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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2006
                                               ---------------------------

Check here if Amendment [ ]; Amendment Number:
                                                 -------
This Amendment (Check only one.):   [ ] is a restatement.
                                    [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:       Piper Jaffray Companies
            ------------------------------------------
Address:    800 Nicollet Mall
            ------------------------------------------
            Suite 800
            ------------------------------------------
            Minneapolis, MN 55402-7020
            ------------------------------------------


 Form 13F File Number: 28-10776
                          -------------

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

Person Signing this Report on Behalf of Reporting Manager:

Name:     Tim Carter
          --------------------------------------------
Title:    Controller
          --------------------------------------------
Phone:    612-303-6000
          --------------------------------------------

Signature, Place, and Date of Signing:

/s/ Tim Carter                  Minneapolis, MN                    4/28/06
---------------------  --------------------------------------   ---------------
[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:                         0
                                              -----------------------

Form 13F Information Table Entry Total:                1,789
                                              -----------------------

Form 13F Information Table Value Total:      $       583,838
                                              -----------------------
                                                    (thousands)


List of Other Included Managers:


Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report. NONE







COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
24/7 REAL MEDIA INC           COM NEW          901314203          1       100 SH          SOLE                     100
3COM CORP                     COM              885535104          1       280 SH          SOLE                      55           225
3M CO                         COM              88579Y101      2,577    34,045 SH          SOLE                                34,045
51JOB INC                     SP ADR REP COM   316827104          2       145 SH          SOLE                                   145
A D C TELECOMMUNICATIONS      COM NEW          000886309      2,428    94,887 SH          SOLE                     100        94,787
A S V INC                     COM              001963107         18       560 SH          SOLE                                   560
ABAXIS INC                    COM              002567105          5       210 SH          SOLE                                   210
ABB LTD                       SPONSORED ADR    000375204         70     5,600 SH          SOLE                                 5,600
ABBEY NATL PLC                ADR PRF B7.375   002920700          8       300 SH          SOLE                                   300
ABBOTT LABS                   COM              002824100      2,098    49,389 SH          SOLE                                49,389
ABERDEEN ASIA PACIFIC INCOM   COM              003009107         26     4,300 SH          SOLE                                 4,300
ABGENIX INC                   COM              00339B107          7       298 SH          SOLE                     298
ABIOMED INC                   COM              003654100         13     1,000 SH          SOLE                                 1,000
ABX AIR INC                   COM              00080S101          4       615 SH          SOLE                                   615
ACACIA RESH CORP              COMBIMTRX  COM   003881208          3     1,091 SH          SOLE                   1,091
ACCENTURE LTD BERMUDA         CL A             G1150G111        175     5,825 SH          SOLE                                 5,825
ACCO BRANDS CORP              COM              00081T108          3       117 SH          SOLE                                   117
ACE LTD                       ORD              G0070K103         47       900 SH          SOLE                                   900
ACM INCOME FUND INC           COM              000912105         19     2,403 SH          SOLE                                 2,403
ACORDA THERAPEUTICS INC       COM              00484M106          3       552 SH          SOLE                     552
ACTIVISION INC NEW            COM NEW          004930202          3       253 SH          SOLE                                   253
ADA ES INC                    COM              005208103         27     1,100 SH          SOLE                                 1,100
ADAMS EXPRESS CO              COM              006212104         28     2,100 SH          SOLE                                 2,100
ADOBE SYS INC                 COM              00724F101        519    14,839 SH          SOLE                     629        14,210
ADVANCED MEDICAL OPTICS INC   COM              00763M108         21       455 SH          SOLE                                   455
ADVANCED MICRO DEVICES INC    COM              007903107        114     3,444 SH          SOLE                                 3,444
ADVENT CLAYMORE CV SECS & IN  COM              00764C109        231     9,162 SH          SOLE                                 9,162
ADVENT CLAYMORE ENH GRW & IN  COM              00765E104        158     9,025 SH          SOLE                                 9,025
ADVISORY BRD CO               COM              00762W107         55       993 SH          SOLE                                   993
AEGON N V                     ORD AMER REG     007924103          1        30 SH          SOLE                                    30
AEROPOSTALE                   COM              007865108          3       100 SH          SOLE                                   100
AES CORP                      COM              00130H105      2,630   154,152 SH          SOLE                               154,152
AETNA INC NEW                 COM              00817Y108         31       630 SH          SOLE                                   630
AEW REAL ESTATE INCOME FD     COM              00104H107         16       800 SH          SOLE                                   800
AFFYMETRIX INC                COM              00826T108         40     1,210 SH          SOLE                                 1,210
AFLAC INC                     COM              001055102         58     1,295 SH          SOLE                                 1,295
AGERE SYS INC                 COM              00845V308          3       216 SH          SOLE                                   216
AGILENT TECHNOLOGIES INC      COM              00846U101        355     9,457 SH          SOLE                                 9,457
AIM SELECT REAL ESTATE INCM   SHS              00888R107         86     5,300 SH          SOLE                                 5,300
AIR PRODS & CHEMS INC         COM              009158106        664     9,880 SH          SOLE                                 9,880
AIRGAS INC                    COM              009363102          8       200 SH          SOLE                                   200
AIRTRAN HLDGS INC             COM              00949P108        256    14,150 SH          SOLE                                14,150
AIXTRON AKTIENGESELLSCHAFT    SPONSORED ADR    009606104          4     1,020 SH          SOLE                                 1,020
AKAMAI TECHNOLOGIES INC       COM              00971T101         58     1,760 SH          SOLE                                 1,760
ALBANY MOLECULAR RESH INC     COM              012423109          1       120 SH          SOLE                     120
ALBERTSONS INC                COM              013104104         53     2,050 SH          SOLE                                 2,050
ALCAN INC                     COM              013716105          5       100 SH          SOLE                                   100
ALCOA INC                     COM              013817101        572    18,733 SH          SOLE                                18,733
ALCON INC                     COM SHS          H01301102         10        98 SH          SOLE                                    98
ALEXION PHARMACEUTICALS INC   NOTE  1.375% 2/0 015351AF6      1,319 1,050,000 PRN         SOLE               1,050,000
ALEXION PHARMACEUTICALS INC   COM              015351109          4       115 SH          SOLE                                   115








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
ALEXZA PHARMACEUTICALS INC    COM             015384100          20   2,000  SH           SOLE                                 2,000
ALIGN TECHNOLOGY INC          COM             016255101           4     400  SH           SOLE                                   400
ALKERMES INC                  COM             01642T108         167   7,554  SH           SOLE                 1,484           6,070
ALL AMERICAN SEMICONDUCTOR I  COM NEW         016557407           1     240  SH           SOLE                                   240
ALLERGAN INC                  COM             018490102         270   2,486  SH           SOLE                                 2,486
ALLIANCE DATA SYSTEMS CORP    COM             018581108           5     100  SH           SOLE                                   100
ALLIANCE RES PARTNER L P      UT LTD PART     01877R108           2      60  SH           SOLE                                    60
ALLIANCE WORLD DLR GV FD II   COM             01879R106          47   3,705  SH           SOLE                                 3,705
ALLIANCE WORLD DLR GV FD INC  COM             018796102          10     804  SH           SOLE                                   804
ALLIANCEBERNSTEIN HOLDING LP  UNIT LTD PARTN  01881G106         713  10,755  SH           SOLE                                10,755
ALLIANT ENERGY CORP           COM             018802108          74   2,352  SH           SOLE                                 2,352
ALLIANT TECHSYSTEMS INC       COM             018804104           8     105  SH           SOLE                                   105
ALLIANZ AKTIENGESELLSCHAFT    SP ADR 1/10 SH  018805101           6     380  SH           SOLE                                   380
ALLIED CAP CORP NEW           COM             01903Q108          58   1,900  SH           SOLE                                 1,900
ALLIED WASTE INDS INC         COM PAR$.01NEW  019589308         672  54,900  SH           SOLE                                54,900
ALLSCRIPTS HEALTHCARE SOLUTI  COM             01988P108          13     701  SH           SOLE                   401             300
ALLSTATE CORP                 COM             020002101         773  14,836  SH           SOLE                                14,836
ALLTEL CORP                   COM             020039103         722  11,150  SH           SOLE                                11,150
ALPHA NATURAL RESOURCES INC   COM             02076X102           1      41  SH           SOLE                                    41
ALTERA CORP                   COM             021441100          12     597  SH           SOLE                                   597
ALTRIA GROUP INC              COM             02209S103       1,212  17,102  SH           SOLE                                17,102
ALVARION LTD                  SHS             M0861T100           6     636  SH           SOLE                                   636
AMAZON COM INC                COM             023135106         135   3,700  SH           SOLE                                 3,700
AMB PROPERTY CORP             COM             00163T109           2      32  SH           SOLE                                    32
AMBAC FINL GROUP INC          COM             023139108          16     205  SH           SOLE                                   205
AMDOCS LTD                    ORD             G02602103          16     432  SH           SOLE                                   432
AMERADA HESS CORP             COM             023551104           1       8  SH           SOLE                                     8
AMEREN CORP                   COM             023608102         256   5,130  SH           SOLE                                 5,130
AMERICA FIRST APT INV INC     COM             02363X104           2     115  SH           SOLE                                   115
AMERICA MOVIL S A DE C V      SPON ADR L SHS  02364W105          95   2,775  SH           SOLE                                 2,775
AMERICAN AXLE & MFG HLDGS IN  COM             024061103           1      40  SH           SOLE                                    40
AMERICAN CAPITAL STRATEGIES   COM             024937104         316   8,995  SH           SOLE                                 8,995
AMERICAN EAGLE OUTFITTERS NE  COM             02553E106          22     722  SH           SOLE                    78             644
AMERICAN ELEC PWR INC         COM             025537101          88   2,600  SH           SOLE                                 2,600
AMERICAN EXPRESS CO           COM             025816109         344   6,551  SH           SOLE                                 6,551
AMERICAN FINL RLTY TR         COM             02607P305          50   4,262  SH           SOLE                                 4,262
AMERICAN HOME MTG INVT CORP   COM             02660R107           2      51  SH           SOLE                                    51
AMERICAN INTL GROUP INC       COM             026874107         817  12,361  SH           SOLE                                12,361
AMERICAN MED SYS HLDGS INC    COM             02744M108          56   2,483  SH           SOLE                                 2,483
AMERICAN MUN INCOME PORTFOLI  COM             027649102          64   4,291  SH           SOLE                                 4,291
AMERICAN PHARMACEUTICALS PTN  COM             02886P109          14     490  SH           SOLE                                   490
AMERICAN SELECT PORTFOLIO IN  COM             029570108         275  23,450  SH           SOLE                                23,450
AMERICAN STD COS INC DEL      COM             029712106          17     397  SH           SOLE                                   397
AMERICAN STRATEGIC INCM PTFL  COM             030098107         161  15,050  SH           SOLE                                15,050
AMERICAN STRATEGIC INCOME II  COM             03009T101         406  37,900  SH           SOLE                                37,900
AMERICAN STS WTR CO           COM             029899101          11     300  SH           SOLE                                   300
AMERICAN TOWER CORP           CL A            029912201          24     800  SH           SOLE                                   800
AMERICANWEST BANCORPORATION   COM             03058P109           5     200  SH           SOLE                                   200
AMERIPRISE FINL INC           COM             03076C106          42     930  SH           SOLE                                   930
AMERISTAR CASINOS INC         COM             03070Q101          14     560  SH           SOLE                                   560
AMERN STRATEGIC INCOME PTFL   COM             030099105         140  12,800  SH           SOLE                                12,800








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
AMETEK INC NEW                COM              031100100          1       14 SH           SOLE                                    14
AMGEN INC                     COM              031162100      2,767   38,040 SH           SOLE                                38,040
AMIS HLDGS INC                COM              031538101         12    1,345 SH           SOLE                  1,345
AMR CORP                      COM              001765106         15      568 SH           SOLE                                   568
AMSOUTH BANCORPORATION        COM              032165102         59    2,168 SH           SOLE                                 2,168
AMYLIN PHARMACEUTICALS INC    NOTE  2.500% 4/1 032346AD0      1,368  900,000 PRN          SOLE                900,000
AMYLIN PHARMACEUTICALS INC    COM              032346108          3       54 SH           SOLE                                    54
ANADARKO PETE CORP            COM              032511107        766    7,583 SH           SOLE                                 7,583
ANALOG DEVICES INC            COM              032654105        392   10,239 SH           SOLE                                10,239
ANALYSTS INTL CORP            COM              032681108          1      250 SH           SOLE                                   250
ANDREW CORP                   COM              034425108          6      500 SH           SOLE                    100            400
ANDRX CORP DEL                ANDRX GROUP      034553107          5      212 SH           SOLE                    212
ANGLO AMERN PLC               ADR              03485P102        104    5,320 SH           SOLE                                 5,320
ANHEUSER BUSCH COS INC        COM              035229103      3,406   79,625 SH           SOLE                                79,625
ANNALY MTG MGMT INC           COM              035710409         26    2,102 SH           SOLE                                 2,102
ANSYS INC                     COM              03662Q105          5      100 SH           SOLE                                   100
ANTHRACITE CAP INC            COM              037023108         99    9,000 SH           SOLE                                 9,000
AON CORP                      COM              037389103      1,036   24,965 SH           SOLE                                24,965
APACHE CORP                   COM              037411105      1,983   30,269 SH           SOLE                                30,269
APEX SILVER MINES LTD         ORD              G04074103         22      910 SH           SOLE                                   910
APOLLO GROUP INC              CL A             037604105        379    7,226 SH           SOLE                    195          7,031
APPLE COMPUTER INC            COM              037833100      1,452   23,150 SH           SOLE                                23,150
APPLERA CORP                  COM AP BIO GRP   038020103          3      108 SH           SOLE                                   108
APPLIED FILMS CORP            COM              038197109          1       72 SH           SOLE                                    72
APPLIED MATLS INC             COM              038222105        170    9,724 SH           SOLE                                 9,724
APPLIED MICRO CIRCUITS CORP   COM              03822W109          5    1,238 SH           SOLE                                 1,238
APTARGROUP INC                COM              038336103         11      200 SH           SOLE                                   200
AQUA AMERICA INC              COM              03836W103         56    2,004 SH           SOLE                                 2,004
AQUILA INC                    COM              03840P102          2      586 SH           SOLE                                   586
ARCH COAL INC                 COM              039380100         51      675 SH           SOLE                                   675
ARCHER DANIELS MIDLAND CO     COM              039483102         41    1,208 SH           SOLE                                 1,208
ARCHSTONE SMITH TR            COM              039583109         12      250 SH           SOLE                                   250
ARMOR HOLDINGS INC            COM              042260109         12      200 SH           SOLE                                   200
ARRAY BIOPHARMA INC           COM              04269X105          5      493 SH           SOLE                    493
ARROW ELECTRS INC             COM              042735100         32    1,000 SH           SOLE                                 1,000
ARTHROCARE CORP               COM              043136100        373    7,800 SH           SOLE                  7,800
ASA BERMUDA LIMITED           COM              G3156P103        226    3,475 SH           SOLE                                 3,475
ASHLAND INC NEW               COM              044209104        235    3,300 SH           SOLE                                 3,300
ASIA PAC FD INC               COM              044901106        552   30,003 SH           SOLE                                30,003
ASIA TIGERS FD INC            COM              04516T105          4      225 SH           SOLE                                   225
ASPECT MED SYS INC            COM              045235108        778   28,370 SH           SOLE                                28,370
ASSOCIATED BANC CORP          COM              045487105        145    4,265 SH           SOLE                                 4,265
ASTA FDG INC                  COM              046220109          3      100 SH           SOLE                                   100
ASTORIA FINL CORP             COM              046265104         40    1,292 SH           SOLE                                 1,292
ASTRAZENECA PLC               SPONSORED ADR    046353108        369    7,350 SH           SOLE                                 7,350
AT&T INC                      COM              00206R102      2,033   75,178 SH           SOLE                                75,178
ATHEROGENICS INC              COM              047439104        326   20,000 SH     CALL  SOLE                 20,000
ATHEROGENICS INC              COM              047439104         78    4,800 SH           SOLE                                 4,800
ATLAS AMER INC                COM              049167109        108    2,263 SH           SOLE                                 2,263
ATMEL CORP                    COM              049513104          7    1,500 SH           SOLE                                 1,500
ATMI INC                      COM              00207R101        797   26,400 SH           SOLE                 25,000          1,400








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
ATMOS ENERGY CORP             COM             049560105          16     597  SH           SOLE                                   597
ATRICURE INC                  COM             04963C209         396  49,541  SH           SOLE                     66         49,475
AUDIBLE INC                   COM NEW         05069A302           1      68  SH           SOLE                     68
AUDIOCODES LTD                ORD             M15342104          42   3,040  SH           SOLE                                 3,040
AUTODESK INC                  COM             052769106          17     440  SH           SOLE                     80            360
AUTOLIV INC                   COM             052800109          11     190  SH           SOLE                                   190
AUTOMATIC DATA PROCESSING IN  COM             053015103         278   6,076  SH           SOLE                                 6,076
AUTONATION INC                COM             05329W102           5     250  SH           SOLE                                   250
AUTOZONE INC                  COM             053332102       3,188  31,976  SH           SOLE                                31,976
AUXILIUM PHARMACEUTICALS INC  COM             05334D107           6     700  SH           SOLE                    700
AVALONBAY CMNTYS INC          COM             053484101           6      55  SH           SOLE                                    55
AVANEX CORP                   COM             05348W109           2     500  SH           SOLE                                   500
AVATAR HLDGS INC              COM             053494100           7     110  SH           SOLE                                   110
AVAYA INC                     COM             053499109           6     573  SH           SOLE                                   573
AVERY DENNISON CORP           COM             053611109         562   9,616  SH           SOLE                                 9,616
AVI BIOPHARMA INC             COM             002346104           1     100  SH           SOLE                                   100
AVID TECHNOLOGY INC           COM             05367P100           2      37  SH           SOLE                     37
AVON PRODS INC                COM             054303102       3,001  96,279  SH           SOLE                                96,279
AXA                           SPONSORED ADR   054536107          14     395  SH           SOLE                                   395
AXCELIS TECHNOLOGIES INC      COM             054540109           1     100  SH           SOLE                    100
AZTAR CORP                    COM             054802103          12     280  SH           SOLE                                   280
BAKER HUGHES INC              COM             057224107         855  12,497  SH           SOLE                                12,497
BALL CORP                     COM             058498106         334   7,620  SH           SOLE                                 7,620
BALLANTYNE OMAHA INC          COM             058516105           4   1,000  SH           SOLE                                 1,000
BALLARD PWR SYS INC           COM             05858H104           8   1,235  SH           SOLE                                 1,235
BANCO BILBAO VIZCAYA ARGENTA  SPONSORED ADR   05946K101          13     621  SH           SOLE                                   621
BANCO BRADESCO S A            SP ADR PFD NEW  059460303          32     900  SH           SOLE                                   900
BANCO ITAU HLDG FINANCIERA S  SP ADR 500 PFD  059602201          39   1,300  SH           SOLE                                 1,300
BANCO SANTANDER CENT HISPANO  ADR             05964H105           1      85  SH           SOLE                                    85
BANCOLOMBIA S A               SPON ADR PREF   05968L102          63   1,810  SH           SOLE                                 1,810
BANK HAWAII CORP              COM             062540109           7     140  SH           SOLE                                   140
BANK MONTREAL QUE             COM             063671101          13     225  SH           SOLE                                   225
BANK NEW YORK INC             COM             064057102         618  17,155  SH           SOLE                                17,155
BANK OF AMERICA CORPORATION   COM             060505104       1,908  41,904  SH           SOLE                                41,904
BARCLAYS PLC                  ADR             06738E204         203   4,346  SH           SOLE                                 4,346
BARD C R INC                  COM             067383109          62     912  SH           SOLE                                   912
BARNES & NOBLE INC            COM             067774109           6     135  SH           SOLE                                   135
BARR PHARMACEUTICALS INC      COM             068306109         143   2,277  SH           SOLE                                 2,277
BARRICK GOLD CORP             COM             067901108          34   1,252  SH           SOLE                                 1,252
BAUSCH & LOMB INC             COM             071707103         727  11,410  SH           SOLE                                11,410
BAXTER INTL INC               COM             071813109       1,154  29,730  SH           SOLE                                29,730
BB&T CORP                     COM             054937107          71   1,805  SH           SOLE                                 1,805
BCE INC                       COM             05534B109           7     285  SH           SOLE                                   285
BEA SYS INC                   COM             073325102         104   7,939  SH           SOLE                                 7,939
BEAR STEARNS COS INC          COM             073902108         234   1,690  SH           SOLE                                 1,690
BEAZER HOMES USA INC          COM             07556Q105           6      90  SH           SOLE                                    90
BEBE STORES INC               COM             075571109           4     200  SH           SOLE                    200
BECTON DICKINSON & CO         COM             075887109          11     181  SH           SOLE                                   181
BED BATH & BEYOND INC         COM             075896100         180   4,678  SH           SOLE                    300          4,378
BELLSOUTH CORP                COM             079860102         112   3,218  SH           SOLE                                 3,218
BELO CORP                     COM SER A       080555105          18     909  SH           SOLE                                   909








