035,274 SH         3,034,484    790   2,926,551       3,390    105,333
NATIONAL FINL PARTNE  COM         63607P20          951      29,500 SH            29,500             29,500
NATIONAL FUEL GAS CO  COM         63618010       30,944   1,257,901 SH         1,257,901          1,219,139         450     38,312
NATIONAL GRID TRANSC  SPONSORED   63627410          555      13,787 SH            13,787             13,787
NATIONAL HEALTH INVS  COM         63633D10       19,361     628,620 SH           628,620            595,870                 32,750
NATIONAL HEALTH REAL  COM         63590510        2,015     107,859 SH           107,859             93,159                 14,700
NATIONAL HEALTHCARE   COM         63590610        2,950     113,468 SH           113,468            101,468                 12,000
NATIONAL INSTRS CORP  COM         63651810       29,850     948,527 SH           948,167    360     935,221         360     12,946
NATIONAL PENN BANCSH  COM         63713810       11,861     376,176 SH           376,176            338,953                 37,223
NATIONAL PRESTO INDS  COM         63721510        3,424      88,334 SH            88,014    320      77,364         320     10,650
NATIONAL PROCESSING   COM         63722910        3,013     158,580 SH           158,580            158,280                    300
NATIONAL SEMICONDUCT  COM         63764010      221,174   4,978,022 SH         4,977,922    100   4,435,383      27,400    515,239
NATIONAL WESTN LIFE   CL A        63852210        6,178      41,270 SH            41,270             38,463                  2,807
NATIONAL-OILWELL INC  COM         63707110       31,859   1,126,558 SH         1,126,558          1,110,573                 15,985
NATIONWIDE FINL SVCS  CL A        63861210       33,849     938,946 SH           938,946            911,170                 27,776
NATIONWIDE HEALTH PP  COM         63862010       25,689   1,153,532 SH         1,153,532          1,076,732                 76,800
NATURAL RESOURCE PAR  COM UNIT L  63900P10          481      12,500 SH            12,500             12,500
NATURES SUNSHINE PRO  COM         63902710        5,227     352,206 SH           352,206            347,606                  4,600
NAUTILUS GROUP INC    COM         63910B10        7,742     491,587 SH           491,587            444,337                 47,250
NAVIGANT CONSULTING   COM         63935N10       15,334     757,973 SH           757,973            692,523                 65,450
NAVIGANT INTL INC     COM         63935R10        3,860     214,220 SH           214,220            191,770                 22,450
NAVIGATORS GROUP INC  COM         63890410        4,090     142,101 SH           142,101            141,701                    400
NAVISTAR INTL CORP N  COM         63934E10       75,066   1,637,200 SH         1,637,200          1,533,673      10,025     93,502
NBC CAP CORP          COM         62872910        2,992     115,075 SH           115,075             98,943                 16,132
NBT BANCORP INC       COM         62877810       12,767     567,433 SH           567,433            521,151                 46,282
NBTY INC              COM         62878210       37,733   1,014,865 SH         1,014,705    160     934,205         160     80,500
NCI BUILDING SYS INC  COM         62885210        8,784     374,410 SH           374,410            345,010                 29,400
NCO GROUP INC         COM         62885810        8,271     354,206 SH           354,206            311,106                 43,100
NCR CORP NEW          COM         62886E10      123,072   2,793,272 SH         2,793,272          2,509,747       1,150    282,375
Page Total                                    1,951,575


                                                                   Page 40 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
NDCHEALTH CORP        COM         63948010       18,562     683,692 SH           683,692            630,792                 52,900
NEC CORP              ADR         62905020          624      75,970 SH            75,970             75,970
NEIGHBORCARE INC      COM         64015Y10       11,411     468,448 SH           468,448            419,948                 48,500
NEIMAN MARCUS GROUP   CL A        64020420       31,408     582,285 SH           582,085    200     574,141         200      7,944
NEKTAR THERAPEUTICS   COM         64026810       18,364     853,332 SH           853,332            763,532                 89,800
NELSON THOMAS INC     COM         64037610        9,141     335,830 SH           335,790     40     335,290          40        500
NEOFORMA COM INC      COM NEW     64047550        1,303     119,850 SH           119,850            119,550                    300
NEOPHARM INC          COM         64091910        5,093     271,459 SH           271,459            242,862                 28,597
NEOSE TECHNOLOGIES I  COM         64052210        2,471     262,867 SH           262,867            230,767                 32,100
NEOWARE SYS INC       COM         64065P10        3,982     386,608 SH           386,608            364,908                 21,700
NET2PHONE             COM         64108N10        2,486     483,701 SH           483,701            459,301                 24,400
NETBANK INC           COM         64093310       10,664     873,392 SH           873,392            784,892                 88,500
NETEGRITY INC         COM         64110P10        4,174     491,034 SH           491,034            448,434                 42,600
NETFLIX COM INC       COM         64110L10       14,271     418,263 SH           418,263            376,931                 41,332
NETGEAR INC           COM         64111Q10          367      26,700 SH            26,700             26,700
NETIQ CORP            COM         64115P10       20,520   1,466,762 SH         1,466,762          1,363,262                103,500
NETOPIA INC           COM         64114K10          237      19,227 SH            19,227             19,227
NETRATINGS INC        COM         64116M10        1,692     153,084 SH           153,084            152,684                    400
NETSCOUT SYS INC      COM         64115T10        2,151     278,995 SH           278,995            272,695                  6,300
NETSCREEN TECHNOLOGI  COM         64117V10       21,052     578,350 SH           578,350            572,287                  6,063
NETWORK APPLIANCE IN  COM         64120L10      186,548   8,664,542 SH         8,664,342    200   7,869,841      54,261    740,440
NETWORK EQUIP TECHNO  COM         64120810        3,777     378,495 SH           378,495            344,495                 34,000
NETWORKS ASSOCS INC   COM         64093810       48,498   2,694,335 SH         2,693,935    400   2,574,011      27,200     93,124
NEUROCRINE BIOSCIENC  COM         64125C10       19,082     322,923 SH           322,923            320,022                  2,901
NEW CENTURY FINANCIA  COM         64352D10       57,100   1,175,865 SH         1,175,865          1,050,106      10,550    115,209
NEW ENGLAND BUSINESS  COM         64387210        7,116     210,230 SH           209,910    320     188,260         320     21,650
NEW JERSEY RES        COM         64602510       19,146     506,521 SH           506,521            463,995                 42,526
NEW PLAN EXCEL RLTY   COM         64805310       53,312   1,949,254 SH         1,949,254          1,881,733                 67,521
NEW YORK CMNTY BANCO  COM         64944510      140,793   4,107,134 SH         4,107,134          3,972,533       3,400    131,201
NEW YORK TIMES CO     CL A        65011110      181,148   4,098,373 SH         4,098,373          3,742,391      24,151    331,831
NEWCASTLE INVT CORP   COM         65105M10       16,621     493,197 SH           493,197            453,897                 39,300
NEWELL RUBBERMAID IN  COM         65122910      166,159   7,162,005 SH         7,162,005          6,556,369       6,600    599,036
NEWFIELD EXPL CO      COM         65129010       33,398     696,813 SH           696,813            687,149                  9,664
NEWMONT MINING CORP   COM         65163910      541,417  11,610,909 SH        11,610,769    140  10,738,812      10,640    861,457
NEWPARK RES INC       COM PAR $.  65171850        6,924   1,331,446 SH         1,331,446          1,202,446                129,000
NEWPORT CORP          COM         65182410       13,198     789,350 SH           789,350            718,800                 70,550
NEWS CORP LTD         ADR NEW     65248770        7,872     218,785 SH           218,220    565      96,120         565    122,100
NEWS CORP LTD         SP ADR PFD  65248780        1,613      50,876 SH            50,876             46,999          27      3,850
NEWTEK BUSINESS SVCS  COM         65252610          519      99,787 SH            99,787             90,587                  9,200
NEXEN INC             COM         65334H10          527      13,542 SH            13,542             13,542
NEXTEL COMMUNICATION  CL A        65332V10      750,398  30,429,784 SH        30,429,484    300  27,716,531     242,379  2,470,874
NEXTEL PARTNERS INC   CL A        65333F10       14,264   1,126,668 SH         1,126,668          1,101,483                 25,185
NIC INC               COM         62914B10        2,855     472,610 SH           472,610            453,810                 18,800
NICOR INC             COM         65408610       44,103   1,251,853 SH         1,251,853          1,180,433         500     70,920
NII HLDGS INC         CL B NEW    62913F20       22,881     652,245 SH           652,245            588,345                 63,900
NIKE INC              CL B        65410610      494,361   6,348,543 SH         6,348,443    100   5,858,637      43,649    446,257
NISOURCE INC          COM         65473P10      167,788   7,895,905 SH         7,895,605    300   7,227,196       6,881    661,828
NISSAN MOTORS         SPONSORED   65474440        7,934     360,461 SH           359,496    965     154,896         965    204,600
NL INDS INC           COM NEW     62915640        2,496     179,535 SH           179,535            167,035                 12,500
NMS COMMUNICATIONS C  COM         62924810          301      41,972 SH            41,972             41,972
NN INC                COM         62933710        1,962     167,691 SH           167,691            167,291                    400
NOBLE CORPORATION     SHS         G6542210      114,049   2,968,482 SH         2,967,542    940   2,705,548       2,240    260,694
NOBLE ENERGY INC      COM         65504410       37,252     790,919 SH           790,719    200     765,019         350     25,550
Page Total                                    3,345,383


                                                                   Page 41 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
NOBLE INTL LTD        COM         65505310          310      11,900 SH            11,900             11,900
NOKIA CORP            SPONSORED   65490220       18,918     932,821 SH           931,871    950     646,671         950    285,200
NOLAND CO             COM         65528610          969      21,286 SH            21,286             21,186                    100
NOMURA HLDGS INC      SPONSORED   65535H20       14,474     793,515 SH           791,135  2,380     310,635       2,380    480,500
NORDSON CORP          COM         65566310       22,199     592,613 SH           592,613            540,013                 52,600
NORDSTROM INC         COM         65566410      121,359   3,041,573 SH         3,041,573          2,780,786       1,300    259,487
NORFOLK SOUTHERN COR  COM         65584410      223,636  10,123,842 SH        10,123,542    300   9,163,727      25,980    934,135
NORTEL NETWORKS CORP  COM         65656810        4,862     818,550 SH           818,550            516,570                301,980
NORTH FORK BANCORPOR  COM         65942410      177,940   4,204,626 SH         4,204,126    500   3,824,418      36,750    343,458
NORTH PITTSBURGH SYS  COM         66156210        5,926     294,410 SH           294,410            271,261                 23,149
NORTHEAST UTILS       COM         66439710       38,392   2,058,577 SH         2,057,777    800   2,002,508         800     55,269
NORTHERN STS FINL CO  COM         66575110        1,385      51,625 SH            51,625             47,525                  4,100
NORTHERN TR CORP      COM         66585910      251,489   5,397,927 SH         5,397,927          4,924,961       4,500    468,466
NORTHROP GRUMMAN COR  COM         66680710      975,945   9,916,127 SH         9,916,035     92   4,267,271   5,301,341    347,515
NORTHWEST AIRLS CORP  CL A        66728010       22,492   2,224,776 SH         2,224,776            959,136   1,150,030    115,610
NORTHWEST BANCORP IN  COM         66732810        5,578     219,173 SH           219,173            205,473                 13,700
NORTHWEST NAT GAS CO  COM         66765510       14,639     468,433 SH           467,833    600     421,383         600     46,450
NORTHWEST PIPE CO     COM         66774610        1,050      72,400 SH            72,400             72,400
NOVA CHEMICALS CORP   COM         66977W10          375      14,935 SH            14,935             14,935
NOVARTIS A G          SPONSORED   66987V10       20,389     478,620 SH           477,465  1,155     247,485       1,155    229,980
NOVASTAR FINL INC     COM         66994740       25,888     392,539 SH           392,539            332,809                 59,730
NOVELL INC            COM         67000610      100,951   8,870,927 SH         8,870,927          8,191,603      55,000    624,324
NOVELLUS SYS INC      COM         67000810      121,650   3,841,188 SH         3,841,188          3,574,535       3,496    263,157
NOVEN PHARMACEUTICAL  COM         67000910        9,980     464,824 SH           464,824            429,074                 35,750
NOVO-NORDISK A S      ADR         67010020          714      15,377 SH            15,377             15,377
NOVOSTE CORP          COM         67010C10          854     251,818 SH           251,818            226,218                 25,600
NPS PHARMACEUTICALS   COM         62936P10       16,888     592,158 SH           591,223    935     540,523         935     50,700
NPTEST HLDG CORP      COM         67019A10          273      18,000 SH            18,000             18,000
NS GROUP INC          COM         62891610        3,539     272,204 SH           272,204            239,354                 32,850
NSTAR                 COM         67019E10       36,649     722,567 SH           722,207    360     708,562         360     13,645
NTL INC DEL           COM         62940M10       49,439     830,489 SH           830,489            801,756       1,100     27,633
NTT DOCOMO INC        SPONS ADR   62942M20       20,054     904,977 SH           902,482  2,495     396,782       2,495    505,700
NU SKIN ENTERPRISES   CL A        67018T10       11,379     564,701 SH           564,701            487,261                 77,440
NUANCE COMMUNICATION  COM         66996710          849     129,031 SH           129,031            128,831                    200
NUCOR CORP            COM         67034610      133,646   2,173,814 SH         2,173,814          2,007,650       2,100    164,064
NUEVO ENERGY CO       COM         67050910       17,819     547,273 SH           547,273            519,523                 27,750
NUI CORP              COM         62943110        4,899     289,716 SH           289,716            252,617                 37,099
NUTRACEUTICAL INTL C  COM         67060Y10          283      13,100 SH            13,100             13,100
NUVEEN INVTS INC      CL A        67090F10       11,989     430,343 SH           430,343            427,920         150      2,273
NUVELO INC            COM NEW     67072M30        3,192     254,570 SH           254,570            235,602                 18,968
NVIDIA CORP           COM         67066G10      101,794   3,855,845 SH         3,855,845          3,635,283       1,800    218,762
NVR INC               COM         62944T10       67,344     146,400 SH           146,400            136,752       5,100      4,548
NYFIX INC             COM         67071210        2,201     426,598 SH           425,678    920     377,678         920     48,000
NYMAGIC INC           COM         62948410        2,256      89,158 SH            89,158             89,058                    100
O CHARLEYS INC        COM         67082310        6,014     329,524 SH           329,524            300,451                 29,073
O REILLY AUTOMOTIVE   COM         68609110       25,455     635,742 SH           635,382    360     626,182         360      9,200
OAK HILL FINL INC     COM         67133710        1,618      49,400 SH            49,400             49,300                    100
OAKLEY INC            COM         67366210        9,224     621,544 SH           621,544            578,244                 43,300
OCCIDENTAL PETE CORP  COM         67459910      580,673  12,609,619 SH        12,609,019    600  11,649,842      42,125    917,652
OCEANEERING INTL INC  COM         67523210       19,577     642,918 SH           642,918            607,718                 35,200
OCEANFIRST FINL CORP  COM         67523410        3,418     137,706 SH           137,706            116,206                 21,500
OCTEL CORP            COM         67572710        9,587     321,161 SH           321,161            304,211                 16,950
OCULAR SCIENCES INC   COM         67574410        9,106     312,374 SH           312,374            285,845                 26,529
Page Total                                    3,331,528


                                                                   Page 42 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
OCWEN FINL CORP       COM         67574610        7,413     766,613 SH           766,613            692,613                 74,000
ODYSSEY HEALTHCARE I  COM         67611V10       11,533     611,515 SH           611,515            562,053                 49,462
ODYSSEY RE HLDGS COR  COM         67612W10        4,473     165,661 SH           165,661            164,961                    700
OFFICE DEPOT INC      COM         67622010      146,065   7,761,167 SH         7,760,767    400   7,054,737       7,500    698,930
OFFSHORE LOGISTICS I  COM         67625510        7,437     322,632 SH           322,632            290,932                 31,700
OGE ENERGY CORP       COM         67083710       39,755   1,503,588 SH         1,503,188    400   1,463,819         400     39,369
OHIO CAS CORP         COM         67724010       23,587   1,179,958 SH         1,179,958          1,091,974                 87,984
OIL STS INTL INC      COM         67802610        6,044     449,707 SH           449,707            414,757                 34,950
OLD DOMINION FGHT LI  COM         67958010        6,496     192,201 SH           192,201            174,587                 17,614
OLD NATL BANCORP IND  COM         68003310       14,991     663,316 SH           663,316            657,461                  5,855
OLD POINT FINL CORP   COM         68019410        1,334      44,465 SH            44,465             44,365                    100
OLD REP INTL CORP     COM         68022310       92,081   3,749,238 SH         3,748,338    900   3,584,494      10,800    153,944
OLD SECOND BANCORP I  COM         68027710        6,246     121,474 SH           121,474            109,174                 12,300
OLIN CORP             COM PAR $1  68066520       23,618   1,323,158 SH         1,323,158          1,237,008                 86,150
OLYMPIC STEEL INC     COM         68162K10          496      35,454 SH            35,454             35,454
OM GROUP INC          COM         67087210       20,328     668,687 SH           668,247    440     628,620         440     39,627
OMEGA FINL CORP       COM         68209210        5,266     144,035 SH           144,035            126,285                 17,750
OMEGA HEALTHCARE INV  COM         68193610        3,993     367,314 SH           367,314            352,914                 14,400
OMEGA PROTEIN CORP    COM         68210P10          643      88,423 SH            88,423             88,223                    200
OMI CORP NEW          COM         Y6476W10        1,079      94,308 SH            94,308             94,308
OMNI ENERGY SERVICES  COM NEW     68210T20          423      55,000 SH            55,000             55,000
OMNICARE INC          COM         68190410       59,459   1,341,278 SH         1,340,978    300   1,316,276         300     24,702
OMNICELL INC          COM         68213N10        4,801     242,354 SH           242,354            231,454                 10,900
OMNICOM GROUP INC     COM         68191910      393,355   4,901,625 SH         4,901,625          4,419,141      30,728    451,756
OMNIVISION TECHNOLOG  COM         68212810       23,695     867,625 SH           867,625            781,425                 86,200
OMNOVA SOLUTIONS INC  COM         68212910        2,959     563,696 SH           563,696            500,496                 63,200
ON SEMICONDUCTOR COR  COM         68218910        6,113     809,670 SH           809,670            793,270                 16,400
ONE LIBERTY PPTYS IN  COM         68240610          244      10,800 SH            10,800             10,800
ONEIDA FINL CORP      COM         68247810          379      26,589 SH            26,589             26,289                    300
ONEIDA LTD            COM         68250510          686     279,840 SH           279,840            216,630                 63,210
ONEOK INC NEW         COM         68268010       36,256   1,607,814 SH         1,607,814          1,559,893                 47,921
ONYX PHARMACEUTICALS  COM         68339910       22,832     563,899 SH           563,899            515,599                 48,300
OPEN JT STK CO-VIMPE  SPONSORED   68370R10        3,916      37,661 SH            37,661             26,810       6,721      4,130
OPEN SOLUTIONS INC    COM         68371P10          380      17,200 SH            17,200             17,200
OPENTV CORP           CL A        G6754310          297      91,515 SH            91,515             91,515
OPENWAVE SYS INC      COM NEW     68371830       14,679   1,100,360 SH         1,100,360            994,028                106,332
OPLINK COMMUNICATION  COM         68375Q10        4,244   1,704,599 SH         1,704,599          1,568,099                136,500
OPNET TECHNOLOGIES I  COM         68375710        2,918     195,708 SH           195,708            194,908                    800
OPSWARE INC           COM         68383A10        6,403     846,996 SH           846,996            766,196                 80,800
OPTICAL COMMUNICATIO  CL A        68382T10          546     165,848 SH           165,848            165,248                    600
OPTION CARE INC       COM         68394810        2,881     250,724 SH           250,724            220,274                 30,450
ORACLE CORP           COM         68389X10    1,596,072 133,005,994 SH       132,989,614 16,380 120,956,679     840,105 11,209,210
ORASURE TECHNOLOGIES  COM         68554V10        6,799     654,384 SH           654,384            602,384                 52,000
ORBITAL SCIENCES COR  COM         68556410        9,893     789,570 SH           789,570            715,870                 73,700
ORBITZ INC            CL A        68556Y10          331      13,900 SH            13,900             13,900
ORBOTECH LTD          ORD         M7525310          373      15,501 SH            15,501             15,501
ORIENTAL FINL GROUP   COM         68618W10        8,489     266,540 SH           266,540            237,067                 29,473
ORLEANS HOMEBUILDERS  COM         68658810          947      39,374 SH            39,374             39,174                    200
ORTHODONTIC CTRS AME  COM         68750P10        6,765     856,354 SH           856,354            795,554                 60,800
ORTHOLOGIC CORP       COM         68750J10        4,334     559,243 SH           559,243            505,143                 54,100
OSHKOSH B GOSH INC    CL A        68822220        4,038     172,487 SH           172,487            149,941                 22,546
OSHKOSH TRUCK CORP    COM         68823920       35,519     637,677 SH           636,377  1,300     589,595       1,300     46,782
OSI PHARMACEUTICALS   COM         67104010       28,118     732,252 SH           732,252            662,652                 69,600
Page Total                                    2,712,024


