OMB APPROVAL ---------------------------- OMB Number: Expires: Estimated average burden hours per response..... ---------------------------- SEC USE ONLY ---------------------------- ---------------------------- 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, 2004 If amended report check here: |_| Amendment Number: ____ This Amendment (Check only one): |_| is a restatement |_| adds new holding entries. PRIOR FILINGS FOR THE NOMURA GROUP WERE REPORTED UNDER THE NAME NOMURA SECURITIES COMPANY, WITH CIK NUMBER 0000110097. SUBSEQUENT FILINGS WILL BE MADE UNDER THE NAME NOMURA HOLDINGS, INC., CIK NUMBER 0001163653. NOMURA HOLDINGS, INC. (NHI) IS THE PARENT HOLDING COMPANY OF A NUMBER OF OPERATING SUBSIDIARIES, SOME OF WHICH ARE OR MAY BE INSTITUTIONAL INVESTMENT MANAGERS FOR THE PURPOSES OF THE REPORTING REQUIREMENTS UNDER SECTION 13(F) OF THE SECURITIES EXCHANGE ACT OF 1934 (THE ACT) AND THE RULES PROMULGATED THEREUNDER. NHI ITSELF DOES NOT DIRECTLY EXERCISE INVESTMENT DISCRETION WITH RESPECT TO ANY SECTION 13(F) SECURITIES POSITIONS. IN THAT NHI'S OWNERSHIP INTEREST IN SUCH OPERATING SUBSIDIARIES IS DEEMED THE EXERCISE OF INVESTMENT DISCRETION REGARDING CERTAIN OF SUCH SUBSIDIARIES' MANAGED ACCOUNTS, THE INFORMATION REQUIRED BY FORM 13F IS REPORTED BY NHI ON BEHALF OF CERTAIN OF NHI'S OPERATING SUBSIDIARIES WHICH ARE INSTITUTIONAL INVESTMENT MANAGERS SUBJECT TO SECTION 13(F)OF THE ACT. Nomura Holdings Inc. -------------------------------------------------------------------------------- Name of Institutional Investment Manager 1-9-1, Nihonbashi, Chuo-ku, Tokyo 103-8011, Japan -------------------------------------------------------------------------------- Business Address (Street) (City) (State) (Zip) 13F File Number: 001-15270 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, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: David A. Leibowitz Head of Compliance and Surveillance 212-667-9387 -------------------------------------------------------------------------------- Name (Title) (Phone) /s/ David A.Leibowitz ------------------------------------------ (Manual Signature of Person Duly Authorized to Submit This Report) New York, NY May 17, 2004 ------------------------------------------ (Place and Date of Signing) Report Type: [ ] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [X] 13F COMBINATION REPORT. Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 4 Form 13F Information Table Entry Total: 1283 Form 13F Information Table Value Total: $10,275,391 (thousands) List of Other Included Managers: Name and 13F file numbers of ALL Institutional Investment Managers with respect to which this schedule is filed (other than the one filing this report): (List in alphabetical order). 13F File No.: Name: ------------- --------------------- 6. 28-05739 Global Funds Management, S.A. ------------- --------------------- 2. 28-04985 Nomura International plc ------------- --------------------- 4. 28-04993 Nomura Securities (Bermuda) ------------- --------------------- 1. 