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

                                    Form 13F

                               Form 13F Cover Page

Report for Calendar Year or Quarter Ended: June 30, 2003

Check here if amendment  [_]  Amendment Number [_]

Institutional Investment Manager filing this report:

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

Form 13F File Number:  28-399

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

Person signing this report on behalf of the reporting manager:

Name:      Fred P. Baughman
Title      Senior Vice President, Controller, and Chief Accounting Officer
Telephone: 617-786-3000

Signature, Place, and Date of Signing:

   /s/ Frederick P. Baughman       Boston, Massachusetts        August 5, 2003
-------------------------------   ------------------------   -------------------
        [Signature]                    [City, State]               [Date]

Report Type (Check only one):

[_]  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).)

[X]  13FCOMBINATION 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).)

List of Other Managers Reporting for this Manager:
(if there are no entries in this list, omit this section.)

--------------------------------------
  13F File Number            Name
--------------------------------------
      28-5798            Roy A. Hammer
--------------------------------------



                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:       13
Form 13F Information Table Entry Total:  3,459
Form 13F Information Table Value Total:  347,435,884
                                         (thousands)

List of Other Included Managers:

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

---------------------------------------------------
No.   Form 13F File Number           Name
---------------------------------------------------
1          28-1932            Frederick Ballou
---------------------------------------------------
2          28-3602            Francis L. Coolidge
---------------------------------------------------
3          28-2710            F. Davis Dossori, Jr.
---------------------------------------------------
4          28-3488            Nicholas A. Grace
---------------------------------------------------
5          28-5798            Roy A. Hammer
---------------------------------------------------
6          28-6740            Edward J. Joyce
---------------------------------------------------
7          28-5796            George H. Kidder
---------------------------------------------------
8          28-1487            Peter B. Loring
---------------------------------------------------
9          28-4282            Dean Ridlon
---------------------------------------------------
10         28-6281            Michael B. Elefante
---------------------------------------------------
11         28-5362            John Cornish
---------------------------------------------------
12         28-6476            William A. Lowell
---------------------------------------------------
13         28-4918            Thomas H.P. Whitney
---------------------------------------------------