                                                                   Page 43 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
OSI SYSTEMS INC       COM         67104410        4,322     216,103 SH           216,103            197,803                 18,300
OSTEOTECH INC         COM         68858210        1,510     233,412 SH           233,412            210,512                 22,900
OTTER TAIL CORP       COM         68964810       11,666     441,545 SH           441,545            399,217                 42,328
OUTBACK STEAKHOUSE I  COM         68989910       52,626   1,080,614 SH         1,080,414    200   1,062,805         200     17,609
OVERLAND STORAGE INC  COM         69031010        2,703     159,473 SH           159,473            147,573                 11,900
OVERNITE CORP         COM         69032210          644      28,000 SH            28,000             28,000
OVERSEAS SHIPHOLDING  COM         69036810       29,369     804,639 SH           804,639            745,239                 59,400
OVERSTOCK COM INC DE  COM         69037010        4,692     151,939 SH           151,939            137,839                 14,100
OWENS & MINOR INC NE  COM         69073210       15,475     611,648 SH           611,648            560,648                 51,000
OWENS ILL INC         COM NEW     69076840      259,149  18,484,249 SH        18,484,249          1,134,491  17,343,758      6,000
OXFORD HEALTH PLANS   COM         69147110       67,316   1,378,009 SH         1,377,809    200   1,302,755         200     75,054
OXFORD INDS INC       COM         69149730       11,177     241,988 SH           241,988            215,688                 26,300
P & F INDS INC        CL A NEW    69283050          220      26,300 SH            26,300             26,300
P A M TRANSN SVCS IN  COM         69314910        1,420      82,744 SH            82,744             82,544                    200
P C CONNECTION        COM         69318J10          839     105,818 SH           105,818            105,518                    300
P F CHANGS CHINA BIS  COM         69333Y10       25,972     515,937 SH           514,847  1,090     476,943       1,090     37,904
P T TELEKOMUNIKASI I  SPONSORED   71568410          584      34,680 SH            34,680             34,680
PAB BANKSHARES INC    COM         69313P10        1,398     110,079 SH           110,079             94,079                 16,000
PACCAR INC            COM         69371810      244,277   4,358,197 SH         4,358,197          3,990,785       8,564    358,848
PACER INTL INC TENN   COM         69373H10       15,709     713,389 SH           713,389            680,189                 33,200
PACIFIC CAP BANCORP   COM         69404P10       22,669     571,431 SH           571,431            520,230                 51,201
PACIFIC ENERGY PARTN  COM UNIT    69422R10          712      25,000 SH            25,000             25,000
PACIFIC SUNWEAR CALI  COM         69487310       32,994   1,335,239 SH         1,335,239          1,225,998                109,241
PACIFIC UN BK CALIF   COM         69502510        2,734      93,508 SH            93,508             76,908                 16,600
PACIFICARE HEALTH SY  COM         69511210       43,413   1,097,680 SH         1,097,680          1,079,852       1,600     16,228
PACKAGING CORP AMER   COM         69515610       50,717   2,248,103 SH         2,248,103          1,127,071   1,105,465     15,567
PACKETEER INC         COM         69521010        5,473     414,642 SH           414,642            374,692                 39,950
PACTIV CORP           COM         69525710      108,148   4,860,597 SH         4,860,597          4,173,311     429,798    257,488
PAIN THERAPEUTICS IN  COM         69562K10        2,822     407,760 SH           407,760            337,780                 69,980
PALATIN TECHNOLOGIES  COM NEW     69607730        3,381     810,753 SH           810,753            749,653                 61,100
PALL CORP             COM         69642930       66,863   2,946,801 SH         2,946,801          2,737,985       1,200    207,616
PALM HARBOR HOMES     COM         69663910        7,593     360,387 SH           360,387            332,137                 28,250
PALMONE INC           COM         69713P10       13,942     651,511 SH           651,511            574,700       4,920     71,891
PALMSOURCE INC        COM         69715410        3,507     192,999 SH           192,999            173,639       1,526     17,834
PALOMAR MED TECHNOLO  COM NEW     69752930          242      13,400 SH            13,400             13,400
PAN PACIFIC RETAIL P  COM         69806L10       41,163     790,081 SH           790,081            768,070                 22,011
PANAMSAT CORP NEW     COM         69793310       24,680   1,008,153 SH         1,008,153            947,257      42,700     18,196
PANERA BREAD CO       CL A        69840W10       22,843     587,075 SH           586,475    600     544,697         600     41,778
PANHANDLE ROYALTY CO  CL A        69847710          448      12,900 SH            12,900             12,900
PANTRY INC            COM         69865710        8,530     427,558 SH           427,558            419,358                  8,200
PAPA JOHNS INTL INC   COM         69881310       16,215     480,445 SH           480,445            455,146                 25,299
PARAMETRIC TECHNOLOG  COM         69917310       35,408   7,833,522 SH         7,833,522          7,033,916      39,400    760,206
PAREXEL INTL CORP     COM         69946210        7,906     441,663 SH           441,663            401,763                 39,900
PARK ELECTROCHEMICAL  COM         70041620        7,283     287,868 SH           287,868            262,818                 25,050
PARK NATL CORP        COM         70065810       13,454     118,745 SH           118,745            117,923                    822
PARKER DRILLING CO    COM         70108110        6,446   1,545,805 SH         1,545,805          1,415,055                130,750
PARKER HANNIFIN CORP  COM         70109410      215,880   3,820,887 SH         3,819,692  1,195   3,477,093      11,845    331,949
PARKVALE FINL CORP    COM         70149210        1,996      69,414 SH            69,414             68,014                  1,400
PARKWAY PPTYS INC     COM         70159Q10       10,926     233,717 SH           233,717            215,254                 18,463
PARTNERS TRUST FINCL  COM         70213A10        3,960     115,759 SH           115,759            105,059                 10,700
PARTY CITY CORP       COM         70214510        2,125     142,734 SH           142,734            142,334                    400
PATHMARK STORES INC   COM         70322A10        3,755     470,572 SH           470,572            417,922                 52,650
PATINA OIL & GAS COR  COM         70322410       44,430   1,692,571 SH         1,692,571          1,598,673                 93,898
Page Total                                    1,583,726


                                                                   Page 44 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
PATRIOT BANK CORP PA  COM         70335P10        3,360     114,574 SH           114,574            100,774                 13,800
PATTERSON DENTAL CO   COM         70341210       58,266     850,352 SH           850,092    260     834,126         260     15,966
PATTERSON UTI ENERGY  COM         70348110       39,562   1,117,253 SH         1,117,053    200   1,095,934         200     21,119
PAXAR CORP            COM         70422710        8,232     558,092 SH           558,092            508,592                 49,500
PAXSON COMMUNICATION  COM         70423110        2,004     513,909 SH           513,909            440,609                 73,300
PAYCHEX INC           COM         70432610      324,642   9,119,161 SH         9,119,011    150   8,240,359      60,650    818,152
PAYLESS SHOESOURCE I  COM         70437910       19,951   1,429,177 SH         1,428,877    300   1,293,207         300    135,670
PC-TEL INC            COM         69325Q10        3,850     372,700 SH           372,700            336,627                 36,073
PDF SOLUTIONS INC     COM         69328210        2,941     254,663 SH           254,663            232,763                 21,900
PDI INC               COM         69329V10        5,477     216,567 SH           216,567            210,767                  5,800
PEABODY ENERGY CORP   COM         70454910       25,253     542,959 SH           542,959            517,099         150     25,710
PEAPACK-GLADSTONE FI  COM         70469910        3,700     109,268 SH           109,268             99,088                 10,180
PEARSON PLC           SPONSORED   70501510          430      37,374 SH            37,374             37,374
PEC SOLUTIONS INC     COM         70510710        3,291     248,947 SH           248,947            235,047                 13,900
PEDIATRIX MED GROUP   COM         70532410       32,222     511,468 SH           511,468            472,918                 38,550
PEETS COFFEE & TEA I  COM         70556010        3,659     171,803 SH           171,803            154,403                 17,400
PEGASUS COMMUNICATIO  CL A NEW    70590460        5,102     133,210 SH           133,210            130,610                  2,600
PEGASUS SOLUTIONS IN  COM         70590610        4,930     422,107 SH           422,107            382,957                 39,150
PEGASYSTEMS INC       COM         70557310        1,231     149,800 SH           149,800            149,400                    400
PEMSTAR INC           COM         70655210        1,300     356,080 SH           356,080            354,880                  1,200
PENN ENGR & MFG CORP  COM NON VT  70738930        3,374     198,824 SH           198,824            168,574                 30,250
PENN NATL GAMING INC  COM         70756910       15,379     534,564 SH           534,564            487,764                 46,800
PENN VA CORP          COM         70788210        8,135     134,234 SH           134,234            117,637                 16,597
PENN-AMER GROUP INC   COM         70724710        2,339     159,555 SH           159,555            141,755                 17,800
PENNEY J C INC        COM         70816010    1,442,232  41,467,286 SH        41,467,286          6,311,370  34,557,239    598,677
PENNFED FINL SVCS IN  COM         70816710        2,622      74,667 SH            74,667             67,167                  7,500
PENNROCK FINL SVCS C  COM         70835210        3,615     127,287 SH           127,287            115,099                 12,188
PENNS WOODS BANCORP   COM         70843010        2,265      50,253 SH            50,253             44,123                  6,130
PENNSYLVANIA RL ESTA  SH BEN INT  70910210       29,184     774,924 SH           774,924            709,550                 65,374
PENTAIR INC           COM         70963110       40,936     693,838 SH           693,838            683,988                  9,850
PENWEST PHARMACEUTIC  COM         70975410        3,840     262,837 SH           262,837            238,238                 24,599
PEOPLES BANCORP INC   COM         70978910        4,763     170,273 SH           170,273            154,673                 15,600
PEOPLES BK BRIDGEPOR  COM         71019810       13,311     286,321 SH           286,321            283,951                  2,370
PEOPLES ENERGY CORP   COM         71103010       46,732   1,046,632 SH         1,046,632            987,640         600     58,392
PEOPLES HLDG CO       COM         71114810        5,841     173,317 SH           173,317            160,517                 12,800
PEOPLESOFT INC        COM         71271310      168,895   9,134,424 SH         9,134,424          8,305,532       8,650    820,242
PEP BOYS MANNY MOE &  COM         71327810       29,025   1,045,940 SH         1,045,940            939,790                106,150
PEPCO HOLDINGS INC    COM         71329110       50,053   2,448,787 SH         2,448,145    642   2,265,918       3,142    179,727
PEPSI BOTTLING GROUP  COM         71340910      414,425  13,930,258 SH        13,930,258          5,816,857   7,684,413    428,988
PEPSIAMERICAS INC     COM         71343P20       33,031   1,617,559 SH         1,617,159    400   1,436,259      91,400     89,900
PEPSICO INC           COM         71344810    2,587,470  48,049,586 SH        48,048,986    600  43,295,358     390,888  4,363,340
PEREGRINE PHARMACEUT  COM         71366110        4,841   1,975,743 SH         1,975,743          1,808,344                167,399
PERFORMANCE FOOD GRO  COM         71375510       15,669     456,148 SH           455,968    180     451,961         180      4,007
PERFORMANCE TECHNOLO  COM         71376K10          256      15,117 SH            15,117             15,117
PERICOM SEMICONDUCTO  COM         71383110        4,413     386,760 SH           386,760            322,000                 64,760
PERINI CORP           COM         71383910        4,361     276,858 SH           276,858            251,058                 25,800
PERKINELMER INC       COM         71404610       69,056   3,337,634 SH         3,337,634          3,094,005       1,650    241,979
PEROT SYS CORP        CL A        71426510       16,989   1,277,375 SH         1,277,375          1,168,175                109,200
PERRIGO CO            COM         71429010       29,501   1,471,373 SH         1,471,373          1,343,047                128,326
PER-SE TECHNOLOGIES   COM NEW     71356930        5,374     479,847 SH           479,847            434,847                 45,000
PERUSAHAAN PERS INDO  SPONSORED   71568010          262      11,904 SH            11,904              6,904                  5,000
PETCO ANIMAL SUPPLIE  COM NEW     71601620       16,811     596,564 SH           596,564            529,396                 67,168
PETROBRAS ENERGIA PA  SP ADR B S  71646M10          203      14,640 SH            14,640             14,640
Page Total                                    5,624,608


                                                                   Page 45 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
PETRO-CDA             COM         71644E10          901      20,553 SH            20,553             20,553
PETROKAZAKHSTAN INC   COM         71649P10        2,211      78,500 SH            78,500             52,600      16,600      9,300
PETROLEO BRASILEIRO   SPONSORED   71654V10       18,576     628,843 SH           628,843            508,998      33,555     86,290
PETROLEO BRASILEIRO   SPONSORED   71654V40       17,251     514,949 SH           514,949            314,467     157,224     43,258
PETROLEUM DEV CORP    COM         71657810        8,301     289,733 SH           289,733            260,913                 28,820
PETROLEUM HELICOPTER  COM VTG     71660410        1,129      45,691 SH            45,691             45,591                    100
PETSMART INC          COM         71676810       52,396   1,936,994 SH         1,936,814    180   1,902,704         180     34,110
PFF BANCORP INC       COM         69331W10       13,630     357,456 SH           357,456            329,296                 28,160
PFIZER INC            COM         71708110    7,609,963 217,117,342 SH       217,096,354 20,988 196,200,496   3,834,397 17,082,449
PG&E CORP             COM         69331C10      359,819  12,420,399 SH        12,417,059  3,340  11,569,443      22,155    828,801
PHARMACEUTICAL PROD   COM         71712410       19,441     654,374 SH           654,374            650,955                  3,419
PHARMACEUTICAL RES I  COM         71712510       26,156     460,003 SH           460,003            453,356                  6,647
PHARMACOPEIA INC      COM         71713B10        8,173     406,228 SH           406,228            367,478                 38,750
PHARMACYCLICS INC     COM         71693310          424      31,488 SH            31,488             31,488
PHARMOS CORP          COM NEW     71713920          300      74,224 SH            74,224             74,224
PHELPS DODGE CORP     COM         71726510      229,089   2,805,399 SH         2,805,399          2,582,494      21,300    201,605
PHILADELPHIA CONS HL  COM         71752810       23,548     405,993 SH           405,993            376,643                 29,350
PHILLIPS VAN HEUSEN   COM         71859210        8,803     475,824 SH           475,824            418,424                 57,400
PHOENIX COS INC NEW   COM         71902E10       23,756   1,771,506 SH         1,771,506          1,630,106                141,400
PHOTON DYNAMICS INC   COM         71936410       10,064     308,414 SH           308,414            277,260                 31,154
PHOTRONICS INC        COM         71940510       14,633     826,707 SH           826,707            779,057                 47,650
PICO HLDGS INC        COM NEW     69336620        1,537      93,463 SH            93,463             93,263                    200
PIEDMONT NAT GAS INC  COM         72018610       14,906     353,044 SH           353,044            350,144                  2,900
PIER 1 IMPORTS INC    COM         72027910       29,422   1,241,440 SH         1,241,440          1,219,953                 21,487
PILGRIMS PRIDE CORP   COM         72146710        9,710     432,910 SH           432,910            400,174                 32,736
PINNACLE AIRL CORP    COM         72344310          277      20,800 SH            20,800             20,800
PINNACLE ENTMT INC    COM         72345610        6,729     487,586 SH           487,586            444,286                 43,300
PINNACLE SYS INC      COM         72348110        9,314   1,038,394 SH         1,038,394            935,544                102,850
PINNACLE WEST CAP CO  COM         72348410       97,805   2,485,519 SH         2,485,519          2,341,274         900    143,345
PIONEER NAT RES CO    COM         72378710       59,818   1,851,958 SH         1,851,358    600   1,785,028         600     66,330
PIPER JAFFRAY COS     COM         72407810       11,594     214,116 SH           214,108      8     209,733         361      4,022
PITNEY BOWES INC      COM         72447910      276,964   6,499,970 SH         6,499,870    100   5,885,682      47,350    566,938
PIXAR                 COM         72581110       20,890     324,076 SH           324,076            305,092                 18,984
PIXELWORKS INC        COM         72581M10       10,970     640,381 SH           640,381            587,531                 52,850
PLACER DOME INC       COM         72590610          393      21,877 SH            21,477    400      21,177         400        300
PLAINS ALL AMERN PIP  UNIT LTD P  72650310        1,703      48,789 SH            48,789             47,989                    800
PLAINS EXPL& PRODTN   COM         72650510       12,914     692,833 SH           692,733    100     623,443         100     69,290
PLAINS RES INC        COM PAR $0  72654050        7,710     424,076 SH           424,076            374,826                 49,250
PLANAR SYS INC        COM         72690010        7,186     504,299 SH           504,299            481,249                 23,050
PLANTRONICS INC NEW   COM         72749310       37,514   1,024,690 SH         1,024,590    100     948,790         100     75,800
PLATINUM UNDERWRITER  COM         G7127P10          628      19,582 SH            19,582             19,582
PLATO LEARNING INC    COM         72764Y10          201      19,947 SH            19,947             19,947
PLAYBOY ENTERPRISES   CL B        72811730        3,888     277,322 SH           277,322            240,272                 37,050
PLAYTEX PRODS INC     COM         72813P10        3,543     512,780 SH           512,780            468,030                 44,750
PLEXUS CORP           COM         72913210       20,331   1,142,827 SH         1,142,827          1,069,877                 72,950
PLUG POWER INC        COM         72919P10        4,634     600,320 SH           600,320            472,490                127,830
PLUM CREEK TIMBER CO  COM         72925110      148,897   4,584,256 SH         4,584,256          4,277,345       4,850    302,061
PLX TECHNOLOGY INC    COM         69341710          316      29,301 SH            29,301             29,301
PMA CAP CORP          CL A        69341920        2,555     420,891 SH           420,891            373,741                 47,150
PMC-SIERRA INC        COM         69344F10       71,001   4,183,928 SH         4,183,928          3,929,334      23,657    230,937
PMI GROUP INC         COM         69344M10       45,426   1,215,911 SH         1,215,711    200   1,165,367         200     50,344
PNC FINL SVCS GROUP   COM         69347510      420,938   7,595,422 SH         7,595,222    200   6,886,989       7,000    701,433
PNM RES INC           COM         69349H10       27,947     930,011 SH           930,011            868,725                 61,286
Page Total                                    9,816,222