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
BEMIS INC                     COM             081437105          60   1,900  SH           SOLE                                 1,900
BENTLEY PHARMACEUTICALS INC   COM             082657107          26   2,000  SH           SOLE                                 2,000
BERKLEY W R CORP              COM             084423102          74   1,279  SH           SOLE                                 1,279
BERKSHIRE HATHAWAY INC DEL    CL B            084670207       4,907   1,629  SH           SOLE                                 1,629
BERRY PETE CO                 CL A            085789105          27     400  SH           SOLE                                   400
BEST BUY INC                  COM             086516101       1,455  26,021  SH           SOLE                 2,500          23,521
BG PLC                        ADR FIN INST N  055434203           8     121  SH           SOLE                                   121
BHP BILLITON LTD              SPONSORED ADR   088606108          84   2,111  SH           SOLE                                 2,111
BIG 5 SPORTING GOODS CORP     COM             08915P101           1      26  SH           SOLE                    26
BIOCRYST PHARMACEUTICALS      COM             09058V103           4     200  SH           SOLE                   200
BIOGEN IDEC INC               COM             09062X103          20     420  SH           SOLE                   194             226
BIOMET INC                    COM             090613100          71   2,008  SH           SOLE                                 2,008
BIOSCRIP INC                  COM             09069N108           2     224  SH           SOLE                                   224
BIOSITE INC                   COM             090945106          16     300  SH           SOLE                                   300
BIOTECH HOLDERS TR            DEPOSTRY RCPTS  09067D201          19     100  SH           SOLE                                   100
BJ SVCS CO                    COM             055482103          60   1,745  SH           SOLE                                 1,745
BLACK & DECKER CORP           COM             091797100         641   7,380  SH           SOLE                                 7,380
BLACK HILLS CORP              COM             092113109          43   1,259  SH           SOLE                                 1,259
BLACKROCK DIVID ACHIEVRS TM   COM             09250N107         298  22,750  SH           SOLE                                22,750
BLACKROCK ENHANCED DIV ACHV   COM             09251A104          62   4,400  SH           SOLE                                 4,400
BLACKROCK GLBL ENRGY & RES T  COM             09250U101         148   5,670  SH           SOLE                                 5,670
BLACKROCK GLOBAL FLG INC TR   COM             091941104         435  23,771  SH           SOLE                                23,771
BLACKROCK GLOBAL OPP EQTY TR  COM             092501105          20     800  SH           SOLE                                   800
BLACKROCK INC                 CL A            09247X101          34     245  SH           SOLE                                   245
BLACKROCK INCOME OPP TRUST I  COM             092475102          27   2,500  SH           SOLE                                 2,500
BLACKROCK INCOME TR INC       COM             09247F100           2     250  SH           SOLE                                   250
BLACKROCK S&P QLTY RK EQ MD   SHS BEN INT     09250D109         152  10,100  SH           SOLE                                10,100
BLACKROCK STRAT DIVD ACHIEVE  COM             09249Y107         278  20,350  SH           SOLE                                20,350
BLACKROCK STRTGC BOND TR      COM             09249G106          34   2,700  SH           SOLE                                 2,700
BLDRS INDEX FDS TR            EMER MK 50 ADR  09348R300         815   6,306  SH           SOLE                                 6,306
BLOUNT INTL INC NEW           COM             095180105           6     390  SH           SOLE                                   390
BLUE CHIP VALUE FD INC        COM             095333100          19   3,294  SH           SOLE                                 3,294
BLUE NILE INC                 COM             09578R103          15     429  SH           SOLE                   129             300
BOC GROUP PLC                 SPONSORED ADR   055617609           4      80  SH           SOLE                                    80
BOEING CO                     COM             097023105         401   5,143  SH           SOLE                                 5,143
BOOKHAM INC                   COM             09856E105         134  14,000  SH           SOLE                                14,000
BORDERS GROUP INC             COM             099709107          13     500  SH           SOLE                                   500
BOSTON PRIVATE FINL HLDGS IN  COM             101119105           7     200  SH           SOLE                                   200
BOSTON SCIENTIFIC CORP        COM             101137107       1,090  47,282  SH           SOLE                                47,282
BOULDER GROWTH & INCOME FD I  COM             101507101          77  10,000  SH           SOLE                                10,000
BOULDER TOTAL RETURN FD INC   COM             101541100         132   7,400  SH           SOLE                                 7,400
BOYD GAMING CORP              COM             103304101          34     680  SH           SOLE                                   680
BP PLC                        SPONSORED ADR   055622104         904  13,112  SH           SOLE                                13,112
BP PRUDHOE BAY RTY TR         UNIT BEN INT    055630107          21     300  SH           SOLE                                   300
BRANDYWINE RLTY TR            SH BEN INT NEW  105368203           7     225  SH           SOLE                                   225
BRIGHAM EXPLORATION CO        COM             109178103           4     500  SH           SOLE                                   500
BRISTOL MYERS SQUIBB CO       COM             110122108         851  34,587  SH           SOLE                                34,587
BROADCOM CORP                 CL A            111320107          38     875  SH           SOLE                                   875
BROADWING CORP                COM             11161E101           1      40  SH           SOLE                                    40
BROCADE COMMUNICATIONS SYS I  COM             111621108           3     400  SH           SOLE                   400
BROOKS AUTOMATION INC         COM             114340102           8     564  SH           SOLE                    64             500








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
BROWN & BROWN INC             COM             115236101          55   1,661  SH           SOLE                                 1,661
BROWN FORMAN CORP             CL B            115637209           2      25  SH           SOLE                                    25
BT GROUP PLC                  ADR             05577E101           2      40  SH           SOLE                                    40
BUCA INC                      COM             117769109         260  51,221  SH           SOLE                  51,221
BUCKEYE PARTNERS L P          UNIT LTD PARTN  118230101          26     608  SH           SOLE                                   608
BUNGE LIMITED                 COM             G16962105          28     500  SH           SOLE                                   500
BURLINGTON NORTHN SANTA FE C  COM             12189T104         724   8,692  SH           SOLE                                 8,692
BURLINGTON RES INC            COM             122014103         456   4,960  SH           SOLE                                 4,960
C H ROBINSON WORLDWIDE INC    COM NEW         12541W209         183   3,732  SH           SOLE                                 3,732
CA INC                        COM             12673P105          67   2,458  SH           SOLE                                 2,458
CABELAS INC                   COM             126804301           2     100  SH           SOLE                                   100
CABLEVISION SYS CORP          CL A NY CABLVS  12686C109           1      55  SH           SOLE                                    55
CABOT MICROELECTRONICS CORP   COM             12709P103           7     200  SH           SOLE                                   200
CADBURY SCHWEPPES PLC         ADR             127209302          10     261  SH           SOLE                                   261
CADENCE DESIGN SYSTEM INC     COM             127387108           2     130  SH           SOLE                                   130
CALAMOS CONV & HIGH INCOME F  COM SHS         12811P108         169  10,294  SH           SOLE                                10,294
CALAMOS GLOBAL TOTAL RETURN   COM SH BEN INT  128118106          50   3,400  SH           SOLE                                 3,400
CALAMOS STRATEGIC TOTL RETN   COM SH BEN INT  128125101         271  19,300  SH           SOLE                                19,300
CALIPER LIFE SCIENCES INC     COM             130872104           3     425  SH           SOLE                     425
CAMBRIDGE DISPLAY TECH INC    COM             132193103          25   2,945  SH           SOLE                                 2,945
CAMDEN PPTY TR                SH BEN INT      133131102          29     398  SH           SOLE                                   398
CAMECO CORP                   COM             13321L108         118   3,290  SH           SOLE                                 3,290
CAMPBELL SOUP CO              COM             134429109         471  14,547  SH           SOLE                                14,547
CANADA SOUTHN PETE LTD        COM             135231108          84  16,000  SH           SOLE                                16,000
CANADIAN NAT RES LTD          COM             136385101         498   8,993  SH           SOLE                                 8,993
CANADIAN NATL RY CO           COM             136375102          12     265  SH           SOLE                                   265
CANADIAN PAC RY LTD           COM             13645T100          12     240  SH           SOLE                                   240
CANDELA CORP                  COM             136907102           5     230  SH           SOLE                                   230
CANON INC                     ADR             138006309          51     777  SH           SOLE                                   777
CAPITAL & INCM STRTGS FD INC  COM             13971Y103         159   8,900  SH           SOLE                                 8,900
CAPITAL CITY BK GROUP INC     COM             139674105           9     240  SH           SOLE                                   240
CAPITAL ONE FINL CORP         COM             14040H105          74     924  SH           SOLE                                   924
CAPITALSOURCE INC             COM             14055X102           5     211  SH           SOLE                                   211
CAPITOL BANCORP LTD           COM             14056D105           5     100  SH           SOLE                                   100
CAPITOL FED FINL              COM             14057C106          42   1,300  SH           SOLE                                 1,300
CAPSTEAD MTG CORP             COM NO PAR      14067E506           3     400  SH           SOLE                                   400
CARDINAL HEALTH INC           COM             14149Y108          52     702  SH           SOLE                                   702
CAREMARK RX INC               COM             141705103          22     440  SH           SOLE                                   440
CARIBOU COFFEE INC            COM             142042209          10   1,050  SH           SOLE                                 1,050
CARNIVAL CORP                 PAIRED CTF      143658300         419   8,838  SH           SOLE                                 8,838
CARTER INC                    COM             146229109         121   1,800  SH           SOLE                                 1,800
CASEYS GEN STORES INC         COM             147528103          15     650  SH           SOLE                                   650
CATERPILLAR INC DEL           COM             149123101       1,282  17,856  SH           SOLE                                17,856
CATHAY GENERAL BANCORP        COM             149150104           8     200  SH           SOLE                                   200
CB RICHARD ELLIS GROUP INC    CL A            12497T101         240   2,970  SH           SOLE                                 2,970
CBS CORP NEW                  CL A            124857103          20     832  SH           SOLE                                   832
CBS CORP NEW                  CL B            124857202         433  18,075  SH           SOLE                                18,075
CDC CORP                      SHS A           G2022L106           2     400  SH           SOLE                                   400
CEDAR FAIR L P                DEPOSITRY UNIT  150185106          29   1,000  SH           SOLE                                 1,000
CELADON GROUP INC             COM             150838100           9     400  SH           SOLE                                   400
CELGENE CORP                  COM             151020104         307   6,950  SH           SOLE                                 6,950








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CEMEX S A                     SPON ADR 5 ORD  151290889         614    9,398 SH           SOLE                                 9,398
CENDANT CORP                  COM             151313103         864   49,794 SH           SOLE                                49,794
CENTERPOINT ENERGY INC        COM             15189T107           1      100 SH           SOLE                                   100
CENTEX CORP                   COM             152312104           6      100 SH           SOLE                                   100
CENTRAL FD CDA LTD            CL A            153501101          70    8,750 SH           SOLE                                 8,750
CENTRAL PAC FINL CORP         COM             154760102           9      240 SH           SOLE                                   240
CENTURYTEL INC                COM             156700106          12      301 SH           SOLE                                   301
CEPHALON INC                  COM             156708109          29      475 SH           SOLE                                   475
CERADYNE INC                  COM             156710105         200    4,005 SH           SOLE                                 4,005
CERIDIAN CORP NEW             COM             156779100          12      460 SH           SOLE                                   460
CERNER CORP                   COM             156782104       3,519   74,155 SH           SOLE                                74,155
CF INDS HLDGS INC             COM             125269100         880   51,815 SH           SOLE                                51,815
CHAMPION ENTERPRISES INC      COM             158496109         543   36,300 SH           SOLE                                36,300
CHARLES RIV LABS INTL INC     COM             159864107           3       56 SH           SOLE                                    56
CHARLOTTE RUSSE HLDG INC      COM             161048103           9      398 SH           SOLE                    398
CHARTER COMMUNICATIONS INC D  CL A            16117M107           1      750 SH           SOLE                                   750
CHATTEM INC                   COM             162456107           4      100 SH           SOLE                                   100
CHECK POINT SOFTWARE TECH LT  ORD             M22465104          18      900 SH           SOLE                                   900
CHEESECAKE FACTORY INC        COM             163072101         308    8,219 SH           SOLE                                 8,219
CHEMED CORP NEW               COM             16359R103          30      500 SH           SOLE                                   500
CHENIERE ENERGY INC           COM NEW         16411R208           4      100 SH           SOLE                                   100
CHESAPEAKE ENERGY CORP        COM             165167107         323   10,271 SH           SOLE                                10,271
CHEVRON CORP NEW              COM             166764100       1,658   28,609 SH           SOLE                                28,609
CHICAGO MERCANTILE HLDGS INC  CL A            167760107          59      131 SH           SOLE                                   131
CHICOS FAS INC                COM             168615102         268    6,600 SH           SOLE                                 6,600
CHINA FD INC                  COM             169373107          40    1,400 SH           SOLE                                 1,400
CHINA MED TECHNOLOGIES INC    SPONSORED ADR   169483104           9      300 SH           SOLE                                   300
CHINA MOBILE HONG KONG LTD    SPONSORED ADR   16941M109          12      460 SH           SOLE                                   460
CHINA PETE & CHEM CORP        SPON ADR H SHS  16941R108           6      100 SH           SOLE                                   100
CHIPMOS TECH BERMUDA LTD      SHS             G2110R106       2,466  344,932 SH           SOLE                               344,932
CHIRON CORP                   COM             170040109          28      605 SH           SOLE                                   605
CHITTENDEN CORP               COM             170228100           1       49 SH           SOLE                                    49
CHOICEPOINT INC               COM             170388102         774   17,299 SH           SOLE                                17,299
CHORDIANT SOFTWARE INC        COM             170404107           3      836 SH           SOLE                                   836
CHUBB CORP                    COM             171232101         608    6,367 SH           SOLE                                 6,367
CIGNA CORP                    COM             125509109          51      390 SH           SOLE                                   390
CIMAREX ENERGY CO             COM             171798101         211    4,883 SH           SOLE                                 4,883
CINERGY CORP                  COM             172474108          23      500 SH           SOLE                                   500
CINTAS CORP                   COM             172908105          17      403 SH           SOLE                                   403
CISCO SYS INC                 COM             17275R102       2,989  137,945 SH           SOLE                               137,945
CIT GROUP INC                 COM             125581108          18      335 SH           SOLE                                   335
CITADEL BROADCASTING CORP     COM             17285T106          26    2,300 SH           SOLE                                 2,300
CITI TRENDS INC               COM             17306X102          60    1,500 SH           SOLE                                 1,500
CITIGROUP INC                 COM             172967101       5,442  115,229 SH           SOLE                               115,229
CITIZENS COMMUNICATIONS CO    COM             17453B101          65    4,927 SH           SOLE                                 4,927
CITRIX SYS INC                COM             177376100           5      126 SH           SOLE                                   126
CLAIRES STORES INC            COM             179584107          22      600 SH           SOLE                                   600
CLARIENT INC                  COM             180489106           8    7,000 SH           SOLE                                 7,000
CLEAN HARBORS INC             COM             184496107         450   15,150 SH           SOLE                                15,150
CLEAR CHANNEL COMMUNICATIONS  COM             184502102           1       42 SH           SOLE                                    42
CLEVELAND CLIFFS INC          COM             185896107          45      515 SH           SOLE                                   515








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CLOROX CO DEL                 COM              189054109       627    10,482 SH           SOLE                                10,482
CMGI INC                      COM              125750109         1       550 SH           SOLE                                   550
CMS ENERGY CORP               COM              125896100        11       884 SH           SOLE                                   884
CNOOC LTD                     SPONSORED ADR    126132109        70       900 SH           SOLE                                   900
COACH INC                     COM              189754104       595    17,209 SH           SOLE                                17,209
COBIZ INC                     COM              190897108         6       300 SH           SOLE                                   300
COCA COLA CO                  COM              191216100     4,875   116,438 SH           SOLE                               116,438
COEUR D ALENE MINES CORP IDA  COM              192108108       146    22,250 SH           SOLE                                22,250
COGNEX CORP                   COM              192422103     3,541   119,455 SH           SOLE                               119,455
COGNIZANT TECHNOLOGY SOLUTIO  CL A             192446102       120     2,025 SH           SOLE                                 2,025
COGNOS INC                    COM              19244C109       309     7,941 SH           SOLE                                 7,941
COHEN & STEERS QUALITY RLTY   COM              19247L106        27     1,225 SH           SOLE                                 1,225
COHEN & STEERS REIT & PFD IN  COM              19247X100        14       500 SH           SOLE                                   500
COHEN & STEERS REIT & UTIL I  COM              19247Y108       162     8,500 SH           SOLE                                 8,500
COHEN & STEERS SELECT UTIL F  COM              19248A109         8       400 SH           SOLE                                   400
COHU INC                      COM              192576106         8       400 SH           SOLE                                   400
COLDWATER CREEK INC           COM              193068103       177     6,375 SH           SOLE                                 6,375
COLGATE PALMOLIVE CO          COM              194162103     1,612    28,230 SH           SOLE                                28,230
COLONIAL INVT GRADE MUN TR    SH BEN INT       195768106        15     1,400 SH           SOLE                                 1,400
COMCAST CORP NEW              CL A SPL         20030N200        45     1,729 SH           SOLE                                 1,729
COMCAST CORP NEW              CL A             20030N101       140     5,338 SH           SOLE                                 5,338
COMERICA INC                  COM              200340107        10       171 SH           SOLE                                   171
COMFORT SYS USA INC           COM              199908104         5       370 SH           SOLE                                   370
COMMERCE BANCORP INC NJ       COM              200519106         5       125 SH           SOLE                                   125
COMMERCE BANCSHARES INC       COM              200525103         7       140 SH           SOLE                                   140
COMMERCE GROUP INC MASS       COM              200641108         1        20 SH           SOLE                                    20
COMMERCIAL METALS CO          COM              201723103       233     4,360 SH           SOLE                                 4,360
COMMONWEALTH TEL ENTERPRISES  COM              203349105        48     1,400 SH           SOLE                                 1,400
COMMUNITY HEALTH SYS INC NEW  COM              203668108        17       476 SH           SOLE                                   476
COMPANHIA VALE DO RIO DOCE    SPONSORED ADR    204412209         9       190 SH           SOLE                                   190
COMPASS BANCSHARES INC        COM              20449H109         1        15 SH           SOLE                                    15
COMPUTER PROGRAMS & SYS INC   COM              205306103        33       660 SH           SOLE                                   660
COMPUTER SCIENCES CORP        COM              205363104        33       591 SH           SOLE                                   591
COMPUWARE CORP                COM              205638109        14     1,800 SH           SOLE                                 1,800
COMTECH TELECOMMUNICATIONS C  COM NEW          205826209        38     1,295 SH           SOLE                                 1,295
COMVERSE TECHNOLOGY INC       COM PAR $0.10    205862402        16       667 SH           SOLE                     667
CONAGRA FOODS INC             COM              205887102       461    21,467 SH           SOLE                                21,467
CONEXANT SYSTEMS INC          COM              207142100        45    12,992 SH           SOLE                                12,992
CONEXANT SYSTEMS INC          NOTE  4.000% 2/0 207142AF7        68    70,000 PRN          SOLE                                70,000
CONOCOPHILLIPS                COM              20825C104       433     6,864 SH           SOLE                                 6,864
CONSOL ENERGY INC             COM              20854P109        25       340 SH           SOLE                                   340
CONSOLIDATED EDISON INC       COM              209115104       533    12,246 SH           SOLE                                12,246
CONSTELLATION BRANDS INC      CL A             21036P108        99     3,934 SH           SOLE                                 3,934
CONVERA CORP                  CL A             211919105         5       500 SH           SOLE                                   500
CONVERGYS CORP                COM              212485106         1        60 SH           SOLE                                    60
COOPER CAMERON CORP           COM              216640102         1        22 SH           SOLE                                    22
COOPER INDS LTD               CL A             G24182100        43       500 SH           SOLE                                   500
COOPER TIRE & RUBR CO         COM              216831107         1        45 SH           SOLE                                    45
COPART INC                    COM              217204106        99     3,600 SH           SOLE                                 3,600
CORCEPT THERAPEUTICS INC      COM              218352102         1       230 SH           SOLE                     230
CORE LABORATORIES N V         COM              N22717107        34       715 SH           SOLE                                   715








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CORGENTECH INC                COM NEW          21872P501         4        432 SH          SOLE                     432
CORINTHIAN COLLEGES INC       COM              218868107       578     40,148 SH          SOLE                       2        40,146
CORN PRODS INTL INC           COM              219023108         2         58 SH          SOLE                                    58
CORNING INC                   COM              219350105       298     11,074 SH          SOLE                                11,074
CORPORATE HIGH YIELD FD V IN  COM              219931102        14      1,100 SH          SOLE                                 1,100
COST PLUS INC CALIF           COM              221485105       181     10,600 SH          SOLE                                10,600
COSTCO WHSL CORP NEW          COM              22160K105     5,266     97,238 SH          SOLE                      12        97,226
COTHERIX INC                  COM              22163T103         2        200 SH          SOLE                                   200
COUNTRYWIDE FINANCIAL CORP    COM              222372104        48      1,295 SH          SOLE                                 1,295
COVANCE INC                   COM              222816100         1         25 SH          SOLE                                    25
COVENTRY HEALTH CARE INC      COM              222862104        31        580 SH          SOLE                                   580
CREDO PETE CORP               COM PAR $0.10    225439207        10        480 SH          SOLE                                   480
CREE INC                      COM              225447101        12        355 SH          SOLE                      10           345
CRESCENT REAL ESTATE EQUITIE  COM              225756105         4        200 SH          SOLE                                   200
CROCS INC                     COM              227046109        25      1,000 SH          SOLE                                 1,000
CROWN HOLDINGS INC            COM              228368106         2        100 SH          SOLE                                   100
CROWN MEDIA HLDGS INC         CL A             228411104         6      1,000 SH          SOLE                                 1,000
CTRIP COM INTL LTD            ADR              22943F100       188      2,279 SH          SOLE                    2279
CUMMINS INC                   COM              231021106        16        150 SH          SOLE                                   150
CUTERA INC                    COM              232109108         8        300 SH          SOLE                                   300
CV THERAPEUTICS INC           COM              126667104         6        279 SH          SOLE                     279
CVS CORP                      COM              126650100       873     29,212 SH          SOLE                                29,212
CYBERONICS INC                COM              23251P102        85      3,315 SH          SOLE                                 3,315
CYPRESS SEMICONDUCTOR CORP    NOTE  1.250% 6/1 232806AH2     4,911  3,937,000 PRN         SOLE               3,937,000
CYPRESS SEMICONDUCTOR CORP    COM              232806109       408     24,051 SH          SOLE                                24,051
CYTEC INDS INC                COM              232820100         6        100 SH          SOLE                                   100
CYTOGEN CORP                  COM NEW          232824300        67     18,562 SH          SOLE                                18,562
CYTYC CORP                    COM              232946103       308     10,922 SH          SOLE                                10,922
D R HORTON INC                COM              23331A109       149      4,474 SH          SOLE                                 4,474
DADE BEHRING HLDGS INC        COM              23342J206        36      1,000 SH          SOLE                                 1,000
DAIMLERCHRYSLER AG            ORD              D1668R123         6        110 SH          SOLE                                   110
DANAHER CORP DEL              COM              235851102       189      2,970 SH          SOLE                                 2,970
DARDEN RESTAURANTS INC        COM              237194105       142      3,469 SH          SOLE                                 3,469
DAVITA INC                    COM              23918K108         6        100 SH          SOLE                                   100
DAYSTAR TECHNOLOGIES INC      COM              23962Q100         1        101 SH          SOLE                                   101
DB COMMODITY INDEX TRACKING   UNIT BEN INT     240225102       103      4,287 SH          SOLE                                 4,287
DECODE GENETICS INC           COM              243586104       227     26,154 SH          SOLE                                26,154
DEERE & CO                    COM              244199105     1,156     14,619 SH          SOLE                                14,619
DEL MONTE FOODS CO            COM              24522P103         2        200 SH          SOLE                                   200
DELAWARE INV MN MUN INC FD I  COM              24610V103        23      1,446 SH          SOLE                                 1,446
DELAWARE INVTS DIV & INCOME   COM              245915103        32      2,584 SH          SOLE                                 2,584
DELIA'S INC NEW               COM              246911101         2        250 SH          SOLE                                   250
DELL INC                      COM              24702R101       665     22,338 SH          SOLE                                22,338
DELUXE CORP                   COM              248019101        31      1,200 SH          SOLE                                 1,200
DENTSPLY INTL INC NEW         COM              249030107       174      3,000 SH          SOLE                                 3,000
DEUTSCHE BANK AG NAMEN        ORD              D18190898        11         96 SH          SOLE                                    96
DEUTSCHE TELEKOM AG           SPONSORED ADR    251566105         1         51 SH          SOLE                                    51
DEVON ENERGY CORP NEW         COM              25179M103       435      7,116 SH          SOLE                                 7,116
DEXCOM INC                    COM              252131107       122      6,000 SH          SOLE                                 6,000
DIAGEO P L C                  SPON ADR NEW     25243Q205       309      4,865 SH          SOLE                                 4,865
DIAMONDS TR                   UNIT SER 1       252787106       316      2,840 SH          SOLE                                 2,840