28-04983 Nomura Securities International, Inc. ------------- --------------------- 1Page 1 03-02-12 14:47:43 0 FORM 13F INFORMATION TABLE QUARTER ENDING 03/31/2004 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0DAIMLERCHRYSLER AG ORD D1668R123 250 000000006000 SH DEFINED 01 SOLE ACE LTD ORD G0070K103 10,584 000000248105 SH DEFINED 01 SOLE APEX SILVER MINES LTD ORD G04074103 2,256 000000100000 SH DEFINED 01 SOLE ACCENTURE LTD BERMUDA CL A G1150G111 1,178 000000047500 SH DEFINED 01 SOLE COOPER INDS LTD CL A G24182100 3,538 000000061883 SH DEFINED 01 SOLE EVEREST RE GROUP LTD COM G3223R108 723 000000008464 SH DEFINED 01 SOLE GARMIN LTD ORD G37260109 632 000000014815 SH DEFINED 01 SOLE GLOBALSANTAFE CORP SHS G3930E101 574 000000020700 SH DEFINED 01 SOLE INGERSOLL-RAND COMPANY LTD CL A G4776G101 7,809 000000115444 SH DEFINED 01 SOLE MARVELL TECHNOLOGY GROUP LTD ORD G5876H105 848 000000018883 SH DEFINED 01 SOLE NABORS INDUSTRIES LTD SHS G6359F103 4,465 000000097613 SH DEFINED 01 SOLE NOBLE CORPORATION SHS G65422100 3,585 000000093314 SH DEFINED 01 SOLE SEAGATE TECHNOLOGY SHS 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INC COM 00738A106 418 000000013947 SH DEFINED 01 SOLE ADVANCED DIGITAL INFORMATION COM 007525108 153 000000013500 SH DEFINED 01 SOLE ADVANCED FIBRE COMMUNICATION COM 00754A105 440 000000019958 SH DEFINED 01 SOLE ADVANCED NEUROMODULATION SYS COM 00757T101 209 000000005808 SH DEFINED 01 SOLE ADVISORY BRD CO COM 00762W107 978 000000026654 SH DEFINED 01 SOLE 1Page 2 04-05-17 11:22:07 0 FORM 13F INFORMATION TABLE QUARTER ENDING 03/31/2004 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0ADVANCED MICRO DEVICES INC COM 007903107 3,910 000000240972 SH DEFINED 01 SOLE ADVANTA CORP CL B 007942204 1,163 000000070498 SH DEFINED 01 SOLE ADVENT SOFTWARE INC COM 007974108 328 000000017586 SH DEFINED 01 SOLE AETNA INC NEW COM 00817Y108 8,836 000000098486 SH DEFINED 01 SOLE AFFILIATED COMPUTER SERVICES CL A 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02209S103 75,791 000001391953 SH DEFINED 01 SOLE AMAZON COM INC COM 023135106 498 000000011383 SH DEFINED SOLE AMAZON COM INC COM 023135106 1,515 000000035015 SH DEFINED 01 SOLE AMBAC FINL GROUP INC COM 023139108 5,570 000000075504 SH DEFINED 01 SOLE AMERADA HESS CORP COM 023551104 7,093 000000108662 SH DEFINED 01 SOLE AMEREN CORP COM 023608102 5,758 000000124932 SH DEFINED 01 SOLE AMERICAN EAGLE OUTFITTERS NE COM 02553E106 496 000000018431 SH DEFINED 01 SOLE AMERICAN ELEC PWR INC COM 025537101 10,581 000000321440 SH DEFINED 01 SOLE AMERICAN EXPRESS CO COM 025816109 43,007 000000829461 SH DEFINED 01 SOLE AMERICAN FINL GROUP INC OHIO COM 025932104 567 000000019015 SH DEFINED 01 SOLE AMERICAN GREETINGS CORP CL A 026375105 1,286 000000056488 SH DEFINED 01 SOLE AMERICAN INTL GROUP INC COM 026874107 112,894 000001582257 SH DEFINED 01 SOLE AMERICAN MGMT SYS INC COM 027352103 3,184 000000166017 SH DEFINED 01 SOLE 1Page 3 04-05-17 11:22:07 0 FORM 13F INFORMATION TABLE QUARTER ENDING 03/31/2004 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0AMERICAN PHARMACEUTICALS PTN COM 02886P109 279 000000005965 SH DEFINED 01 SOLE AMERICAN PWR CONVERSION CORP COM 029066107 3,820 000000166169 SH DEFINED 01 SOLE AMERICAN STD COS INC DEL COM 029712106 5,217 000000045864 SH DEFINED 01 SOLE AMERICAN TOWER CORP CL A 029912201 170 000000015000 SH DEFINED SOLE AMERICREDIT CORP COM 03060R101 382 