                                                                   Page 46 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
POGO PRODUCING CO     COM         73044810       42,878     934,764 SH           934,264    500     899,512         500     34,752
POLARIS INDS INC      COM         73106810       24,540     540,044 SH           540,044            535,462                  4,582
POLO RALPH LAUREN CO  CL A        73157210       14,326     417,899 SH           417,899            413,503                  4,396
POLYCOM INC           COM         73172K10       34,906   1,644,939 SH         1,644,939          1,601,510                 43,429
POLYMEDICA CORP       COM         73173810       10,225     381,521 SH           381,521            349,721                 31,800
POLYONE CORP          COM         73179P10       11,436   1,719,750 SH         1,719,750          1,580,850                138,900
POMEROY IT SOLUTIONS  COM         73182210        2,518     173,666 SH           173,666            170,366                  3,300
POPE & TALBOT INC     COM         73282710        6,052     352,055 SH           352,055            319,855                 32,200
POPULAR INC           COM         73317410       58,494   1,357,168 SH         1,357,168          1,345,109                 12,059
PORTAL SOFTWARE INC   COM NEW     73612630        3,184     472,349 SH           472,349            431,989                 40,360
PORTFOLIO RECOVERY A  COM         73640Q10        5,546     205,856 SH           205,856            189,356                 16,500
PORTUGAL TELECOM SGP  SPONSORED   73727310          617      55,013 SH            55,013             55,013
POSCO                 SPONSORED   69348310        1,621      45,800 SH            45,800             45,800
POSSIS MEDICAL INC    COM         73740710       11,293     401,451 SH           401,451            376,651                 24,800
POST PPTYS INC        COM         73746410       23,951     831,633 SH           831,633            762,644                 68,989
POTLATCH CORP         COM         73762810       23,477     576,115 SH           576,115            509,101                 67,014
POWELL INDS INC       COM         73912810        3,555     200,194 SH           200,194            186,494                 13,700
POWER INTEGRATIONS I  COM         73927610       15,636     534,740 SH           534,740            491,790                 42,950
POWER-ONE INC         COM         73930810       27,079   2,448,330 SH         2,448,330          2,247,117         800    200,413
POWERWAVE TECHNOLOGI  COM         73936310       12,884   1,651,748 SH         1,651,748          1,533,748                118,000
POZEN INC             COM         73941U10        6,233     450,981 SH           450,981            410,890                 40,091
PPG INDS INC          COM         69350610      286,384   4,912,253 SH         4,912,153    100   4,534,690      11,005    366,558
PPL CORP              COM         69351T10      263,992   5,789,291 SH         5,788,911    380   5,344,395      21,945    422,951
PRAECIS PHARMACEUTIC  COM         73942110        4,897     828,570 SH           828,570            731,070                 97,500
PRAXAIR INC           COM         74005P10      358,621   9,661,136 SH         9,660,836    300   8,832,625      52,826    775,685
PRE PAID LEGAL SVCS   COM         74006510        7,632     311,746 SH           311,746            289,896                 21,850
PRECISION CASTPARTS   COM         74018910       74,005   1,680,789 SH         1,680,164    625   1,552,023      79,675     49,091
PREMCOR INC           COM         74045Q10       11,391     367,801 SH           367,801            360,952                  6,849
PRENTISS PPTYS TR     SH BEN INT  74070610       32,034     868,120 SH           868,120            801,976                 66,144
PRESIDENTIAL LIFE CO  COM         74088410        6,076     407,220 SH           407,220            367,171                 40,049
PRESSTEK INC          COM         74111310        5,994     548,414 SH           548,414            481,864                 66,550
PRG-SCHULTZ INTERNAT  COM         69357C10        2,910     665,805 SH           665,805            605,105                 60,700
PRICE COMMUNICATIONS  COM NEW     74143730       14,092     898,176 SH           898,176            808,426                 89,750
PRICE LEGACY CORP     COM NEW     74144P50        1,317      77,446 SH            77,446             72,821                  4,625
PRICE T ROWE GROUP I  COM         74144T10      168,583   3,131,771 SH         3,130,621  1,150   2,891,681      20,950    219,140
PRICELINE COM INC     COM NEW     74150340       10,736     398,217 SH           398,217            359,371                 38,846
PRIDE INTL INC DEL    COM         74153Q10       27,182   1,593,293 SH         1,592,993    300   1,559,924         550     32,819
PRIMA ENERGY CORP     COM PAR $0  74190120        5,957     172,480 SH           172,480            156,930                 15,550
PRIME HOSPITALITY CO  COM         74191710        9,399     825,925 SH           825,925            736,885                 89,040
PRIME MED SVCS INC N  COM         74156D10          294      53,374 SH            53,374             53,374
PRIMEDIA INC          COM         74157K10        6,773   2,508,698 SH         2,508,698          2,279,448                229,250
PRIMUS TELECOMMUNICA  COM         74192910       12,404   1,459,238 SH         1,459,238          1,340,030                119,208
PRINCETON REVIEW INC  COM         74235210        2,250     259,182 SH           259,182            223,282                 35,900
PRINCIPAL FINANCIAL   COM         74251V10      394,498  11,072,069 SH        11,072,069         10,025,106     130,450    916,513
PRIORITY HEALTHCARE   CL B        74264T10       14,378     675,021 SH           675,021            623,833                 51,188
PRIVATEBANCORP INC    COM         74296210        6,112     118,442 SH           118,442            109,092                  9,350
PROASSURANCE CORP     COM         74267C10       15,015     429,010 SH           429,010            390,310                 38,700
PROCTER & GAMBLE CO   COM         74271810    4,464,024  42,563,156 SH        42,562,656    500  38,898,946     302,853  3,361,357
PROGENICS PHARMACEUT  COM         74318710        3,036     159,446 SH           159,446            151,346                  8,100
PROGRESS ENERGY INC   COM         74326310    1,084,746  23,040,491 SH        23,040,491          6,382,129  16,174,682    483,680
PROGRESS SOFTWARE CO  COM         74331210       13,848     577,224 SH           577,224            527,324                 49,900
PROGRESSIVE CORP OHI  COM         74331510      505,632   5,772,053 SH         5,772,053          5,249,585       5,300    517,168
PROLOGIS              SH BEN INT  74341010      202,928   5,657,307 SH         5,657,307          5,328,052       1,700    327,555
Page Total                                    8,357,584


                                                                   Page 47 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
PROQUEST COMPANY      COM         74346P10       12,117     415,396 SH           415,396            379,446                 35,950
PROSPERITY BANCSHARE  COM         74360610        5,361     226,504 SH           226,504            207,804                 18,700
PROTECTIVE LIFE CORP  COM         74367410       49,346   1,317,653 SH         1,317,453    200   1,300,239         200     17,214
PROTEIN DESIGN LABS   COM         74369L10       30,444   1,278,082 SH         1,278,082          1,258,471                 19,611
PROVIDE COMM INC      COM         74373W10          251      11,026 SH            11,026             11,026
PROVIDENT BANCORP IN  COM         74383A10        3,553     299,846 SH           299,846            271,400                 28,446
PROVIDENT BANKSHARES  COM         74385910       18,508     589,805 SH           589,805            543,555                 46,250
PROVIDENT FINL GROUP  COM         74386610       23,614     587,703 SH           587,703            579,349                  8,354
PROVIDENT FINL HLDGS  COM         74386810        1,820      70,037 SH            70,037             69,537                    500
PROVIDENT FINL SVCS   COM         74386T10       14,512     776,445 SH           776,445            707,245                 69,200
PROVIDIAN FINL CORP   COM         74406A10      112,864   8,615,590 SH         8,615,590          7,759,326     263,190    593,074
PROVINCE HEALTHCARE   COM         74397710       17,315   1,089,015 SH         1,087,650  1,365   1,010,400       1,365     77,250
PROXIM CORP           CL A        74428310        3,643   2,058,009 SH         2,058,009          1,885,809                172,200
PRUDENTIAL FINL INC   COM         74432010      639,059  14,271,077 SH        14,270,677    400  13,289,190      14,000    967,887
PRUDENTIAL PLC        ADR         74435K20          819      48,805 SH            48,805             48,805
PS BUSINESS PKS INC   COM         69360J10       26,481     571,336 SH           571,336            529,069                 42,267
PSS WORLD MED INC     COM         69366A10       18,995   1,697,542 SH         1,697,542          1,587,692                109,850
PTEK HLDGS INC        COM         69366M10        7,741     842,366 SH           842,366            771,666                 70,700
PUBLIC STORAGE INC    COM         74460D10      102,865   2,113,959 SH         2,113,959          2,043,044         350     70,565
PUBLIC SVC ENTERPRIS  COM         74457310      358,739   7,635,986 SH         7,635,986          6,978,652      26,782    630,552
PUGET ENERGY INC NEW  COM         74531010       31,414   1,404,278 SH         1,403,903    375   1,351,168         375     52,735
PULITZER INC          COM         74576910        5,491     113,798 SH           113,798             97,448                 16,350
PULTE HOMES INC       COM         74586710      155,324   2,793,590 SH         2,793,390    200   2,583,416       1,600    208,574
QAD INC               COM         74727D10        2,458     185,249 SH           185,249            184,849                    400
QLOGIC CORP           COM         74727710       80,918   2,452,058 SH         2,451,958    100   2,261,585      15,143    175,330
QRS CORP              COM         74726X10          277      49,279 SH            49,279             45,179                  4,100
QUAKER CHEM CORP      COM         74731610        3,345     131,692 SH           131,152    540     114,352         540     16,800
QUAKER CITY BANCORP   COM         74731K10        4,572      84,047 SH            84,047             76,047                  8,000
QUALCOMM INC          COM         74752510    1,446,783  21,825,056 SH        21,824,656    400  19,763,083     130,368  1,931,605
QUALITY SYS INC       COM         74758210        2,688      59,172 SH            59,172             53,172                  6,000
QUANEX CORP           COM         74762010       13,058     307,329 SH           307,269     60     281,069          60     26,200
QUANTA SVCS INC       COM         74762E10       12,324   1,740,669 SH         1,740,669          1,599,329                141,340
QUANTUM CORP          COM DSSG    74790620       11,296   3,052,843 SH         3,052,843          2,783,093                269,750
QUANTUM FUEL SYS TEC  COM         74765E10          274      34,889 SH            34,889             34,889
QUEST DIAGNOSTICS IN  COM         74834L10      201,150   2,428,469 SH         2,428,269    200   2,244,295       2,400    181,774
QUEST SOFTWARE INC    COM         74834T10       12,679     775,500 SH           775,500            712,600                 62,900
QUESTAR CORP          COM         74835610       40,849   1,121,003 SH         1,121,003          1,077,428         250     43,325
QUICKSILVER RESOURCE  COM         74837R10        8,930     230,382 SH           230,382            206,952                 23,430
QUIDEL CORP           COM         74838J10        3,303     501,215 SH           501,215            442,365                 58,850
QUIKSILVER INC        COM         74838C10       22,406   1,025,424 SH         1,025,424            923,804                101,620
QUINTON CARDIOLOGY S  COM         74877310          220      18,500 SH            18,500             18,500
QUIXOTE CORP          COM         74905610        2,506     119,351 SH           119,351            108,851                 10,500
QWEST COMMUNICATIONS  COM         74912110      561,128 130,192,073 SH       130,191,109    964  37,709,745  89,234,638  3,247,690
R & G FINANCIAL CORP  CL B        74913610       23,737     687,241 SH           687,241            645,985                 41,256
R H DONNELLEY CORP    COM NEW     74955W30       16,898     361,850 SH           361,850            315,050                 46,800
RADIAN GROUP INC      COM         75023610       61,900   1,453,063 SH         1,452,663    400   1,388,312       1,800     62,951
RADIANT SYSTEMS INC   COM         75025N10        3,140     517,256 SH           517,256            489,306                 27,950
RADIO ONE INC         CL D NON V  75040P40       13,525     731,091 SH           731,091            725,586                  5,505
RADIO ONE INC         CL A        75040P10        2,284     123,081 SH           123,081            117,281                  5,800
RADIOSHACK CORP       COM         75043810      265,983   8,021,186 SH         8,021,186          7,238,506     126,535    656,145
RADISYS CORP          COM         75045910        6,835     327,030 SH           327,030            283,780                 43,250
RAILAMERICA INC       COM         75075310        5,815     482,583 SH           482,583            439,233                 43,350
RAINDANCE COMM        COM         75086X10        1,972     692,105 SH           692,105            613,855                 78,250
Page Total                                    4,473,532


                                                                   Page 48 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
RAIT INVT TR          COM         74922710       10,562     357,440 SH           357,440            325,890                 31,550
RALCORP HLDGS INC NE  COM         75102810       15,283     502,227 SH           502,227            455,877                 46,350
RAMBUS INC DEL        COM         75091710       24,523     875,181 SH           875,181            866,798                  8,383
RAMCO-GERSHENSON PPT  COM SH BEN  75145220        8,759     310,598 SH           310,598            287,798                 22,800
RANGE RES CORP        COM         75281A10       10,797     890,067 SH           890,067            813,617                 76,450
RANK GROUP PLC        SPONSORED   75303710          223      18,080 SH            18,080             18,080
RARE HOSPITALITY INT  COM         75382010       15,506     558,777 SH           558,777            514,552                 44,225
RAVEN INDS INC        COM         75421210        3,539     115,816 SH           115,816            105,016                 10,800
RAYMOND JAMES FINANC  COM         75473010       20,893     840,764 SH           840,314    450     827,649         450     12,665
RAYONIER INC          COM         75490710       79,715   1,823,732 SH         1,823,554    178   1,697,358      84,401     41,973
RAYOVAC CORP          COM         75508110       17,371     607,393 SH           607,393            548,493                 58,900
RAYTECH CORP DEL      COM         75510310          986     342,313 SH           342,313            283,963                 58,350
RAYTHEON CO           COM NEW     75511150      468,824  14,959,278 SH        14,959,078    200  10,326,910   3,910,132    722,236
RC2 CORP              COM         74938810        6,203     225,563 SH           225,563            205,663                 19,900
RCN CORP              COM         74936110          231     797,623 SH           797,623            749,723                 47,900
READERS DIGEST ASSN   COM         75526710       26,282   1,866,648 SH         1,865,348  1,300   1,805,369       1,300     59,979
READING INTERNATIONA  CL A        75540810        1,435     209,425 SH           209,425            208,825                    600
REALNETWORKS INC      COM         75605L10        5,914     985,632 SH           985,632            929,702                 55,930
REALTY INCOME CORP    COM         75610910       19,365     433,713 SH           433,713            431,813                  1,900
RECKSON ASSOCS RLTY   COM         75621K10       37,585   1,335,640 SH         1,335,640          1,241,033                 94,607
RED HAT INC           COM         75657710       32,036   1,389,848 SH         1,389,848          1,313,928                 75,920
RED ROBIN GOURMET BU  COM         75689M10        4,791     168,814 SH           168,814            156,714                 12,100
REDBACK NETWORKS INC  COM NEW     75720950          492      78,067 SH            78,067             75,174                  2,893
REDWOOD TR INC        COM         75807540       20,974     337,372 SH           337,372            318,786                 18,586
REEBOK INTL LTD       COM         75811010       56,799   1,373,624 SH         1,373,624          1,236,331         500    136,793
REED ELSEVIER N V     SPONSORED   75820410        2,486      93,811 SH            93,811             15,058      78,753
REED ELSEVIER P L C   SPONSORED   75820510        9,756     274,820 SH           274,255    565      79,808      80,962    114,050
REGAL BELOIT CORP     COM         75875010        8,360     418,405 SH           418,405            380,655                 37,750
REGAL ENTMT GROUP     CL A        75876610        9,095     413,786 SH           413,786            394,663                 19,123
REGENCY CTRS CORP     COM         75884910       40,174     859,707 SH           859,707            828,344                 31,363
REGENERATION TECH IN  COM         75886N10        4,513     397,596 SH           397,596            360,296                 37,300
REGENERON PHARMACEUT  COM         75886F10        9,505     699,897 SH           699,897            639,197                 60,700
REGENT COMMUNICATION  COM         75886510        4,374     668,807 SH           668,807            617,307                 51,500
REGIONS FINL CORP     COM         75894010      216,275   5,922,102 SH         5,922,102          5,521,166      11,337    389,599
REGIS CORP MINN       COM         75893210       27,790     625,337 SH           625,337            600,732      16,000      8,605
REGISTER COM INC      COM         75914G10        2,219     374,780 SH           374,780            332,981                 41,799
REHABCARE GROUP INC   COM         75914810        6,356     319,729 SH           319,729            293,429                 26,300
REINSURANCE GROUP AM  COM         75935110       11,357     277,205 SH           277,205            266,324                 10,881
RELIANCE STEEL & ALU  COM         75950910       16,087     457,677 SH           457,677            419,877                 37,800
RELIANT RES INC       COM         75952B10       26,098   3,178,817 SH         3,178,502    315   3,152,559         788     25,470
RELIV INTL INC        COM         75952R10          203      21,125 SH            21,125             21,125
REMEC INC             COM         75954310        7,690   1,011,899 SH         1,011,899            894,799                117,100
REMINGTON OIL & GAS   COM         75959430        7,350     372,138 SH           372,138            342,136                 30,002
RENAISSANCE LEARNING  COM         75968L10        8,768     332,498 SH           332,498            314,998                 17,500
RENAISSANCE RE HLDGS  COM         G7496G10          577      11,089 SH            11,089              9,446                  1,643
RENAL CARE GROUP INC  COM         75993010       28,997     633,669 SH           633,549    120     629,549         120      4,000
RENT A CTR INC NEW    COM         76009N10       46,312   1,405,107 SH         1,405,107          1,349,139      35,000     20,968
RENT WAY INC          COM         76009U10        3,618     411,082 SH           411,082            343,882                 67,200
REPLIGEN CORP         COM         75991610        1,277     421,538 SH           421,538            374,038                 47,500
REPSOL YPF S A        SPONSORED   76026T20        1,139      54,743 SH            54,743             54,743
REPUBLIC BANCORP INC  COM         76028210       15,308   1,089,567 SH         1,089,567          1,003,542                 86,025
REPUBLIC BANCORP KY   CL A        76028120        3,123     160,406 SH           160,406            143,081                 17,325
REPUBLIC BANCSHARES   COM         75992910        4,289     142,578 SH           142,578            131,878                 10,700
Page Total                                    1,412,184