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
DIEBOLD INC                   COM              253651103         8       200 SH           SOLE                                   200
DIGENE CORP                   COM              253752109         5       117 SH           SOLE                     17            100
DIGITAL INSIGHT CORP          COM              25385P106         4       100 SH           SOLE                                   100
DIGITAL RIV INC               COM              25388B104         4       100 SH           SOLE                                   100
DIGITAS INC                   COM              25388K104        77     5,354 SH           SOLE                  5,354
DILLARDS INC                  CL A             254067101        25       950 SH           SOLE                                   950
DIODES INC                    COM              254543101        77     1,860 SH           SOLE                                 1,860
DISCOVERY HOLDING CO          CL A COM         25468Y107         3       228 SH           SOLE                                   228
DISNEY WALT CO                COM DISNEY       254687106     3,671   131,612 SH           SOLE                               131,612
DISTRIBUTED ENERGY SYS CORP   COM              25475V104         2       283 SH           SOLE                                   283
DJ ORTHOPEDICS INC            COM              23325G104        16       400 SH           SOLE                                   400
DNP SELECT INCOME FD          COM              23325P104        16     1,500 SH           SOLE                                 1,500
DOLLAR GEN CORP               COM              256669102       160     9,065 SH           SOLE                                 9,065
DOLLAR TREE STORES INC        COM              256747106        17       608 SH           SOLE                      8            600
DOMINION RES INC VA NEW       COM              25746U109        40       583 SH           SOLE                                   583
DONALDSON INC                 COM              257651109       418    12,380 SH           SOLE                                12,380
DONNELLEY R R & SONS CO       COM              257867101       108     3,307 SH           SOLE                                 3,307
DORAL FINL CORP               COM              25811P100        33     2,900 SH           SOLE                                 2,900
DOV PHARMACEUTICAL INC        COM              259858108         6       405 SH           SOLE                    405
DOVER CORP                    COM              260003108        34       697 SH           SOLE                                   697
DOW 30 COVERED CALL FD INC    COM              260582101        66     3,400 SH           SOLE                                 3,400
DOW CHEM CO                   COM              260543103     2,048    50,456 SH           SOLE                                50,456
DREAMWORKS ANIMATION SKG INC  CL A             26153C103         2        70 SH           SOLE                                    70
DREMAN/CLAYMORE DIVID & INC   COM              26153R100       294    15,641 SH           SOLE                                15,641
DREW INDS INC                 COM NEW          26168L205       156     4,400 SH           SOLE                                 4,400
DREYFUS STRATEGIC MUN BD FD   COM              26202F107         9       975 SH           SOLE                                   975
DRIL-QUIP INC                 COM              262037104        30       430 SH           SOLE                                   430
DRYSHIPS INC                  SHS              Y2109Q101       267    25,250 SH           SOLE                                25,250
DTE ENERGY CO                 COM              233331107        25       629 SH           SOLE                                   629
DU PONT E I DE NEMOURS & CO   COM              263534109       938    22,215 SH           SOLE                                22,215
DUKE ENERGY CORP              COM              264399106     1,092    37,447 SH           SOLE                                37,447
DUN & BRADSTREET CORP DEL NE  COM              26483E100         7        94 SH           SOLE                                    94
DURA AUTOMOTIVE SYS CAP TR    PFD TR CONV      26632M201       238    25,226 SH           SOLE                                25,226
DURA AUTOMOTIVE SYSTEMS CORP  CL A             265903104         4     1,500 SH           SOLE                                 1,500
DWS GLOBAL COMMODITIES STK F  COM              23338Y100       111     6,942 SH           SOLE                                 6,942
DWS RREEF REAL ESTATE FD II   COM              23338X102        15       900 SH           SOLE                                   900
DYNAMIC MATLS CORP            COM              267888105        40     1,110 SH           SOLE                                 1,110
DYNEGY INC NEW                CL A             26816Q101        35     7,200 SH           SOLE                                 7,200
E M C CORP MASS               COM              268648102       822    60,293 SH           SOLE                                60,293
E ON AG                       SPONSORED ADR    268780103        10       280 SH           SOLE                                   280
E TRADE FINANCIAL CORP        NOTE  6.000% 2/0 269246AB0         1       500 PRN          SOLE                    500
E TRADE FINANCIAL CORP        COM              269246104       115     4,266 SH           SOLE                                 4,266
EAGLE BULK SHIPPING INC       COM              Y2187A101        20     1,400 SH           SOLE                                 1,400
EAGLE MATERIALS INC           COM              26969P108        13       200 SH           SOLE                                   200
EASTMAN CHEM CO               COM              277432100       930    18,167 SH           SOLE                                18,167
EASTMAN KODAK CO              COM              277461109        59     2,064 SH           SOLE                                 2,064
EATON CORP                    COM              278058102        17       236 SH           SOLE                                   236
EATON VANCE ENH EQTY INC FD   COM              278277108        26     1,400 SH           SOLE                                 1,400
EATON VANCE INS MUN BD FD     COM              27827X101        10       700 SH           SOLE                                   700
EATON VANCE SH TM DR DIVR IN  COM              27828V104        47     2,800 SH           SOLE                                 2,800
EATON VANCE SR FLTNG RTE TR   COM              27828Q105        82     4,514 SH           SOLE                                 4,514








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
EATON VANCE TAX ADVT DIV INC  COM             27828G107         18       750 SH           SOLE                                   750
EATON VANCE TX ADV GLBL DIV   COM             27828S101         32     1,500 SH           SOLE                                 1,500
EATON VANCE TX MNG BY WRT OP  COM             27828Y108         65     3,500 SH           SOLE                                 3,500
EATON VANCE TXMGD GL BUYWR O  COM             27829C105         36     2,000 SH           SOLE                                 2,000
EBAY INC                      COM             278642103        650    16,671 SH           SOLE                                16,671
ECC CAPITAL CORP              COM             26826M108          1       500 SH           SOLE                                   500
ECHELON CORP                  COM             27874N105          1       117 SH           SOLE                                   117
ECLIPSYS CORP                 COM             278856109          2       101 SH           SOLE                                   101
ECOLAB INC                    COM             278865100        196     5,133 SH           SOLE                                 5,133
ECOLLEGE COM                  COM             27887E100      1,124    59,657 SH           SOLE                    300         59,357
EDISON INTL                   COM             281020107         41     1,000 SH           SOLE                                 1,000
EDWARDS AG INC                COM             281760108          8       160 SH           SOLE                                   160
EFJ INC                       COM             26843B101          5       500 SH           SOLE                                   500
EFUNDS CORP                   COM             28224R101          9       330 SH           SOLE                                   330
EGL INC                       COM             268484102         81     1,800 SH           SOLE                                 1,800
EL PASO CORP                  COM             28336L109        693    57,543 SH           SOLE                                57,543
EL PASO ELEC CO               COM NEW         283677854          4       200 SH           SOLE                                   200
EL PASO ENERGY CAP TR I       PFD CV TR SECS  283678209         17       470 SH           SOLE                                   470
ELAN PLC                      ADR             284131208        144    10,000 SH     CALL  SOLE                 10,000
ELAN PLC                      ADR             284131208        144    10,000 SH     PUT   SOLE                 10,000
ELAN PLC                      ADR             284131208         27     1,840 SH           SOLE                                 1,840
ELECTRONIC ARTS INC           COM             285512109        629    11,491 SH           SOLE                    578         10,913
ELECTRONIC DATA SYS NEW       COM             285661104        115     4,289 SH           SOLE                                 4,289
ELKCORP                       COM             287456107          3        95 SH           SOLE                                    95
EMDEON CORP                   COM             290849108        324    30,000 SH     PUT   SOLE                 30,000
EMDEON CORP                   COM             290849108          7       615 SH           SOLE                                   615
EMERSON ELEC CO               COM             291011104      1,403    16,774 SH           SOLE                                16,774
ENBRIDGE ENERGY PARTNERS L P  COM             29250R106        149     3,400 SH           SOLE                                 3,400
ENCANA CORP                   COM             292505104         66     1,408 SH           SOLE                                 1,408
ENCORE ACQUISITION CO         COM             29255W100         51     1,641 SH           SOLE                                 1,641
ENCORE MED CORP               COM             29256E109          6     1,085 SH           SOLE                                 1,085
ENCORE WIRE CORP              COM             292562105        557    16,450 SH           SOLE                                16,450
ENCYSIVE PHARMACEUTICALS INC  COM             29256X107         47     9,700 SH     PUT   SOLE                  9,700
ENCYSIVE PHARMACEUTICALS INC  COM             29256X107         48     9,800 SH           SOLE                  9,800
ENCYSIVE PHARMACEUTICALS INC  COM             29256X107        147    30,000 SH     CALL  SOLE                 30,000
ENDO PHARMACEUTICALS HLDGS I  COM             29264F205          8       252 SH           SOLE                                   252
ENDURANCE SPECIALTY HLDGS LT  SHS             G30397106         54     1,662 SH           SOLE                                 1,662
ENERGEN CORP                  COM             29265N108          1        22 SH           SOLE                                    22
ENERGIZER HLDGS INC           COM             29266R108         45       848 SH           SOLE                                   848
ENERGY CONVERSION DEVICES IN  COM             292659109         45       905 SH           SOLE                                   905
ENERGY INCOME & GROWTH FD     COM             292697109         52     2,500 SH           SOLE                                 2,500
ENERGY TRANSFER PRTNRS L P    UNIT LTD PARTN  29273R109         39     1,000 SH           SOLE                                 1,000
ENERPLUS RES FD               UNIT TR G NEW   29274D604        148     2,935 SH           SOLE                                 2,935
ENGELHARD CORP                COM             292845104        125     3,164 SH           SOLE                                 3,164
ENI S P A                     SPONSORED ADR   26874R108         14       241 SH           SOLE                                   241
ENTEGRIS INC                  COM             29362U104         19     1,800 SH           SOLE                                 1,800
ENTERPRISE PRODS PARTNERS L   COM             293792107        142     5,762 SH           SOLE                                 5,762
EOG RES INC                   COM             26875P101         21       294 SH           SOLE                                   294
EQUITABLE RES INC             COM             294549100          1        25 SH           SOLE                                    25
EQUITY OFFICE PROPERTIES TRU  COM             294741103         33       970 SH           SOLE                                   970
EQUITY RESIDENTIAL            SH BEN INT      29476L107         46       974 SH           SOLE                                   974








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
ERICSSON L M TEL CO           ADR B SEK 10    294821608         44     1,169 SH           SOLE                                 1,169
ERIE INDTY CO                 CL A            29530P102          5        88 SH           SOLE                                    88
EV3 INC                       COM             26928A200         18     1,000 SH           SOLE                                 1,000
EVERGREEN INTL BALANCED INCO  COM             30024R109         64     3,400 SH           SOLE                                 3,400
EVERGREEN MANAGED INCOME FD   COM SHS         30024Y104        105     6,500 SH           SOLE                                 6,500
EVERGREEN SOLAR INC           COM             30033R108          7       487 SH           SOLE                                   487
EXCEL TECHNOLOGY INC          COM             30067T103         10       340 SH           SOLE                                   340
EXELIXIS INC                  COM             30161Q104          4       356 SH           SOLE                    356
EXELON CORP                   COM             30161N101        224     4,227 SH           SOLE                                 4,227
EXPEDITORS INTL WASH INC      COM             302130109      3,944    45,654 SH           SOLE                                45,654
EXPRESS SCRIPTS INC           COM             302182100        533     6,060 SH           SOLE                                 6,060
EXXON MOBIL CORP              COM             30231G102      3,639    59,789 SH           SOLE                                59,789
EZCORP INC                    CL A NON VTG    302301106         35     1,200 SH           SOLE                                 1,200
FACTSET RESH SYS INC          COM             303075105          1        30 SH           SOLE                                    30
FAIR ISAAC CORP               COM             303250104        396    10,000 SH     CALL  SOLE                 10,000
FAIR ISAAC CORP               COM             303250104         21       535 SH           SOLE                                   535
FAIRCHILD SEMICONDUCTOR INTL  COM             303726103          7       350 SH           SOLE                                   350
FAIRFAX FINL HLDGS LTD        SUB VTG         303901102         96       900 SH           SOLE                                   900
FAIRMONT HOTELS RESORTS INC   COM             305204109          4       100 SH           SOLE                                   100
FALCONBRIDGE LTD NEW 2005     COM             306104100          7       200 SH           SOLE                                   200
FAMILY DLR STORES INC         COM             307000109        259     9,741 SH           SOLE                    100          9,641
FASTENAL CO                   COM             311900104         99     2,092 SH           SOLE                                 2,092
FEDERAL HOME LN MTG CORP      COM             313400301        112     1,844 SH           SOLE                                 1,844
FEDERAL NATL MTG ASSN         COM             313586109         64     1,238 SH           SOLE                                 1,238
FEDERATED DEPT STORES INC DE  COM             31410H101         35       484 SH           SOLE                                   484
FEDEX CORP                    COM             31428X106      1,019     9,024 SH           SOLE                                 9,024
FEI CO                        COM             30241L109          2       100 SH           SOLE                                   100
FIDELITY BANKSHARES INC NEW   COM             31604Q107          9       280 SH           SOLE                                   280
FIDUCIARY CLAYMORE MLP OPP F  COM             31647Q106         15       800 SH           SOLE                                   800
FIFTH THIRD BANCORP           COM             316773100          8       215 SH           SOLE                                   215
FILENET CORP                  COM             316869106      4,335   160,423 SH           SOLE                               160,423
FINANCIAL FED CORP            COM             317492106        780    26,605 SH           SOLE                    187         26,418
FIRST AMERN CORP CALIF        COM             318522307          1        36 SH           SOLE                                    36
FIRST AMERN MINN MUN INC FD   COM             31849P104        152    10,595 SH           SOLE                                10,595
FIRST CASH FINL SVCS INC      COM             31942D107          6       300 SH           SOLE                    100            200
FIRST CTZNS BANCSHARES INC N  CL A            31946M103          9        46 SH           SOLE                                    46
FIRST DATA CORP               COM             319963104      1,493    31,888 SH           SOLE                                31,888
FIRST HORIZON NATL CORP       COM             320517105        156     3,753 SH           SOLE                                 3,753
FIRST NIAGARA FINL GP INC     COM             33582V108          9       630 SH           SOLE                                   630
FIRST TR ABERDEEN GLBL OPP F  COM SHS         337319107         66     3,600 SH           SOLE                                 3,600
FIRST TR FIDCRY ASST MNGT CO  COM             337318109         86     4,700 SH           SOLE                                 4,700
FIRST TR FOUR CRNRS SR FLT R  COM SHS         33733Q107         82     4,600 SH           SOLE                                 4,600
FIRST TR STRTGC HIGH INCM FD  COM             337347108         99     5,000 SH           SOLE                                 5,000
FIRST TR VAL LINE & IBBTSN E  COM             33735H105        257    11,950 SH           SOLE                                11,950
FIRST TR VALUE LINE 100 FD    COM SHS         33735D104        193    11,500 SH           SOLE                                11,500
FIRST TR VALUE LINE DIV FD    COM SHS         33735A100        347    23,800 SH           SOLE                                23,800
FIRST TR/FOUR CRNRS SR FLOAT  COM             33733U108      1,138    63,767 SH           SOLE                                63,767
FIRST TRUST FIDAC MTG INCM F  COM SHS         33734E103         59     3,700 SH           SOLE                                 3,700
FIRSTENERGY CORP              COM             337932107         11       225 SH           SOLE                                   225
FISERV INC                    COM             337738108         66     1,547 SH           SOLE                                 1,547
FISHER SCIENTIFIC INTL INC    COM NEW         338032204         61       890 SH           SOLE                                   890








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
FLAGSTAR BANCORP INC          COM             337930101          3       200 SH           SOLE                                   200
FLEXTRONICS INTL LTD          ORD             Y2573F102         23     2,175 SH           SOLE                                 2,175
FLOATING RATE INCM STRT FD I  COM             339735102        322    18,016 SH           SOLE                                18,016
FLOWSERVE CORP                COM             34354P105        198     3,400 SH           SOLE                                 3,400
FLUOR CORP NEW                COM             343412102         21       250 SH           SOLE                                   250
FOCUS MEDIA HLDG LTD          SPONSORED ADR   34415V109        144     2,477 SH           SOLE                  2,477
FORD MTR CO DEL               COM PAR $0.01   345370860         59     7,454 SH           SOLE                                 7,454
FORDING CDN COAL TR           TR UNIT         345425102        128     3,380 SH           SOLE                                 3,380
FOREST CITY ENTERPRISES INC   CL A            345550107         21       435 SH           SOLE                                   435
FOREST LABS INC               COM             345838106         86     1,926 SH           SOLE                                 1,926
FOREST OIL CORP               COM PAR $0.01   346091705         45     1,200 SH           SOLE                                 1,200
FORMFACTOR INC                COM             346375108          4       110 SH           SOLE                                   110
FORTUNE BRANDS INC            COM             349631101        231     2,863 SH           SOLE                                 2,863
FORWARD AIR CORP              COM             349853101         45     1,220 SH           SOLE                                 1,220
FOSSIL INC                    COM             349882100          2       100 SH           SOLE                    100
FOSTER WHEELER LTD            SHS NEW         G36535139         31       660 SH           SOLE                                   660
FOUNDATION COAL HLDGS INC     COM             35039W100         14       350 SH           SOLE                                   350
FOUNDRY NETWORKS INC          COM             35063R100         27     1,500 SH           SOLE                                 1,500
FOXHOLLOW TECHNOLOGIES INC    COM             35166A103          2        65 SH           SOLE                                    65
FPL GROUP INC                 COM             302571104        110     2,730 SH           SOLE                                 2,730
FRANCE TELECOM                SPONSORED ADR   35177Q105          3       154 SH           SOLE                                   154
FRANKLIN ELEC INC             COM             353514102         21       386 SH           SOLE                                   386
FRANKLIN RES INC              COM             354613101          8        89 SH           SOLE                                    89
FRANKLIN TEMPLETON LTD DUR I  COM             35472T101         53     4,100 SH           SOLE                                 4,100
FREEPORT-MCMORAN COPPER & GO  CL B            35671D857         67     1,125 SH           SOLE                                 1,125
FREESCALE SEMICONDUCTOR INC   CL B            35687M206          4       159 SH           SOLE                                   159
FREESCALE SEMICONDUCTOR INC   COM CL A        35687M107        172     6,200 SH           SOLE                                 6,200
FRIEDMAN BILLINGS RAMSEY GRO  CL A            358434108        104    11,100 SH           SOLE                                11,100
FRIEDMAN INDS INC             COM             358435105          7       700 SH           SOLE                                   700
FRONTIER AIRLINES INC NEW     COM             359065109          6       750 SH           SOLE                                   750
FRONTIER OIL CORP             COM             35914P105         23       390 SH           SOLE                                   390
FROZEN FOOD EXPRESS INDS INC  COM             359360104         10     1,000 SH           SOLE                                 1,000
FUELCELL ENERGY INC           COM             35952H106         49     4,284 SH           SOLE                                 4,284
FURNITURE BRANDS INTL INC     COM             360921100         11       450 SH           SOLE                                   450
GABELLI DIVD & INCOME TR      COM             36242H104         92     5,000 SH           SOLE                                 5,000
GABELLI GLB GLD NAT RES & IN  COM SHS BN INT  36244N109         32     1,400 SH           SOLE                                 1,400
GABELLI UTIL TR               COM             36240A101          1       111 SH           SOLE                                   111
GAIAM INC                     CL A            36268Q103          1        56 SH           SOLE                                    56
GALLAGHER ARTHUR J & CO       COM             363576109        129     4,650 SH           SOLE                                 4,650
GANNETT INC                   COM             364730101         54       896 SH           SOLE                                   896
GAP INC DEL                   COM             364760108      2,786   149,120 SH           SOLE                               149,120
GARDNER DENVER INC            COM             365558105        145     2,230 SH           SOLE                                 2,230
GARMIN LTD                    ORD             G37260109          4        45 SH           SOLE                                    45
GATEWAY INC                   COM             367626108          3     1,560 SH           SOLE                                 1,560
GEMSTAR-TV GUIDE INTL INC     COM             36866W106          2       700 SH           SOLE                                   700
GENCO SHIPPING & TRADING LTD  SHS             Y2685T107          6       325 SH           SOLE                                   325
GENE LOGIC INC                COM             368689105          1       325 SH           SOLE                    325
GENENTECH INC                 COM NEW         368710406        482     5,707 SH           SOLE                                 5,707
GENERAL DYNAMICS CORP         COM             369550108          3        52 SH           SOLE                                    52
GENERAL ELECTRIC CO           COM             369604103      6,558   188,556 SH           SOLE                               188,556
GENERAL GROWTH PPTYS INC      COM             370021107        197     4,035 SH           SOLE                                 4,035