000000022464 SH DEFINED 01 SOLE AMERUS GROUP CO COM 03072M108 339 000000008416 SH DEFINED 01 SOLE AMERISOURCEBERGEN CORP COM 03073E105 4,568 000000083544 SH DEFINED 01 SOLE AMETEK INC NEW COM 031100100 346 000000013497 SH DEFINED 01 SOLE AMGEN INC NOTE 031162AE0 15,025 000020000000 SH DEFINED 01 SOLE AMGEN INC COM 031162100 54,860 000000943432 SH DEFINED 01 SOLE AMKOR TECHNOLOGY INC COM 031652100 746 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11:22:07 0 FORM 13F INFORMATION TABLE QUARTER ENDING 03/31/2004 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0BED BATH & BEYOND INC COM 075896100 10,233 000000244231 SH DEFINED 01 SOLE BEL FUSE INC CL A 077347201 1,204 000000042553 SH DEFINED 01 SOLE BELLSOUTH CORP COM 079860102 32,507 000001173995 SH DEFINED 01 SOLE BELO CORP COM SER A 080555105 312 000000011242 SH DEFINED 01 SOLE BEMIS INC COM 081437105 1,920 000000073866 SH DEFINED 01 SOLE BERKLEY W R CORP COM 084423102 440 000000011046 SH DEFINED 01 SOLE BEST BUY INC COM 086516101 11,650 000000225261 SH DEFINED 01 SOLE BIG LOTS INC COM 089302103 1,342 000000092577 SH DEFINED 01 SOLE BIO RAD LABS INC CL A 090572207 422 000000007500 SH DEFINED 01 SOLE BIOMET INC COM 090613100 9,809 000000255726 SH DEFINED 01 SOLE BIOGEN IDEC INC COM 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000000222250 SH DEFINED 01 SOLE HEINZ H J CO COM 423074103 8,621 000000231214 SH DEFINED 01 SOLE HELMERICH & PAYNE INC COM 423452101 376 000000013148 SH DEFINED 01 SOLE HENRY JACK & ASSOC INC COM 426281101 325 000000017031 SH DEFINED 01 SOLE HERCULES INC COM 427056106 1,082 000000094263 SH DEFINED 01 SOLE HERSHEY FOODS CORP COM 427866108 7,087 000000085549 SH DEFINED 01 SOLE 1Page 13 04-05-17 11:22:07 0 FORM 13F INFORMATION TABLE QUARTER ENDING 03/31/2004 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0HEWLETT PACKARD CO COM 428236103 48,382 000002118342 SH DEFINED 01 SOLE HIBERNIA CORP CL A 428656102 297 000000012658 SH DEFINED 01 SOLE HIGHWOODS PPTYS INC COM 431284108 308 000000011757 SH DEFINED 01 SOLE HILLENBRAND INDS INC COM 431573104 379 000000005583 SH DEFINED 01 SOLE HILTON HOTELS CORP COM 432848109 4,127 000000253973 SH DEFINED 01 SOLE HOLLYWOOD ENTMT CORP COM 436141105 139 000000010292 SH DEFINED 01 SOLE HOME DEPOT INC COM 437076102 1,643 000000044000 SH DEFINED SOLE HOME DEPOT INC COM 437076102 55,403 000001482976 SH DEFINED 01 SOLE HON INDS INC COM 438092108 511 000000013772 SH DEFINED 01 SOLE HONEYWELL INTL INC COM 438516106 18,438 000000544701 SH DEFINED 01 SOLE HORACE MANN EDUCATORS CORP N COM 440327104 354 000000022526 SH DEFINED 01 SOLE HORMEL FOODS CORP COM 440452100 302 000000010309 SH DEFINED 01 SOLE HOSPITALITY PPTYS TR COM SH BEN 44106M102 273 000000005897 SH DEFINED 01 SOLE HOVNANIAN ENTERPRISES INC CL A 442487203 223 000000005190 SH DEFINED 01 SOLE HUBBELL INC CL A 443510102 17,055 000000438100 SH DEFINED 01 SOLE HUBBELL INC CL B 443510201 316 000000007876 SH DEFINED 01 SOLE HUMANA INC COM 444859102 2,555 000000134374 SH DEFINED 01 SOLE HUMAN GENOME SCIENCES INC COM 444903108 172 000000013740 SH DEFINED 01 SOLE HUNT J B TRANS SVCS INC COM 445658107 333 000000011837 SH DEFINED 01 SOLE HUNTINGTON BANCSHARES INC COM 446150104 3,851 000000174849 