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                            
CITIGROUP INC    COM        17296710  11,026,651,226 257,632,038 242,070,013 14,958,559   603,466 138,101,470 106,560,238 12,970,330
INTERNATIONAL
BUSINE           COM        45920010  10,875,858,180 131,828,584 107,665,774 23,838,913   323,897  48,015,074  55,489,635 28,323,875
GENERAL ELEC CO  COM        36960410   8,332,180,080 290,522,318 279,019,998  6,508,060 4,994,260 256,357,271   9,580,777 24,584,270
PFIZER INC       COM        71708110   7,728,950,769 226,323,595 219,606,371  4,032,358 2,684,866 198,746,270   7,889,003 19,688,322
MICROSOFT CORP   COM        59491810   7,686,591,421 299,789,057 293,697,057  4,370,272 1,721,728 264,397,786   6,615,049 28,776,222
EXXON MOBIL CORP COM        30231G10   7,152,875,948 199,188,971 191,794,095  4,115,884 3,278,992 177,833,273   5,602,728 15,752,970
JOHNSON &
JOHNSON          COM        47816010   6,862,043,287 132,728,110 126,799,534  4,128,940 1,799,636  82,509,676  41,922,374  8,296,060
WAL MART STORES
INC              COM        93114210   5,993,177,013 111,667,170 108,589,854  1,946,403 1,130,913  99,358,739   3,128,878  9,179,553
MERRILL LYNCH &
CO I             COM        59018810   4,692,619,685 100,527,414  26,562,122 73,954,102    11,190  23,770,840  74,194,607  2,561,967
MORGAN STANLEY   COM NEW    61744644   4,554,511,769 106,538,287  28,645,366 77,824,233    68,688  27,370,628  76,675,690  2,491,969
MERCK & CO INC   COM        58933110   4,335,202,043  71,597,061  68,121,578  1,953,062 1,522,421  62,643,962   2,681,813  6,271,286
3M CO            COM        88579Y10   4,312,131,072  33,432,556  28,901,773  4,228,581   302,202  14,511,660  17,834,881  1,086,015
BELLSOUTH CORP   COM        07986010   4,157,006,406 156,102,381 152,917,813  2,831,039   353,529  49,133,805 101,747,340  5,221,236
INTEL CORP       COM        45814010   4,140,386,983 198,961,412 192,196,827  4,291,898 2,472,687 175,275,261   5,500,584 18,185,567
AMERICAN INTL
GROUP            COM        02687410   4,095,411,648  74,219,131  71,071,119  2,021,558 1,126,454  64,977,017   2,057,749  7,184,365
LOCKHEED MARTIN
CORP             COM        53983010   3,926,850,887  82,548,894  82,459,691     78,787    10,416  10,625,087      98,016 71,825,791
PROCTER &
GAMBLE CO        COM        74271810   3,870,785,129  43,404,184  41,500,330  1,068,073   835,781  38,331,397   1,504,964  3,567,823
GENERAL MTRS
CORP             COM        37044210   3,692,044,440 102,556,790 102,477,806     52,528    26,456  17,988,806  83,113,648  1,454,336
BANK OF AMERICA
CORP             COM        06050510   3,540,412,573  44,798,337  44,208,481    457,587   132,269  39,769,976     678,895  4,349,466
CISCO SYS INC    COM        17275R10   3,460,799,629 206,122,670 201,559,300  3,050,870 1,512,500 181,507,416   4,779,730 19,835,524
BOEING CO        COM        09702310   3,367,990,934  98,134,934  32,255,264 65,836,793    42,877  88,680,130   7,538,803  1,916,001
TARGET CORP      COM        87612E10   3,296,399,322  87,114,147  86,206,764    714,010   193,373  22,087,772  62,888,429  2,137,946
COCA COLA CO     COM        19121610   3,278,264,979  70,637,039  67,980,014  1,374,918 1,282,107  61,995,781   2,414,228  6,227,030
VERIZON
COMMUNICATIO     COM        92343V10   3,173,131,044  80,434,247  78,916,711    984,053   533,483  71,083,861   1,530,303  7,820,083
LOWES COS INC    COM        54866110   2,908,809,537  67,725,484  20,367,915 47,236,327   121,242  18,289,562  47,426,806  2,009,116