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
GENERAL MLS INC               COM              370334104       490      9,671 SH          SOLE                                 9,671
GENERAL MTRS CORP             COM              370442105        29      1,383 SH          SOLE                                 1,383
GENESCO INC                   COM              371532102         4        110 SH          SOLE                                   110
GENESEE & WYO INC             CL A             371559105        18        600 SH          SOLE                                   600
GENESIS MICROCHIP INC DEL     COM              37184C103         2        100 SH          SOLE                     100
GENLYTE GROUP INC             COM              372302109         2         25 SH          SOLE                                    25
GENOMIC HEALTH INC            COM              37244C101         4        389 SH          SOLE                     389
GEN-PROBE INC NEW             COM              36866T103        16        294 SH          SOLE                     256            38
GENTEX CORP                   COM              371901109     1,787    102,367 SH          SOLE                               102,367
GENTIVA HEALTH SERVICES INC   COM              37247A102        71      3,900 SH          SOLE                   3,900
GENUINE PARTS CO              COM              372460105        24        550 SH          SOLE                                   550
GENVEC INC                    COM              37246C109         2        764 SH          SOLE                                   764
GENWORTH FINL INC             COM CL A         37247D106         8        250 SH          SOLE                                   250
GENZYME CORP                  NOTE  1.250%12/0 372917AN4     1,639  1,509,000 PRN         SOLE               1,509,000
GENZYME CORP                  COM              372917104       180      2,671 SH          SOLE                     100         2,571
GETTY IMAGES INC              COM              374276103        22        300 SH          SOLE                                   300
GFI GROUP INC                 COM              361652209       304      5,847 SH          SOLE                                 5,847
GILDAN ACTIVEWEAR INC         COM              375916103        38        800 SH          SOLE                                   800
GILEAD SCIENCES INC           COM              375558103     1,723     27,699 SH          SOLE                     264        27,435
GLACIER BANCORP INC NEW       COM              37637Q105        57      1,850 SH          SOLE                                 1,850
GLATFELTER                    COM              377316104         3        150 SH          SOLE                                   150
GLAXOSMITHKLINE PLC           SPONSORED ADR    37733W105        20        385 SH          SOLE                                   385
GLOBAL PMTS INC               COM              37940X102       785     14,800 SH          SOLE                  14,800
GLOBALSANTAFE CORP            SHS              G3930E101        38        631 SH          SOLE                                   631
GOL LINHAS AEREAS INTLG S A   SP ADR REP PFD   38045R107        67      2,500 SH          SOLE                                 2,500
GOLD FIELDS LTD NEW           SPONSORED ADR    38059T106        86      3,900 SH          SOLE                                 3,900
GOLDCORP INC NEW              COM              380956409       254      8,685 SH          SOLE                                 8,685
GOLDEN STAR RES LTD CDA       COM              38119T104         6      2,000 SH          SOLE                                 2,000
GOLDEN WEST FINL CORP DEL     COM              381317106        20        294 SH          SOLE                                   294
GOLDMAN SACHS GROUP INC       COM              38141G104     2,096     13,351 SH          SOLE                                13,351
GOODYEAR TIRE & RUBR CO       COM              382550101        94      6,515 SH          SOLE                                 6,515
GOOGLE INC                    CL A             38259P508       277        710 SH          SOLE                                   710
GRACO INC                     COM              384109104        38        830 SH          SOLE                                   830
GRAINGER W W INC              COM              384802104        27        356 SH          SOLE                                   356
GRANT PRIDECO INC             COM              38821G101        62      1,440 SH          SOLE                                 1,440
GREAT NORTHN IRON ORE PPTYS   CTFS BEN INT     391064102        41        300 SH          SOLE                                   300
GREAT PLAINS ENERGY INC       COM              391164100       106      3,750 SH          SOLE                                 3,750
GREEN MTN COFFEE ROASTERS IN  COM              393122106         1         29 SH          SOLE                                    29
GRUPO AEROPORTUARIO DEL SURE  SPON ADR SER B   40051E202         9        270 SH          SOLE                                   270
GUIDANT CORP                  COM              401698105        70        900 SH          SOLE                                   900
GUITAR CTR MGMT INC           COM              402040109        10        206 SH          SOLE                                   206
H & E EQUIPMENT SERVICES INC  COM              404030108         6        200 SH          SOLE                                   200
H & Q HEALTHCARE FD           SH BEN INT       404052102         8        425 SH          SOLE                                   425
HAEMONETICS CORP              COM              405024100         2         45 SH          SOLE                                    45
HAIN CELESTIAL GROUP INC      COM              405217100        10        400 SH          SOLE                                   400
HALLIBURTON CO                COM              406216101       793     10,865 SH          SOLE                                10,865
HANCOCK JOHN FINL TRENDS FD   COM              41014X105        21      1,200 SH          SOLE                                 1,200
HANCOCK JOHN PATRIOT SELCT D  COM              41013U102       182     14,700 SH          SOLE                                14,700
HANCOCK JOHN PFD INCOME FD I  COM              41021P103        61      3,000 SH          SOLE                                 3,000
HANCOCK JOHN PFD INCOME FD I  COM              41013X106        71      3,100 SH          SOLE                                 3,100
HANCOCK JOHN TAX-ADV DIV INC  COM              41013V100       121      7,050 SH          SOLE                                 7,050








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
HANOVER COMPRESSOR CO         COM             410768105          2       105 SH           SOLE                                   105
HANOVER INS GROUP INC         COM             410867105          9       180 SH           SOLE                                   180
HANSEN NAT CORP               COM             411310105         77       613 SH           SOLE                                   613
HARBOR FLA BANCSHARES INC     COM             411901101         19       490 SH           SOLE                                   490
HARLAND JOHN H CO             COM             412693103         17       444 SH           SOLE                                   444
HARLEY DAVIDSON INC           COM             412822108        483     9,317 SH           SOLE                                 9,317
HARMAN INTL INDS INC          COM             413086109          1         5 SH           SOLE                                     5
HARMONY GOLD MNG LTD          SPONSORED ADR   413216300         13       800 SH           SOLE                                   800
HARRAHS ENTMT INC             COM             413619107         53       675 SH           SOLE                                   675
HARTE-HANKS INC               COM             416196103         11       411 SH           SOLE                                   411
HARTFORD FINL SVCS GROUP INC  COM             416515104        244     3,028 SH           SOLE                                 3,028
HARVEST ENERGY TR             TRUST UNIT      41752X101      2,404    82,510 SH           SOLE                                82,510
HAWAIIAN ELEC INDUSTRIES      COM             419870100         48     1,760 SH           SOLE                                 1,760
HCA INC                       COM             404119109         49     1,080 SH           SOLE                                 1,080
HCC INS HLDGS INC             COM             404132102         12       335 SH           SOLE                                   335
HDFC BANK LTD                 ADR REPS 3 SHS  40415F101          5       100 SH           SOLE                                   100
HEADWATERS INC                COM             42210P102        136     3,412 SH           SOLE                                 3,412
HEALTH CARE PPTY INVS INC     COM             421915109         57     2,011 SH           SOLE                                 2,011
HEALTH MGMT ASSOC INC NEW     CL A            421933102         60     2,766 SH           SOLE                                 2,766
HEALTHEXTRAS INC              COM             422211102        155     4,377 SH           SOLE                                 4,377
HEALTHTRONICS INC             COM             42222L107         50     6,025 SH           SOLE                                 6,025
HEALTHWAYS INC                COM             422245100          5       100 SH           SOLE                                   100
HEARST-ARGYLE TELEVISION INC  COM             422317107          8       350 SH           SOLE                                   350
HEINZ H J CO                  COM             423074103         34       909 SH           SOLE                                   909
HELIX ENERGY SOLUTIONS GRP I  COM             42330P107        122     3,220 SH           SOLE                                 3,220
HENRY JACK & ASSOC INC        COM             426281101         10       450 SH           SOLE                                   450
HERBALIFE LTD                 COM USD SHS     G4412G101          1        30 SH           SOLE                                    30
HERSHEY CO                    COM             427866108        104     2,000 SH           SOLE                                 2,000
HEWLETT PACKARD CO            COM             428236103        502    15,259 SH           SOLE                                15,259
HICKORY TECH CORP             COM             429060106         72     8,600 SH           SOLE                                 8,600
HILFIGER TOMMY CORP           ORD             G8915Z102          3       200 SH           SOLE                                   200
HILTON HOTELS CORP            COM             432848109         36     1,433 SH           SOLE                                 1,433
HI-TECH PHARMACAL INC         COM             42840B101          8       300 SH           SOLE                                   300
HITTITE MICROWAVE CORP        COM             43365Y104         10       290 SH           SOLE                                   290
HOKU SCIENTIFIC INC           COM             434712105         52     8,057 SH           SOLE                                 8,057
HOME DEPOT INC                COM             437076102      1,990    47,042 SH           SOLE                                47,042
HOMESTORE INC                 COM             437852106         13     2,000 SH           SOLE                                 2,000
HONDA MOTOR LTD               AMERN SHS       438128308          6       209 SH           SOLE                                   209
HONEYWELL INTL INC            COM             438516106      2,215    51,789 SH           SOLE                                51,789
HORMEL FOODS CORP             COM             440452100         87     2,571 SH           SOLE                                 2,571
HOSPIRA INC                   COM             441060100         19       474 SH           SOLE                                   474
HOSPITALITY PPTYS TR          COM SH BEN INT  44106M102         13       300 SH           SOLE                                   300
HOUSEVALUES INC               COM             44183Y102          3       400 SH           SOLE                    400
HOVNANIAN ENTERPRISES INC     CL A            442487203         22       500 SH           SOLE                                   500
HRPT PPTYS TR                 COM SH BEN INT  40426W101        248    21,145 SH           SOLE                                21,145
HSBC HLDGS PLC                SPON ADR NEW    404280406         60       718 SH           SOLE                                   718
HSBC HLDGS PLC                ADR A 1/40PF A  404280604         39     1,600 SH           SOLE                                 1,600
HUB GROUP INC                 CL A            443320106         23       500 SH           SOLE                                   500
HUDSON CITY BANCORP           COM             443683107         19     1,460 SH           SOLE                                 1,460
HUGOTON RTY TR TEX            UNIT BEN INT    444717102         70     2,250 SH           SOLE                                 2,250
HUMAN GENOME SCIENCES INC     COM             444903108          1       100 SH           SOLE                                   100








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
HUMANA INC                    COM              444859102        10       190 SH           SOLE                                   190
HUNT J B TRANS SVCS INC       COM              445658107        13       600 SH           SOLE                                   600
HUNTSMAN CORP                 COM              447011107        29     1,485 SH           SOLE                                 1,485
HURCO COMPANIES INC           COM              447324104        24       900 SH           SOLE                                   900
HUTTIG BLDG PRODS INC         COM              448451104         1       100 SH           SOLE                                   100
HYDRIL                        COM              448774109        16       200 SH           SOLE                                   200
HYDROGENICS CORP              COM              448882100         2       600 SH           SOLE                                   600
HYPERION SOLUTIONS CORP       COM              44914M104         3        84 SH           SOLE                      84
HYPERION TOTAL RETURN & INCO  COM              449145101        49     5,800 SH           SOLE                                 5,800
IAC INTERACTIVECORP           COM NEW          44919P300        24       800 SH           SOLE                                   800
ICOS CORP                     NOTE  2.000% 7/0 449295AB0        79   100,000 PRN          SOLE                 100,000
ICOS CORP                     COM              449295104        29     1,326 SH           SOLE                     226         1,100
IDACORP INC                   COM              451107106         4       116 SH           SOLE                                   116
IDENTIX INC                   COM              451906101        64     8,061 SH           SOLE                                 8,061
IDEXX LABS INC                COM              45168D104        22       255 SH           SOLE                                   255
IDT CORP                      CL B             448947309         1       100 SH           SOLE                                   100
IKON OFFICE SOLUTIONS INC     COM              451713101         1        80 SH           SOLE                                    80
ILLINOIS TOOL WKS INC         COM              452308109        34       356 SH           SOLE                                   356
ILLUMINA INC                  COM              452327109         9       387 SH           SOLE                     387
IMCLONE SYS INC               COM              45245W109         7       200 SH           SOLE                     100           100
IMMUCOR INC                   COM              452526106       127     4,427 SH           SOLE                                 4,427
IMPERIAL OIL LTD              COM NEW          453038408        19       175 SH           SOLE                                   175
INCO LTD                      COM              453258402        70     1,410 SH           SOLE                                 1,410
INDIA FD INC                  COM              454089103       100     1,983 SH           SOLE                                 1,983
INDYMAC BANCORP INC           COM              456607100        64     1,560 SH           SOLE                                 1,560
INFORMATICA CORP              COM              45666Q102         2       100 SH           SOLE                                   100
INFOSYS TECHNOLOGIES LTD      SPONSORED ADR    456788108        60       770 SH           SOLE                                   770
INFOUSA INC NEW               COM              456818301     1,568   120,770 SH           SOLE                               120,770
ING CLARION GLB RE EST INCM   COM              44982G104       109     5,945 SH           SOLE                                 5,945
ING GLBL ADV & PREM OPP FUND  COM              44982N109        88     4,600 SH           SOLE                                 4,600
ING GLOBAL EQTY DIV & PREM O  COM              45684E107        18       950 SH           SOLE                                   950
ING GROEP N V                 SPONSORED ADR    456837103        14       363 SH           SOLE                                   363
INGERSOLL-RAND COMPANY LTD    CL A             G4776G101     1,151    27,538 SH           SOLE                                27,538
INNODATA ISOGEN INC           COM NEW          457642205         3     1,000 SH           SOLE                                 1,000
INSITUFORM TECHNOLOGIES INC   CL A             457667103         1        40 SH           SOLE                                    40
INSURED MUN INCOME FD         COM              45809F104        40     3,100 SH           SOLE                                 3,100
INTEGRATED SILICON SOLUTION   COM              45812P107         8     1,132 SH           SOLE                     132         1,000
INTEL CORP                    COM              458140100     2,271   116,708 SH           SOLE                     300       116,408
INTER TEL INC                 COM              458372109         2       100 SH           SOLE                                   100
INTERACTIVE DATA CORP         COM              45840J107         1        47 SH           SOLE                      47
INTERDIGITAL COMMUNICATIONS   COM              45866A105         1        50 SH           SOLE                      50
INTERMAGNETICS GEN CORP       COM              458771102        74     2,950 SH           SOLE                                 2,950
INTERMUNE INC                 COM              45884X103        15       811 SH           SOLE                     811
INTERNAP NETWORK SVCS CORP    COM              45885A102       450   479,150 SH           SOLE                               479,150
INTERNATIONAL BANCSHARES COR  COM              459044103         1        42 SH           SOLE                                    42
INTERNATIONAL BUSINESS MACHS  COM              459200101     1,044    12,657 SH           SOLE                                12,657
INTERNATIONAL FLAVORS&FRAGRA  COM              459506101        22       652 SH           SOLE                                   652
INTERNATIONAL GAME TECHNOLOG  COM              459902102        88     2,487 SH           SOLE                                 2,487
INTERNATIONAL RECTIFIER CORP  COM              460254105        23       550 SH           SOLE                                   550
INTERNATIONAL SPEEDWAY CORP   CL A             460335201        24       475 SH           SOLE                                   475
INTERNET HOLDRS TR            DEPOSIT RCPT     46059W102       465     8,000 SH           SOLE                                 8,000








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
INTERPUBLIC GROUP COS INC     COM             460690100          4       400 SH           SOLE                                   400
INTERSIL CORP                 CL A            46069S109         60     2,082 SH           SOLE                                 2,082
INTL PAPER CO                 COM             460146103        525    15,181 SH           SOLE                                15,181
INTUIT                        COM             461202103          9       174 SH           SOLE                                   174
INTUITIVE SURGICAL INC        COM NEW         46120E602        931     7,892 SH           SOLE                     200         7,692
INVERNESS MED INNOVATIONS IN  COM             46126P106          3       100 SH           SOLE                                   100
INVESTOOLS INC                COM             46145P103         22     2,685 SH           SOLE                                 2,685
INVESTORS FINL SERVICES CORP  COM             461915100          9       200 SH           SOLE                                   200
INVESTORS REAL ESTATE TR      SH BEN INT      461730103        190    19,950 SH           SOLE                                19,950
INVITROGEN CORP               COM             46185R100        312     4,445 SH           SOLE                     418         4,027
IPSCO INC                     COM             462622101         43       410 SH           SOLE                                   410
IRELAND BK                    SPONSORED ADR   46267Q103         47       625 SH           SOLE                                   625
IRON MTN INC                  COM             462846106          6       139 SH           SOLE                                   139
ISHARES COMEX GOLD TR         ISHARES         464285105          6       100 SH           SOLE                                   100
ISHARES INC                   MSCI MALAYSIA   464286830          2       250 SH           SOLE                                   250
ISHARES INC                   MSCI HONG KONG  464286871          6       449 SH           SOLE                                   449
ISHARES INC                   MSCI TAIWAN     464286731          6       502 SH           SOLE                                   502
ISHARES INC                   MSCI MEXICO     464286822         30       780 SH           SOLE                                   780
ISHARES INC                   MSCI BELGIUM    464286301         25     1,200 SH           SOLE                                 1,200
ISHARES INC                   MSCI CDA INDEX  464286509         34     1,450 SH           SOLE                                 1,450
ISHARES INC                   MSCI AUSTRIA    464286202         46     1,471 SH           SOLE                                 1,471
ISHARES INC                   MSCI BRAZIL     464286400         65     1,623 SH           SOLE                                 1,623
ISHARES INC                   MSCI SWEDEN     464286756         45     1,737 SH           SOLE                                 1,737
ISHARES INC                   MSCI S KOREA    464286772         98     2,110 SH           SOLE                                 2,110
ISHARES INC                   MSCI AUSTRALIA  464286103         47     2,350 SH           SOLE                                 2,350
ISHARES INC                   MSCI PAC J IDX  464286665        359     3,425 SH           SOLE                                 3,425
ISHARES INC                   MSCI EMU INDEX  464286608        330     3,781 SH           SOLE                                 3,781
ISHARES INC                   MSCI SWITZERLD  464286749        272    13,000 SH           SOLE                                13,000
ISHARES INC                   MSCI JAPAN      464286848      1,339    92,981 SH           SOLE                                92,981
ISHARES TR                    RUSSELL 3000    464287689          4        50 SH           SOLE                                    50
ISHARES TR                    S&P/TOPIX 150   464287382         25       200 SH           SOLE                                   200
ISHARES TR                    RUSL 3000 GROW  464287671         14       320 SH           SOLE                                   320
ISHARES TR                    S&P EURO PLUS   464287861         64       722 SH           SOLE                                   722
ISHARES TR                    RUSL 3000 VALU  464287663        103     1,080 SH           SOLE                                 1,080
ISHARES TR                    GLDM SACHS TEC  464287549         54     1,092 SH           SOLE                                 1,092
ISHARES TR                    LEHMAN AGG BND  464287226        113     1,136 SH           SOLE                                 1,136
ISHARES TR                    RSSL MCRCP IDX  464288869         77     1,325 SH           SOLE                                 1,325
ISHARES TR                    RUSSELL MCP VL  464287473        212     1,589 SH           SOLE                                 1,589
ISHARES TR                    S&P GLB100INDX  464287572        110     1,664 SH           SOLE                                 1,664
ISHARES TR                    DJ US FINL SEC  464287788        180     1,712 SH           SOLE                                 1,712
ISHARES TR                    S&P GBL HLTHCR  464287325         98     1,820 SH           SOLE                                 1,820
ISHARES TR                    RUSSELL MCP GR  464287481        202     1,989 SH           SOLE                                 1,989
ISHARES TR                    RUSSELL MIDCAP  464287499        218     2,303 SH           SOLE                                 2,303
ISHARES TR                    S&P GBL ENER    464287341        266     2,610 SH           SOLE                                 2,610
ISHARES TR                    GLMN SCHS SOFT  464287515        192     4,616 SH           SOLE                                 4,616
ISHARES TR                    GLDM SCHS NETW  464287531        191     5,235 SH           SOLE                                 5,235
ISHARES TR                    COHEN&ST RLTY   464287564        480     5,587 SH           SOLE                                 5,587
ISHARES TR                    S&P LTN AM 40   464287390        847     6,038 SH           SOLE                                 6,038
ISHARES TR                    RUSL 2000 GROW  464287648        505     6,334 SH           SOLE                                 6,334
ISHARES TR                    DJ US REAL EST  464287739        480     6,526 SH           SOLE                                 6,526
ISHARES TR                    DJ US UTILS     464287697        524     6,925 SH           SOLE                                 6,925








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
ISHARES TR                    S&P 500 INDEX   464287200        906     6,973 SH           SOLE                                 6,973
ISHARES TR                    RUSSELL 1000    464287622        500     7,080 SH           SOLE                                 7,080
ISHARES TR                    MSCI GRW IDX    464288885        468     7,595 SH           SOLE                                 7,595
ISHARES TR                    S&P 100 IDX FD  464287101        498     8,430 SH           SOLE                                 8,430
ISHARES TR                    GS NAT RES IDX  464287374        817     8,511 SH           SOLE                                 8,511
ISHARES TR                    7-10 YR TRS BD  464287440        822    10,078 SH           SOLE                                10,078
ISHARES TR                    FTSE XNHUA IDX  464287184        772    10,387 SH           SOLE                                10,387
ISHARES TR                    20+ YR TRS BD   464287432      1,002    11,540 SH           SOLE                                11,540
ISHARES TR                    DJ US FINL SVC  464287770      1,419    11,906 SH           SOLE                                11,906
ISHARES TR                    RUSL 2000 VALU  464287630        916    12,255 SH           SOLE                                12,255
ISHARES TR                    DJ US ENERGY    464287796      1,159    12,577 SH           SOLE                                12,577
ISHARES TR                    TRANSP AVE IDX  464287192      1,123    13,665 SH           SOLE                                13,665
ISHARES TR                    S&P SMLCP GROW  464287887      1,910    14,745 SH           SOLE                                14,745
ISHARES TR                    DJ US TECH SEC  464287721        941    18,001 SH           SOLE                                18,001
ISHARES TR                    GS CORP BD FD   464287242      2,137    20,297 SH           SOLE                                20,297
ISHARES TR                    S&P SMLCP VALU  464287879      1,621    22,264 SH           SOLE                                22,264
ISHARES TR                    GLDM SCHS SEMI  464287523      1,570    24,087 SH           SOLE                                24,087
ISHARES TR                    DJ US TELECOMM  464287713        652    25,211 SH           SOLE                                25,211
ISHARES TR                    US TIPS BD FD   464287176      2,666    26,485 SH           SOLE                                26,485
ISHARES TR                    S&P MIDCAP 400  464287507      2,152    27,141 SH           SOLE                                27,141
ISHARES TR                    CONS SRVC IDX   464287580      1,698    27,446 SH           SOLE                                27,446
ISHARES TR                    DJ US BAS MATL  464287838      1,548    27,647 SH           SOLE                                27,647
ISHARES TR                    DJ US INDUSTRL  464287754      1,822    28,866 SH           SOLE                                28,866
ISHARES TR                    RUSSELL 2000    464287655      2,206    29,041 SH           SOLE                                29,041
ISHARES TR                    S&P MC 400 GRW  464287606      2,477    30,765 SH           SOLE                                30,765
ISHARES TR                    CONS GOODS IDX  464287812      1,691    31,410 SH           SOLE                                31,410
ISHARES TR                    S&P SMLCAP 600  464287804      2,261    34,658 SH           SOLE                                34,658
ISHARES TR                    RUSSELL1000VAL  464287598      2,704    36,983 SH           SOLE                                36,983
ISHARES TR                    S&P MIDCP VALU  464287705      3,006    39,195 SH           SOLE                                39,195
ISHARES TR                    MSCI EMERG MKT  464287234      3,936    39,754 SH           SOLE                                39,754
ISHARES TR                    DJ US HEALTHCR  464287762      2,829    44,384 SH           SOLE                                44,384
ISHARES TR                    1-3 YR TRS BD   464287457      3,554    44,429 SH           SOLE                                44,429
ISHARES TR                    DJ SEL DIV INX  464287168      3,090    49,278 SH           SOLE                                49,278
ISHARES TR                    NASDQ BIO INDX  464287556      4,183    50,771 SH           SOLE                                50,771
ISHARES TR                    RUSSELL1000GRW  464287614      3,022    57,309 SH           SOLE                                57,309
ISHARES TR                    S&P 500 VALUE   464287408      4,215    61,303 SH           SOLE                                61,303
ISHARES TR                    S&P500 GRW      464287309      4,092    67,188 SH           SOLE                                67,188
ISHARES TR                    MSCI EAFE IDX   464287465      8,840   136,168 SH           SOLE                               136,168
ISIS PHARMACEUTICALS INC      COM             464330109         39     4,285 SH           SOLE                     100         4,185
ITRON INC                     COM             465741106          3        42 SH           SOLE                                    42
ITT INDS INC IND              COM             450911102         18       316 SH           SOLE                                   316
ITURAN LOCATION AND CONTROL   SHS             M6158M104          5       300 SH           SOLE                                   300
IXIA                          COM             45071R109          7       500 SH           SOLE                                   500
JABIL CIRCUIT INC             COM             466313103         94     2,200 SH           SOLE                                 2,200
JACOBS ENGR GROUP INC DEL     COM             469814107         53       610 SH           SOLE                                   610
JANUS CAP GROUP INC           COM             47102X105        378    16,304 SH           SOLE                                16,304
JDS UNIPHASE CORP             COM             46612J101        852   204,301 SH           SOLE                 189,000        15,301
JEFFERIES GROUP INC NEW       COM             472319102          1        12 SH           SOLE                                    12
JEFFERSON PILOT CORP          COM             475070108         37       656 SH           SOLE                                   656
JLG INDS INC                  COM             466210101     14,344   465,880 SH           SOLE                               465,880
JOHN HANCOCK BK &THRIFT OPP   SH BEN INT      409735107         23     2,363 SH           SOLE                                 2,363