                                                                   Page 49 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
REPUBLIC SVCS INC     COM         76075910       75,870   2,802,749 SH         2,802,449    300   2,646,827      13,950    141,972
RES-CARE INC          COM         76094310          231      18,100 SH            18,100             18,100
RESEARCH FRONTIERS I  COM         76091110        1,333     138,561 SH           138,561            138,161                    400
RESMED INC            COM         76115210       17,725     392,234 SH           392,134    100     389,319         100      2,815
RESOURCE AMERICA INC  CL A        76119520        4,635     251,229 SH           251,229            224,879                 26,350
RESOURCES BANKSHARES  COM         76121R10        2,428      74,471 SH            74,471             65,121                  9,350
RESOURCES CONNECTION  COM         76122Q10       14,742     334,132 SH           334,132            303,582                 30,550
RESPIRONICS INC       COM         76123010       25,469     471,478 SH           471,478            459,978                 11,500
RESTORATION HARDWARE  COM         76098110        1,493     299,148 SH           299,148            298,348                    800
RETEK INC             COM         76128Q10        8,558   1,132,025 SH         1,132,025          1,032,975                 99,050
RETRACTABLE TECHNOLO  COM         76129W10          518      82,440 SH            82,440             82,140                    300
REUTERS GROUP PLC     SPONSORED   76132M10          482      11,266 SH            11,266             11,266
REVLON INC            CL A        76152550          385     138,852 SH           138,852            138,452                    400
REWARDS NETWORK INC   COM         76155710        4,439     443,879 SH           443,879            407,529                 36,350
REX STORES CORP       COM         76162410        2,015     127,993 SH           127,993            110,893                 17,100
REYNOLDS & REYNOLDS   CL A        76169510       26,480     932,061 SH           931,861    200     918,761         200     13,100
REYNOLDS R J TOB HLD  COM         76182K10      108,346   1,790,849 SH         1,790,649    200   1,733,495         200     57,154
RF MICRODEVICES INC   COM         74994110       30,950   3,658,401 SH         3,658,401          3,373,001                285,400
RICHARDSON ELECTRS L  COM         76316510          841      69,375 SH            69,375             69,075                    300
RIGEL PHARMACEUTICAL  COM NEW     76655960          254      11,464 SH            11,464             11,464
RIGGS NATL CORP WASH  COM         76657010        5,543     321,912 SH           321,792    120     293,342         120     28,450
RIO TINTO PLC         SPONSORED   76720410        7,910      78,645 SH            78,645             78,645
RITE AID CORP         COM         76775410       26,635   4,896,170 SH         4,896,170          4,763,560                132,610
RIVIANA FOODS INC     COM         76953610        2,826     100,934 SH           100,934             91,934                  9,000
RLI CORP              COM         74960710      101,047   2,617,787 SH         2,617,787            297,281   2,294,718     25,788
ROBBINS & MYERS INC   COM         77019610        4,546     210,955 SH           210,955            189,705                 21,250
ROBERT HALF INTL INC  COM         77032310      101,945   4,316,041 SH         4,315,941    100   3,939,536      27,428    349,077
ROCK-TENN CO          CL A        77273920        7,520     521,517 SH           521,517            477,317                 44,200
ROCKWELL AUTOMATION   COM         77390310      197,691   5,702,081 SH         5,696,631  5,450   5,264,627       9,900    427,554
ROCKWELL COLLINS INC  COM         77434110      178,601   5,650,153 SH         5,650,153          5,247,489      29,439    373,225
ROFIN SINAR TECHNOLO  COM         77504310        5,995     201,728 SH           201,728            184,828                 16,900
ROGERS COMMUNICATION  CL B        77510920          343      18,345 SH            18,345             18,345
ROGERS CORP           COM         77513310       15,507     290,562 SH           290,562            267,012                 23,550
ROHM & HAAS CO        COM         77537110      248,806   6,245,127 SH         6,243,927  1,200   5,768,375       5,400    471,352
ROLLINS INC           COM         77571110       13,222     513,064 SH           513,064            471,864                 41,200
ROPER INDS INC NEW    COM         77669610       35,321     732,048 SH           730,823  1,225     683,326       1,225     47,497
ROSS STORES INC       COM         77829610       72,249   2,358,768 SH         2,358,168    600   2,328,110         900     29,758
ROTO ROOTER INC NEW   COM         77878710        8,497     168,084 SH           168,084            150,284                 17,800
ROUSE CO              COM         77927310       94,977   1,771,964 SH         1,771,964          1,661,912       1,650    108,402
ROWAN COS INC         COM         77938210       62,005   2,939,999 SH         2,939,999          2,778,972       1,100    159,927
ROXIO INC             COM         78000810        2,460     550,248 SH           550,248            428,390                121,858
ROYAL BANCSHARES PA   CL A        78008110        1,909      74,850 SH            74,850             71,044                  3,806
ROYAL BK CDA MONTREA  COM         78008710        3,741      78,438 SH            78,438             56,046                 22,392
ROYAL CARIBBEAN CRUI  COM         V7780T10       10,610     240,595 SH           240,595            229,795                 10,800
ROYAL DUTCH PETE CO   NY REG EUR  78025780       10,908     229,264 SH           229,264            228,954                    310
ROYAL GOLD INC        COM         78028710        5,390     304,345 SH           304,345            255,115                 49,230
RPC INC               COM         74966010        3,219     288,992 SH           288,992            270,492                 18,500
RPM INTL INC          COM         74968510       25,971   1,570,221 SH         1,569,821    400   1,548,621         400     21,200
RSA SEC INC           COM         74971910       25,115   1,336,640 SH         1,336,640          1,255,490                 81,150
RTI INTL METALS INC   COM         74973W10        5,678     358,679 SH           358,679            305,549                 53,130
RUBY TUESDAY INC      COM         78118210       30,139     937,452 SH           937,452            908,469                 28,983
RUDDICK CORP          COM         78125810       18,306     904,427 SH           904,427            841,377                 63,050
RUDOLPH TECHNOLOGIES  COM         78127010        4,279     228,458 SH           228,458            209,908                 18,550
Page Total                                    1,666,106


                                                                   Page 50 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
RUSS BERRIE & CO      COM         78223310        6,043     172,650 SH           172,650            151,255                 21,395
RUSSELL CORP          COM         78235210        9,248     506,480 SH           506,480            457,630                 48,850
RYANAIR HLDGS PLC     SPONSORED   78351310        6,653     194,583 SH           193,883    700     100,422         700     93,461
RYANS FAMILY STEAK H  COM         78351910       12,721     740,450 SH           740,450            670,325                 70,125
RYDER SYS INC         COM         78354910       63,121   1,629,776 SH         1,629,776          1,523,282         950    105,544
RYERSON TULL INC NEW  COM         78375P10        5,152     393,567 SH           393,567            357,317                 36,250
RYLAND GROUP INC      COM         78376410       34,510     388,498 SH           388,498            347,106      20,250     21,142
S & T BANCORP INC     COM         78385910       13,611     452,787 SH           452,787            413,287                 39,500
S Y BANCORP INC       COM         78506010        3,993     178,253 SH           178,253            163,553                 14,700
S1 CORPORATION        COM         78463B10        9,531   1,254,070 SH         1,254,070          1,137,770                116,300
SABRE HLDGS CORP      CL A        78590510       87,091   3,510,321 SH         3,509,571    750   3,257,707       4,250    248,364
SAFECO CORP           COM         78642910      163,688   3,796,096 SH         3,796,096          3,412,177      13,000    370,919
SAFEGUARD SCIENTIFIC  COM         78644910        7,562   2,032,900 SH         2,032,900          1,821,751                211,149
SAFENET INC           COM         78645R10       13,780     367,067 SH           367,067            334,893                 32,174
SAFETY INS GROUP INC  COM         78648T10        2,912     153,591 SH           153,591            138,691                 14,900
SAFEWAY INC           COM NEW     78651420      237,502  11,540,416 SH        11,540,416         10,520,548      10,400  1,009,468
SAFLINK CORP          COM NEW     78657830        1,362     442,317 SH           442,317            395,917                 46,400
SAGA COMMUNICATIONS   CL A        78659810        4,608     247,053 SH           247,053            219,553                 27,500
SAKS INC              COM         79377W10       62,789   3,567,562 SH         3,566,362  1,200   3,394,703       1,550    171,309
SALEM COMMUNICATIONS  CL A        79409310        4,362     158,606 SH           158,606            143,856                 14,750
SALIX PHARMACEUTICAL  COM         79543510        8,830     304,264 SH           304,264            273,114                 31,150
SAN PAOLO-IMI S P A   SPONSORED   79917510        6,676     291,161 SH           290,356    805     123,356         805    167,000
SANCHEZ COMPUTER ASS  COM         79970210        1,222     186,810 SH           186,810            186,210                    600
SANDERS MORRIS HARRI  COM         80000Q10        1,894     157,944 SH           157,944            138,044                 19,900
SANDERSON FARMS INC   COM         80001310       12,647     344,321 SH           344,321            332,621                 11,700
SANDISK CORP          COM         80004C10       56,827   2,003,775 SH         2,003,055    720   1,975,375         720     27,680
SANDY SPRING BANCORP  COM         80036310        8,844     243,838 SH           243,838            221,238                 22,600
SANFILIPPO JOHN B &   COM         80042210        3,477      94,730 SH            94,730             79,930                 14,800
SANMINA SCI CORP      COM         80090710      246,881  22,362,418 SH        22,362,418         20,198,772     319,200  1,844,446
SANOFI-SYNTHELABO     SPONSORED   80105N10       15,320     468,924 SH           467,594  1,330     187,694       1,330    279,900
SANTANDER BANCORP     COM         80280910        3,693     134,287 SH           134,287            120,887                 13,400
SAP AKTIENGESELLSCHA  SPONSORED   80305420       18,142     461,502 SH           460,282  1,220     175,932       1,220    284,350
SAPIENT CORP          COM         80306210        8,554   1,418,555 SH         1,418,555          1,216,015                202,540
SARA LEE CORP         COM         80311110      496,416  22,708,895 SH        22,708,683    212  20,913,992     156,504  1,638,399
SAUER-DANFOSS INC     COM         80413710        2,609     190,875 SH           190,875            190,475                    400
SAUL CTRS INC         COM         80439510        9,230     302,118 SH           302,118            266,048                 36,070
SAVIENT PHARMACEUTIC  COM         80517Q10        3,688     963,001 SH           963,001            866,301                 96,700
SAXON CAPITAL INC     COM         80556P30       13,059     459,839 SH           459,839            416,989                 42,850
SBA COMMUNICATIONS C  COM         78388J10        2,943     758,632 SH           758,632            694,832                 63,800
SBC COMMUNICATIONS I  COM         78387G10    2,434,461  99,203,798 SH        99,203,798         88,619,136   2,209,485  8,375,177
SBS TECHNOLOGIES INC  COM         78387P10        4,372     282,797 SH           282,797            256,597                 26,200
SCANA CORP NEW        COM         80589M10       79,347   2,244,608 SH         2,244,208    400   2,181,787         400     62,421
SCANSOFT INC          COM         80603P10        6,966   1,255,048 SH         1,255,048          1,126,512                128,536
SCANSOURCE INC        COM         80603710        8,834     184,311 SH           184,311            164,036                 20,275
SCBT FINANCIAL CORP   COM         78401V10        3,781     120,031 SH           120,031            106,607                 13,424
SCHAWK INC            CL A        80637310        1,445     107,994 SH           107,994            107,694                    300
SCHEIN HENRY INC      COM         80640710       48,387     678,740 SH           678,640    100     666,695         100     11,945
SCHERING A G          SPONSORED   80658520          492      10,292 SH            10,292             10,292
SCHERING PLOUGH CORP  COM         80660510      580,272  35,775,102 SH        35,773,962  1,140  33,329,011      16,463  2,429,628
SCHLUMBERGER LTD      COM         80685710      750,581  11,755,380 SH        11,754,930    450  10,486,808      87,150  1,181,422
SCHNITZER STL INDS    CL A        80688210        8,257     259,011 SH           259,011            230,361                 28,650
SCHOLASTIC CORP       COM         80706610       14,866     545,541 SH           545,541            528,915                 16,626
SCHOOL SPECIALTY INC  COM         80786310       14,856     417,646 SH           417,646            392,446                 25,200
Page Total                                    5,628,107


                                                                   Page 51 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
SCHULMAN A INC        COM         80819410       11,437     582,032 SH           582,032            526,032                 56,000
SCHWAB CHARLES CORP   COM         80851310      382,928  32,982,586 SH        32,981,586  1,000  29,929,805      28,200  3,024,581
SCHWEITZER-MAUDUIT I  COM         80854110        6,989     216,383 SH           216,383            215,583                    800
SCICLONE PHARMACEUTI  COM         80862K10        4,014     743,304 SH           743,304            682,804                 60,500
SCIENTIFIC ATLANTA I  COM         80865510      232,313   7,183,443 SH         7,183,443          6,523,435      68,400    591,608
SCIENTIFIC GAMES COR  CL A        80874P10       19,222   1,026,814 SH         1,026,814            951,714                 75,100
SCOTTISH PWR PLC      SPON ADR F  81013T70      207,135   7,288,364 SH         7,288,364             14,239   7,274,125
SCOTTS CO             CL A        81018610       21,520     335,461 SH           335,461            330,561                  4,900
SCP POOL CORP         COM         78402810       22,067     592,240 SH           591,910    330     543,079         330     48,831
SCRIPPS E W CO OHIO   CL A        81105420       40,850     404,019 SH           404,019            374,796                 29,223
SCS TRANSN INC        COM         81111T10        5,435     249,314 SH           249,094    220     224,719         220     24,375
SEABULK INTL INC      COM         81169P10        1,739     197,578 SH           197,578            178,478                 19,100
SEACHANGE INTL INC    COM         81169910        6,085     397,683 SH           397,683            360,283                 37,400
SEACOAST BKG CORP FL  COM         81170730        3,973     191,954 SH           191,954            175,874                 16,080
SEACOAST FINL SVCS C  COM         81170Q10       14,681     438,234 SH           438,234            402,434                 35,800
SEACOR HOLDINGS INC   COM         81190410       12,518     304,716 SH           304,716            276,766                 27,950
SEAGATE TECHNOLOGY    SHS         G7945J10        2,532     156,971 SH           156,971            153,771                  3,200
SEALED AIR CORP NEW   COM         81211K10      152,152   3,059,558 SH         3,059,558          2,767,258      68,143    224,157
SEARS ROEBUCK & CO    COM         81238710    1,038,915  24,183,319 SH        24,182,969    350   5,690,351  17,960,459    532,509
SEATTLE GENETICS INC  COM         81257810        4,498     546,489 SH           546,489            526,189                 20,300
SECOND BANCORP INC    COM         81311410        4,563     140,666 SH           140,666            126,416                 14,250
SECURE COMPUTING COR  COM         81370510       10,531     645,295 SH           645,295            586,045                 59,250
SECURITY BANK CORP    COM         81404710        1,420      47,332 SH            47,332             47,132                    200
SEEBEYOND TECHNOLOGI  COM         81570410        3,534     872,509 SH           872,509            757,209                115,300
SEI INVESTMENTS CO    COM         78411710       57,043   1,728,590 SH         1,728,390    200   1,666,473         200     61,917
SELECT COMFORT CORP   COM         81616X10       18,332     664,426 SH           664,426            633,526                 30,900
SELECT MEDICAL CORP   COM         81619610       15,194     909,797 SH           909,797            835,284                 74,513
SELECT SECTOR SPDR T  SBI INT-EN  81369Y50          408      13,898 SH            13,898                                    13,898
SELECT SECTOR SPDR T  SBI CONS S  81369Y30          297      13,000 SH            13,000                                    13,000
SELECTIVE INS GROUP   COM         81630010       23,349     665,794 SH           665,794            618,595                 47,199
SEMCO ENERGY INC      COM         78412D10        2,578     455,436 SH           455,436            419,936                 35,500
SEMITOOL INC          COM         81690910        3,666     289,545 SH           289,545            255,045                 34,500
SEMPRA ENERGY         COM         81685110      218,587   6,873,817 SH         6,873,817          6,393,136      12,234    468,447
SEMTECH CORP          COM         81685010       34,915   1,529,329 SH         1,529,329          1,432,411                 96,918
SENIOR HSG PPTYS TR   SH BEN INT  81721M10       16,008     820,939 SH           820,939            750,022                 70,917
SENSIENT TECHNOLOGIE  COM         81725T10       20,796   1,113,865 SH         1,113,865          1,039,812                 74,053
SEPRACOR INC          COM         81731510       53,348   1,109,111 SH         1,108,711    400   1,092,138         400     16,573
SEQUA CORPORATION     CL A        81732010        5,772     116,849 SH           116,849            104,413                 12,436
SERENA SOFTWARE INC   COM         81749210        9,389     461,360 SH           461,360            426,410                 34,950
SEROLOGICALS CORP     COM         81752310       11,338     555,770 SH           555,770            518,170                 37,600
SERVICE CORP INTL     COM         81756510       22,422   3,001,671 SH         3,001,671          2,977,381                 24,290
SERVICEMASTER CO      COM         81760N10       45,764   3,810,494 SH         3,810,494          3,586,725       4,400    219,369
SFBC INTL INC         COM         78412110        3,120     104,416 SH           104,416             97,816                  6,600
SHARPER IMAGE CORP    COM         82001310        5,363     164,598 SH           164,598            149,448                 15,150
SHAW COMMUNICATIONS   CL B CONV   82028K20          419      25,682 SH            25,682             25,682
SHAW GROUP INC        COM         82028010       11,101   1,024,098 SH         1,024,098            951,798                 72,300
SHELL TRANS & TRADIN  ADR NY SHS  82270360        3,537      88,612 SH            88,612             88,612
SHENANDOAH TELECOMMU  COM         82312B10        3,010     133,732 SH           133,732            121,332                 12,400
SHERWIN WILLIAMS CO   COM         82434810      245,622   6,391,402 SH         6,391,402          5,802,466      26,492    562,444
SHOE CARNIVAL INC     COM         82488910        2,924     188,749 SH           188,749            173,749                 15,000
SHOPKO STORES INC     COM         82491110        9,680     662,114 SH           662,114            614,614                 47,500
SHORE BANCSHARES INC  COM         82510710        2,792      85,653 SH            85,653             76,453                  9,200
SHUFFLE MASTER INC    COM         82554910       15,439     332,089 SH           332,089            301,539                 30,550
Page Total                                    3,073,262