BP PLC           SPONSORED  05562210   2,785,706,277  66,294,771  66,260,703     34,068               507,777  65,783,314      3,680
BP PLC           COM        16676410   2,753,053,507  38,130,935  30,624,507  7,323,480   182,948  27,848,492   7,720,527  2,561,916
HONEYWELL INTL
INC              COM        43851610   2,734,948,356 101,860,274  27,511,063 74,298,061    51,150  25,484,512  74,375,054  2,000,708
SBC
COMMUNICATIONS I COM        78387G10   2,639,929,298 103,324,043  99,145,269  3,646,964   531,810  89,961,086   4,029,980  9,332,977
WELLS FARGO &
CO NEW           COM        94974610   2,509,163,748  49,784,995  47,918,431  1,285,705   580,859  43,997,074   1,183,298  4,604,623
ALTRIA GROUP INC COM        02209S10   2,420,090,550  53,259,035  52,522,457    472,439   264,139  49,191,877     975,152  3,092,006
HOME DEPOT INC   COM        43707610   2,392,056,064  72,223,915  69,712,099  1,867,252   644,564  64,020,877   1,718,337  6,484,701
AMGEN INC        COM        03116210   2,383,484,911  36,146,268  35,577,665    407,604   160,999  31,751,458     779,256  3,615,554
DELL COMPUTER
CORP             COM        24702R10   2,314,777,679  72,700,304  71,195,753  1,263,715   240,836  64,603,080   1,523,463  6,573,761
PEPSICO INC      COM        71344810   2,281,759,572  51,275,496  48,606,908  1,675,670   992,918  44,566,542   1,855,391  4,853,563
J P MORGAN
CHASE & C        COM        46625H10   2,183,423,868  63,880,160  62,973,060    561,153   345,947  57,074,113   1,089,759  5,716,288
VIACOM INC       CL B       92552430   2,075,556,931  47,539,096  47,286,057    225,392    27,647  42,356,668     666,429  4,515,999
LILLY ELI & CO   COM        53245710   2,039,684,570  29,573,504  29,337,471    195,519    40,514  26,247,325     637,307  2,688,872
AOL TIME WARNER
INC              COM        00184A10   2,039,444,249 126,752,284 126,145,399    568,193    38,692 112,929,629   1,539,621 12,283,034
FEDERAL NATL
MTG ASS          COM        31358610   1,947,089,441  28,871,433  28,648,686    178,687    44,060  25,613,069     518,352  2,740,012
HEWLETT
PACKARD CO       COM        42823610   1,918,736,226  90,081,513  87,976,837  1,045,907 1,058,769  79,950,484   1,976,227  8,154,802
ABBOTT LABS      COM        00282410   1,886,372,909  43,107,242  41,724,772    702,167   680,303  37,817,592   1,548,148  3,741,502
DU PONT
E I DE NEMOU     COM        26353410   1,781,280,625  42,778,113  41,911,122    531,667   335,324  39,859,901     802,502  2,115,710
COMCAST CORP NEW CL A       20030N10   1,736,389,278  57,534,436  57,055,416    407,828    71,191  51,896,215     764,013  4,874,207
AMERICAN EXPRESS
CO               COM        02581610   1,734,812,797  41,492,772  40,390,687    907,972   194,113  37,037,051     793,100  3,662,621
WYETH            COM        98302410   1,675,049,505  36,773,864  35,343,018    824,122   606,724  32,605,627   1,077,386  3,090,851
ORACLE CORP      COM        68389X10   1,631,492,096 135,844,471 134,902,899    739,643   201,929 120,900,180   2,388,038 12,556,253
MEDTRONIC INC    COM        58505510   1,627,059,987  33,918,282  32,719,341    915,716   283,225  29,733,499     861,305  3,323,478
DUKE ENERGY CORP COM        26439910   1,605,930,391  80,497,764  27,619,074 52,827,027    51,663  25,320,609  53,050,250  2,126,905
UNITED PARCEL
SERVIC           CL B       91131210   1,605,306,248  25,201,040  24,996,790    176,033    28,217  22,390,500     529,346  2,281,194
Page Total                           183,163,685,087