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
JOHNSON & JOHNSON             COM             478160104      2,646    44,687 SH           SOLE                                44,687
JOHNSON CTLS INC              COM             478366107         25       331 SH           SOLE                                   331
JONES APPAREL GROUP INC       COM             480074103          9       260 SH           SOLE                                   260
JOS A BANK CLOTHIERS INC      COM             480838101        107     2,225 SH           SOLE                                 2,225
JOY GLOBAL INC                COM             481165108        126     2,105 SH           SOLE                                 2,105
JP MORGAN CHASE & CO          COM             46625H100      4,757   114,231 SH           SOLE                               114,231
JUNIPER NETWORKS INC          NOTE     6/1    48203RAC8        269   250,000 PRN          SOLE                 250,000
JUNIPER NETWORKS INC          COM             48203R104         23     1,186 SH           SOLE                                 1,186
JUPITERMEDIA CORP             COM             48207D101         45     2,487 SH           SOLE                   2,487
KAYDON CORP                   COM             486587108          4       110 SH           SOLE                                   110
KB HOME                       COM             48666K109          5        80 SH           SOLE                                    80
KELLOGG CO                    COM             487836108         51     1,150 SH           SOLE                                 1,150
KENEXA CORP                   COM             488879107          2        60 SH           SOLE                      60
KERR MCGEE CORP               COM             492386107         50       520 SH           SOLE                                   520
KEYCORP NEW                   COM             493267108         30       815 SH           SOLE                                   815
KEYSPAN CORP                  COM             49337W100         75     1,847 SH           SOLE                                 1,847
KIMBERLY CLARK CORP           COM             494368103        213     3,693 SH           SOLE                                 3,693
KINDER MORGAN ENERGY PARTNER  UT LTD PARTNER  494550106        175     3,640 SH           SOLE                                 3,640
KINDER MORGAN INC KANS        COM             49455P101         51       559 SH           SOLE                                   559
KINDER MORGAN MANAGEMENT LLC  SHS             49455U100          5       120 SH           SOLE                                   120
KINETIC CONCEPTS INC          COM NEW         49460W208          5       131 SH           SOLE                                   131
KING PHARMACEUTICALS INC      COM             495582108         36     2,100 SH           SOLE                                 2,100
KINROSS GOLD CORP             COM NO PAR      496902404        674    61,706 SH           SOLE                                61,706
KLA-TENCOR CORP               COM             482480100         44       900 SH           SOLE                     300           600
KOHLS CORP                    COM             500255104        988    18,635 SH           SOLE                                18,635
KONINKLIJKE PHILIPS ELECTRS   NY REG SH NEW   500472303         38     1,132 SH           SOLE                                 1,132
KOREA ELECTRIC PWR            SPONSORED ADR   500631106          2       100 SH           SOLE                                   100
KOREA FD                      COM             500634100          8       200 SH           SOLE                                   200
KORN FERRY INTL               COM NEW         500643200         18       869 SH           SOLE                                   869
KOS PHARMACEUTICALS INC       COM             500648100         17       365 SH           SOLE                     365
KRAFT FOODS INC               CL A            50075N104         68     2,230 SH           SOLE                                 2,230
KROGER CO                     COM             501044101          9       465 SH           SOLE                                   465
KRONOS INC                    COM             501052104        652    17,437 SH           SOLE                      68        17,369
KYOCERA CORP                  ADR             501556203          9       101 SH           SOLE                                   101
L-3 COMMUNICATIONS HLDGS INC  COM             502424104        257     2,993 SH           SOLE                                 2,993
LABORATORY CORP AMER HLDGS    COM NEW         50540R409         18       300 SH           SOLE                                   300
LAFARGE COPPEE S A            SPON ADR NEW    505861401          4       140 SH           SOLE                                   140
LAM RESEARCH CORP             COM             512807108         22       500 SH           SOLE                     100           400
LAN AIRLINES S A              SPONSORED ADR   501723100          5       130 SH           SOLE                                   130
LANDAUER INC                  COM             51476K103         75     1,500 SH           SOLE                                 1,500
LANDSTAR SYS INC              COM             515098101         42       950 SH           SOLE                                   950
LASERSCOPE                    COM             518081104         15       650 SH           SOLE                                   650
LATTICE SEMICONDUCTOR CORP    COM             518415104         46     6,925 SH           SOLE                                 6,925
LAUREATE EDUCATION INC        COM             518613104        442     8,284 SH           SOLE                                 8,284
LAYNE CHRISTENSEN CO          COM             521050104          5       160 SH           SOLE                                   160
LAZARD GLB TTL RET&INCM FD I  COM             52106W103          6       300 SH           SOLE                                   300
LCA-VISION INC                COM PAR $.001   501803308          7       130 SH           SOLE                                   130
LEAR CORP                     COM             521865105      1,406    79,314 SH           SOLE                                79,314
LEE ENTERPRISES INC           COM             523768109          2        64 SH           SOLE                                    64
LEGG MASON INC                COM             524901105         38       302 SH           SOLE                                   302
LEGGETT & PLATT INC           COM             524660107         52     2,143 SH           SOLE                                 2,143








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
LEHMAN BROS HLDGS INC         COM             524908100        437     3,026 SH           SOLE                                 3,026
LENNAR CORP                   CL A            526057104          3        50 SH           SOLE                                    50
LEUCADIA NATL CORP            COM             527288104          9       157 SH           SOLE                                   157
LEVEL 3 COMMUNICATIONS INC    NOTE  6.000% 3/152729NAS9         16    20,000 PRN          SOLE                                20,000
LEVEL 3 COMMUNICATIONS INC    COM             52729N100        653   126,065 SH           SOLE                               126,065
LEXAR MEDIA INC               COM             52886P104         17     2,000 SH           SOLE                                 2,000
LEXMARK INTL NEW              CL A            529771107      3,002    66,159 SH           SOLE                                66,159
LG PHILIP LCD CO LTD          SPONS ADR REP   50186V102         23     1,000 SH           SOLE                                 1,000
LIBERTY ALL STAR EQUITY FD    SH BEN INT      530158104         22     2,643 SH           SOLE                                 2,643
LIBERTY ALL-STAR GROWTH FD I  COM             529900102         11     2,028 SH           SOLE                                 2,028
LIBERTY GLOBAL INC            COM SER A       530555101          1        50 SH           SOLE                                    50
LIBERTY GLOBAL INC            COM SER C       530555309          1        50 SH           SOLE                                    50
LIBERTY MEDIA CORP NEW        COM SER A       530718105         97    11,780 SH           SOLE                                11,780
LIFECELL CORP                 COM             531927101         11       500 SH           SOLE                                   500
LIFECORE BIOMEDICAL INC       COM             532187101         12     1,000 SH           SOLE                                 1,000
LIFEPOINT HOSPITALS INC       COM             53219L109         12       400 SH           SOLE                                   400
LIHIR GOLD LTD                SPONSORED ADR   532349107         15       390 SH           SOLE                                   390
LILLY ELI & CO                COM             532457108        632    11,426 SH           SOLE                                11,426
LIMITED BRANDS INC            COM             532716107        244     9,990 SH           SOLE                                 9,990
LINCARE HLDGS INC             COM             532791100          4       100 SH           SOLE                                   100
LINCOLN NATL CORP IND         COM             534187109         16       285 SH           SOLE                                   285
LINEAR TECHNOLOGY CORP        COM             535678106      1,616    46,065 SH           SOLE                       5        46,060
LIVE NATION INC               COM             538034109          1        32 SH           SOLE                                    32
LIZ CLAIBORNE INC             COM             539320101        116     2,840 SH           SOLE                                 2,840
LKQ CORP                      COM             501889208        982    47,200 SH           SOLE                                47,200
LLOYDS TSB GROUP PLC          SPONSORED ADR   539439109          4        94 SH           SOLE                                    94
LOCKHEED MARTIN CORP          COM             539830109        105     1,404 SH           SOLE                                 1,404
LODGIAN INC                   COM PAR $.01    54021P403      3,163   227,710 SH           SOLE                               227,710
LOEWS CORP                    COM             540424108         14       138 SH           SOLE                                   138
LOGITECH INTERNATIONAL S A    SPONSORED ADR   541419107         12       300 SH           SOLE                                   300
LO-JACK CORP                  COM             539451104          5       200 SH           SOLE                                   200
LONE STAR STEAKHOUSE SALOON   COM             542307103         11       400 SH           SOLE                                   400
LONE STAR TECHNOLOGIES INC    COM             542312103        481     8,683 SH           SOLE                                 8,683
LOWES COS INC                 COM             548661107        350     5,435 SH           SOLE                                 5,435
LSI LOGIC CORP                COM             502161102         13     1,140 SH           SOLE                                 1,140
LTC PPTYS INC                 COM             502175102         54     2,325 SH           SOLE                                 2,325
LUCENT TECHNOLOGIES INC       COM             549463107        173    56,810 SH           SOLE                                56,810
LUFKIN INDS INC               COM             549764108         27       480 SH           SOLE                                   480
LYONDELL CHEMICAL CO          COM             552078107         20     1,000 SH           SOLE                                 1,000
M & T BK CORP                 COM             55261F104          3        25 SH           SOLE                                    25
M D C HLDGS INC               COM             552676108      2,108    32,780 SH           SOLE                                32,780
M SYS FLASH DISK PIONEERS LT  ORD             M7061C100        107     4,123 SH           SOLE                                 4,123
MACERICH CO                   COM             554382101          1        12 SH           SOLE                                    12
MACQUARIE FT TR GB INF UT DI  COM             55607W100         86     3,870 SH           SOLE                                 3,870
MACQUARIE GLBL INFRA TOTL RE  COM             55608D101         34     1,500 SH           SOLE                                 1,500
MADISON CLAYMORE CVRD CALL F  COM             556582104        172    11,660 SH           SOLE                                11,660
MADISON STRTG SECTOR PREM FD  COM             558268108        103     5,094 SH           SOLE                                 5,094
MAGELLAN HEALTH SVCS INC      COM NEW         559079207         18       444 SH           SOLE                                   444
MAGELLAN MIDSTREAM PRTNRS LP  COM UNIT RP LP  559080106         26       800 SH           SOLE                                   800
MAGNA INTL INC                CL A            559222401          1         9 SH           SOLE                                     9
MANITOWOC INC                 COM             563571108        223     2,450 SH           SOLE                                 2,450








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
MANNATECH INC                 COM             563771104          5       300 SH           SOLE                                   300
MANULIFE FINL CORP            COM             56501R106         40       642 SH           SOLE                                   642
MARATHON OIL CORP             COM             565849106        120     1,576 SH           SOLE                                 1,576
MARCHEX INC                   CL B            56624R108         44     2,034 SH           SOLE                   2,034
MARINER ENERGY INC            COM             56845T305         20       969 SH           SOLE                                   969
MARKEL CORP                   COM             570535104         20        59 SH           SOLE                                    59
MARRIOTT INTL INC NEW         CL A            571903202      1,844    26,877 SH           SOLE                                26,877
MARSH & MCLENNAN COS INC      COM             571748102         45     1,546 SH           SOLE                                 1,546
MARSHALL & ILSLEY CORP        COM             571834100         94     2,160 SH           SOLE                                 2,160
MARTEK BIOSCIENCES CORP       COM             572901106          9       274 SH           SOLE                     166           108
MARTEN TRANS LTD              COM             573075108         18     1,000 SH           SOLE                                 1,000
MARTHA STEWART LIVING OMNIME  CL A            573083102         13       750 SH           SOLE                                   750
MARVEL ENTERTAINMENT INC      COM             57383T103         33     1,616 SH           SOLE                                 1,616
MARVELL TECHNOLOGY GROUP LTD  ORD             G5876H105        532     9,841 SH           SOLE                                 9,841
MASSEY ENERGY CORP            COM             576206106          1        25 SH           SOLE                                    25
MATRIX BANCORP INC            COM             576819106         11       500 SH           SOLE                                   500
MATRIXX INITIATIVES INC       COM             57685L105          5       200 SH           SOLE                                   200
MATSUSHITA ELEC INDL          ADR             576879209          1        30 SH           SOLE                                    30
MATTEL INC                    COM             577081102         20     1,078 SH           SOLE                                 1,078
MAXIM INTEGRATED PRODS INC    COM             57772K101         33       883 SH           SOLE                     285           598
MAXTOR CORP                   COM NEW         577729205          1        81 SH           SOLE                      81
MAXXAM INC                    COM             577913106          8       250 SH           SOLE                                   250
MAYTAG CORP                   COM             578592107          4       200 SH           SOLE                                   200
MBIA INC                      COM             55262C100          6       100 SH           SOLE                                   100
MCAFEE INC                    COM             579064106         24     1,005 SH           SOLE                                 1,005
MCCLATCHY CO                  CL A            579489105         17       350 SH           SOLE                                   350
MCCORMICK & CO INC            COM NON VTG     579780206        117     3,451 SH           SOLE                                 3,451
MCDATA CORP                   CL A            580031201         72    15,624 SH           SOLE                                15,624
MCDONALDS CORP                COM             580135101        867    25,239 SH           SOLE                                25,239
MCF CORP                      COM             580395101          1     1,000 SH           SOLE                                 1,000
MCG CAPITAL CORP              COM             58047P107        223    15,820 SH           SOLE                                15,820
MCGRAW HILL COS INC           COM             580645109        120     2,088 SH           SOLE                                 2,088
MDU RES GROUP INC             COM             552690109        152     4,550 SH           SOLE                                 4,550
MEADWESTVACO CORP             COM             583334107        124     4,540 SH           SOLE                                 4,540
MEDAREX INC                   COM             583916101          8       635 SH           SOLE                     285           350
MEDCO HEALTH SOLUTIONS INC    COM             58405U102        171     2,989 SH           SOLE                                 2,989
MEDICINES CO                  COM             584688105          5       255 SH           SOLE                     255
MEDICIS PHARMACEUTICAL CORP   CL A NEW        584690309          2        50 SH           SOLE                                    50
MEDIMMUNE INC                 COM             584699102          2        50 SH           SOLE                                    50
MEDTRONIC INC                 COM             585055106      4,866    95,890 SH           SOLE                                95,890
MELLON FINL CORP              COM             58551A108         20       552 SH           SOLE                                   552
MEMC ELECTR MATLS INC         COM             552715104         10       260 SH           SOLE                                   260
MENTOR CORP MINN              COM             587188103         50     1,100 SH           SOLE                                 1,100
MERCANTILE BANKSHARES CORP    COM             587405101         20       522 SH           SOLE                                   522
MERCK & CO INC                COM             589331107        872    24,758 SH           SOLE                                24,758
MERCURY GENL CORP NEW         COM             589400100          4        67 SH           SOLE                                    67
MEREDITH CORP                 COM             589433101         25       441 SH           SOLE                                   441
MERIDIAN BIOSCIENCE INC       COM             589584101         30     1,100 SH           SOLE                                 1,100
MERIT MED SYS INC             COM             589889104        124    10,300 SH           SOLE                                10,300
MERRILL LYNCH & CO INC        COM             590188108        833    10,576 SH           SOLE                                10,576
MESABI TR                     CTF BEN INT     590672101          5       220 SH           SOLE                                   220








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
METLIFE INC                   COM             59156R108         94     1,953 SH           SOLE                                 1,953
METTLER TOLEDO INTERNATIONAL  COM             592688105         17       290 SH           SOLE                                   290
MFS GOVT MKTS INCOME TR       SH BEN INT      552939100         13     2,100 SH           SOLE                                 2,100
MFS INTER INCOME TR           SH BEN INT      55273C107          9     1,500 SH           SOLE                                 1,500
MGI PHARMA INC                COM             552880106        336    19,191 SH           SOLE                  18,841           350
MGIC INVT CORP WIS            COM             552848103         13       195 SH           SOLE                                   195
MGM MIRAGE                    COM             552953101         37       865 SH           SOLE                                   865
MI DEVS INC                   CL A SUB VTG    55304X104         16       450 SH           SOLE                                   450
MICREL INC                    COM             594793101          3       175 SH           SOLE                                   175
MICROCHIP TECHNOLOGY INC      COM             595017104         20       553 SH           SOLE                                   553
MICRON TECHNOLOGY INC         COM             595112103         29     1,994 SH           SOLE                                 1,994
MICROSEMI CORP                COM             595137100         10       340 SH           SOLE                                   340
MICROSOFT CORP                COM             594918104      5,085   186,885 SH           SOLE                               186,885
MICROSTRATEGY INC             CL A NEW        594972408         42       400 SH           SOLE                                   400
MIDCAP SPDR TR                UNIT SER 1      595635103      2,442    16,871 SH           SOLE                                16,871
MILLENNIUM CELL INC           COM             60038B105          2     1,000 SH           SOLE                                 1,000
MILLER HERMAN INC             COM             600544100      2,198    67,845 SH           SOLE                                67,845
MINDSPEED TECHNOLOGIES INC    COM             602682106         20     5,065 SH           SOLE                                 5,065
MINNESOTA MUN INCOME PTFL IN  COM             604062109         55     3,500 SH           SOLE                                 3,500
MIRAMAR MINING CORP           COM             60466E100         10     3,000 SH           SOLE                                 3,000
MITSUBISHI UFJ FINL GROUP IN  SPONSORED ADR   606822104         16     1,061 SH           SOLE                                 1,061
MITSUI & CO LTD               ADR             606827202         12        40 SH           SOLE                                    40
MITTAL STEEL CO N V           NY REG SH CL A  60684P101        438    11,600 SH           SOLE                                11,600
MKS INSTRUMENT INC            COM             55306N104          9       383 SH           SOLE                                   383
MOHAWK INDS INC               COM             608190104         28       345 SH           SOLE                                   345
MOLECULAR DEVICES CORP        COM             60851C107         43     1,282 SH           SOLE                                 1,282
MOLEX INC                     COM             608554101         48     1,431 SH           SOLE                                 1,431
MONACO COACH CORP             COM             60886R103          7       500 SH           SOLE                                   500
MONARCH CASINO & RESORT INC   COM             609027107          4       140 SH           SOLE                                   140
MONEYGRAM INTL INC            COM             60935Y109        482    15,682 SH           SOLE                                15,682
MONOGRAM BIOSCIENCES INC      COM             60975U108          2       977 SH           SOLE                                   977
MONSANTO CO NEW               COM             61166W101         41       480 SH           SOLE                                   480
MONTGOMERY STR INCOME SECS I  COM             614115103          7       400 SH           SOLE                                   400
MOODYS CORP                   COM             615369105        945    13,219 SH           SOLE                                13,219
MORGAN STANLEY                GOVT INCOME TR  61745P106         43     5,000 SH           SOLE                                 5,000
MORGAN STANLEY                COM NEW         617446448        824    13,110 SH           SOLE                                13,110
MORGAN STANLEY ASIA PAC FD I  COM             61744U106         20     1,200 SH           SOLE                                 1,200
MORGAN STANLEY INDIA INVS FD  COM             61745C105        332     6,640 SH           SOLE                                 6,640
MOSAIC CO                     COM             61945A107        498    34,700 SH           SOLE                                34,700
MOSSIMO INC                   COM             619696107          2       401 SH           SOLE                     401
MOTOROLA INC                  COM             620076109        783    34,166 SH           SOLE                                34,166
MPS GROUP INC                 COM             553409103         60     3,954 SH           SOLE                                 3,954
MTS SYS CORP                  COM             553777103        856    20,473 SH           SOLE                                20,473
MUNIHOLDINGS CALIF INSD FD I  COM             625933106        265    17,427 SH           SOLE                                17,427
MURPHY OIL CORP               COM             626717102          6       120 SH           SOLE                                   120
MWI VETERINARY SUPPLY INC     COM             55402X105          1        44 SH           SOLE                      44
MYLAN LABS INC                COM             628530107         90     3,837 SH           SOLE                                 3,837
MYOGEN INC                    COM             62856E104         11       310 SH           SOLE                      10           300
MYRIAD GENETICS INC           COM             62855J104         18       700 SH           SOLE                                   700
NABI BIOPHARMACEUTICALS       COM             629519109          1       200 SH           SOLE                                   200
NABORS INDUSTRIES LTD         SHS             G6359F103        449     6,272 SH           SOLE                                 6,272