                                                                   Page 52 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
SHURGARD STORAGE CTR  COM         82567D10       29,907     749,546 SH           749,546            725,178                 24,368
SI INTL INC           COM         78427V10          562      24,300 SH            24,300             24,300
SIEBEL SYS INC        COM         82617010      137,156  11,895,537 SH        11,894,737    800  10,940,508      12,100    942,929
SIEMENS A G           SPONSORED   82619750       12,621     170,442 SH           170,027    415      87,527         415     82,500
SIERRA BANCORP        COM         82620P10        1,656     109,292 SH           109,292            109,092                    200
SIERRA HEALTH SVCS I  COM         82632210       30,561     839,600 SH           839,600            795,100                 44,500
SIERRA PAC RES NEW    COM         82642810       24,661   3,332,538 SH         3,332,538          3,107,688                224,850
SIGMA ALDRICH CORP    COM         82655210      119,704   2,161,499 SH         2,161,499          1,987,893      14,337    159,269
SIGMA DESIGNS INC     COM         82656510        2,165     301,942 SH           301,942            275,842                 26,100
SIGMATEL INC          COM         82661W10          345      15,515 SH            15,515             15,515
SILGAN HOLDINGS INC   COM         82704810        9,233     201,893 SH           201,893            185,954                 15,939
SILICON GRAPHICS INC  COM         82705610        8,667   3,412,308 SH         3,412,308          3,067,058                345,250
SILICON IMAGE INC     COM         82705T10       12,072   1,167,529 SH         1,167,529          1,060,229                107,300
SILICON LABORATORIES  COM         82691910       26,627     503,534 SH           503,534            496,134                  7,400
SILICON STORAGE TECH  COM         82705710       25,704   1,986,376 SH         1,986,376          1,853,126                133,250
SILICON VY BANCSHARE  COM         82706410       35,611   1,097,756 SH         1,097,756          1,046,298                 51,458
SILICONIX INC         COM NEW     82707920        6,209     133,871 SH           133,871            125,171                  8,700
SIMMONS 1ST NATL COR  CL A $1 PA  82873020        6,932     251,704 SH           251,704            224,504                 27,200
SIMON PPTY GROUP INC  COM         82880610      354,513   6,066,278 SH         6,066,278          5,636,054       4,267    425,957
SIMPLETECH INC        COM         82882310          561     118,064 SH           118,064            117,664                    400
SIMPSON MANUFACTURIN  COM         82907310       16,358     334,174 SH           334,174            307,574                 26,600
SINCLAIR BROADCAST G  CL A        82922610        8,932     714,533 SH           714,533            656,333                 58,200
SIPEX CORP            COM         82990910        2,309     366,510 SH           366,510            364,710                  1,800
SIRIUS SATELLITE RAD  COM         82966U10       32,814   9,651,285 SH         9,651,285          9,593,942                 57,343
SIRNA THERAPEUTICS I  COM         82966910          548     135,368 SH           135,368            128,068                  7,300
SIRVA INC             COM         82967Y10          538      22,300 SH            22,300             22,300
SIX FLAGS INC         COM         83001P10       15,247   1,942,243 SH         1,942,243          1,783,943                158,300
SIZELER PPTY INVS IN  COM         83013710        2,993     257,169 SH           257,169            207,169                 50,000
SJW CORP              COM         78430510        3,797     109,554 SH           109,554             98,820                 10,734
SK TELECOM LTD        SPONSORED   78440P10        2,607     122,390 SH           122,390            122,390
SKECHERS U S A INC    CL A        83056610        3,833     292,379 SH           292,379            264,179                 28,200
SKY FINL GROUP INC    COM         83080P10       24,779     954,862 SH           954,862            947,657                  7,205
SKYLINE CORP          COM         83083010        4,122     106,873 SH           106,873             97,373                  9,500
SKYWEST INC           COM         83087910       19,252     996,492 SH           995,942    550     906,727         750     89,015
SKYWORKS SOLUTIONS I  COM         83088M10       29,856   2,558,353 SH         2,557,463    890   2,322,409         890    235,054
SL GREEN RLTY CORP    COM         78440X10       47,453     994,824 SH           994,824            926,537                 68,287
SLM CORP              COM         78442P10      478,167  11,425,744 SH        11,425,444    300  10,298,695      74,749  1,052,300
SM&A                  COM         78465D10        2,191     199,018 SH           199,018            178,318                 20,700
SMART & FINAL INC     COM         83168310        2,712     236,215 SH           236,215            208,295                 27,920
SMITH A O             COM         83186520        8,766     302,813 SH           302,813            271,664                 31,149
SMITH INTL INC        COM         83211010       86,838   1,622,832 SH         1,621,787  1,045   1,571,009       1,045     50,778
SMITHFIELD FOODS INC  COM         83224810       34,145   1,259,047 SH         1,259,047          1,240,251                 18,796
SMUCKER J M CO        COM NEW     83269640       34,986     662,865 SH           662,855     10     640,575          33     22,257
SMURFIT-STONE CONTAI  COM         83272710       49,865   2,836,454 SH         2,836,454          2,715,128       3,950    117,376
SNAP ON INC           COM         83303410       45,369   1,402,888 SH         1,402,888          1,312,519         500     89,869
SOHU COM INC          COM         83408W10        6,980     280,449 SH           280,449            251,049                 29,400
SOLA INTL INC         COM         83409210       10,895     468,621 SH           468,621            433,171                 35,450
SOLECTRON CORP        COM         83418210      116,299  21,030,542 SH        21,030,542         19,187,489      19,000  1,824,053
SONIC AUTOMOTIVE INC  CL A        83545G10       11,729     468,204 SH           468,204            426,304                 41,900
SONIC CORP            COM         83545110       25,567     743,670 SH           743,670            686,099                 57,571
SONIC SOLUTIONS       COM         83546010        4,682     243,225 SH           243,225            229,925                 13,300
SONICWALL INC         COM         83547010        8,456     937,496 SH           937,496            844,846                 92,650
SONOCO PRODS CO       COM         83549510      108,176   4,455,350 SH         4,455,050    300   1,431,527   2,980,713     43,110
Page Total                                    2,096,729


                                                                   Page 53 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
SONOSITE INC          COM         83568G10        5,333     250,274 SH           250,274            226,320                 23,954
SONUS NETWORKS INC    COM         83591610       13,870   3,659,519 SH         3,659,519          3,342,513                317,006
SONY CORP             ADR NEW     83569930        1,467      35,088 SH            35,088             35,088
SOTHEBYS HLDGS INC    CL A        83589810       13,483   1,049,291 SH         1,049,291            927,461                121,830
SOUND FED BANCORP IN  COM         83607V10        3,215     218,709 SH           218,709            194,309                 24,400
SOURCE INTERLINK COS  COM NEW     83615120        2,125     169,989 SH           169,989            169,489                    500
SOURCECORP            COM         83616710        9,320     351,701 SH           351,701            328,639                 23,062
SOUTH FINL GROUP INC  COM         83784110       32,227   1,089,120 SH         1,089,120          1,011,512                 77,608
SOUTH JERSEY INDS IN  COM         83851810        9,713     237,420 SH           237,420            206,942                 30,478
SOUTHERN CO           COM         84258710      722,753  23,696,823 SH        23,696,823         21,855,577      60,353  1,780,893
SOUTHERN FINL BANCOR  COM         84287010        4,378      98,158 SH            98,158             88,755                  9,403
SOUTHERN PERU COPPER  COM         84361110        6,135     151,679 SH           151,679            138,894                 12,785
SOUTHERN UN CO NEW    COM         84403010       19,408   1,024,156 SH         1,024,024    132     934,673         132     89,351
SOUTHSIDE BANCSHARES  COM         84470P10        2,828     151,628 SH           151,628            134,553                 17,075
SOUTHTRUST CORP       COM         84473010      277,814   8,375,465 SH         8,375,465          7,733,953       8,600    632,912
SOUTHWEST AIRLS CO    COM         84474110    1,315,723  92,591,352 SH        92,591,052    300  17,375,744  73,684,210  1,531,398
SOUTHWEST BANCORP IN  COM         84476710        4,259     245,904 SH           245,904            228,804                 17,100
SOUTHWEST BANCORPORA  COM         84476R10       22,779     603,739 SH           602,144  1,595     557,394       1,595     44,750
SOUTHWEST GAS CORP    COM         84489510       14,047     600,316 SH           600,316            544,116                 56,200
SOUTHWEST WTR CO      COM         84533110        3,218     235,388 SH           235,388            214,189                 21,199
SOUTHWESTERN ENERGY   COM         84546710       17,297     717,143 SH           717,143            658,393                 58,750
SOVEREIGN BANCORP IN  COM         84590510       93,518   4,365,931 SH         4,365,131    800   4,210,092       5,600    150,239
SOVRAN SELF STORAGE   COM         84610H10       16,486     394,675 SH           394,675            357,545                 37,130
SPANISH BROADCASTING  CL A        84642588        6,023     576,393 SH           576,393            515,093                 61,300
SPARTECH CORP         COM NEW     84722020       12,855     516,273 SH           514,373  1,900     480,673       1,900     33,700
SPDR TR               UNIT SER 1  78462F10       97,181     859,246 SH           859,246            757,991                101,255
SPECIALTY LABORATORI  COM         84749R10        1,602     148,326 SH           148,326            127,726                 20,600
SPECTRALINK CORP      COM         84758010        5,719     335,210 SH           335,210            299,660                 35,550
SPEEDWAY MOTORSPORTS  COM         84778810        8,187     270,102 SH           270,102            249,002                 21,100
SPHERION CORP         COM         84842010       10,485   1,024,902 SH         1,024,902            915,052                109,850
SPINNAKER EXPL CO     COM         84855W10       15,321     426,530 SH           426,530            386,380                 40,150
SPORTS AUTH INC NEW   COM         84917U10       14,089     351,522 SH           351,522            320,115                 31,407
SPORTS RESORTS INTL   COM         84918U10          842     204,431 SH           204,431            161,631                 42,800
SPORTSMANS GUIDE INC  COM NEW     84890720          221      10,800 SH            10,800             10,800
SPRINT CORP           COM FON GR  85206110      467,889  25,387,370 SH        25,387,030    340  23,402,486      73,858  1,911,026
SPRINT CORP           PCS COM SE  85206150      265,384  28,846,126 SH        28,846,126         26,039,727     198,573  2,607,826
SPSS INC              COM         78462K10        4,393     238,737 SH           238,737            218,537                 20,200
SPX CORP              COM         78463510      106,797   2,348,212 SH         2,347,912    300   2,144,960      68,600    134,652
SRA INTL INC          CL A        78464R10        5,728     155,063 SH           155,063            140,813                 14,250
SS&C TECHNOLOGIES IN  COM         85227Q10        9,457     387,915 SH           387,915            360,315                 27,600
ST JOE CO             COM         79014810       15,601     383,422 SH           383,422            366,509                 16,913
ST JUDE MED INC       COM         79084910      372,301   5,163,674 SH         5,163,674          4,663,854      38,320    461,500
ST MARY LD & EXPL CO  COM         79222810       16,817     503,060 SH           503,060            449,960                 53,100
ST PAUL COS INC       COM         79286010      254,847   6,369,594 SH         6,369,594          5,754,774       5,750    609,070
STAAR SURGICAL CO     COM PAR $0  85231230        2,670     297,642 SH           297,642            271,242                 26,400
STAGE STORES INC      COM NEW     85254C30       11,741     303,154 SH           303,154            273,254                 29,900
STAMPS COM INC        COM         85285710        3,761     627,892 SH           627,892            566,092                 61,800
STANCORP FINL GROUP   COM         85289110       32,463     497,520 SH           497,520            470,675      21,300      5,545
STANDARD COML CORP    COM         85325810        2,393     129,022 SH           129,022            128,622                    400
STANDARD MICROSYSTEM  COM         85362610        6,387     238,955 SH           238,955            214,455                 24,500
STANDARD MTR PRODS I  COM         85366610        2,074     132,293 SH           132,293            131,993                    300
STANDARD PAC CORP NE  COM         85375C10       34,600     576,672 SH           576,672            525,432                 51,240
STANDARD REGISTER CO  COM         85388710        4,343     270,958 SH           270,958            231,508                 39,450
Page Total                                    4,403,572


                                                                   Page 54 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
STANDEX INTL CORP     COM         85423110        5,410     200,361 SH           200,361            179,061                 21,300
STANLEY FURNITURE IN  COM NEW     85430520        3,418      87,810 SH            87,810             79,510                  8,300
STANLEY WKS           COM         85461610      145,984   3,420,433 SH         3,420,433          3,166,076       5,300    249,057
STAPLES INC           COM         85503010      386,170  15,251,564 SH        15,251,364    200  13,875,662      98,704  1,277,198
STAR SCIENTIFIC INC   COM         85517P10        1,626     393,666 SH           393,666            392,666                  1,000
STARBUCKS CORP        COM         85524410      384,716  10,158,869 SH        10,158,669    200   9,141,495      63,950    953,424
STARTEK INC           COM         85569C10        7,360     202,526 SH           202,526            186,376                 16,150
STARWOOD HOTELS&RESO  PAIRED CTF  85590A20      259,169   6,399,236 SH         6,399,236          4,784,374   1,140,861    474,001
STATE AUTO FINL CORP  COM         85570710        6,186     239,681 SH           239,681            219,056                 20,625
STATE BANCORP INC N.  COM         85571610        2,721     112,891 SH           112,891            100,741                 12,150
STATE FINL SVCS CORP  CL A        85685510        2,414      85,315 SH            85,315             76,115                  9,200
STATE STR CORP        COM         85747710      791,052  15,174,602 SH        15,171,602  3,000   7,666,933   6,776,874    730,795
STATEN IS BANCORP IN  COM         85755010       23,046     926,274 SH           926,274            840,124                 86,150
STATION CASINOS INC   COM         85768910       17,340     392,576 SH           392,576            389,135                  3,441
STEAK N SHAKE CO      COM         85787310        8,028     417,035 SH           417,035            378,985                 38,050
STEEL DYNAMICS INC    COM         85811910       15,930     642,848 SH           642,848            588,298                 54,550
STEEL TECHNOLOGIES I  COM         85814710          206      10,684 SH            10,324    360      10,324         360
STEELCASE INC         CL A        85815520        5,979     459,919 SH           459,919            436,014                 23,905
STEIN MART INC        COM         85837510        5,450     395,810 SH           395,810            334,190                 61,620
STEINWAY MUSICAL INS  COM ORD     85849510        5,500     171,618 SH           171,618            171,418                    200
STELLENT INC          COM         85856W10        2,175     291,103 SH           291,103            290,403                    700
STEPAN CO             COM         85858610        3,766     164,886 SH           164,886            155,086                  9,800
STERICYCLE INC        COM         85891210       24,140     503,343 SH           503,343            496,096                  7,247
STERIS CORP           COM         85915210       32,153   1,246,240 SH         1,246,240          1,233,340                 12,900
STERLING BANCORP      COM         85915810        6,439     220,889 SH           220,889            193,689                 27,200
STERLING BANCSHARES   COM         85890710        9,322     696,215 SH           696,215            632,965                 63,250
STERLING FINL CORP    COM         85931710        9,074     352,920 SH           352,920            321,733                 31,187
STERLING FINL CORP W  COM         85931910       13,768     374,633 SH           374,633            343,240                 31,393
STET HELLAS COMMUNIC  ADR         85982310        1,096      53,705 SH            53,705              3,444                 50,261
STEWART & STEVENSON   COM         86034210        7,174     490,701 SH           490,701            444,951                 45,750
STEWART ENTERPRISES   CL A        86037010       14,694   2,021,127 SH         2,021,127          1,845,537                175,590
STEWART INFORMATION   COM         86037210       14,279     363,332 SH           363,332            321,172                 42,160
STEWART W P & CO LTD  COM         G8492210          232      11,642 SH            11,642             11,642
STILLWATER MNG CO     COM         86074Q10       12,629     804,383 SH           804,383            719,700                 84,683
STMICROELECTRONICS N  NY REGISTR  86101210        1,224      51,865 SH            51,865             51,865
STONE ENERGY CORP     COM         86164210       21,974     444,277 SH           444,277            406,995                 37,282
STONERIDGE INC        COM         86183P10        3,972     275,458 SH           275,458            255,408                 20,050
STORA ENSO CORP       SPON ADR R  86210M10          438      34,650 SH            34,650             34,650
STORAGE TECHNOLOGY C  COM PAR $0  86211120      102,196   3,672,147 SH         3,671,847    300   3,441,214      37,700    193,233
STRATASYS INC         COM         86268510        2,497     131,343 SH           131,343            114,493                 16,850
STRATEX NETWORKS INC  COM         86279T10        6,805   1,432,643 SH         1,432,643          1,275,149                157,494
STRATTEC SEC CORP     COM         86311110        5,839      92,216 SH            92,216             84,554                  7,662
STRAYER ED INC        COM         86323610       21,890     187,158 SH           187,158            166,258                 20,900
STREETTRACKS SER TR   DJ LRG CAP  86330E20        2,507      20,054 SH            20,054             20,054
STRIDE RITE CORP      COM         86331410        6,927     652,866 SH           652,866            584,066                 68,800
STRYKER CORP          COM         86366710      423,530   4,784,029 SH         4,783,929    100   4,341,751      31,205    411,073
STUDENT LN CORP       COM         86390210        8,417      54,301 SH            54,301             54,101                    200
STURM RUGER & CO INC  COM         86415910        4,651     344,236 SH           344,236            313,936                 30,300
SUFFOLK BANCORP       COM         86473910        6,544     191,061 SH           191,061            175,161                 15,900
SUMMIT AMER TELEVISI  COM         86600T10        2,401     594,392 SH           594,392            516,092                 78,300
SUMMIT BANCSHARES IN  COM         86601110        2,565      85,224 SH            85,224             74,824                 10,400
SUMMIT PPTYS INC      COM         86623910       15,763     660,923 SH           660,923            611,276                 49,647
SUN BANCORP INC       COM         86663B10        3,659     144,752 SH           144,752            129,122                 15,630
Page Total                                    2,872,445