                                                                    Page 1 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                             
SOUTHWEST AIRLS
CO               COM        84474110   1,586,809,460  92,256,364  92,160,892     67,400    28,072  17,533,278  73,090,640  1,632,446
WACHOVIA CORP
2ND NE           COM        92990310   1,528,223,846  38,243,840  37,780,936    343,680   119,224  33,986,330     641,469  3,616,041
BRISTOL MYERS
SQUIBB           COM        11012210   1,447,832,122  53,327,150  51,541,886    892,735   892,529  46,830,313   1,780,827  4,716,010
INTL PAPER CO    COM        46014610   1,394,572,377  39,030,853  17,635,011 21,387,237     8,605  16,462,392  21,484,824  1,083,637
US BANCORP DEL   COM NEW    90297330   1,359,400,556  55,485,737  54,964,019    445,771    75,947  49,184,406     781,252  5,520,079
DISNEY WALT CO   COM DISNEY 25468710   1,260,875,589  63,841,802  61,322,441  1,686,535   832,826  56,941,353   1,475,195  5,425,254
UNITED
TECHNOLOGIES     COM        91301710   1,254,320,749  17,708,891  17,509,858    109,119    89,914  16,150,198     337,970  1,220,723
ANHEUSER BUSCH
COS I            COM        03522910   1,200,247,219  23,511,209  22,993,163    308,065   209,981  20,997,273     507,377  2,006,559
BANK ONE CORP    COM        06423A10   1,198,999,862  32,248,517  32,119,416     99,265    29,836  28,420,143     584,921  3,243,453
WASHINGTON MUT
INC              COM        93932210   1,164,101,045  28,186,466  28,057,670    123,717     5,079  24,995,970     352,496  2,838,000
PROGRESS ENERGY
INC              COM        74326310   1,079,752,810  24,595,736  24,570,316     20,830     4,590   6,481,139  17,577,185    537,412
FIRST DATA CORP  COM        31996310   1,069,090,503  25,798,516  21,472,890  4,222,215   103,411  19,658,392   4,192,785  1,947,339
HARTFORD FINL
SVCS G           COM        41651510   1,066,188,732  21,171,341   7,930,274 13,175,984    65,083   7,237,176  13,195,576    738,589
SEARS
ROEBUCK & CO     COM        81238710   1,049,002,040  31,183,176  31,155,156     26,745     1,275   7,628,961  22,821,779    732,436
FEDERAL HOME LN
MTG              COM        31340030   1,014,846,048  19,989,089  19,615,035    247,286   126,768  17,747,555     358,034  1,883,500
CONOCOPHILLIPS   COM        20825C10     980,878,297  17,899,239  17,741,385    114,627    43,227  16,372,549     251,077  1,275,613
GILLETTE CO      COM        37576610     940,650,601  29,524,501  28,366,400    890,500   267,601  25,985,898     778,430  2,760,173
GOLDMAN SACHS
GROUP            COM        38141G10     932,091,772  11,129,454  10,644,031    441,049    44,374   9,813,938     417,068    898,448
CONAGRA FOODS
INC              COM        20588710     931,884,350  39,486,625  18,658,152 20,796,081    32,392  13,487,649  24,602,656  1,396,320
FLEETBOSTON FINL
COR              COM        33903010     914,959,409  30,796,345  29,858,592    601,892   335,861  27,303,842     651,368  2,841,135
MCDONALDS CORP   COM        58013510     907,103,913  41,119,851  40,279,101    620,223   220,527  36,760,266     690,442  3,669,143
FIFTH THIRD
BANCORP          COM        31677310     904,667,201  15,755,263  14,455,464    882,565   417,234  13,636,148     691,419  1,427,696
COLGATE
PALMOLIVE CO     COM        19416210     883,997,579  15,254,488  14,591,739    513,769   148,980  13,526,862     414,875  1,312,751
FIRSTENERGY CORP COM        33793210     869,749,419  22,620,271  22,489,608    128,791     1,872   8,712,607  13,132,675    774,989