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
NAM TAI ELECTRS INC           COM PAR $0.02   629865205         55     2,395 SH           SOLE                                 2,395
NANOGEN INC                   COM             630075109         74    24,475 SH           SOLE                                24,475
NANOMETRICS INC               COM             630077105          1       100 SH           SOLE                                   100
NAPSTER INC                   COM             630797108          1       150 SH           SOLE                                   150
NASDAQ 100 TR                 UNIT SER 1      631100104      3,060    72,983 SH           SOLE                   50,000       22,983
NASTECH PHARMACEUTICAL INC    COM PAR $0.006  631728409         36     2,000 SH           SOLE                                 2,000
NATIONAL AUSTRALIA BK LTD     SPONSORED ADR   632525408          1         5 SH           SOLE                                     5
NATIONAL CITY CORP            COM             635405103        101     2,905 SH           SOLE                                 2,905
NATIONAL INSTRS CORP          COM             636518102        869    26,650 SH           SOLE                                26,650
NATIONAL OILWELL VARCO INC    COM             637071101         38       595 SH           SOLE                                   595
NATIONAL SEMICONDUCTOR CORP   COM             637640103        569    20,439 SH           SOLE                                20,439
NATIONWIDE FINL SVCS INC      CL A            638612101          1        25 SH           SOLE                                    25
NATIONWIDE HEALTH PPTYS INC   COM             638620104          6       300 SH           SOLE                                   300
NATURES SUNSHINE PRODUCTS IN  COM             639027101          1        89 SH           SOLE                                    89
NBC CAP CORP                  COM             628729105          3       150 SH           SOLE                                   150
NCR CORP NEW                  COM             62886E108          4       100 SH           SOLE                                   100
NEKTAR THERAPEUTICS           COM             640268108          1        70 SH           SOLE                                    70
NEOSE TECHNOLOGIES INC        COM             640522108         14     5,000 SH           SOLE                                 5,000
NESS TECHNOLOGIES INC         COM             64104X108          2       194 SH           SOLE                                   194
NETBANK INC                   COM             640933107          2       227 SH           SOLE                                   227
NETEASE COM INC               SPONSORED ADR   64110W102         47     1,900 SH           SOLE                    1,000          900
NETFLIX COM INC               COM             64110L106        165     5,676 SH           SOLE                    5,676
NETWORK ENGINES INC           COM             64121A107          5     1,650 SH           SOLE                                 1,650
NEUBERGER BERMAN DIV ADVANT   COM             64127J102         50     2,400 SH           SOLE                                 2,400
NEUBERGER BERMAN RLTY INC FD  COM             64126G109         16       800 SH           SOLE                                   800
NEUROCRINE BIOSCIENCES INC    COM             64125C109          5        78 SH           SOLE                                    78
NEW PLAN EXCEL RLTY TR INC    COM             648053106         13       500 SH           SOLE                                   500
NEW YORK CMNTY BANCORP INC    COM             649445103        175     9,991 SH           SOLE                                 9,991
NEW YORK TIMES CO             CL A            650111107         10       401 SH           SOLE                                   401
NEWELL RUBBERMAID INC         COM             651229106        528    20,947 SH           SOLE                                20,947
NEWFIELD EXPL CO              COM             651290108          4       100 SH           SOLE                                   100
NEWMARKET CORP                COM             651587107          5       100 SH           SOLE                                   100
NEWMONT MINING CORP           COM             651639106      1,063    20,478 SH           SOLE                                20,478
NEWS CORP                     CL B            65248E203         47     2,650 SH           SOLE                                 2,650
NEWS CORP                     CL A            65248E104        320    19,290 SH           SOLE                                19,290
NFJ DIVID INT & PREM STRTGY   COM SHS         65337H109        145     6,380 SH           SOLE                                 6,380
NIC INC                       COM             62914B100         12     1,900 SH           SOLE                                 1,900
NICHOLAS APPLEGATE CV&INC FD  COM             65370G109         31     2,000 SH           SOLE                                 2,000
NICHOLAS-APPLEGATE CV & INC   COM             65370F101      1,658   106,563 SH           SOLE                               106,563
NICHOLAS-APPLGT INTL & PRM S  COM             65370C108        101     4,050 SH           SOLE                                 4,050
NIKE INC                      CL B            654106103        596     7,000 SH           SOLE                                 7,000
NIPPON TELEG & TEL CORP       SPONSORED ADR   654624105          5       212 SH           SOLE                                   212
NISOURCE INC                  COM             65473P105         10       500 SH           SOLE                                   500
NISSAN MOTORS                 SPONSORED ADR   654744408          1        30 SH           SOLE                                    30
NOBLE ENERGY INC              COM             655044105        197     4,486 SH           SOLE                                 4,486
NOKIA CORP                    SPONSORED ADR   654902204      2,192   105,810 SH           SOLE                      100      105,710
NOMURA HLDGS INC              SPONSORED ADR   65535H208         12       552 SH           SOLE                                   552
NORDIC AMERICAN TANKER SHIPP  COM             G65773106         43     1,500 SH           SOLE                                 1,500
NORDSTROM INC                 COM             655664100        136     3,466 SH           SOLE                                 3,466
NORFOLK SOUTHERN CORP         COM             655844108        406     7,510 SH           SOLE                                 7,510
NORTEL NETWORKS CORP NEW      COM             656568102         36    11,763 SH           SOLE                                11,763








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
NORTH AMERN PALLADIUM LTD     COM              656912102         4       330 SH           SOLE                                   330
NORTH EUROPEAN OIL RTY TR     SH BEN INT       659310106        28       950 SH           SOLE                                   950
NORTH FORK BANCORPORATION NY  COM              659424105         4       133 SH           SOLE                                   133
NORTHERN BORDER PARTNERS L P  UNIT LTD PARTN   664785102       139     2,900 SH           SOLE                                 2,900
NORTHERN ORION RES INC        COM              665575106        20     4,525 SH           SOLE                                 4,525
NORTHERN TR CORP              COM              665859104        50       943 SH           SOLE                      63           880
NORTHFIELD LABS INC           COM              666135108         7       650 SH           SOLE                                   650
NORTHROP GRUMMAN CORP         COM              666807102        54       797 SH           SOLE                                   797
NORTHWESTERN CORP             COM NEW          668074305         2        56 SH           SOLE                                    56
NORTHWESTERN CORP             *W EXP 99/99/999 668074115         1       181 SH           SOLE                                   181
NOVA CHEMICALS CORP           COM              66977W109         1        40 SH           SOLE                                    40
NOVAGOLD RES INC              COM NEW          66987E206        15     1,000 SH           SOLE                                 1,000
NOVARTIS A G                  SPONSORED ADR    66987V109        75     1,360 SH           SOLE                                 1,360
NOVASTAR FINL INC             COM              669947400        17       500 SH           SOLE                                   500
NOVELIS INC                   COM              67000X106        79     3,820 SH           SOLE                                 3,820
NOVELL INC                    COM              670006105        79    10,300 SH           SOLE                  10,300
NOVELLUS SYS INC              COM              670008101         5       201 SH           SOLE                     100           101
NTT DOCOMO INC                SPONS ADR        62942M201        11       724 SH           SOLE                                   724
NU SKIN ENTERPRISES INC       CL A             67018T105        17       947 SH           SOLE                                   947
NUCOR CORP                    COM              670346105     7,276    69,438 SH           SOLE                                69,438
NUVEEN EQTY PRM OPPORTUNITYF  COM              6706EM102        24     1,280 SH           SOLE                                 1,280
NUVEEN EQUITY PREM ADV FD     COM              6706ET107        13       700 SH           SOLE                                   700
NUVEEN FLA QUALITY INCOME MU  COM              670978105        23     1,700 SH           SOLE                                 1,700
NUVEEN FLOATING RATE INCOME   COM              67072T108     1,167    89,438 SH           SOLE                                89,438
NUVEEN FLTNG RTE INCM OPP FD  COM SHS          6706EN100       370    27,889 SH           SOLE                                27,889
NUVEEN INSD NEW YORK DIVID    COM              67071N102         8       500 SH           SOLE                                   500
NUVEEN INSD QUALITY MUN FD I  COM              67062N103        15     1,000 SH           SOLE                                 1,000
NUVEEN PFD & CONV INC FD      COM              67073B106        82     6,600 SH           SOLE                                 6,600
NUVEEN PREM INCOME MUN FD     COM              67062T100        10       700 SH           SOLE                                   700
NUVEEN PREM INCOME MUN FD 2   COM              67063W102         9       667 SH           SOLE                                   667
NUVEEN QUALITY PFD INCOME FD  COM              67072C105        37     2,700 SH           SOLE                                 2,700
NUVEEN SR INCOME FD           COM              67067Y104       151    18,013 SH           SOLE                                18,013
NUVEEN TX ADV TOTAL RET STRG  COM              67090H102        34     1,500 SH           SOLE                                 1,500
NUVELO INC                    COM NEW          67072M301        11       600 SH           SOLE                                   600
O REILLY AUTOMOTIVE INC       COM              686091109        57     1,571 SH           SOLE                       1         1,570
O2MICRO INTERNATIONAL LTD     SPONS ADR        67107W100       102     9,612 SH           SOLE                   8,658           954
OCCIDENTAL PETE CORP DEL      COM              674599105       401     4,324 SH           SOLE                                 4,324
OCEANEERING INTL INC          COM              675232102        31       540 SH           SOLE                                   540
OFFICE DEPOT INC              COM              676220106        19       500 SH           SOLE                                   500
OGE ENERGY CORP               COM              670837103        20       700 SH           SOLE                                   700
OIL STS INTL INC              COM              678026105        22       600 SH           SOLE                                   600
OIL SVC HOLDRS TR             DEPOSTRY RCPT    678002106       411     2,800 SH           SOLE                                 2,800
OLD MUTUAL CLAYMORE LNG SHT   COM              68003N103       202    11,600 SH           SOLE                                11,600
OLIN CORP                     COM PAR $1       680665205         2       100 SH           SOLE                                   100
OMI CORP NEW                  COM              Y6476W104        18     1,000 SH           SOLE                                 1,000
OMNICARE INC                  COM              681904108        77     1,400 SH           SOLE                                 1,400
OMNICOM GROUP INC             COM              681919106        39       465 SH           SOLE                                   465
OMNIVISION TECHNOLOGIES INC   COM              682128103       240     7,950 SH           SOLE                     150         7,800
ONEOK INC NEW                 COM              682680103        10       300 SH           SOLE                                   300
OPENWAVE SYS INC              COM NEW          683718308       140     6,481 SH           SOLE                                 6,481
ORACLE CORP                   COM              68389X105       846    61,761 SH           SOLE                                61,761








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
ORASURE TECHNOLOGIES INC      COM             68554V108          5       500 SH           SOLE                                   500
ORBITAL SCIENCES CORP         COM             685564106        827    52,300 SH           SOLE                                52,300
OTTER TAIL CORP               COM             689648103          3       100 SH           SOLE                                   100
OUTBACK STEAKHOUSE INC        COM             689899102          8       185 SH           SOLE                                   185
OWENS & MINOR INC NEW         COM             690732102          7       210 SH           SOLE                                   210
OXFORD INDS INC               COM             691497309         35       675 SH           SOLE                                   675
OYO GEOSPACE CORP             COM             671074102         15       250 SH           SOLE                                   250
P F CHANGS CHINA BISTRO INC   COM             69333Y108          5       100 SH           SOLE                                   100
PACCAR INC                    COM             693718108         42       600 SH           SOLE                                   600
PACIFIC ETHANOL INC           COM             69423U107         22     1,000 SH           SOLE                                 1,000
PACIFIC SUNWEAR CALIF INC     COM             694873100         53     2,400 SH           SOLE                                 2,400
PACKETEER INC                 COM             695210104          1       100 SH           SOLE                     100
PACTIV CORP                   COM             695257105          1        25 SH           SOLE                                    25
PAIN THERAPEUTICS INC         COM             69562K100          8       700 SH           SOLE                     700
PALL CORP                     COM             696429307         44     1,400 SH           SOLE                                 1,400
PALM INC NEW                  COM             696643105         22       950 SH           SOLE                                   950
PALOMAR MED TECHNOLOGIES INC  COM NEW         697529303          7       200 SH           SOLE                                   200
PAN AMERICAN SILVER CORP      COM             697900108        103     4,060 SH           SOLE                                 4,060
PANACOS PHARMACEUTICALS INC   COM             69811Q106          1       100 SH           SOLE                     100
PANERA BREAD CO               CL A            69840W108         15       200 SH           SOLE                                   200
PARAMETRIC TECHNOLOGY CORP    COM NEW         699173209          7       400 SH           SOLE                                   400
PARKER HANNIFIN CORP          COM             701094104         97     1,200 SH           SOLE                                 1,200
PARLUX FRAGRANCES INC         COM             701645103         19       600 SH           SOLE                                   600
PARTICLE DRILLING TECHNOLOGI  COM             70212G101         21     4,000 SH           SOLE                                 4,000
PATRIOT CAPITAL FUNDING INC   COM             70335Y104        206    16,483 SH           SOLE                   2,503        13,980
PATTERSON COMPANIES INC       COM             703395103         24       675 SH           SOLE                                   675
PATTERSON UTI ENERGY INC      COM             703481101         23       729 SH           SOLE                                   729
PAXSON COMMUNICATIONS CORP    COM             704231109          2     2,000 SH           SOLE                                 2,000
PAYCHEX INC                   COM             704326107        298     7,165 SH           SOLE                                 7,165
PDL BIOPHARMA INC             COM             69329Y104         19       586 SH           SOLE                     586
PEABODY ENERGY CORP           COM             704549104      2,237    44,382 SH           SOLE                                44,382
PEARSON PLC                   SPONSORED ADR   705015105          3       228 SH           SOLE                                   228
PEMSTAR INC                   COM             706552106         20     9,800 SH           SOLE                     100         9,700
PENGROWTH ENERGY TR           TRUST UNIT A    706902301        109     4,700 SH           SOLE                                 4,700
PENN NATL GAMING INC          COM             707569109          9       220 SH           SOLE                                   220
PENN VA RESOURCES PARTNERS L  COM             707884102         75     1,300 SH           SOLE                                 1,300
PENNEY J C INC                COM             708160106         67     1,112 SH           SOLE                                 1,112
PENNFED FINL SVCS INC         COM             708167101          9       490 SH           SOLE                                   490
PENTAIR INC                   COM             709631105        149     3,663 SH           SOLE                                 3,663
PEOPLESUPPORT INC             COM             712714302         12     1,200 SH           SOLE                                 1,200
PEP BOYS MANNY MOE & JACK     COM             713278109          5       350 SH           SOLE                                   350
PEPCO HOLDINGS INC            COM             713291102         27     1,200 SH           SOLE                                 1,200
PEPSICO INC                   COM             713448108        985    17,036 SH           SOLE                                17,036
PEREGRINE PHARMACEUTICALS IN  COM             713661106          1       800 SH           SOLE                                   800
PERKINELMER INC               COM             714046109         18       750 SH           SOLE                                   750
PETROCHINA CO LTD             SPONSORED  ADR  71646E100        327     3,114 SH           SOLE                                 3,114
PETROFUND ENERGY TRUST        TR UNIT         71648W108         55     2,525 SH           SOLE                                 2,525
PETROLEO BRASILEIRO SA PETRO  SPONSORED ADR   71654V408         16       185 SH           SOLE                                   185
PETROLEUM & RES CORP          COM             716549100         50     1,500 SH           SOLE                                 1,500
PETSMART INC                  COM             716768106         24       870 SH           SOLE                                   870
PFIZER INC                    COM             717081103      2,784   111,715 SH           SOLE                               111,715








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
PG&E CORP                     COM              69331C108       148      3,800 SH          SOLE                   3,400           400
PHARMACEUTICAL HLDRS TR       DEPOSITRY RCPT   71712A206        93      1,300 SH          SOLE                                 1,300
PHARMACEUTICAL PROD DEV INC   COM              717124101       205      5,925 SH          SOLE                                 5,925
PHARMACEUTICAL RES INC        NOTE  2.875% 9/3 717125AC2         8     10,000 PRN         SOLE                                10,000
PHELPS DODGE CORP             COM              717265102       181      2,250 SH          SOLE                                 2,250
PHOENIX COS INC NEW           COM              71902E109         2         95 SH          SOLE                                    95
PIER 1 IMPORTS INC            COM              720279108        12      1,000 SH          SOLE                                 1,000
PIMCO CORPORATE OPP FD        COM              72201B101       161      9,300 SH          SOLE                                 9,300
PIMCO FLOATING RATE INCOME F  COM              72201H108        21      1,063 SH          SOLE                                 1,063
PIMCO FLOATING RATE STRTGY F  COM              72201J104       441     23,152 SH          SOLE                                23,152
PIMCO HIGH INCOME FD          COM SHS          722014107     1,721    114,223 SH          SOLE                               114,223
PIMCO MUN INCOME FD II        COM              72200W106        30      2,000 SH          SOLE                                 2,000
PIMCO STRATEGIC GBL GOV FD I  COM              72200X104        12      1,000 SH          SOLE                                 1,000
PINNACLE WEST CAP CORP        COM              723484101        22        570 SH          SOLE                                   570
PIONEER TAX ADVNTAGE BALANC   COM              72388R101        49      3,800 SH          SOLE                                 3,800
PITNEY BOWES INC              COM              724479100        19        454 SH          SOLE                                   454
PIXAR                         COM              725811103        39        605 SH          SOLE                                   605
PIZZA INN INC NEW             COM              725848105         7      2,550 SH          SOLE                   2,550
PLATO LEARNING INC            COM              72764Y100       571     60,211 SH          SOLE                                60,211
PLEXUS CORP                   COM              729132100         4        100 SH          SOLE                     100
PLUG POWER INC                COM              72919P103         5      1,000 SH          SOLE                                 1,000
PLUM CREEK TIMBER CO INC      COM              729251108        44      1,200 SH          SOLE                                 1,200
PNC FINL SVCS GROUP INC       COM              693475105         8        118 SH          SOLE                                   118
POGO PRODUCING CO             COM              730448107         1         25 SH          SOLE                                    25
POLARIS INDS INC              COM              731068102       785     14,380 SH          SOLE                                14,380
POLO RALPH LAUREN CORP        CL A             731572103        24        400 SH          SOLE                                   400
PORTALPLAYER INC              COM              736187204         9        396 SH          SOLE                      96           300
PORTFOLIO RECOVERY ASSOCS IN  COM              73640Q105       105      2,241 SH          SOLE                      41         2,200
POSCO                         SPONSORED ADR    693483109        12        190 SH          SOLE                                   190
POWERDSINE LTD                SHS              M41415106         1        201 SH          SOLE                     201
POWERSHARES ETF TRUST         DYN EN EX PROD   73935X658         3        150 SH          SOLE                                   150
POWERSHARES ETF TRUST         FTSE RAFI 1000   73935X583        77      1,500 SH          SOLE                                 1,500
POWERSHARES ETF TRUST         HI GRW RT DIV    73935X724        34      2,150 SH          SOLE                                 2,150
POWERSHARES ETF TRUST         WNDRHLL CLN EN   73935X500        54      2,550 SH          SOLE                                 2,550
POWERSHARES ETF TRUST         ZACKS MC PRTFL   73935X740        66      3,850 SH          SOLE                                 3,850
POWERSHARES ETF TRUST         VAL LINE TIME    73935X682        73      4,400 SH          SOLE                                 4,400
POWERSHARES ETF TRUST         DYN OIL SVCS     73935X625       112      5,600 SH          SOLE                                 5,600
POWERSHARES ETF TRUST         HI YLD EQ DVDN   73935X302       103      6,875 SH          SOLE                                 6,875
POWERSHARES ETF TRUST         WATER RESOURCE   73935X575       185     10,250 SH          SOLE                                10,250
POWERSHARES ETF TRUST         DYNAMIC OTC PT   73935X203       825     15,695 SH          SOLE                                15,695
POWERSHARES ETF TRUST         DYNAMIC MKT PT   73935X104     2,107     43,975 SH          SOLE                                43,975
POWERSHARES ETF TRUST         INTL DIV ACHV    73935X716       769     47,380 SH          SOLE                                47,380
POWERSHARES ETF TRUST         DYMN MC VAL      73935X880       979     57,440 SH          SOLE                                57,440
POWERSHARES ETF TRUST         DYNM SM CP GRW   73935X872     1,231     67,070 SH          SOLE                                67,070
POWERSHARES ETF TRUST         DYNM LRG CP VL   73935X708     1,218     71,450 SH          SOLE                                71,450
POWERSHARES ETF TRUST         DYNM MC GRWTH    73935X807     1,513     80,740 SH          SOLE                                80,740
POWERSHARES ETF TRUST         DYNM SM CP VAL   73935X864     1,383     82,270 SH          SOLE                                82,270
POWERSHARES ETF TRUST         GOLDEN DRG USX   73935X401     1,380     83,050 SH          SOLE                                83,050
POWERSHARES ETF TRUST         DYNM LRG CP GR   73935X609     1,443     87,240 SH          SOLE                                87,240
POWERWAVE TECHNOLOGIES INC    NOTE  1.875%11/1 739363AD1     4,432  3,317,000 PRN         SOLE               3,317,000
POWERWAVE TECHNOLOGIES INC    COM              739363109        11        814 SH          SOLE                     330           484