                                                                   Page 55 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
SUN BANCORP INC       COM         86663410        1,735      88,960 SH            88,960             78,460                 10,500
SUN COMMUNITIES INC   COM         86667410       16,286     380,342 SH           380,342            342,794                 37,548
SUN LIFE FINL INC     COM         86679610          565      21,049 SH            21,049             21,049
SUN MICROSYSTEMS INC  COM         86681010      354,745  85,070,624 SH        85,067,544  3,080  77,281,607      84,630  7,704,387
SUNCOR ENERGY INC     COM         86722910        1,342      49,054 SH            49,054             49,054
SUNGARD DATA SYS INC  COM         86736310      205,070   7,484,321 SH         7,483,721    600   6,893,670       7,500    583,151
SUNOCO INC            COM         86764P10      230,628   3,697,151 SH         3,697,151          3,447,692       8,350    241,109
SUNRISE SENIOR LIVIN  COM         86768K10       10,361     289,017 SH           289,017            260,767                 28,250
SUNTRUST BKS INC      COM         86791410      495,929   7,114,178 SH         7,113,978    200   6,451,874       6,400    655,904
SUPERCONDUCTOR TECHN  COM         86793110        1,970     856,631 SH           856,631            802,731                 53,900
SUPERGEN INC          COM         86805910        6,901     539,149 SH           539,149            486,549                 52,600
SUPERIOR ENERGY SVCS  COM         86815710        8,755     868,596 SH           868,596            781,296                 87,300
SUPERIOR INDS INTL I  COM         86816810       19,557     551,847 SH           551,747    100     515,797         100     35,950
SUPERTEX INC          COM         86853210        2,701     161,931 SH           161,931            144,981                 16,950
SUPERVALU INC         COM         86853610      157,238   5,148,590 SH         5,148,590          4,620,184      23,850    504,556
SUPPORTSOFT INC       COM         86858710        5,850     531,354 SH           531,354            490,054                 41,300
SUREWEST COMMUNICATI  COM         86873310        6,547     244,296 SH           244,296            222,296                 22,000
SURMODICS INC         COM         86887310        5,102     256,245 SH           256,245            235,395                 20,850
SUSQUEHANNA BANCSHAR  COM         86909910       17,712     689,737 SH           689,737            629,488                 60,249
SWIFT ENERGY CO       COM         87073810        8,360     443,489 SH           443,489            401,839                 41,650
SWIFT TRANSN CO       COM         87075610       14,584     843,469 SH           843,269    200     828,840         200     14,429
SWS GROUP INC         COM         78503N10        4,795     267,705 SH           267,705            239,155                 28,550
SYBASE INC            COM         87113010       40,475   1,928,299 SH         1,928,299          1,781,862                146,437
SYBRON DENTAL SPECIA  COM         87114210       23,038     845,440 SH           845,287    153     786,911         153     58,376
SYCAMORE NETWORKS IN  COM         87120610       11,984   2,937,167 SH         2,937,167          2,654,367                282,800
SYKES ENTERPRISES IN  COM         87123710        2,734     459,491 SH           459,491            390,941                 68,550
SYLVAN LEARNING SYS   COM         87139910       26,819     763,847 SH           763,847            695,747                 68,100
SYMANTEC CORP         COM         87150310      384,098   8,295,846 SH         8,295,046    800   7,610,754      46,100    638,992
SYMBOL TECHNOLOGIES   COM         87150810       80,167   5,809,176 SH         5,809,176          5,405,188       6,050    397,938
SYMMETRICOM INC       COM         87154310        5,765     642,694 SH           642,694            587,294                 55,400
SYMYX TECHNOLOGIES    COM         87155S10       11,582     403,554 SH           403,554            364,654                 38,900
SYNAPTICS INC         COM         87157D10        6,477     369,278 SH           369,278            345,878                 23,400
SYNGENTA AG           SPONSORED   87160A10          394      27,329 SH            27,329             27,329
SYNOPSYS INC          COM         87160710       67,283   2,341,912 SH         2,340,132  1,780   2,259,676       3,880     78,356
SYNOVIS LIFE TECHNOL  COM         87162G10        2,313     161,993 SH           161,993            145,793                 16,200
SYNOVUS FINL CORP     COM         87161C10      185,030   7,567,707 SH         7,567,707          6,884,781      47,400    635,526
SYNPLICITY INC        COM         87160Y10        1,067     148,169 SH           148,169            147,669                    500
SYNTEL INC            COM         87162H10        3,922     142,168 SH           142,168            141,768                    400
SYNTROLEUM CORP       COM         87163010          359      50,168 SH            50,168             50,168
SYPRIS SOLUTIONS INC  COM         87165510        1,551      91,264 SH            91,264             91,064                    200
SYSCO CORP            COM         87182910      695,811  17,818,473 SH        17,813,933  4,540  16,081,288     135,773  1,601,412
SYSTEMAX INC          COM         87185110          630     119,269 SH           119,269            118,869                    400
TAIWAN SEMICONDUCTOR  SPONSORED   87403910       44,771   4,288,397 SH         4,281,317  7,080   2,575,183       7,080  1,706,134
TAKE-TWO INTERACTIVE  COM         87405410       30,199     820,846 SH           820,846            754,953                 65,893
TALBOTS INC           COM         87416110       10,069     281,419 SH           281,419            279,302                  2,117
TALISMAN ENERGY INC   COM         87425E10          843      14,299 SH            14,299             14,299
TALK AMERICA HLDGS I  COM NEW     87426R20        8,694   1,032,499 SH         1,032,499            990,433                 42,066
TALX CORP             COM         87491810        5,770     262,889 SH           262,889            238,189                 24,700
TANGER FACTORY OUTLE  COM         87546510       15,475     341,451 SH           341,451            323,457                 17,994
TANOX INC             COM         87588Q10        6,717     451,122 SH           451,122            414,860                 36,262
TARAGON RLTY INVS IN  COM         87628710        1,506     105,700 SH           105,700            105,450                    250
TARGET CORP           COM         87612E10    3,740,931  83,057,978 SH        83,057,678    300  21,296,133  59,720,686  2,041,159
TAUBMAN CTRS INC      COM         87666410       26,508   1,053,175 SH         1,053,175            977,511                 75,664
Page Total                                    7,019,718


                                                                   Page 56 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
TAYLOR CAP GROUP INC  COM         87685110        1,533      66,489 SH            66,489             56,689                  9,800
TBC CORP              COM         87218010        9,136     311,053 SH           311,053            284,853                 26,200
TC PIPELINES LP       UT COM LTD  87233Q10          724      19,873 SH            19,873             19,873
TCF FINL CORP         COM         87227510       50,526     989,345 SH           989,045    300     970,071         300     18,974
TECH DATA CORP        COM         87823710       33,835     826,453 SH           826,253    200     815,336         200     10,917
TECHNE CORP           COM         87837710       35,225     863,578 SH           863,158    420     793,908         420     69,250
TECHNICAL OLYMPIC US  COM         87848310        1,882      58,798 SH            58,798             58,598                    200
TECHNITROL INC        COM         87855510       14,444     768,292 SH           768,292            704,742                 63,550
TECO ENERGY INC       COM         87237510       74,372   5,083,553 SH         5,083,553          4,782,575       1,700    299,278
TECUMSEH PRODS CO     CL A        87889520       14,026     333,152 SH           333,152            308,052                 25,100
TEEKAY SHIPPING MARS  COM         Y8564W10        2,933      42,566 SH            41,636    930      41,636         930
TEJON RANCH CO DEL    COM         87908010        4,737     128,155 SH           128,155            113,955                 14,200
TEKELEC               COM         87910110       16,154     973,738 SH           973,738            891,913                 81,825
TEKTRONIX INC         COM         87913110       70,189   2,145,789 SH         2,145,789          1,959,222         900    185,667
TELE NORTE LESTE PAR  SPON ADR P  87924610        3,924     302,301 SH           302,301            239,860      26,130     36,311
TELEDYNE TECHNOLOGIE  COM         87936010       16,475     881,029 SH           881,029            835,329                 45,700
TELEFLEX INC          COM         87936910       29,537     599,978 SH           599,858    120     590,621         120      9,237
TELEFONICA S A        SPONSORED   87938220       18,872     414,405 SH           413,350  1,055     200,736       1,055    212,614
TELEFONOS DE MEXICO   SPON ADR O  87940378       13,393     383,646 SH           383,646            233,441     103,531     46,674
TELEPHONE & DATA SYS  COM         87943310       56,145     792,225 SH           792,075    150     766,487         250     25,488
TELETECH HOLDINGS IN  COM         87993910        8,802   1,406,125 SH         1,406,125          1,335,025                 71,100
TELIK INC             COM         87959M10       16,778     625,126 SH           625,126            571,976                 53,150
TELLABS INC           COM         87966410      105,267  12,155,530 SH        12,155,530         11,134,157       9,800  1,011,573
TELULAR CORP          COM NEW     87970T20          343      23,700 SH            23,700             23,700
TEMPLE INLAND INC     COM         87986810      142,713   2,253,131 SH         2,253,131          1,705,981     382,198    164,952
TEMPUR PEDIC INTL IN  COM         88023U10          493      31,500 SH            31,500             31,500
TENARIS S A           SPONSORED   88031M10        2,924      89,173 SH            89,173             59,863      20,530      8,780
TENET HEALTHCARE COR  COM         88033G10      135,200  12,114,731 SH        12,114,431    300  11,181,323      11,150    922,258
TENNANT CO            COM         88034510        6,196     156,183 SH           156,183            135,288                 20,895
TENNECO AUTOMOTIVE I  COM         88034910       10,396     819,191 SH           819,191            656,059      93,032     70,100
TEPPCO PARTNERS L P   UT LTD PAR  87238410        2,785      66,360 SH            66,360             65,660                    700
TERADYNE INC          COM         88077010      154,186   6,470,251 SH         6,459,241 11,010   5,985,398      42,060    442,793
TERAYON COMMUNICATIO  COM         88077510        3,780   1,105,236 SH         1,105,236            960,936                144,300
TEREX CORP NEW        COM         88077910       56,508   1,528,496 SH         1,528,496          1,372,096      11,500    144,900
TERRA INDS INC        COM         88091510          361      58,340 SH            58,340             58,340
TESORO PETE CORP      COM         88160910       32,168   1,711,959 SH         1,711,959          1,606,859                105,100
TESSERA TECHNOLOGIES  COM         88164L10          696      38,094 SH            38,094             38,094
TETRA TECH INC NEW    COM         88162G10       30,165   1,405,629 SH         1,405,629          1,320,277                 85,352
TETRA TECHNOLOGIES I  COM         88162F10       10,354     396,254 SH           396,254            359,054                 37,200
TEVA PHARMACEUTICAL   ADR         88162420        7,603     119,985 SH           119,785    200      89,506      19,633     10,846
TEXAS CAPITAL BANCSH  COM         88224Q10          267      16,415 SH            16,415             16,415
TEXAS GENCO HLDGS IN  COM         88244310        5,768     161,354 SH           161,354            155,537                  5,817
TEXAS INDS INC        COM         88249110       15,076     417,042 SH           417,042            384,224                 32,818
TEXAS INSTRS INC      COM         88250810    1,459,342  49,943,270 SH        49,942,630    640  45,086,129     363,261  4,493,880
TEXAS REGL BANCSHARE  CL A VTG    88267310       21,484     504,907 SH           504,907            466,055                 38,852
TEXTRON INC           COM         88320310      230,954   4,345,333 SH         4,345,333          3,958,674      12,600    374,059
THERAGENICS CORP      COM         88337510        2,644     491,472 SH           491,472            444,522                 46,950
THERASENSE INC        COM         88338110       12,222     453,322 SH           453,322            412,722                 40,600
THERMO ELECTRON CORP  COM         88355610      120,942   4,276,592 SH         4,276,592          3,918,180       4,200    354,212
THESTREET COM         COM         88368Q10          815     179,015 SH           179,015            178,515                    500
THIRD WAVE TECHNOLOG  COM         88428W10        1,769     377,974 SH           377,974            368,174                  9,800
THOMAS & BETTS CORP   COM         88431510       37,460   1,716,778 SH         1,716,778          1,557,751         600    158,427
THOMAS INDS INC       COM         88442510        6,348     201,524 SH           201,524            167,924                 33,600
Page Total                                    3,110,870


                                                                   Page 57 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
THOMSON               SPONSORED   88511810          212      11,380 SH            11,380             11,380
THOR INDS INC         COM         88516010       19,388     721,817 SH           721,817            660,079                 61,738
THORATEC CORP         COM NEW     88517530       10,562     847,688 SH           847,688            769,138                 78,550
THORNBURG MTG INC     COM         88521810       23,258     747,846 SH           747,846            739,325                  8,521
THQ INC               COM NEW     87244340       13,595     672,041 SH           672,041            607,491                 64,550
THREE FIVE SYS INC    COM         88554L10        2,352     359,121 SH           359,121            314,321                 44,800
TIBCO SOFTWARE INC    COM         88632Q10       13,068   1,599,478 SH         1,599,478          1,465,478                134,000
TIDEWATER INC         COM         88642310       26,989     959,427 SH           958,967    460     948,571         460     10,396
TIER TECHNOLOGIES IN  CL B        88650Q10        2,565     239,985 SH           239,985            214,535                 25,450
TIERONE CORP          COM         88650R10        7,734     329,666 SH           329,666            296,566                 33,100
TIFFANY & CO NEW      COM         88654710      133,915   3,508,390 SH         3,508,290    100   3,236,198      23,983    248,209
TIMBERLAND CO         CL A        88710010       33,490     563,333 SH           563,233    100     509,721      23,700     29,912
TIME WARNER INC       COM         88731710    2,187,349 129,735,998 SH       129,734,078  1,920 117,848,688     368,157 11,519,153
TIME WARNER TELECOM   CL A        88731910        5,068     776,135 SH           776,135            650,323                125,812
TIMKEN CO             COM         88738910       12,671     545,474 SH           545,474            530,484                 14,990
TITAN CORP            COM         88826610       34,265   1,697,144 SH         1,697,044    100   1,566,044         100    131,000
TIVO INC              COM         88870610        6,325     711,487 SH           711,487            618,367                 93,120
TJX COS INC NEW       COM         87254010      351,239  14,301,265 SH        14,291,465  9,800  13,058,414      91,012  1,151,839
TLC VISION CORP       COM         87254910          243      21,185 SH            21,185             21,185
TOLL BROTHERS INC     COM         88947810       36,059     793,737 SH           793,437    300     781,068         300     12,369
TOLLGRADE COMMUNICAT  COM         88954210        5,377     336,913 SH           336,913            314,113                 22,800
TOMPKINSTRUSTCO INC   COM         89011010        6,044     132,846 SH           132,846            121,386                 11,460
TOO INC               COM         89033310       13,033     622,108 SH           622,108            568,658                 53,450
TOOTSIE ROLL INDS IN  COM         89051610       18,040     493,422 SH           493,419      3     475,910           3     17,509
TOPPS INC             COM         89078610        5,454     571,082 SH           571,082            519,982                 51,100
TORCHMARK CORP        COM         89102710      172,148   3,200,370 SH         3,200,370          2,983,622       6,253    210,495
TORO CO               COM         89109210       29,448     474,965 SH           474,965            431,579                 43,386
TORONTO DOMINION BK   COM NEW     89116050        3,441      97,899 SH            97,899             97,899
TOTAL S A             SPONSORED   89151E10       29,825     324,189 SH           323,659    530     215,759         530    107,900
TOTAL SYS SVCS INC    COM         89190610       12,673     601,477 SH           601,477            598,027                  3,450
TOWER AUTOMOTIVE INC  COM         89170710        5,215   1,034,726 SH         1,034,726            930,176                104,550
TOWN & CTRY TR        SH BEN INT  89208110       10,560     388,220 SH           388,220            344,734                 43,486
TOYOTA MOTOR CORP     SP ADR REP  89233130       21,774     292,266 SH           291,586    680     143,156         680    148,430
TOYS R US INC         COM         89233510       90,313   5,375,780 SH         5,375,780          4,882,887       5,100    487,793
TRACTOR SUPPLY CO     COM         89235610       22,133     571,626 SH           571,626            526,126                 45,500
TRADESTATION GROUP I  COM         89267P10        2,011     300,208 SH           300,208            271,308                 28,900
TRAMMELL CROW CO      COM         89288R10        7,584     540,561 SH           540,561            494,661                 45,900
TRANS WORLD ENTMT CO  COM         89336Q10        1,916     201,638 SH           201,638            201,138                    500
TRANSACTION SYS ARCH  CL A        89341610       22,267     962,276 SH           962,276            893,826                 68,450
TRANSATLANTIC HLDGS   COM         89352110       23,917     274,244 SH           274,244            268,945                  5,299
TRANSCONTINENTAL RLT  COM NEW     89361720          362      24,967 SH            24,967             23,367                  1,600
TRANSKARYOTIC THERAP  COM         89373510        9,296     540,448 SH           540,448            483,348                 57,100
TRANSMETA CORP DEL    COM         89376R10        8,045   2,031,464 SH         2,031,464          1,783,714                247,750
TRANSMONTAIGNE INC    COM         89393410        3,340     547,499 SH           547,499            501,899                 45,600
TRANSOCEAN INC        ORD         G9007810      207,852   7,452,551 SH         7,452,551          6,754,355       3,100    695,096
TRAVELERS PPTY CAS C  CL B        89420G40      489,076  28,319,416 SH        28,319,416         23,703,197   2,376,362  2,239,857
TRAVELERS PPTY CAS C  CL A        89420G10       49,520   2,887,437 SH         2,887,437            500,154   2,115,297    271,986
TRC COS INC           COM         87262510        4,428     236,674 SH           236,674            219,024                 17,650
TREDEGAR CORP         COM         89465010        7,704     526,611 SH           526,611            483,111                 43,500
TREND MICRO INC       SPONS ADR   89486M20          642      18,697 SH            18,697             18,697
TREX INC              COM         89531P10        4,709     138,066 SH           138,066            122,966                 15,100
TRI CONTL CORP        COM         89543610          735      42,721 SH            42,721              7,638                 35,083
TRIAD GTY INC         COM         89592510        7,282     138,040 SH           138,040            125,840                 12,200
Page Total                                    4,216,514