SH DEFINED 01 SOLE HUTCHINSON TECHNOLOGY INC COM 448407106 534 000000019042 SH DEFINED 01 SOLE ICOS CORP COM 449295104 1,101 000000029830 SH DEFINED 01 SOLE IMC GLOBAL INC COM 449669100 326 000000022840 SH DEFINED 01 SOLE IMS HEALTH INC COM 449934108 4,614 000000198405 SH DEFINED 01 SOLE ITT EDUCATIONAL SERVICES INC COM 45068B109 665 000000021335 SH DEFINED 01 SOLE ITT INDS INC IND COM 450911102 4,503 000000059003 SH DEFINED 01 SOLE IDACORP INC COM 451107106 350 000000011713 SH DEFINED 01 SOLE ILEX ONCOLOGY INC COM 451923106 1,435 000000060000 SH DEFINED 01 SOLE ILLINOIS TOOL WKS INC COM 452308109 15,726 000000198486 SH DEFINED 01 SOLE IMATION CORP COM 45245A107 304 000000008104 SH DEFINED 01 SOLE IMCLONE SYS INC COM 45245W109 213 000000004200 SH DEFINED 01 SOLE INCO LTD COM 453258402 1,385 000000040000 SH DEFINED SOLE INCO LTD COM 453258402 419 000000012100 SH DEFINED 01 SOLE INCYTE CORP COM 45337C102 276 000000033300 SH DEFINED 01 SOLE INDEPENDENCE CMNTY BK CORP COM 453414104 361 000000008870 SH DEFINED 01 SOLE INDYMAC BANCORP INC COM 456607100 292 000000008064 SH DEFINED 01 SOLE INFORMATICA CORP COM 45666Q102 102 000000011944 SH DEFINED 01 SOLE INGRAM MICRO INC CL A 457153104 193 000000010700 SH DEFINED 01 SOLE INSTINET GROUP INC COM 457750107 4,228 000000599800 SH DEFINED 01 SOLE INTEGRATED CIRCUIT SYS INC COM 45811K208 297 000000011877 SH DEFINED 01 SOLE INTEGRATED DEVICE TECHNOLOGY COM 458118106 573 000000038249 SH DEFINED 01 SOLE INTEL CORP COM 458140100 924 000000034000 SH DEFINED SOLE INTEL CORP COM 458140100 116,316 000004276328 SH DEFINED 01 SOLE INTEL CORP COM 458140100 843 000000031000 SH DEFINED 04 SOLE INTERACTIVECORP COM 45840Q101 6,907 000000218393 SH DEFINED 01 SOLE INTERDIGITAL COMMUNICATIONS COM 45866A105 210 000000012041 SH DEFINED 01 SOLE 1Page 14 04-05-17 11:22:07 0 FORM 13F INFORMATION TABLE QUARTER ENDING 03/31/2004 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0INTERGRAPH CORP COM 458683109 974 000000040163 SH DEFINED 01 SOLE INTERMUNE INC COM 45884X103 791 000000040615 SH DEFINED 01 SOLE INTERNATIONAL BUSINESS MACHS COM 459200101 303 000000003300 SH DEFINED SOLE INTERNATIONAL BUSINESS MACHS COM 459200101 100,718 000001096669 SH DEFINED 01 SOLE INTERNATIONAL FLAVORS&FRAGRA COM 459506101 2,609 000000073511 SH DEFINED 01 SOLE INTERNATIONAL GAME TECHNOLOG COM 459902102 10,094 000000224530 SH DEFINED 01 SOLE INTERNATIONAL MULTIFOODS COR COM 460043102 741 000000030000 SH DEFINED 01 SOLE INTL PAPER CO COM 460146103 14,904 000000352697 SH DEFINED 01 SOLE INTERNATIONAL RECTIFIER CORP COM 460254105 271 000000005894 SH DEFINED 01 SOLE INTERNATIONAL SPEEDWAY CORP CL A 460335201 388 000000008256 SH DEFINED 01 SOLE INTERNET HOLDRS TR DEPOSIT RC 46059W102 24,635 000000484000 SH DEFINED 01 SOLE INTERNET SEC SYS INC COM 46060X107 326 000000018491 SH DEFINED 01 SOLE INTERSIL CORP CL A 46069S109 1,508 000000067642 SH DEFINED 01 SOLE INTERPUBLIC GROUP COS INC COM 460690100 4,208 000000273621 SH DEFINED 01 SOLE INTERSTATE BAKERIES CORP DEL COM 46072H108 365 000000032132 SH DEFINED 01 SOLE INTUIT COM 461202103 7,562 000000169450 SH DEFINED 01 SOLE INVITROGEN CORP COM 46185R100 2,711 000000037818 SH DEFINED 01 SOLE INVISION TECHNOLOGIES INC NOTE 3.00 