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
POZEN INC                     COM              73941U102         6        370 SH          SOLE                     370
PPG INDS INC                  COM              693506107        20        318 SH          SOLE                                   318
PRAXAIR INC                   COM              74005P104       711     12,895 SH          SOLE                                12,895
PRECISION CASTPARTS CORP      COM              740189105        45        750 SH          SOLE                                   750
PRECISION DRILLING TR         TR UNIT          740215108     2,477     76,605 SH          SOLE                                76,605
PRICE T ROWE GROUP INC        COM              74144T108       299      3,824 SH          SOLE                                 3,824
PRINCIPAL FINANCIAL GROUP IN  COM              74251V102         6        125 SH          SOLE                                   125
PROCTER & GAMBLE CO           COM              742718109     6,592    114,382 SH          SOLE                               114,382
PROGRESS ENERGY INC           COM              743263105       894     20,335 SH          SOLE                                20,335
PROGRESSIVE CORP OHIO         COM              743315103        24        230 SH          SOLE                                   230
PROTEIN DESIGN LABS INC       NOTE  2.000% 2/1 74369LAF0     3,051  2,044,000 PRN         SOLE               2,044,000
PROTHERICS PLC                SPONSORED ADR    743707101         1         84 SH          SOLE                      84
PROVIDENT ENERGY TR           TR UNIT          74386K104        62      5,500 SH          SOLE                                 5,500
PROVIDENT FINL SVCS INC       COM              74386T105         9        490 SH          SOLE                                   490
PRUDENTIAL FINL INC           COM              744320102         6         75 SH          SOLE                                    75
PRUDENTIAL PLC                6.75%SUB REG S   G7293H114        25      1,000 SH          SOLE                   1,000
PSYCHEMEDICS CORP             COM NEW          744375205         2        100 SH          SOLE                                   100
PSYCHIATRIC SOLUTIONS INC     COM              74439H108        32        960 SH          SOLE                                   960
PUGET ENERGY INC NEW          COM              745310102        25      1,197 SH          SOLE                                 1,197
PULTE HOMES INC               COM              745867101         1         16 SH          SOLE                                    16
PUTNAM MANAGED HIGH YIELD TR  SH BEN INT       746819101        19      2,200 SH          SOLE                                 2,200
PUTNAM MANAGED MUN INCOM TR   COM              746823103        81     11,000 SH          SOLE                                11,000
PUTNAM PREMIER INCOME TR      SH BEN INT       746853100        77     12,640 SH          SOLE                                12,640
Q MED                         COM              747914109        12      1,250 SH          SOLE                                 1,250
QLOGIC CORP                   COM              747277101         9        450 SH          SOLE                     200           250
QUALCOMM INC                  COM              747525103     4,125     81,505 SH          SOLE                     200        81,305
QUALITY SYS INC               COM              747582104       511     15,440 SH          SOLE                                15,440
QUANEX CORP                   COM              747620102        46        690 SH          SOLE                                   690
QUANTA SVCS INC               COM              74762E102        10        600 SH          SOLE                                   600
QUEST DIAGNOSTICS INC         COM              74834L100        95      1,855 SH          SOLE                                 1,855
QUESTAR CORP                  COM              748356102        35        495 SH          SOLE                                   495
QUICKSILVER RESOURCES INC     COM              74837R104        12        322 SH          SOLE                                   322
QUIDEL CORP                   COM              74838J101        41      3,200 SH          SOLE                                 3,200
QUIKSILVER INC                COM              74838C106        14      1,000 SH          SOLE                                 1,000
QUIXOTE CORP                  COM              749056107         2        100 SH          SOLE                                   100
QWEST COMMUNICATIONS INTL IN  COM              749121109        74     10,857 SH          SOLE                                10,857
RADIAN GROUP INC              COM              750236101         8        125 SH          SOLE                                   125
RADIATION THERAPY SVCS INC    COM              750323206         6        220 SH          SOLE                                   220
RAIT INVT TR                  COM              749227104       264      9,350 SH          SOLE                                 9,350
RANGE RES CORP                COM              75281A109         8        300 SH          SOLE                                   300
RARE HOSPITALITY INTL INC     COM              753820109        10        300 SH          SOLE                                   300
RASER TECHNOLOGIES INC        COM              754055101        35      2,100 SH          SOLE                                 2,100
RAYMOND JAMES FINANCIAL INC   COM              754730109         9        315 SH          SOLE                                   315
RAYTHEON CO                   COM NEW          755111507       155      3,386 SH          SOLE                                 3,386
RC2 CORP                      COM              749388104        20        500 SH          SOLE                                   500
READERS DIGEST ASSN INC       COM              755267101        10        688 SH          SOLE                                   688
REAVES UTIL INCOME FD         COM SH BEN INT   756158101        24      1,200 SH          SOLE                                 1,200
RED HAT INC                   COM              756577102       280     10,000 SH    CALL  SOLE                  10,000
RED HAT INC                   COM              756577102        29      1,030 SH          SOLE                                 1,030
RED ROBIN GOURMET BURGERS IN  COM              75689M101         5        100 SH          SOLE                                   100
REFAC OPTICAL GROUP           COM              758960108         2        236 SH          SOLE                                   236








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
REGENCY CTRS CORP             COM             758849103          5        80 SH           SOLE                                    80
REGIONS FINANCIAL CORP NEW    COM             7591EP100        375    10,676 SH           SOLE                                10,676
REGIS CORP MINN               COM             758932107      1,608    46,635 SH           SOLE                                46,635
REHABCARE GROUP INC           COM             759148109          4       200 SH           SOLE                                   200
RELIANT ENERGY INC            COM             75952B105        130    12,257 SH           SOLE                                12,257
RENAL CARE GROUP INC          COM             759930100         12       260 SH           SOLE                                   260
RENOVIS INC                   COM             759885106         15       718 SH           SOLE                     118           600
RENT A CTR INC NEW            COM             76009N100         13       500 SH           SOLE                                   500
REPUBLIC AWYS HLDGS INC       COM             760276105         34     2,300 SH           SOLE                                 2,300
RESMED INC                    COM             761152107         56     1,278 SH           SOLE                                 1,278
RESOURCE AMERICA INC          CL A            761195205          5       240 SH           SOLE                                   240
RESTORATION HARDWARE INC DEL  COM             760981100          3       600 SH           SOLE                                   600
REYNOLDS AMERICAN INC         COM             761713106        206     1,950 SH           SOLE                                 1,950
RF MICRODEVICES INC           COM             749941100          8       950 SH           SOLE                                   950
RIGHTNOW TECHNOLOGIES INC     COM             76657R106          2       125 SH           SOLE                                   125
RIO TINTO PLC                 SPONSORED ADR   767204100         63       305 SH           SOLE                                   305
RMR REAL ESTATE FD            SH BEN INT      74963F106         22     1,500 SH           SOLE                                 1,500
ROBERT HALF INTL INC          COM             770323103          2        63 SH           SOLE                                    63
ROGERS CORP                   COM             775133101      7,878   144,604 SH           SOLE                               144,604
ROHM & HAAS CO                COM             775371107         87     1,771 SH           SOLE                                 1,771
ROPER INDS INC NEW            COM             776696106         11       229 SH           SOLE                                   229
ROSS STORES INC               COM             778296103          4       120 SH           SOLE                                   120
ROYAL BK CDA MONTREAL QUE     COM             780087102          1        11 SH           SOLE                                    11
ROYAL BK SCOTLAND GROUP PLC   SPON ADR F      780097804          6       250 SH           SOLE                                   250
ROYAL BK SCOTLAND GROUP PLC   SP ADR PREF M   780097796         18       700 SH           SOLE                                   700
ROYAL BK SCOTLAND GROUP PLC   ADR PFD SER P   780097762         37     1,500 SH           SOLE                                 1,500
ROYAL CARIBBEAN CRUISES LTD   COM             V7780T103         40       945 SH           SOLE                                   945
ROYAL DUTCH SHELL PLC         SPON ADR B      780259107         17       266 SH           SOLE                                   266
ROYAL DUTCH SHELL PLC         SPONS ADR A     780259206        630    10,113 SH           SOLE                                10,113
ROYAL GOLD INC                COM             780287108         17       480 SH           SOLE                                   480
ROYALE ENERGY INC             COM NEW         78074G200          2       387 SH           SOLE                                   387
RPM INTL INC                  COM             749685103         70     3,900 SH           SOLE                                 3,900
RUBIOS RESTAURANTS INC        COM             78116B102          1       100 SH           SOLE                     100
RYDEX ETF TRUST               S&P 500 EQ TRD  78355W106      1,472     8,346 SH           SOLE                                 8,346
RYERSON INC                   COM             78375P107          7       250 SH           SOLE                                   250
S&P 500 COVERED CALL FD INC   COM             78381P109         34     2,000 SH           SOLE                                 2,000
SAFECO CORP                   COM             786429100        173     3,445 SH           SOLE                                 3,445
SAFEWAY INC                   COM NEW         786514208        113     4,501 SH           SOLE                                 4,501
SALIX PHARMACEUTICALS INC     COM             795435106          5       333 SH           SOLE                     195           138
SALOMON BR GLBL PRTNRS INC F  COM             794914101         66     5,800 SH           SOLE                                 5,800
SALOMON BR INFLTN MNGNT FD I  COM             79550V109         13       800 SH           SOLE                                   800
SALOMON BROS CP & INCM FD IN  COM             795500107         27     1,500 SH           SOLE                                 1,500
SALOMON BROS HIGH INCOME FD   COM             79547Q106        124    13,300 SH           SOLE                                13,300
SAMARITAN PHARMACEUTICALS     COM             79586Q108          4     5,000 SH           SOLE                                 5,000
SANDERSON FARMS INC           COM             800013104          1        50 SH           SOLE                                    50
SANDISK CORP                  COM             80004C101        168     2,929 SH           SOLE                                 2,929
SANFILIPPO JOHN B & SON INC   COM             800422107          1        50 SH           SOLE                                    50
SANGAMO BIOSCIENCES INC       COM             800677106          9     1,574 SH           SOLE                      24         1,550
SANMINA SCI CORP              COM             800907107         20     4,819 SH           SOLE                                 4,819
SANOFI AVENTIS                SPONSORED ADR   80105N105        270     5,684 SH           SOLE                                 5,684
SANTARUS INC                  COM             802817304        157    21,000 SH           SOLE                                21,000








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SANYO ELEC LTD                ADR 5 COM       803038306          7       500 SH           SOLE                                   500
SAP AKTIENGESELLSCHAFT        SPONSORED ADR   803054204        202     3,719 SH           SOLE                                 3,719
SARA LEE CORP                 COM             803111103      2,166   121,117 SH           SOLE                               121,117
SASOL LTD                     SPONSORED ADR   803866300         44     1,160 SH           SOLE                                 1,160
SATYAM COMPUTER SERVICES LTD  ADR             804098101         18       404 SH           SOLE                                   404
SCANA CORP NEW                COM             80589M102         73     1,870 SH           SOLE                                 1,870
SCHEIN HENRY INC              COM             806407102          6       125 SH           SOLE                                   125
SCHERING A G                  SPONSORED ADR   806585204          1         7 SH           SOLE                                     7
SCHERING PLOUGH CORP          COM             806605101         37     1,970 SH           SOLE                                 1,970
SCHICK TECHNOLOGIES INC       COM             806683108         26       520 SH           SOLE                                   520
SCHLUMBERGER LTD              COM             806857108        439     3,470 SH           SOLE                                 3,470
SCHNITZER STL INDS            CL A            806882106         43     1,000 SH           SOLE                                 1,000
SCHWAB CHARLES CORP NEW       COM             808513105         65     3,776 SH           SOLE                                 3,776
SCIENTIFIC GAMES CORP         CL A            80874P109         11       300 SH           SOLE                                   300
SCOTTISH PWR PLC              SPON ADR FINAL  81013T705          8       195 SH           SOLE                                   195
SCP POOL CORP                 COM             784028102         20       421 SH           SOLE                                   421
SCRIPPS E W CO OHIO           CL A            811054204         14       320 SH           SOLE                                   320
SEAGATE TECHNOLOGY            SHS             G7945J104         25       958 SH           SOLE                     533           425
SEALED AIR CORP NEW           COM             81211K100         15       265 SH           SOLE                                   265
SEARS HLDGS CORP              COM             812350106         94       715 SH           SOLE                                   715
SEI INVESTMENTS CO            COM             784117103      5,094   125,677 SH           SOLE                               125,677
SELECT COMFORT CORP           COM             81616X103      1,090    27,568 SH           SOLE                                27,568
SELECT SECTOR SPDR TR         SBI INT-FINL    81369Y605         11       323 SH           SOLE                                   323
SELECT SECTOR SPDR TR         SBI MATERIALS   81369Y100         36     1,100 SH           SOLE                                 1,100
SELECT SECTOR SPDR TR         SBI INT-ENERGY  81369Y506        116     2,127 SH           SOLE                                 2,127
SELECT SECTOR SPDR TR         SBI HEALTHCARE  81369Y209        149     4,659 SH           SOLE                                 4,659
SELECT SECTOR SPDR TR         SBI INT-UTILS   81369Y886        251     8,126 SH           SOLE                                 8,126
SELECT SECTOR SPDR TR         SBI INT-TECH    81369Y803      1,627    73,472 SH           SOLE                                73,472
SEMICONDUCTOR HLDRS TR        DEP RCPT        816636203        889    24,475 SH           SOLE                      75        24,400
SEMPRA ENERGY                 COM             816851109         46     1,000 SH           SOLE                                 1,000
SEPRACOR INC                  COM             817315104         18       369 SH           SOLE                     369
SEROLOGICALS CORP             COM             817523103          5       200 SH           SOLE                                   200
SERVICE CORP INTL             COM             817565104          4       500 SH           SOLE                                   500
SERVICEMASTER CO              COM             81760N109        522    39,752 SH           SOLE                                39,752
SERVICES ACQUISITION CORP IN  COM             817628100        138    13,505 SH           SOLE                                13,505
SGX PHARMACEUTICALS INC       COM             78423C108          6       600 SH           SOLE                     600
SHANDA INTERACTIVE ENTMT LTD  SPONSORED ADR   81941Q203          3       200 SH           SOLE                                   200
SHERWIN WILLIAMS CO           COM             824348106         34       680 SH           SOLE                                   680
SHINHAN FINANCIAL GROUP CO L  SPN ADR RESTRD  824596100         18       200 SH           SOLE                                   200
SHIRE PLC                     SPONSORED ADR   82481R106         28       600 SH           SOLE                     600
SHUFFLE MASTER INC            COM             825549108        184     5,152 SH           SOLE                                 5,152
SHURGARD STORAGE CTRS INC     COM             82567D104         87     1,312 SH           SOLE                                 1,312
SIEMENS A G                   SPONSORED ADR   826197501        131     1,407 SH           SOLE                                 1,407
SIERRA HEALTH SVCS INC        COM             826322109         33       820 SH           SOLE                                   820
SIERRA WIRELESS INC           COM             826516106         33     2,846 SH           SOLE                   2,846
SIGMA ALDRICH CORP            COM             826552101         11       171 SH           SOLE                                   171
SIGMA DESIGNS INC             COM             826565103         18     1,200 SH           SOLE                                 1,200
SILICON IMAGE INC             COM             82705T102          4       357 SH           SOLE                     357
SILVER STD RES INC            COM             82823L106        130     6,300 SH           SOLE                                 6,300
SIMON PPTY GROUP INC NEW      PFD CONV I 6%   828806802         24       345 SH           SOLE                                   345
SIMON PPTY GROUP INC NEW      COM             828806109         62       739 SH           SOLE                                   739








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SIRIUS SATELLITE RADIO INC    COM             82966U103        155    30,628 SH           SOLE                                30,628
SIRNA THERAPEUTICS INC        COM             829669100          2       235 SH           SOLE                     235
SIRVA INC                     COM             82967Y104      1,177   137,960 SH           SOLE                               137,960
SK TELECOM LTD                SPONSORED ADR   78440P108          3       109 SH           SOLE                                   109
SKILLSOFT PLC                 SPONSORED ADR   830928107        374    71,417 SH           SOLE                                71,417
SKYWORKS SOLUTIONS INC        COM             83088M102         47     6,970 SH           SOLE                                 6,970
SLM CORP                      COM             78442P106        847    16,300 SH           SOLE                                16,300
SMALL CAP PREM & DIV INCM FD  COM             83165P101         96     5,250 SH           SOLE                                 5,250
SMITH & NEPHEW PLC            SPDN ADR NEW    83175M205          4        94 SH           SOLE                                    94
SMITH A O                     COM             831865209          5        90 SH           SOLE                                    90
SMUCKER J M CO                COM NEW         832696405        103     2,607 SH           SOLE                                 2,607
SOCIEDAD QUIMICA MINERA DE C  SPON ADR SER B  833635105          5        40 SH           SOLE                                    40
SOFTWARE HOLDRS TR            DEPOSITRY RCPT  83404B103         71     1,900 SH           SOLE                                 1,900
SOHU COM INC                  COM             83408W103          3       100 SH           SOLE                                   100
SOLECTRON CORP                COM             834182107         11     2,642 SH           SOLE                                 2,642
SOMAXON PHARMACEUTICALS INC   COM             834453102          2       144 SH           SOLE                     144
SONIC CORP                    COM             835451105         16       450 SH           SOLE                                   450
SONIC SOLUTIONS               COM             835460106         18     1,000 SH           SOLE                                 1,000
SONOCO PRODS CO               COM             835495102         22       640 SH           SOLE                                   640
SONOSITE INC                  COM             83568G104          4       100 SH           SOLE                                   100
SONY CORP                     ADR NEW         835699307         53     1,147 SH           SOLE                                 1,147
SOUTHERN CO                   COM             842587107        156     4,750 SH           SOLE                                 4,750
SOUTHERN COPPER CORP          COM             84265V105         71       840 SH           SOLE                                   840
SOUTHWEST AIRLS CO            COM             844741108      1,714    95,275 SH           SOLE                                95,275
SOUTHWEST WTR CO              COM             845331107         18     1,150 SH           SOLE                                 1,150
SOUTHWESTERN ENERGY CO        COM             845467109        112     3,466 SH           SOLE                                 3,466
SOVEREIGN BANCORP INC         COM             845905108          4       200 SH           SOLE                                   200
SPARTON CORP                  COM             847235108          2       210 SH           SOLE                                   210
SPATIALIGHT INC               COM             847248101          3       910 SH           SOLE                                   910
SPDR TR                       UNIT SER 1      78462F103      6,357    48,962 SH           SOLE                                48,962
SPECTRANETICS CORP            COM             84760C107          6       500 SH           SOLE                                   500
SPRINT NEXTEL CORP            COM FON         852061100      1,257    48,644 SH           SOLE                                48,644
SPSS INC                      COM             78462K102          6       200 SH           SOLE                                   200
ST JOE CO                     COM             790148100          6       100 SH           SOLE                                   100
ST JUDE MED INC               COM             790849103      1,091    26,605 SH           SOLE                                26,605
ST MARY LD & EXPL CO          COM             792228108         80     1,950 SH           SOLE                                 1,950
ST PAUL TRAVELERS INC         COM             792860108      1,530    36,603 SH           SOLE                                36,603
STANCORP FINL GROUP INC       COM             852891100          1        20 SH           SOLE                                    20
STANDARD MICROSYSTEMS CORP    COM             853626109         40     1,545 SH           SOLE                                 1,545
STANLEY WKS                   COM             854616109        416     8,208 SH           SOLE                                 8,208
STAPLES INC                   COM             855030102        502    19,652 SH           SOLE                       1        19,651
STARBUCKS CORP                COM             855244109      7,635   202,884 SH           SOLE                               202,884
STATE STR CORP                COM             857477103        860    14,238 SH           SOLE                                14,238
STATION CASINOS INC           COM             857689103         35       440 SH           SOLE                                   440
STATS CHIPPAC LTD             SPONSORED ADR   85771T104        597    76,089 SH           SOLE                      13        76,076
STEAK N SHAKE CO              COM             857873103          6       305 SH           SOLE                                   305
STEEL DYNAMICS INC            COM             858119100        108     1,900 SH           SOLE                                 1,900
STEELCASE INC                 CL A            858155203          7       400 SH           SOLE                                   400
STELLENT INC                  COM             85856W105         17     1,400 SH           SOLE                                 1,400
STEPAN CO                     COM             858586100          6       200 SH           SOLE                                   200
STERICYCLE INC                COM             858912108         73     1,079 SH           SOLE                                 1,079








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
STEWART & STEVENSON SVCS INC  COM             860342104          1        40 SH           SOLE                                    40
STEWART ENTERPRISES INC       CL A            860370105         11     2,000 SH           SOLE                                 2,000
STILLWATER MNG CO             COM             86074Q102         10       592 SH           SOLE                                   592
STOLT OFFSHORE S A            SP ADR REG COM  861567105          6       400 SH           SOLE                                   400
STRATEGIC HOTELS & RESORTS I  COM             86272T106         63     2,700 SH           SOLE                                 2,700
STRATEX NETWORKS INC          COM             86279T109          6     1,000 SH           SOLE                                 1,000
STRAYER ED INC                COM             863236105         34       332 SH           SOLE                      67           265
STREETTRACKS GOLD TR          GOLD SHS        863307104        286     4,931 SH           SOLE                                 4,931
STREETTRACKS SER TR           DJ WLSH REIT    86330E604        195     2,505 SH           SOLE                                 2,505
STRYKER CORP                  COM             863667101      2,152    48,525 SH           SOLE                                48,525
STUDENT LN CORP               COM             863902102          7        30 SH           SOLE                                    30
STURM RUGER & CO INC          COM             864159108         48     6,000 SH           SOLE                                 6,000
SUBURBAN PROPANE PARTNERS L   UNIT LTD PARTN  864482104        123     4,138 SH           SOLE                                 4,138
SUFFOLK BANCORP               COM             864739107          8       240 SH           SOLE                                   240
SUN LIFE FINL INC             COM             866796105        511    12,000 SH           SOLE                                12,000
SUN MICROSYSTEMS INC          COM             866810104        130    25,252 SH           SOLE                      32        25,220
SUNAMERICA FCSED ALPHA GRW F  COM             867037103        271    15,250 SH           SOLE                                15,250
SUNAMERICA FOCUSE ALPHA LC F  COM             867038101        238    13,775 SH           SOLE                                13,775
SUNCOR ENERGY INC             COM             867229106        131     1,700 SH           SOLE                                 1,700
SUNOCO INC                    COM             86764P109          9       110 SH           SOLE                                   110
SUNOPTA INC                   COM             8676EP108          4       431 SH           SOLE                                   431
SUNPOWER CORP                 COM CL A        867652109          1        26 SH           SOLE                                    26
SUNTECH PWR HLDGS CO LTD      ADR             86800C104          1        26 SH           SOLE                                    26
SUNTRUST BKS INC              COM             867914103      1,645    22,608 SH           SOLE                                22,608
SUPERIOR ENERGY SVCS INC      COM             868157108         10       355 SH           SOLE                                   355
SUPERVALU INC                 COM             868536103        677    21,952 SH           SOLE                                21,952
SURMODICS INC                 COM             868873100         77     2,170 SH           SOLE                                 2,170
SVB FINL GROUP                COM             78486Q101          4        84 SH           SOLE                      84
SWIFT TRANSN CO               COM             870756103         32     1,474 SH           SOLE                                 1,474
SWISSCOM AG                   SPONSORED ADR   871013108          1        18 SH           SOLE                                    18
SYCAMORE NETWORKS INC         COM             871206108          1       200 SH           SOLE                                   200
SYMANTEC CORP                 COM             871503108         49     2,931 SH           SOLE                                 2,931
SYMYX TECHNOLOGIES            COM             87155S108      1,838    66,245 SH           SOLE                                66,245
SYNAPTICS INC                 COM             87157D109          4       182 SH           SOLE                     182
SYNERON MEDICAL LTD           ORD SHS         M87245102          7       229 SH           SOLE                      54           175
SYNGENTA AG                   SPONSORED ADR   87160A100          6       208 SH           SOLE                                   208
SYNOVIS LIFE TECHNOLOGIES IN  COM             87162G105          3       300 SH           SOLE                                   300
SYNOVUS FINL CORP             COM             87161C105         18       668 SH           SOLE                                   668
SYSCO CORP                    COM             871829107      4,940   154,122 SH           SOLE                 150,000         4,122
TAIWAN GREATER CHINA FD       SH BEN INT      874037104         11     2,000 SH           SOLE                                 2,000
TAIWAN SEMICONDUCTOR MFG LTD  SPONSORED ADR   874039100         88     8,711 SH           SOLE                                 8,711
TALX CORP                     COM             874918105         45     1,575 SH           SOLE                                 1,575
TARGET CORP                   COM             87612E106      2,657    51,088 SH           SOLE                                51,088
TASER INTL INC                COM             87651B104          1       100 SH           SOLE                                   100
TCF FINL CORP                 COM             872275102      1,134    44,043 SH           SOLE                                44,043
TD AMERITRADE HLDG CORP       COM             87236Y108          8       400 SH           SOLE                                   400
TD BANKNORTH INC              COM             87235A101         16       560 SH           SOLE                                   560
TECHNE CORP                   COM             878377100         94     1,558 SH           SOLE                                 1,558
TECO ENERGY INC               COM             872375100         30     1,833 SH           SOLE                                 1,833
TEEKAY SHIPPING MARSHALL ISL  COM             Y8564W103         78     2,100 SH           SOLE                                 2,100
TEKELEC                       COM             879101103         14     1,000 SH           SOLE                                 1,000