                                                                   Page 58 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
TRIAD HOSPITALS INC   COM         89579K10       31,170   1,011,361 SH         1,011,361            986,961                 24,400
TRIARC COS INC        CL B SER 1  89592730        6,256     570,847 SH           569,847  1,000     517,285       1,000     52,562
TRIBUNE CO NEW        COM         89604710      388,578   7,703,774 SH         7,703,674    100   6,957,124      20,011    726,639
TRICO BANCSHARES      COM         89609510        3,505      93,778 SH            93,778             85,678                  8,100
TRIDENT MICROSYSTEMS  COM         89591910          470      29,443 SH            29,443             29,443
TRIMBLE NAVIGATION L  COM         89623910       20,553     894,397 SH           894,397            820,897                 73,500
TRIMERIS INC          COM         89626310        3,748     254,078 SH           254,078            223,558                 30,520
TRINITY INDS INC      COM         89652210       21,593     776,717 SH           776,417    300     717,117         300     59,300
TRIPATH IMAGING INC   COM         89694210        3,620     395,142 SH           395,142            343,342                 51,800
TRIQUINT SEMICONDUCT  COM         89674K10       20,060   2,747,907 SH         2,747,907          2,510,457                237,450
TRITON PCS HLDGS INC  CL A        89677M10        2,186     398,146 SH           398,146            379,946                 18,200
TRIUMPH GROUP INC NE  COM         89681810        8,021     242,702 SH           242,702            218,441                 24,261
TRIZEC PROPERTIES IN  COM         89687P10       33,519   1,954,467 SH         1,954,467          1,866,747                 87,720
TRIZETTO GROUP INC    COM         89688210        4,248     548,153 SH           548,153            495,341                 52,812
TRM CORP              COM         87263610          225      12,519 SH            12,519             12,519
TRUST CO NJ JERSEY C  COM         89830410       17,615     424,349 SH           424,349            291,150     105,189     28,010
TRUSTCO BK CORP N Y   COM         89834910       18,734   1,391,830 SH         1,391,830          1,279,930                111,900
TRUSTMARK CORP        COM         89840210       16,128     555,741 SH           555,741            551,140                  4,601
TRW AUTOMOTIVE HLDGS  COM         87264S10          525      24,100 SH            24,100             24,100
TTM TECHNOLOGIES  IN  COM         87305R10        9,050     725,121 SH           725,121            712,222                 12,899
TUESDAY MORNING CORP  COM NEW     89903550       11,905     345,479 SH           345,479            323,514                 21,965
TULARIK INC           COM         89916510       21,440     873,327 SH           873,327            796,652                 76,675
TUMBLEWEED COMMUNICA  COM         89969010          296      42,231 SH            42,231             42,231
TUPPERWARE CORP       COM         89989610       21,028   1,180,710 SH         1,180,710          1,077,320                103,390
TWEETER HOME ENTMT G  COM         90116710        3,262     345,537 SH           345,537            311,237                 34,300
TXU CORP              COM         87316810      288,288  10,058,895 SH        10,058,895          9,385,713       7,900    665,282
TYCO INTL LTD NEW     COM         90212410    1,187,425  41,445,915 SH        41,444,915  1,000  36,894,916      48,510  4,502,489
TYLER TECHNOLOGIES I  COM         90225210        6,852     705,628 SH           705,628            644,341                 61,287
TYSON FOODS INC       CL A        90249410       78,825   4,367,049 SH         4,365,983  1,066   4,226,572       1,266    139,211
U S B HLDG INC        COM         90291010        8,260     336,602 SH           336,602            317,442                 19,160
U S CONCRETE INC      COM         90333L10          212      34,500 SH            34,500             34,500
U S G CORP            COM NEW     90329340       11,560     660,958 SH           660,958            597,558                 63,400
U S I HLDGS           COM         90333H10        7,199     483,782 SH           483,782            452,982                 30,800
U S PHYSICAL THERAPY  COM         90337L10        3,689     267,309 SH           267,309            248,659                 18,650
U S RESTAURANT PPTYS  COM         90297110        7,362     392,843 SH           392,843            357,443                 35,400
U S XPRESS ENTERPRIS  CL A        90338N10        1,450     100,926 SH           100,926            100,726                    200
UBIQUITEL INC         COM         90347430          261      74,028 SH            74,028             74,028
UBS AG                NAMEN AKT   H8920M85       78,104   1,048,520 SH         1,047,475  1,045     263,535     571,135    213,850
UCBH HOLDINGS INC     COM         90262T30       31,264     780,807 SH           780,807            719,489                 61,318
UGI CORP NEW          COM         90268110       17,360     527,335 SH           527,335            522,960                  4,375
UICI                  COM         90273710       12,977     879,210 SH           879,210            817,860                 61,350
UIL HLDG CORP         COM         90274810       10,604     220,143 SH           220,143            196,117                 24,026
ULTICOM INC           COM         90384410        2,248     218,877 SH           218,877            218,477                    400
ULTIMATE ELECTRS INC  COM         90384910        1,299     198,955 SH           198,955            175,205                 23,750
ULTRA PETROLEUM CORP  COM         90391410        2,715      90,475 SH            90,475             90,475
ULTRALIFE BATTERIES   COM         90389910          238      11,200 SH            11,200             11,200
ULTRATECH INC         COM         90403410        9,383     400,993 SH           400,993            356,243                 44,750
UMB FINL CORP         COM         90278810       16,841     332,162 SH           332,162            307,662                 24,500
UMPQUA HLDGS CORP     COM         90421410        9,731     481,964 SH           481,964            438,279                 43,685
UNIBANCO-UNIAO DE BA  GDR REP PF  90458E10        4,976     203,346 SH           203,346            140,788      36,668     25,890
UNIFI INC             COM         90467710        3,502     790,533 SH           790,533            703,183                 87,350
UNIFIRST CORP MASS    COM         90470810        4,471     162,096 SH           162,096            139,396                 22,700
UNILEVER N V          N Y SHS NE  90478470        2,378      34,251 SH            33,951    300      33,681         300        270
Page Total                                    2,477,209


                                                                   Page 59 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
UNILEVER PLC          SPON ADR N  90476770        1,371      34,014 SH            34,014             34,014
UNION BANKSHARES COR  COM         90539910        5,397     167,401 SH           167,401            155,395                 12,006
UNION PAC CORP        COM         90781810      403,918   6,752,222 SH         6,752,222          6,249,406       6,200    496,616
UNION PLANTERS CORP   COM         90806810      158,481   5,309,257 SH         5,309,257          4,910,020      12,583    386,654
UNIONBANCAL CORP      COM         90890610       64,321   1,227,730 SH         1,227,730          1,161,247      37,400     29,083
UNISOURCE ENERGY COR  COM         90920510       13,547     551,358 SH           551,358            506,958                 44,400
UNISYS CORP           COM         90921410      117,760   8,246,506 SH         8,246,306    200   7,540,373      53,100    653,033
UNIT CORP             COM         90921810       18,521     675,444 SH           675,444            605,094                 70,350
UNITED AUTO GROUP IN  COM         90944010        8,192     299,415 SH           299,415            271,165                 28,250
UNITED BANKSHARES IN  COM         90990710       13,749     450,798 SH           450,798            447,798                  3,000
UNITED BUSINESS MEDI  ADR         90969M10          202      22,412 SH            22,412             22,412
UNITED CAPITAL CORP   COM         90991210          986      45,049 SH            45,049             44,949                    100
UNITED CMNTY BKS BLA  CAP STK     90984P10       10,781     302,916 SH           302,916            277,166                 25,750
UNITED CMNTY FINL CO  COM         90983910        5,764     435,330 SH           435,330            398,790                 36,540
UNITED DEFENSE INDS   COM         91018B10       13,481     424,054 SH           424,054            385,004      22,000     17,050
UNITED DOMINION REAL  COM         91019710       50,264   2,561,889 SH         2,561,889          2,477,832                 84,057
UNITED FIRE & CAS CO  COM         91033110        5,712     135,171 SH           135,171            123,871                 11,300
UNITED INDL CORP      COM         91067110        3,325     175,533 SH           175,533            152,133                 23,400
UNITED MICROELECTRON  SPONSORED   91087320          748     143,893 SH           143,893            143,893
UNITED MOBILE HOMES   COM         91102410        1,648     102,315 SH           102,315             79,015                 23,300
UNITED NAT FOODS INC  COM         91116310       17,203     355,660 SH           355,660            321,310                 34,350
UNITED ONLINE INC     COM         91126810       18,591   1,105,286 SH         1,105,286          1,032,111                 73,175
UNITED PANAM FINANCI  COM         91130110        1,210      75,680 SH            75,680             75,480                    200
UNITED PARCEL SERVIC  CL B        91131210    1,792,060  25,659,512 SH        25,659,072    440  23,290,809     209,569  2,159,134
UNITED RENTALS INC    COM         91136310       23,385   1,315,996 SH         1,315,996          1,228,896                 87,100
UNITED SEC BANCSHARE  SHS         91145910        2,505      93,416 SH            93,416             84,316                  9,100
UNITED SECURITY BANC  COM         91146010        1,164      47,138 SH            47,138             47,038                    100
UNITED STATES CELLUL  COM         91168410        8,730     225,866 SH           225,866            224,861         100        905
UNITED STATES STL CO  COM         91290910      192,060   5,153,199 SH         5,153,199          4,681,508      91,600    380,091
UNITED STATIONERS IN  COM         91300410       41,701     990,512 SH           990,512            932,660                 57,852
UNITED SURGICAL PART  COM         91301630       11,419     336,748 SH           336,748            310,898                 25,850
UNITED TECHNOLOGIES   COM         91301710    5,208,005  60,347,684 SH        60,347,484    200  17,583,538  41,648,515  1,115,631
UNITED THERAPEUTICS   COM         91307C10        7,153     300,173 SH           300,173            273,111                 27,062
UNITED UTILS PLC      SPONSORED   91311Q10          255      13,071 SH            13,071             13,071
UNITEDGLOBALCOM       CL A        91324750       12,004   1,413,951 SH         1,413,951          1,407,659                  6,292
UNITEDHEALTH GROUP I  COM         91324P10    1,172,425  18,194,053 SH        18,193,653    400  16,586,600     173,720  1,433,733
UNITRIN INC           COM         91327510       32,193     750,408 SH           750,408            726,815                 23,593
UNIVERSAL AMERN FINL  COM         91337710        5,357     446,457 SH           446,457            405,707                 40,750
UNIVERSAL COMPRESSIO  COM         91343110       10,496     319,027 SH           319,027            283,577                 35,450
UNIVERSAL CORP VA     COM         91345610       22,257     437,963 SH           437,963            427,123                 10,840
UNIVERSAL DISPLAY CO  COM         91347P10        3,511     273,653 SH           273,653            244,253                 29,400
UNIVERSAL ELECTRS IN  COM         91348310        2,957     224,001 SH           224,001            198,601                 25,400
UNIVERSAL FST PRODS   COM         91354310        8,843     287,944 SH           287,944            264,994                 22,950
UNIVERSAL HEALTH RLT  SH BEN INT  91359E10        6,066     179,990 SH           179,990            160,840                 19,150
UNIVERSAL HLTH SVCS   CL B        91390310       32,623     708,119 SH           707,919    200     695,021         200     12,898
UNIVISION COMMUNICAT  CL A        91490610      235,522   7,134,870 SH         7,130,860  4,010   6,508,364      10,369    616,137
UNIZAN FINANCIAL COR  COM         91528W10        9,743     391,127 SH           391,127            360,027                 31,100
UNOCAL CORP           COM         91528910      260,892   6,998,176 SH         6,998,176          6,501,233       2,800    494,143
UNOVA INC             COM         91529B10       19,113     884,460 SH           884,460            816,911                 67,549
UNUMPROVIDENT CORP    COM         91529Y10      112,856   7,713,995 SH         7,713,995          7,002,023       7,350    704,622
UPM KYMMENE CORP      SPONSORED   91543610          462      24,986 SH            24,986             24,986
URBAN OUTFITTERS INC  COM         91704710       23,906     497,423 SH           497,423            460,823                 36,600
URS CORP NEW          COM         90323610       11,598     403,001 SH           403,001            363,274                 39,727
Page Total                                   10,206,433


                                                                   Page 60 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
URSTADT BIDDLE PPTYS  CL A        91728620        5,820     352,734 SH           352,734            313,384                 39,350
URSTADT BIDDLE PPTYS  COM         91728610          294      19,772 SH            19,772             19,772
US BANCORP DEL        COM NEW     90297330    1,477,932  53,451,433 SH        53,450,550    883  48,258,018     211,593  4,981,822
US LEC CORP           CL A        90331S10          210      36,550 SH            36,550             36,550
US ONCOLOGY INC       COM         90338W10       31,043   2,098,903 SH         2,098,903          1,980,353                118,550
USANA HEALTH SCIENCE  COM         90328M10        4,499     192,862 SH           192,862            172,462                 20,400
USEC INC              COM         90333E10       11,854   1,402,854 SH         1,402,854          1,283,804                119,050
USF CORP              COM         91729Q10       16,267     474,128 SH           474,128            431,271                 42,857
UST INC               COM         90291110      126,126   3,493,806 SH         3,493,806          3,339,000      23,401    131,405
UTSTARCOM INC         COM         91807610       19,496     678,109 SH           678,109            672,232                  5,877
V F CORP              COM         91820410      144,678   3,098,021 SH         3,097,921    100   2,844,824       2,400    250,797
VAIL RESORTS INC      COM         91879Q10        5,511     349,712 SH           349,712            324,012                 25,700
VALASSIS COMMUNICATI  COM         91886610       18,532     609,594 SH           609,594            586,146                 23,448
VALASSIS COMMUNICATI  NOTE        918866AH          603   1,000,000 SH         1,000,000          1,000,000
VALEANT PHARMACEUTIC  COM         91911X10       36,107   1,512,665 SH         1,512,665          1,487,581         250     24,834
VALENCE TECHNOLOGY I  COM         91891410        3,912     875,107 SH           875,107            793,307                 81,800
VALERO ENERGY CORP N  COM         91913Y10      108,669   1,812,356 SH         1,812,119    237   1,749,762         237     62,357
VALERO L P            COM UT LTD  91913W10          728      13,300 SH            13,300             13,300
VALHI INC NEW         COM         91890510        6,264     496,341 SH           496,341            463,441                 32,900
VALLEY NATL BANCORP   COM         91979410       27,407     979,858 SH           979,858            967,261                 12,597
VALMONT INDS INC      COM         92025310        6,690     334,852 SH           334,852            312,502                 22,350
VALSPAR CORP          COM         92035510       37,040     752,392 SH           752,292    100     729,122         400     22,870
VALUE LINE INC        COM         92043710        2,156      40,886 SH            40,886             33,615                  7,271
VALUECLICK INC        COM         92046N10       12,481   1,155,644 SH         1,155,644          1,048,244                107,400
VALUEVISION MEDIA IN  CL A        92047K10        4,928     321,026 SH           321,026            282,526                 38,500
VANS INC              COM         92193010        5,819     393,207 SH           393,207            367,007                 26,200
VARCO INTL INC DEL    COM         92212210       22,792   1,265,518 SH         1,265,518          1,247,199                 18,319
VARIAN INC            COM         92220610       38,283     953,016 SH           953,016            902,966                 50,050
VARIAN MED SYS INC    COM         92220P10       96,411   1,117,033 SH         1,116,873    160   1,070,686       1,060     45,287
VARIAN SEMICONDUCTOR  COM         92220710       24,950     594,617 SH           594,617            542,974                 51,643
VASTERA INC           COM         92239N10        1,835     472,966 SH           472,966            403,419                 69,547
VAXGEN INC            COM NEW     92239020          608      53,653 SH            53,653             53,653
VCA ANTECH INC        COM         91819410       19,022     533,878 SH           533,878            487,678                 46,200
VECTOR GROUP LTD      COM         92240M10        6,012     353,652 SH           353,652            352,037                  1,615
VECTREN CORP          COM         92240G10       29,332   1,188,958 SH         1,188,958          1,143,992      30,200     14,766
VEECO INSTRS INC DEL  COM         92241710       12,901     459,748 SH           459,748            418,849                 40,899
VENTANA MED SYS INC   COM         92276H10        8,834     215,673 SH           215,673            195,423                 20,250
VENTAS INC            COM         92276F10       46,201   1,681,271 SH         1,681,271          1,567,721                113,550
VENTIV HEALTH INC     COM         92279310          364      26,150 SH            26,150             26,150
VERINT SYS INC        COM         92343X10        3,822     123,705 SH           123,705            115,805                  7,900
VERISIGN INC          COM         92343E10       48,378   2,916,078 SH         2,916,078          2,745,125       3,300    167,653
VERISITY LTD          ORD         M9738511          203      21,990 SH            21,990             21,990
VERITAS DGC INC       COM         92343P10       18,874     911,794 SH           911,794            857,494                 54,300
VERITAS SOFTWARE CO   COM         92343610      310,492  11,538,167 SH        11,537,827    340  10,464,819      95,492    977,856
VERITY INC            COM         92343C10        5,418     396,323 SH           396,323            357,073                 39,250
VERIZON COMMUNICATIO  COM         92343V10    2,893,093  79,176,051 SH        79,174,751  1,300  71,619,683     295,356  7,261,012
VERSO TECHNOLOGIES I  COM         92531710        2,907   1,762,062 SH         1,762,062          1,641,562                120,500
VERTEX PHARMACEUTICA  COM         92532F10       15,499   1,645,337 SH         1,645,337          1,514,837                130,500
VIACOM INC            CL B        92552430    1,829,623  46,662,151 SH        46,661,791    360  42,468,658     161,938  4,031,555
VIACOM INC            CL A        92552410        1,050      26,552 SH            26,552              9,269                 17,283
VIAD CORP             COM         92552R10       30,241   1,251,188 SH         1,250,988    200   1,208,165       1,000     42,023
VIASAT INC            COM         92552V10       10,628     427,180 SH           427,180            396,030                 31,150
VIASYS HEALTHCARE IN  COM NEW     92553Q20       11,243     497,034 SH           497,034            448,788          94     48,152
Page Total                                    7,604,082