WALGREEN CO      COM        93142210     865,861,235  28,766,154  27,182,448  1,002,297   581,409  25,061,637   1,070,050  2,634,467
TEXAS INSTRS INC COM        88250810     861,278,704  48,936,290  48,697,929    189,937    48,424  43,470,218     602,536  4,863,536
CARDINAL HEALTH
INC              COM        14149Y10     854,815,902  13,294,182  12,822,201    395,738    76,243  12,033,427     155,293  1,105,462
MARSH & MCLENNAN
COS              COM        57174810     850,380,563  16,651,274  15,325,672  1,015,195   310,407  14,655,865     567,335  1,428,074
UNITEDHEALTH
GROUP I          COM        91324P10     824,696,417  16,411,869  16,361,335     45,454     5,080  14,635,202     213,466  1,563,201
AON CORP         COM        03738910     801,885,166  33,300,879  11,786,717 21,504,153    10,009  10,946,238  21,579,953    774,688
EBAY INC         COM        27864210     794,176,968   7,636,317   7,623,883     12,234       200   6,700,095     158,321    777,901
TYCO INTL LTD
NEW              COM        90212410     788,445,370  41,540,852  41,535,929      4,923            36,358,865     563,239  4,618,748
GLAXOSMITHKLINE
PLC              SPONSORED  37733W10     783,336,420  19,322,556  19,135,077    187,479            19,315,199                  7,357
NORTHROP GRUMMAN
COR              COM        66680710     782,074,918   9,063,332   9,046,279     11,674     5,379   4,300,042   4,372,185    391,105
DOW CHEM CO      COM        26054310     780,411,103  25,207,077  25,009,457    116,023    81,597  22,719,461     494,439  1,993,177
PENNEY J C INC   COM        70816010     779,603,735  46,267,284  46,244,718     20,866     1,700   7,340,916  37,981,421    944,947
KIMBERLY CLARK
CORP             COM        49436810     779,427,668  14,948,747  14,361,148    391,628   195,971  13,223,743     376,885  1,348,119
CATERPILLAR INC
DEL              COM        14912310     768,629,311  13,809,366  13,675,534     91,850    41,982  12,872,482     166,177    770,707
ALLSTATE CORP    COM        02000210     751,156,088  21,070,297  21,002,777     60,723     6,797  18,880,833     319,256  1,870,208
PG&E CORP        COM        69331C10     750,022,294  35,462,047  35,430,697     30,770       580  11,307,695  23,183,541    970,811
QUALCOMM INC     COM        74752510     746,923,660  20,782,517  20,711,449     42,953    28,115  18,458,534     358,633  1,965,350
APPLIED MATLS
INC              COM        03822210     741,902,515  46,837,280  45,268,909  1,184,316   384,055  41,705,238     861,016  4,271,026
MBNA CORP        COM        55262L10     741,193,647  35,565,914  35,296,354    167,664   101,896  31,463,206     495,718  3,606,990
CLEAR CHANNEL
COMMUN           COM        18450210     731,931,979  17,266,619  17,001,218    238,166    27,235  15,347,912     236,602  1,682,105
ALCOA INC        COM        01381710     717,620,719  28,141,989  28,051,639     78,534    11,816  25,936,830     268,222  1,936,937
DELPHI CORP      COM        24712610     704,899,073  81,680,078  81,364,977    272,935    42,166  14,076,370  66,251,964  1,351,744
E M C CORP MASS  COM        26864810     695,871,347  66,463,357  65,045,451  1,032,044   385,862  59,043,400   1,117,673  6,302,284
SCHERING PLOUGH
CORP             COM        80660510     685,853,275  36,873,832  36,441,058    272,505   160,269  33,385,556     733,838  2,754,438
EXELON CORP      COM        30161N10     683,081,576  11,420,859  11,356,801     59,154     4,904  10,272,060     156,433    992,366
EDISON INTL      COM        28102010     682,371,565  41,532,049  41,513,309     17,680     1,060   9,068,892  31,702,451    760,706
Page Total                            46,888,096,717