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
TEKTRONIX INC                 COM             879131100          7       200 SH           SOLE                     200
TELECOM CORP NEW ZEALAND LTD  SPONSORED ADR   879278208        107     3,900 SH           SOLE                                 3,900
TELECOM HLDRS TR              DEPOSITRY RCPT  87927P200         15       500 SH           SOLE                                   500
TELECOM ITALIA S P A NEW      SPON ADR ORD    87927Y102          3       104 SH           SOLE                                   104
TELEFONICA S A                SPONSORED ADR   879382208         26       556 SH           SOLE                                   556
TELEFONOS DE MEXICO S A       SPON ADR ORD L  879403780          5       231 SH           SOLE                                   231
TELEMIG CELULAR PART S A      SPON ADR PFD    87944E105         24       500 SH           SOLE                                   500
TELEPHONE & DATA SYS INC      COM             879433100          2        44 SH           SOLE                                    44
TELLABS INC                   COM             879664100          1        89 SH           SOLE                                    89
TELSTRA CORP LTD              SPON ADR FINAL  87969N204          3       245 SH           SOLE                                   245
TELUS CORP                    NON-VTG SHS     87971M202          6       150 SH           SOLE                                   150
TEMPLE INLAND INC             COM             879868107          6       140 SH           SOLE                                   140
TEMPLETON DRAGON FD INC       COM             88018T101         26     1,205 SH           SOLE                                 1,205
TEMPLETON EMERG MKTS INCOME   COM             880192109         15     1,164 SH           SOLE                                 1,164
TEMPLETON GLOBAL INCOME FD    COM             880198106         26     3,030 SH           SOLE                                 3,030
TEMPUR PEDIC INTL INC         COM             88023U101         83     5,900 SH           SOLE                     300         5,600
TENARIS S A                   SPONSORED ADR   88031M109         62       345 SH           SOLE                                   345
TENET HEALTHCARE CORP         COM             88033G100          2       262 SH           SOLE                                   262
TEPPCO PARTNERS L P           UT LTD PARTNER  872384102        112     3,100 SH           SOLE                                 3,100
TEREX CORP NEW                COM             880779103        179     2,265 SH           SOLE                                 2,265
TESORO CORP                   COM             881609101         85     1,240 SH           SOLE                                 1,240
TETRA TECH INC NEW            COM             88162G103         57     3,000 SH           SOLE                                 3,000
TETRA TECHNOLOGIES INC DEL    COM             88162F105          5       100 SH           SOLE                                   100
TEVA PHARMACEUTICAL INDS LTD  ADR             881624209      1,498    36,379 SH           SOLE                      54        36,325
TEXAS CAPITAL BANCSHARES INC  COM             88224Q107         25     1,032 SH           SOLE                                 1,032
TEXAS INSTRS INC              COM             882508104      1,126    34,675 SH           SOLE                                34,675
TEXTRON INC                   COM             883203101         33       351 SH           SOLE                                   351
THOMAS & BETTS CORP           COM             884315102         51     1,000 SH           SOLE                                 1,000
THOMSON CORP                  COM             884903105          2        58 SH           SOLE                                    58
THORNBURG MTG INC             COM             885218107      1,453    53,690 SH           SOLE                                53,690
TIBCO SOFTWARE INC            COM             88632Q103         70     8,400 SH           SOLE                                 8,400
TIFFANY & CO NEW              COM             886547108         56     1,505 SH           SOLE                                 1,505
TIM PARTICIPACOES S A         SPONS ADR PFD   88706P106        100     2,700 SH           SOLE                                 2,700
TIMBERLAND CO                 CL A            887100105      1,855    54,205 SH           SOLE                                54,205
TIME WARNER INC               COM             887317105      1,414    84,224 SH           SOLE                                84,224
TIVO INC                      COM             888706108          6       849 SH           SOLE                      49           800
TNT N V                       SPONSORED ADR   87260W101          9       250 SH           SOLE                                   250
TOLL BROTHERS INC             COM             889478103         12       350 SH           SOLE                                   350
TORO CO                       COM             891092108         10       200 SH           SOLE                                   200
TOTAL S A                     SPONSORED ADR   89151E109        342     2,593 SH           SOLE                                 2,593
TOYOTA MOTOR CORP             SP ADR REP2COM  892331307        658     6,039 SH           SOLE                                 6,039
TRADESTATION GROUP INC        COM             89267P105        165    11,953 SH           SOLE                                11,953
TRANSCANADA CORP              COM             89353D107          6       200 SH           SOLE                                   200
TRANSGENOMIC INC              COM             89365K206          6     7,000 SH           SOLE                                 7,000
TRANSMETA CORP DEL            COM             89376R109          1       400 SH           SOLE                                   400
TRANSOCEAN INC                ORD             G90078109        885    11,017 SH           SOLE                                11,017
TRAVELERS PPTY CAS CORP NEW   NT CV JR 2032   89420G307         10       400 SH           SOLE                                   400
TRIAD GTY INC                 COM             895925105          2        38 SH           SOLE                                    38
TRIDENT MICROSYSTEMS INC      COM             895919108         25       860 SH           SOLE                     860
TRIMBLE NAVIGATION LTD        COM             896239100         16       356 SH           SOLE                                   356
TRIPOS INC                    COM             896928108      1,032   349,760 SH           SOLE                               349,760








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
TRIQUINT SEMICONDUCTOR INC    COM             89674K103         10     2,000 SH           SOLE                                 2,000
TRUE RELIGION APPAREL INC     COM             89784N104         30     1,600 SH           SOLE                                 1,600
TRUSTREET PPTYS INC           PFD CV A        898404207         12       558 SH           SOLE                                   558
TRUSTREET PPTYS INC           COM             898404108         12       774 SH           SOLE                                   774
TS&W CLAYMORE TAX ADVNTG BL   COM             87280R108         69     4,960 SH           SOLE                                 4,960
TUESDAY MORNING CORP          COM NEW         899035505          1        62 SH           SOLE                      62
TUPPERWARE BRANDS CORP        COM             899896104          8       400 SH           SOLE                                   400
TURBOCHEF TECHNOLOGIES INC    COM NEW         900006206          5       400 SH           SOLE                                   400
TWEETER HOME ENTMT GROUP INC  COM             901167106          4       500 SH           SOLE                                   500
TXU CORP                      COM             873168108         24       538 SH           SOLE                                   538
TYCO INTL LTD NEW             COM             902124106        537    19,964 SH           SOLE                                19,964
U S PHYSICAL THERAPY INC      COM             90337L108          4       230 SH           SOLE                                   230
UAL CORP                      COM NEW         902549807         27       677 SH           SOLE                                   677
UBS AG                        NAMEN AKT       H8920M855         12       111 SH           SOLE                                   111
ULTRA CLEAN HLDGS INC         COM             90385V107         79    10,484 SH           SOLE                   4,934         5,550
ULTRA PETROLEUM CORP          COM             903914109         48       770 SH           SOLE                                   770
UMPQUA HLDGS CORP             COM             904214103        427    14,975 SH           SOLE                                14,975
UNDER ARMOUR INC              CL A            904311107         21       650 SH           SOLE                     200           450
UNILEVER PLC                  SPON ADR NEW    904767704         42     1,031 SH           SOLE                                 1,031
UNION PAC CORP                COM             907818108         76       816 SH           SOLE                                   816
UNISOURCE ENERGY CORP         COM             909205106         49     1,600 SH           SOLE                                 1,600
UNISYS CORP                   COM             909214108          5       752 SH           SOLE                                   752
UNIT CORP                     COM             909218109          2        28 SH           SOLE                                    28
UNITED GUARDIAN INC           COM             910571108         15     1,500 SH           SOLE                                 1,500
UNITED NAT FOODS INC          COM             911163103         10       284 SH           SOLE                                   284
UNITED PARCEL SERVICE INC     CL B            911312106        482     6,067 SH           SOLE                                 6,067
UNITED RENTALS INC            COM             911363109          4       125 SH           SOLE                                   125
UNITED STATES STL CORP NEW    COM             912909108        868    14,300 SH           SOLE                                14,300
UNITED SURGICAL PARTNERS INT  COM             913016309          9       255 SH           SOLE                                   255
UNITED TECHNOLOGIES CORP      COM             913017109        692    11,936 SH           SOLE                                11,936
UNITED THERAPEUTICS CORP DEL  COM             91307C102         17       249 SH           SOLE                     249
UNITED UTILS PLC              SPONSORED ADR   91311Q105         95     3,900 SH           SOLE                                 3,900
UNITEDHEALTH GROUP INC        COM             91324P102      1,890    33,843 SH           SOLE                                33,843
UNIVERSAL COMPRESSION HLDGS   COM             913431102          2        40 SH           SOLE                                    40
UNIVERSAL DISPLAY CORP        COM             91347P105         12       800 SH           SOLE                                   800
UNIVERSAL HLTH SVCS INC       CL B            913903100         12       240 SH           SOLE                                   240
UNIVISION COMMUNICATIONS INC  CL A            914906102        516    14,965 SH           SOLE                                14,965
UNUMPROVIDENT CORP            COM             91529Y106         15       753 SH           SOLE                                   753
URBAN OUTFITTERS INC          COM             917047102         20       815 SH           SOLE                                   815
UROLOGIX INC                  COM             917273104         31     8,699 SH           SOLE                                 8,699
US BANCORP DEL                COM NEW         902973304        679    22,255 SH           SOLE                                22,255
UST INC                       COM             902911106         66     1,580 SH           SOLE                                 1,580
UTI WORLDWIDE INC             ORD             G87210103          6       189 SH           SOLE                                   189
UTSTARCOM INC                 COM             918076100          2       245 SH           SOLE                                   245
V F CORP                      COM             918204108         23       403 SH           SOLE                                   403
VALASSIS COMMUNICATIONS INC   COM             918866104      2,310    78,650 SH           SOLE                                78,650
VALEANT PHARMACEUTICALS INTL  NOTE  3.000% 8/191911XAB0        782   900,000 PRN          SOLE                 900,000
VALERO ENERGY CORP NEW        COM             91913Y100        926    15,495 SH           SOLE                                15,495
VALERO L P                    COM UT LTD PRT  91913W104         15       300 SH           SOLE                                   300
VALSPAR CORP                  COM             920355104      3,581   128,486 SH           SOLE                               128,486
VALUECLICK INC                COM             92046N102          2       100 SH           SOLE                     100








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
VAN KAMPEN ADVANTAGE MUN II   SH BEN INT       92112K107         7        529 SH          SOLE                                   529
VAN KAMPEN MUN TR             SH BEN INT       920919107        70      4,822 SH          SOLE                                 4,822
VAN KAMPEN SENIOR INCOME TR   COM              920961109        34      4,200 SH          SOLE                                 4,200
VANGUARD INDEX FDS            STK MRK VIPERS   922908769        75        575 SH          SOLE                                   575
VANGUARD INTL EQUITY INDEX F  EMR MKT VIPERS   922042858        25        375 SH          SOLE                                   375
VANGUARD SECTOR INDEX FDS     ENERGY VIPERS    92204A306         5         60 SH          SOLE                                    60
VANGUARD SECTOR INDEX FDS     HTH CARE VIPER   92204A504        65      1,180 SH          SOLE                                 1,180
VARIAN MED SYS INC            COM              92220P105       176      3,132 SH          SOLE                                 3,132
VASCULAR SOLUTIONS INC        COM              92231M109         8      1,000 SH          SOLE                                 1,000
VCA ANTECH INC                COM              918194101        29      1,030 SH          SOLE                                 1,030
VEECO INSTRS INC DEL          COM              922417100         9        400 SH          SOLE                                   400
VENDINGDATA CORPORATION       COM NEW          92261Q202         3      1,000 SH          SOLE                                 1,000
VENTANA MED SYS INC           COM              92276H106        22        528 SH          SOLE                                   528
VEOLIA ENVIRONNEMENT          SPONSORED ADR    92334N103         1         11 SH          SOLE                                    11
VERIFONE HLDGS INC            COM              92342Y109       566     18,690 SH          SOLE                                18,690
VERISIGN INC                  COM              92343E102       126      5,250 SH          SOLE                                 5,250
VERIZON COMMUNICATIONS        COM              92343V104     2,429     71,326 SH          SOLE                                71,326
VERTEX PHARMACEUTICALS INC    COM              92532F100        26        715 SH          SOLE                     115           600
VIACOM INC NEW                CL A             92553P102        81      2,101 SH          SOLE                                 2,101
VIACOM INC NEW                CL B             92553P201       560     14,444 SH          SOLE                                14,444
VIASAT INC                    COM              92552V100         6        200 SH          SOLE                                   200
VICAL INC                     COM              925602104         2        350 SH          SOLE                     350
VIEWPOINT CORP                COM              92672P108         1        500 SH          SOLE                                   500
VIISAGE TECHNOLOGY INC        COM NEW          92675K205        35      2,000 SH          SOLE                                 2,000
VIMICRO INTL CORP             ADR              92718N109        10        549 SH          SOLE                     249           300
VIROPHARMA INC                COM              928241108         5        419 SH          SOLE                     344            75
VISHAY INTERTECHNOLOGY INC    COM              928298108       243     17,084 SH          SOLE                                17,084
VISTACARE INC                 CL A             92839Y109         3        200 SH          SOLE                                   200
VISTEON CORP                  COM              92839U107         2        361 SH          SOLE                                   361
VITAL IMAGES INC              COM              92846N104         1         42 SH          SOLE                                    42
VIVENDI UNIVERSAL             SPON ADR NEW     92851S204        10        285 SH          SOLE                                   285
VNUS MED TECHNOLOGIES INC     COM              928566108        23      3,000 SH          SOLE                                 3,000
VODAFONE GROUP PLC NEW        SPONSORED ADR    92857W100        39      1,877 SH          SOLE                                 1,877
VOLCOM INC                    COM              92864N101       142      4,000 SH          SOLE                                 4,000
VOLVO AKTIEBOLAGET            ADR B            928856400        34        722 SH          SOLE                                   722
VORNADO RLTY TR               SH BEN INT       929042109         5         55 SH          SOLE                                    55
VULCAN MATLS CO               COM              929160109         3         40 SH          SOLE                                    40
WABTEC CORP                   COM              929740108        14        430 SH          SOLE                                   430
WACHOVIA CORP 2ND NEW         COM              929903102       660     11,781 SH          SOLE                                11,781
WAL MART STORES INC           COM              931142103     1,064     22,528 SH          SOLE                                22,528
WALGREEN CO                   COM              931422109     1,538     35,662 SH          SOLE                                35,662
WASHINGTON FED INC            COM              938824109       172      7,106 SH          SOLE                                 7,106
WASHINGTON MUT INC            COM              939322103     1,275     29,913 SH          SOLE                                29,913
WASHINGTON POST CO            CL B             939640108        22         28 SH          SOLE                                    28
WASTE MGMT INC DEL            COM              94106L109       382     10,821 SH          SOLE                                10,821
WATSCO INC                    COM              942622200         4         60 SH          SOLE                                    60
WATSON PHARMACEUTICALS INC    COM              942683103        23        800 SH          SOLE                                   800
WEATHERFORD INTERNATIONAL LT  COM              G95089101       176      3,848 SH          SOLE                                 3,848
WEBEX COMMUNICATIONS INC      COM              94767L109        30        892 SH          SOLE                                   892
WEBMD CORP                    NOTE  3.125% 9/0 94769MAG0     3,196  3,400,000 PRN         SOLE               3,400,000
WEBSENSE INC                  COM              947684106         5        180 SH          SOLE                                   180








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
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NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
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WEBSITE PROS INC              COM             94769V105        342    24,374 SH           SOLE                   8,113        16,261
WEIGHT WATCHERS INTL INC NEW  COM             948626106         15       285 SH           SOLE                                   285
WEINGARTEN RLTY INVS          SH BEN INT      948741103         12       300 SH           SOLE                                   300
WELLPOINT INC                 COM             94973V107        176     2,278 SH           SOLE                                 2,278
WELLS FARGO & CO NEW          COM             949746101      2,502    39,166 SH           SOLE                                39,166
WENDYS INTL INC               COM             950590109         16       250 SH           SOLE                                   250
WESCO INTL INC                COM             95082P105         12       180 SH           SOLE                                   180
WEST CORP                     COM             952355105          9       200 SH           SOLE                                   200
WESTAMERICA BANCORPORATION    COM             957090103          4        80 SH           SOLE                                    80
WESTAR ENERGY INC             COM             95709T100          1        31 SH           SOLE                                    31
WESTERN ASSET CLAYMORE US TR  COM SH BEN INT  95766Q106         82     7,200 SH           SOLE                                 7,200
WESTERN DIGITAL CORP          COM             958102105         14       700 SH           SOLE                                   700
WESTERN GAS RES INC           COM             958259103          5       110 SH           SOLE                                   110
WESTERN SILVER CORP           COM             959531104        121     5,150 SH           SOLE                                 5,150
WESTPAC BKG CORP              SPONSORED ADR   961214301         10       123 SH           SOLE                                   123
WEYERHAEUSER CO               COM             962166104        368     5,082 SH           SOLE                                 5,082
WHEELING PITTSBURGH CORP      COM NEW         963142302          9       500 SH           SOLE                                   500
WHIRLPOOL CORP                COM             963320106          9       100 SH           SOLE                                   100
WHITING PETE CORP NEW         COM             966387102         20       495 SH           SOLE                                   495
WHOLE FOODS MKT INC           COM             966837106         86     1,300 SH           SOLE                                 1,300
WILLBROS GROUP INC            COM             969199108         16       800 SH           SOLE                                   800
WILLIAMS COAL SEAM GAS RTY T  TR UNIT         969450105         40     2,000 SH           SOLE                                 2,000
WILLIAMS COS INC DEL          COM             969457100        726    33,921 SH           SOLE                                33,921
WILLIAMS SONOMA INC           COM             969904101          2        54 SH           SOLE                                    54
WILSON GREATBATCH TECHNOLOGI  SDCV  2.250% 6/1972232AB8        379   450,000 PRN          SOLE                 450,000
WINMARK CORP                  COM             974250102        456    19,424 SH           SOLE                                19,424
WISCONSIN ENERGY CORP         COM             976657106          1        30 SH           SOLE                                    30
WITNESS SYS INC               COM             977424100         25     1,000 SH           SOLE                                 1,000
WJ COMMUNICATIONS INC         COM             929284107          5     2,000 SH           SOLE                                 2,000
WOLVERINE WORLD WIDE INC      COM             978097103          4       164 SH           SOLE                                   164
WORLD FUEL SVCS CORP          COM             981475106         16       390 SH           SOLE                                   390
WORTHINGTON INDS INC          COM             981811102        294    14,679 SH           SOLE                                14,679
WPP GROUP PLC                 SPON ADR 0905   929309409          5        87 SH           SOLE                                    87
WRIGHT MED GROUP INC          COM             98235T107        125     6,312 SH           SOLE                   6,241            71
WRIGLEY WM JR CO              COM             982526105        130     2,025 SH           SOLE                                 2,025
WSTRN ASSET/CLYMRE US TR INF  COM             95766R104        263    22,835 SH           SOLE                                22,835
WYETH                         COM             983024100        189     3,885 SH           SOLE                                 3,885
XCEL ENERGY INC               COM             98389B100      1,771    97,575 SH           SOLE                                97,575
XEROX CORP                    COM             984121103      1,530   100,647 SH           SOLE                               100,647
XM SATELLITE RADIO HLDGS INC  CL A            983759101         13       600 SH           SOLE                     100           500
XOMA LTD                      ORD             G9825R107          1       300 SH           SOLE                     300
XTO ENERGY INC                COM             98385X106      2,890    66,324 SH           SOLE                   3,700        62,624
YAHOO INC                     COM             984332106        559    17,334 SH           SOLE                                17,334
YAMANA GOLD INC               COM             98462Y100          1        90 SH           SOLE                      90
YANKEE CANDLE INC             COM             984757104          3       125 SH           SOLE                                   125
YANZHOU COAL MNG CO LTD       SPON ADR H SHS  984846105          4       100 SH           SOLE                                   100
YRC WORLDWIDE INC             COM             984249102        293     7,700 SH           SOLE                                 7,700
YUM BRANDS INC                COM             988498101        140     2,869 SH           SOLE                                 2,869
ZALE CORP NEW                 COM             988858106         69     2,445 SH           SOLE                                 2,445
ZIMMER HLDGS INC              COM             98956P102        164     2,425 SH           SOLE                                 2,425
ZOLTEK COS INC                COM             98975W104          5       200 SH           SOLE                                   200








COLUMN 1                      COLUMN 2         COLUMN 3    COLUMN 4          COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
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NAME OF                       TITLE OF                      Value   SHRS OR   SH/   PUT/  INVESTMENT  OTHER
ISSUER                        CLASS             CUSIP      (X$1000) PRN AMT   PRN   CALL  DISCRETION MANAGERS   SOLE   SHARED NONE
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ZOMAX INC MINN                COM             989929104          2       931 SH           SOLE                                   931
ZWEIG FD                      COM             989834106        151    27,542 SH           SOLE                                27,542
ZWEIG TOTAL RETURN FD INC     COM             989837109        626   129,007 SH           SOLE                               129,007
ZYMOGENETICS INC              COM             98985T109          9       396 SH           SOLE                     396