461851AB3 7,837 000000050000 PRN DEFINED 01 SOLE INVISION TECHNOLOGIES INC COM 461851107 7,357 000000148136 SH DEFINED 01 SOLE INVESTORS FINL SERVICES CORP COM 461915100 780 000000018892 SH DEFINED 01 SOLE IRWIN FINL CORP COM 464119106 210 000000007800 SH DEFINED 01 SOLE IVAX CORP COM 465823102 459 000000020180 SH DEFINED 01 SOLE JDS UNIPHASE CORP COM 46612J101 4,549 000001117934 SH DEFINED 01 SOLE J P MORGAN CHASE & CO COM 46625H100 1,971 000000047000 SH DEFINED SOLE 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502424104 434 000000007311 SH DEFINED 01 SOLE LA JOLLA PHARMACEUTICAL CO COM 503459109 179 000000065000 SH DEFINED 01 SOLE LA Z BOY INC COM 505336107 302 000000013900 SH DEFINED 01 SOLE LABORATORY CORP AMER HLDGS NOTE 50540RAC6 36,875 000050000000 SH DEFINED 01 SOLE LABRANCHE & CO INC COM 505447102 378 000000033776 SH DEFINED 01 SOLE LAM RESEARCH CORP COM 512807108 732 000000029157 SH DEFINED 01 SOLE LAMAR ADVERTISING CO CL A 512815101 730 000000018099 SH DEFINED 01 SOLE LANCASTER COLONY CORP COM 513847103 307 000000007611 SH DEFINED 01 SOLE LANDEC CORP COM 514766104 1,106 000000132300 SH DEFINED SOLE LANDAMERICA FINL GROUP INC COM 514936103 479 000000010600 SH DEFINED 01 SOLE LATTICE SEMICONDUCTOR CORP COM 518415104 357 000000040911 SH DEFINED 01 SOLE LEAPFROG ENTERPRISES INC CL A 52186N106 1,246 000000064400 SH DEFINED 01 SOLE LEAR CORP NOTE 521865AG0 15,975 000030000000 SH DEFINED 01 SOLE LEAR CORP COM 521865105 570 000000009202 SH DEFINED 01 SOLE LEE ENTERPRISES INC COM 523768109 295 000000006533 SH DEFINED 01 SOLE LEGGETT & PLATT INC COM 524660107 2,977 000000125596 SH DEFINED 01 SOLE LEGG MASON INC COM 524901105 352 000000003796 SH DEFINED 01 SOLE LEHMAN BROS HLDGS INC COM 524908100 14,600 000000176182 SH DEFINED 01 SOLE LENNAR CORP CL A 526057104 348 000000006459 SH DEFINED 01 SOLE LENNAR CORP CL B 526057302 23,204 000000455800 SH DEFINED 01 SOLE LEUCADIA NATL CORP COM 527288104 1,199 000000022506 SH DEFINED 01 SOLE LEVEL 3 COMMUNICATIONS INC COM 52729N100 942 000000235672 SH DEFINED 01 SOLE LEVITT CORP CL A 52742P108 246 000000010000 SH DEFINED 02 SOLE LEXMARK INTL NEW CL A 529771107 506 000000005500 SH DEFINED SOLE LEXMARK INTL NEW CL A 529771107 7,528 000000081829 SH DEFINED 01 SOLE LIBERTY MEDIA CORP NEW COM SER A 530718105 8,459 000000772600 SH DEFINED 01 SOLE LIBERTY PPTY TR SH BEN INT 531172104 249 000000005547 SH DEFINED 01 SOLE LIFEPOINT HOSPITALS INC COM 53219L109 326 000000010096 SH DEFINED 01 SOLE LIGAND PHARMACEUTICALS INC CL B 53220K207 438 000000021838 SH DEFINED 01 SOLE LILLY ELI & CO COM 532457108 49,235 000000735951 SH DEFINED 01 SOLE 1Page 16 04-05-17 11:22:07 0 FORM 13F INFORMATION TABLE QUARTER ENDING 03/31/2004 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0LIMITED BRANDS INC COM 532716107 6,710 000000335509 SH DEFINED 01 SOLE LINCARE HLDGS INC DBCV 3.00 532791AB6 2,531 000000025000 PRN DEFINED 01 SOLE LINCARE HLDGS INC COM 532791100 1,180 000000037586 SH DEFINED 01 SOLE LINCOLN NATL CORP IND COM 534187109 5,382 000000113743 SH DEFINED 01 SOLE LINEAR TECHNOLOGY CORP COM 535678106 11,025 000000297259 SH DEFINED 01 SOLE LIZ CLAIBORNE INC COM 539320101 3,109 000000084761 SH DEFINED 01 SOLE LOCAL FINL CORP COM 