                                                                   Page 61 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
VICOR CORP            COM         92581510        4,841     394,509 SH           394,509            360,559                 33,950
VICURON PHARMACEUTIC  COM         92647110       17,862     785,122 SH           785,122            721,761                 63,361
VIGNETTE CORP         COM         92673410        7,562   3,652,989 SH         3,652,989          3,258,739                394,250
VINTAGE PETE INC      COM         92746010       14,748   1,005,981 SH         1,005,981            930,581                 75,400
VIRAGE LOGIC CORP     COM         92763R10        2,012     217,549 SH           217,549            189,829                 27,720
VIRGINIA COMM BANCOR  COM         92778Q10        2,410      80,991 SH            80,991             75,191                  5,800
VIRGINIA FINL GROUP   COM         92781010        4,153     119,509 SH           119,509            108,709                 10,800
VISHAY INTERTECHNOLO  COM         92829810       48,151   2,256,362 SH         2,253,762  2,600   2,223,212       2,950     30,200
VISTACARE INC         CL A        92839Y10        5,328     197,036 SH           197,036            179,836                 17,200
VISTEON CORP          COM         92839U10       41,362   4,322,010 SH         4,322,010          3,751,706       1,600    568,704
VISX INC DEL          COM         92844S10       25,609   1,311,914 SH         1,311,914          1,231,914                 80,000
VITAL IMAGES INC      COM         92846N10        1,268     125,840 SH           125,840            113,040                 12,800
VITAL SIGNS INC       COM         92846910        3,753     111,675 SH           111,675            102,275                  9,400
VITALWORKS INC        COM         92848310        2,189     580,709 SH           580,709            520,959                 59,750
VITESSE SEMICONDUCTO  COM         92849710       25,682   3,617,142 SH         3,617,142          3,273,062                344,080
VITRIA TECHNOLOGY     COM NEW     92849Q40        1,716     291,828 SH           291,828            287,528                  4,300
VIVENDI UNIVERSAL     SPON ADR N  92851S20        1,024      38,594 SH            38,594             38,594
VIVUS INC             COM         92855110        3,815     620,367 SH           620,367            564,142                 56,225
VODAFONE GROUP PLC N  SPONSORED   92857W10       45,756   1,914,492 SH         1,910,492  4,000   1,228,592       4,000    681,900
VOLT INFORMATION SCI  COM         92870310        4,225     172,862 SH           172,862            154,112                 18,750
VOLVO AKTIEBOLAGET    ADR B       92885640          488      14,767 SH            14,767             14,767
VORNADO RLTY TR       SH BEN INT  92904210      121,823   2,014,271 SH         2,014,271          1,920,701       1,300     92,270
VOTORANTIM CELULOSE   SPONSORED   92906P10        2,346      67,424 SH            67,424             45,520      13,848      8,056
VULCAN MATLS CO       COM         92916010      132,425   2,791,427 SH         2,791,427          2,571,305       2,300    217,822
W HLDG CO INC         COM         92925110       23,679   1,266,952 SH         1,266,952          1,167,466                 99,486
W P CAREY & CO LLC    COM         92930Y10        1,164      37,618 SH            37,618             37,618
WABASH NATL CORP      COM         92956610       19,525     827,329 SH           827,329            780,029                 47,300
WABTEC CORP           COM         92974010        8,055     565,634 SH           565,634            512,834                 52,800
WACHOVIA CORP 2ND NE  COM         92990310    1,830,602  38,948,979 SH        38,948,379    600  35,206,750     182,869  3,559,360
WADDELL & REED FINL   CL A        93005910       25,416   1,036,534 SH         1,036,534          1,022,267                 14,267
WAL MART STORES INC   COM         93114210    6,466,073 108,327,581 SH       108,319,931  7,650  99,519,047     793,070  8,015,464
WALGREEN CO           COM         93142210      890,249  27,018,193 SH        27,017,593    600  24,364,386     206,940  2,446,867
WALTER INDS INC       COM         93317Q10        6,294     527,123 SH           527,123            457,613                 69,510
WARNACO GROUP INC     COM NEW     93439040       11,945     594,582 SH           594,582            544,282                 50,300
WARWICK CMNTY BANCOR  COM         93655910        1,828      54,448 SH            54,448             48,348                  6,100
WARWICK VALLEY TEL C  COM         93675010        2,033      79,650 SH            79,650             68,900                 10,750
WASHINGTON FED INC    COM         93882410       32,029   1,254,563 SH         1,254,563          1,239,496         363     14,704
WASHINGTON GROUP INT  COM NEW     93886220       14,475     394,955 SH           394,955            358,455                 36,500
WASHINGTON MUT INC    COM         93932210    1,090,141  25,524,265 SH        25,523,866    399  23,306,495      60,306  2,157,464
WASHINGTON POST CO    CL B        93964010       83,211      94,087 SH            94,067     20      90,347          20      3,720
WASHINGTON REAL ESTA  SH BEN INT  93965310       30,301     933,779 SH           933,779            863,303                 70,476
WASHINGTON TR BANCOR  COM         94061010        5,623     212,988 SH           212,988            187,388                 25,600
WASTE CONNECTIONS IN  COM         94105310       20,537     515,997 SH           515,897    100     471,697         100     44,200
WASTE MGMT INC DEL    COM         94106L10      567,737  18,811,683 SH        18,811,383    300  14,194,534   3,420,847  1,196,302
WATCHGUARD TECHNOLOG  COM         94110510        4,275     545,317 SH           545,317            494,217                 51,100
WATERS CORP           COM         94184810      143,178   3,505,817 SH         3,505,817          3,188,755      27,132    289,930
WATSCO INC            COM         94262220       11,835     408,087 SH           408,087            378,587                 29,500
WATSON PHARMACEUTICA  COM         94268310      130,321   3,045,596 SH         3,045,596          2,842,865       1,150    201,581
WATSON WYATT & CO HL  CL A        94271210       15,640     619,658 SH           619,658            569,008                 50,650
WATTS WATER TECHNOLO  CL A        94274910        5,366     229,401 SH           229,401            211,251                 18,150
WAUSAU-MOSINEE PAPER  COM         94331510        9,745     691,632 SH           691,632            622,132                 69,500
WAYNE BANCORP INC OH  COM         94429310        2,145      90,707 SH            90,707             82,017                  8,690
WAYPOINT FINL CORP    COM         94675610       14,498     540,562 SH           540,562            479,410                 61,152
Page Total                                   11,988,468


                                                                   Page 62 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
WCI CMNTYS INC        COM         92923C10        7,980     318,818 SH           318,818            295,418                 23,400
WD-40 CO              COM         92923610       10,748     307,078 SH           307,078            278,628                 28,450
WEATHERFORD INTERNAT  COM         G9508910       30,854     734,084 SH           734,084            671,531                 62,553
WEBEX COMMUNICATIONS  COM         94767L10       23,470     789,426 SH           789,426            747,926                 41,500
WEBMD CORP            COM         94769M10       28,488   3,204,501 SH         3,204,501          3,161,510         550     42,441
WEBMETHODS INC        COM         94768C10        7,951     849,427 SH           849,427            728,497                120,930
WEBSENSE INC          COM         94768410       20,194     681,999 SH           681,999            646,949                 35,050
WEBSTER FINL CORP CO  COM         94789010       36,572     721,204 SH           721,204            712,565         300      8,339
WEIGHT WATCHERS INTL  COM         94862610       20,616     487,727 SH           487,727            484,301                  3,426
WEINGARTEN RLTY INVS  SH BEN INT  94874110       42,404   1,225,558 SH         1,225,558          1,179,780                 45,778
WEIS MKTS INC         COM         94884910        7,138     211,507 SH           211,507            190,446                 21,061
WELLCHOICE INC        COM         94947510        7,943     215,248 SH           215,248            214,148                  1,100
WELLMAN INC           COM         94970210        5,593     669,835 SH           669,835            613,035                 56,800
WELLPOINT HEALTH NET  COM         94973H10      498,245   4,381,333 SH         4,381,333          4,032,616       9,538    339,179
WELLS FARGO & CO NEW  COM         94974610    2,708,007  47,785,553 SH        47,781,821  3,732  43,384,353     135,871  4,265,329
WELLSFORD REAL PPTYS  COM NEW     95024020          316      17,339 SH            17,339             17,339
WENDYS INTL INC       COM         95059010      147,581   3,626,963 SH         3,626,963          3,310,279      12,800    303,884
WERNER ENTERPRISES I  COM         95075510       16,311     860,759 SH           860,009    750     848,053         750     11,956
WESBANCO INC          COM         95081010       12,750     420,114 SH           420,114            389,164                 30,950
WESCO FINL CORP       COM         95081710       13,124      33,913 SH            33,913             31,779                  2,134
WESCO INTL INC        COM         95082P10        4,334     290,864 SH           290,864            289,864                  1,000
WEST BANCORPORATION   CAP STK     95123P10        4,142     245,072 SH           245,072            219,472                 25,600
WEST COAST BANCORP O  COM         95214510        7,676     337,414 SH           337,414            314,764                 22,650
WEST CORP             COM         95235510        7,329     293,152 SH           293,152            286,859       3,200      3,093
WEST MARINE INC       COM         95423510        6,705     210,521 SH           210,521            191,071                 19,450
WEST PHARMACEUTICAL   COM         95530610        7,520     201,067 SH           201,067            174,089                 26,978
WESTAMERICA BANCORPO  COM         95709010       21,913     434,267 SH           434,267            427,968                  6,299
WESTAR ENERGY INC     COM         95709T10       32,090   1,531,032 SH         1,531,032          1,408,711                122,321
WESTBANK CORP         COM         95711610          556      24,279 SH            24,279             24,279
WESTCORP INC          COM         95790710       13,672     310,237 SH           310,237            288,187                 22,050
WESTELL TECHNOLOGIES  CL A        95754110        9,630   1,319,148 SH         1,319,148          1,194,458                124,690
WESTERN DIGITAL CORP  COM         95810210       23,071   2,054,435 SH         2,054,435          2,036,635                 17,800
WESTERN GAS RES INC   COM         95825910       15,821     311,128 SH           311,128            305,828                  5,300
WESTERN SIERRA BANCO  COM         95952210        2,465      56,088 SH            56,088             48,968                  7,120
WESTERN WIRELESS COR  CL A        95988E20       27,165   1,161,377 SH         1,161,377          1,053,949                107,428
WESTFIELD FINANCIAL   COM         96008D10        1,611      65,420 SH            65,420             65,220                    200
WESTMORELAND COAL CO  COM         96087810        1,771      96,526 SH            96,526             84,326                 12,200
WESTPAC BKG CORP      SPONSORED   96121430        1,064      15,897 SH            15,897             15,897
WESTPORT RES CORP NE  COM         96141810       13,955     423,006 SH           423,006            402,428      17,200      3,378
WESTWOOD ONE INC      COM         96181510       40,823   1,386,164 SH         1,385,964    200   1,368,364         200     17,600
WET SEAL INC          CL A        96184010        3,197     387,516 SH           387,516            346,616                 40,900
WEYCO GROUP INC       COM         96214910        1,865      50,416 SH            50,416             44,616                  5,800
WEYERHAEUSER CO       COM         96216610      397,252   6,064,909 SH         6,064,709    200   5,616,585      14,055    434,269
WFS FINL INC          COM         92923B10       11,891     274,489 SH           274,489            256,958                 17,531
WGL HLDGS INC         COM         92924F10       19,962     663,202 SH           663,202            642,542                 20,660
W-H ENERGY SVCS INC   COM         92925E10        5,790     400,152 SH           400,152            365,252                 34,900
WHIRLPOOL CORP        COM         96332010      122,859   1,783,919 SH         1,783,919          1,621,285      11,134    151,500
WHITE ELECTR DESIGNS  COM         96380110        3,693     481,486 SH           481,486            453,186                 28,300
WHITE MTNS INS GROUP  COM         G9618E10        5,586      10,651 SH            10,651             10,057                    594
WHITEHALL JEWELLERS   COM         96506310        1,716     187,728 SH           187,728            167,728                 20,000
WHITING PETE CORP NE  COM         96638710          510      21,600 SH            21,600             21,600
WHITNEY HLDG CORP     COM         96661210       16,589     397,426 SH           397,426            394,729                  2,697
WHOLE FOODS MKT INC   COM         96683710       58,853     785,228 SH           785,088    140     751,691         140     33,397
Page Total                                    4,539,361


                                                                   Page 63 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
WILD OATS MARKETS IN  COM         96808B10        5,342     451,588 SH           451,588            408,788                 42,800
WILEY JOHN & SONS IN  CL A        96822320       20,573     687,373 SH           687,373            679,342                  8,031
WILLIAMS CLAYTON ENE  COM         96949010        2,530      72,915 SH            72,915             63,415                  9,500
WILLIAMS COS INC DEL  COM         96945710      140,066  14,635,960 SH        14,635,960         13,582,369      12,794  1,040,797
WILLIAMS SONOMA INC   COM         96990410       44,200   1,292,396 SH         1,292,196    200   1,269,695         200     22,501
WILLIS GROUP HOLDING  SHS         G9665510          835      22,454 SH            21,014  1,440      19,997       1,440      1,017
WILLOW GROVE BANCORP  COM         97111W10        2,990     166,114 SH           166,114            147,314                 18,800
WILMINGTON TRUST COR  COM         97180710       31,859     852,516 SH           852,516            839,344                 13,172
WILSON GREATBATCH TE  COM         97223210       20,267     558,626 SH           558,626            513,676                 44,950
WILSONS THE LEATHER   COM         97246310          606     213,484 SH           213,484            212,784                    700
WIND RIVER SYSTEMS I  COM         97314910       17,476   1,578,677 SH         1,578,677          1,392,307                186,370
WINN DIXIE STORES IN  COM         97428010       29,947   3,940,433 SH         3,940,433          3,651,413       1,700    287,320
WINNEBAGO INDS INC    COM         97463710       22,668     727,232 SH           727,232            681,522                 45,710
WINSTON HOTELS INC    COM         97563A10        5,655     536,532 SH           536,532            496,689                 39,843
WINTRUST FINANCIAL C  COM         97650W10       19,545     401,913 SH           400,548  1,365     375,598       1,365     24,950
WIPRO LTD             SPON ADR 1  97651M10          466      11,049 SH            11,049             11,049
WIRELESS FACILITIES   COM         97653A10        6,486     589,086 SH           589,086            543,186                 45,900
WISCONSIN ENERGY COR  COM         97665710       56,009   1,742,103 SH         1,741,703    400   1,693,422         400     48,281
WITNESS SYS INC       COM         97742410          574      44,441 SH            44,441             44,441
WMS INDS INC          COM         92929710       14,411     464,873 SH           464,873            422,123                 42,750
WOLVERINE WORLD WIDE  COM         97809710       25,995   1,077,297 SH         1,077,297          1,013,047                 64,250
WOODHEAD INDS INC     COM         97943810        2,883     192,300 SH           192,300            175,000                 17,300
WOODWARD GOVERNOR CO  COM         98074510       11,503     180,470 SH           180,470            167,370                 13,100
WORLD ACCEP CORP DEL  COM         98141910        5,250     267,716 SH           267,716            244,516                 23,200
WORLD FUEL SVCS CORP  COM         98147510        6,864     186,881 SH           186,881            167,631                 19,250
WORLD WRESTLING ENTM  CL A        98156Q10        3,048     210,947 SH           210,947            179,997                 30,950
WORTHINGTON INDS INC  COM         98181110       41,838   2,182,496 SH         2,182,496          2,052,135       1,000    129,361
WPP GROUP PLC         SPON ADR N  92930930        5,061      99,406 SH            99,406             99,398                      8
WPS RESOURCES CORP    COM         92931B10       22,702     474,935 SH           474,935            468,224                  6,711
WRIGHT MED GROUP INC  COM         98235T10       15,394     501,421 SH           501,421            479,221                 22,200
WRIGLEY WM JR CO      COM         98252610      308,246   5,213,912 SH         5,213,912          4,749,494      35,261    429,157
WSFS FINL CORP        COM         92932810        5,867     116,939 SH           116,939            101,719                 15,220
WYETH                 COM         98302410    1,294,049  34,462,032 SH        34,461,612    420  31,491,726     230,282  2,740,024
WYNN RESORTS LTD      COM         98313410       10,239     292,555 SH           292,555            271,385                 21,170
XCEL ENERGY INC       COM         98389B10      199,397  11,195,792 SH        11,195,792         10,438,413      10,200    747,179
XEROX CORP            COM         98412110      716,748  49,193,394 SH        49,193,194    200  20,885,149  26,361,061  1,947,184
XICOR INC             COM         98490310        6,947     456,460 SH           456,460            409,310                 47,150
XILINX INC            COM         98391910      414,316  10,972,342 SH        10,971,822    520   9,909,034      87,996    975,312
XL CAP LTD            CL A        G9825510      189,244   2,488,740 SH         2,488,740          2,237,654       3,200    247,886
XM SATELLITE RADIO H  CL A        98375910       36,275   1,298,766 SH         1,298,766          1,283,896                 14,870
XOMA LTD              ORD         G9825R10          528     102,778 SH           102,778            102,778
X-RITE INC            COM         98385710        5,371     359,051 SH           359,051            328,251                 30,800
XTO ENERGY INC        COM         98385X10       97,191   3,850,690 SH         3,850,190    500   3,738,788         500    111,402
YADKIN VY BK&TR CO E  COM         98430810        1,990     117,943 SH           117,943            106,343                 11,600
YAHOO INC             COM         98433210      823,214  16,983,993 SH        16,983,643    350  15,358,468     111,648  1,513,877
YANKEE CANDLE INC     COM         98475710       15,082     546,836 SH           546,836            487,406                 59,430
YARDVILLE NATL BANCO  COM         98502110        3,249     131,522 SH           131,522            116,722                 14,800
YELLOW ROADWAY CORP   COM         98557710       24,694     732,746 SH           732,306    440     652,302         440     80,004
YORK INTL CORP NEW    COM         98667010       42,305   1,076,189 SH         1,075,989    200   1,012,789         200     63,200
YOUNG BROADCASTING I  CL A        98743410        4,221     233,231 SH           233,231            208,931                 24,300
YOUNG INNOVATIONS IN  COM         98752010        2,689      75,807 SH            75,807             66,307                  9,500
YUM BRANDS INC        COM         98849810      412,607  10,860,936 SH        10,860,736    200   6,927,689   3,448,902    484,345
ZALE CORP NEW         COM         98885810       72,368   1,175,756 SH         1,175,656    100     791,150     331,756     52,850
Page Total                                    5,269,880


                                                                   Page 64 of 65





                                                   State Street Corporation (STT)
                                                     SEC13F Report - March 2004
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 INVESTMENT
                       TITLE OF               VALUE       SHRS OR   SH/ PUT/     DISCRETION              VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP     (x$1000)     PRN AMT   PRN CALL   SHARED    OTHER     SOLE       SHARED       NONE
--------------------  ----------  --------  ----------- ----------- --- ---- ----------- ------ ----------- ----------- ----------
                                                                                       
ZEBRA TECHNOLOGIES C  CL A        98920710       41,546     598,908 SH           598,758    150     590,506         150      8,252
ZENITH NATL INS CORP  COM         98939010        7,004     178,684 SH           178,684            157,715                 20,969
ZHONE TECHNOLOGIES I  COM         98950P10        2,213     568,794 SH           568,794            546,107                 22,687
ZIMMER HLDGS INC      COM         98956P10      477,663   6,474,156 SH         6,474,086     70   5,845,819      46,602    581,735
ZIONS BANCORPORATION  COM         98970110      135,799   2,378,260 SH         2,378,160    100   2,217,817       2,100    158,343
ZIX CORP              COM         98974P10          857      58,765 SH            58,765             58,765
ZOLL MED CORP         COM         98992210        5,714     143,724 SH           143,724            131,024                 12,700
ZORAN CORP            COM         98975F10       12,515     721,346 SH           721,346            650,225                 71,121
ZYGO CORP             COM         98985510        4,374     279,863 SH           279,863            241,013                 38,850
ZYMOGENETICS INC      COM         98985T10        3,825     247,381 SH           247,381            229,881                 17,500
Page Total                                      691,511
Grand Total                                 406,473,430

TOTAL MARKET VALUE                          406,473,430


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