539553107 2,267 000000104000 SH DEFINED 01 SOLE LOCKHEED MARTIN CORP COM 539830109 13,408 000000293794 SH DEFINED 01 SOLE LOEWS CORP COM 540424108 6,978 000000118160 SH DEFINED 01 SOLE LONGS DRUG STORES CORP COM 543162101 371 000000019711 SH DEFINED 01 SOLE LONGVIEW FIBRE CO COM 543213102 358 000000032151 SH DEFINED 01 SOLE LOUISIANA PAC CORP COM 546347105 1,910 000000074043 SH DEFINED 01 SOLE LOWES COS INC COM 548661107 28,128 000000501129 SH DEFINED 01 SOLE LUBRIZOL CORP COM 549271104 310 000000009852 SH DEFINED 01 SOLE LUCENT TECHNOLOGIES INC COM 549463107 10,878 000002646795 SH DEFINED 01 SOLE LYONDELL CHEMICAL CO COM 552078107 319 000000021522 SH DEFINED 01 SOLE M & T BK CORP COM 55261F104 8,425 000000093772 SH DEFINED 01 SOLE MBIA INC COM 55262C100 6,665 000000106305 SH DEFINED 01 SOLE MBNA CORP COM 55262L100 22,620 000000818696 SH DEFINED 01 SOLE MDU RES GROUP INC COM 552690109 281 000000011995 SH DEFINED 01 SOLE MGIC INVT CORP WIS COM 552848103 4,113 000000064046 SH DEFINED 01 SOLE MGI PHARMA INC COM 552880106 1,623 000000026506 SH DEFINED 01 SOLE MGM MIRAGE COM 552953101 430 000000009500 SH DEFINED 01 SOLE MPS GROUP INC COM 553409103 320 000000028808 SH DEFINED 01 SOLE MACK CALI RLTY CORP COM 554489104 281 000000006277 SH DEFINED 01 SOLE MACROVISION CORP COM 555904101 433 000000022963 SH DEFINED 01 SOLE MACROMEDIA INC COM 556100105 529 000000026402 SH DEFINED 01 SOLE MAGELLAN HEALTH SVCS INC COM NEW 559079207 5,090 000000181548 SH DEFINED SOLE MANDALAY RESORT GROUP DBCV 562567AK3 6,468 000000048000 PRN DEFINED 01 SOLE MANDALAY RESORT GROUP COM 562567107 377 000000006592 SH DEFINED 01 SOLE MANHATTAN ASSOCS INC COM 562750109 213 000000007673 SH DEFINED 01 SOLE MANITOWOC INC COM 563571108 313 000000010600 SH DEFINED 01 SOLE MANOR CARE INC NEW NOTE 2.12 564055AE1 9,289 000000072500 PRN DEFINED 01 SOLE MANOR CARE INC NEW COM 564055101 2,194 000000062177 SH DEFINED 01 SOLE MANPOWER INC COM 56418H100 249 000000005362 SH DEFINED 01 SOLE MARATHON OIL CORP COM 565849106 8,620 000000256030 SH DEFINED 01 SOLE MARSH & MCLENNAN COS INC COM 571748102 15,575 000000336402 SH DEFINED 01 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DEFINED 01 SOLE MEDIMMUNE INC COM 584699102 5,252 000000227566 SH DEFINED 01 SOLE MEDTRONIC INC DBCV 1.25 585055AB2 11,371 000000110000 PRN DEFINED 01 SOLE MEDTRONIC INC COM 585055106 37,936 000000794488 SH DEFINED 01 SOLE MELLON FINL CORP COM 58551A108 9,024 000000288421 SH DEFINED 01 SOLE MENTOR GRAPHICS CORP COM 587200106 321 000000018052 SH DEFINED 01 SOLE MERCANTILE BANKSHARES CORP COM 587405101 522 000000012182 SH DEFINED 01 SOLE MERCK & CO INC COM 589331107 61,561 000001393102 SH DEFINED 01 SOLE MERCURY INTERACTIVE CORP COM 589405109 5,235 000000116869 SH DEFINED 01 SOLE MEREDITH CORP COM 589433101 1,807 000000035748 SH DEFINED 01 SOLE MERRILL LYNCH & CO INC COM 590188108 36,680 000000615865 SH DEFINED 01 SOLE METALS USA INC COM NEW 591324207 1,777 000000137500 SH DEFINED SOLE METLIFE INC COM 59156R108 17,363 000000486634 SH DEFINED 01 SOLE METRIS COS INC COM 591598107 114 000000014300 SH DEFINED 01 SOLE MICHAELS STORES INC COM 594087108 354 000000007300 SH DEFINED 01 SOLE 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