                                                                    Page 2 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                             
AUTOMATIC DATA
PROCE            COM        05301510     677,781,003  20,017,159  17,196,155  1,839,128   981,876  17,054,069   1,300,536  1,662,554
SOUTHERN CO      COM        84258710     673,669,228  21,619,680  21,519,917     93,138     6,625  19,629,754     287,278  1,702,648
STATE STR CORP   COM        85747710     656,236,431  16,655,747   8,537,543  7,738,126   380,078   7,834,168   8,021,436    800,143
GENERAL MTRS
CORP             CL H NEW   37044283     654,762,115  51,113,358  51,039,195     70,130     4,033  10,059,082  40,492,342    561,934
AIR PRODS &
CHEMS IN         COM        00915810     653,147,414  15,700,659   6,428,073  9,083,837   188,749   5,965,348   9,184,857    550,454
ELECTRONIC DATA
SYS              COM        28566110     650,097,397  30,307,571  17,427,865 12,877,770     1,936  12,934,807  16,130,567  1,242,197
SYSCO CORP       COM        87182910     638,417,590  21,252,250  17,808,303  2,076,217 1,367,730  17,802,862   1,682,763  1,766,625
EMERSON ELEC CO  COM        29101110     632,746,056  12,382,506  11,369,662    654,095   358,749  10,698,500     575,915  1,108,091
BOSTON
SCIENTIFIC CO    COM        10113710     630,267,151  10,315,338  10,287,585     23,242     4,511   9,249,651     133,609    932,078
DOMINION RES INC
VA               COM        25746U10     624,852,670   9,722,307   9,608,429     68,614    45,264   8,802,703     156,241    763,363
FORD MTR CO DEL  COM PAR $0 34537086     600,590,938  54,648,857  54,454,330    181,448    13,079  48,941,367     794,508  4,912,982
NATIONAL CITY
CORP             COM        63540510     600,132,986  18,347,080  17,739,827    117,328   489,925  15,823,062     766,616  1,757,402
MOTOROLA INC     COM        62007610     588,035,251  62,357,927  61,229,937    716,457   411,533  55,688,532   1,063,699  5,605,696
AT&T WIRELESS
SVCS I           COM        00209A10     582,197,815  70,913,254  70,272,015    561,004    80,235  63,176,956     891,040  6,845,258
SCHLUMBERGER LTD COM        80685710     572,590,147  12,036,791  11,210,740    492,183   333,868  10,164,926     589,262  1,282,603
ILLINOIS TOOL
WKS IN           COM        45230810     571,750,724   8,682,623   7,876,582    527,884   278,157   7,509,660     381,197    791,766
BANK NEW YORK
INC              COM        06405710     570,645,065  19,848,524  19,653,999    100,893    93,632  17,841,378     301,682  1,705,464
GANNETT INC      COM        36473010     554,477,641   7,218,821   7,072,363     68,975    77,483   6,443,195     167,633    607,993
FEDEX CORP       COM        31428X10     550,726,283   8,878,386   8,777,020     27,871    73,495   7,887,007     166,340    825,039
BAXTER INTL INC  COM        07181310     547,340,924  21,051,574  15,756,978  5,278,008    16,588  14,045,806   5,504,343  1,501,425
METLIFE INC      COM        59156R10     545,725,748  19,269,977  19,231,170     37,512     1,295  16,994,824     257,736  2,017,417
XEROX CORP       COM        98412110     532,486,930  50,282,052  22,040,318 28,241,034       700  19,842,337  28,426,335  2,013,380
FOREST LABS INC  COM        34583810     531,947,441   9,715,935   9,648,577     32,213    35,145   8,641,545     229,333    845,057
TRAVELERS PPTY
CAS C            CL B       89420G40     519,040,012  32,913,127  24,264,659  8,645,991     2,477  22,243,588   8,854,250  1,815,289
CENDANT CORP     COM        15131310     511,836,745  27,938,687  27,812,002     82,250    44,435  25,093,739     429,100  2,415,848
NEXTEL
COMMUNICATION    CL A       65332V10     506,764,006  28,044,494  27,920,952     95,317    28,225  24,974,527     451,674  2,618,293
LEHMAN BROS
HLDGS IN         COM        52490810     505,816,337   7,608,549   7,581,159     25,709     1,681   6,866,451      98,474    643,624
AT&T CORP        COM NEW    00195750     505,702,235  26,270,246  26,049,619    178,886    41,741  23,847,930     279,657  2,142,659
WASTE MGMT INC
DEL              COM        94106L10     501,132,875  20,802,527  17,000,712  3,799,728     2,087  15,351,758   4,027,209  1,423,560
PRUDENTIAL FINL
INC              COM        74432010     494,785,259  14,703,871  14,658,388     43,933     1,550  13,457,563     176,150  1,070,158
YAHOO INC        COM        98433210     493,316,647  15,086,136  15,057,051     27,305     1,780  13,302,681     240,518  1,542,937
AFLAC INC        COM        00105510     483,535,447  15,724,730  15,486,609    183,022    55,099  13,792,072     264,072  1,668,586
GENERAL MLS INC  COM        37033410     479,332,926  10,110,376   9,675,011    197,033   238,332   8,752,938     429,014    928,424
SLM CORP         COM        78442P10     476,880,374  12,174,633  12,143,525     30,448       660  10,754,590     209,844  1,210,199
BECTON
DICKINSON & C    COM        07588710     457,400,008  11,773,488  11,740,948     26,760     5,780   6,497,269   4,555,249    720,970
COSTCO WHSL CORP
NEW              COM        22160K10     451,452,582  12,334,770  12,282,765     47,815     4,190  11,094,994     117,740  1,122,036
ALLTEL CORP      COM        02003910     446,667,164   9,263,110   8,317,292    775,284   170,534   8,377,897     281,765    603,448
HCA INC          COM        40411910     444,864,474  13,884,659  13,471,063    353,434    60,162  12,590,166     150,562  1,143,931
RAYTHEON CO      COM NEW    75511150     441,356,759  13,439,609  13,295,864    119,852    23,893   9,788,035   2,838,513    813,061
GAP INC DEL      COM        36476010     440,635,780  23,488,048  23,411,282     76,366       400  20,942,264     359,056  2,186,728
SUNTRUST BKS INC COM        86791410     440,189,282   7,418,087   7,380,987     35,114     1,986   6,588,062      89,253    740,772
PROGRESSIVE CORP
OHI              COM        74331510     439,750,594   6,015,740   5,990,091     12,349    13,300   5,308,941     103,567    603,232
GUIDANT CORP     COM        40169810     438,016,638   9,867,462   9,824,291     42,251       920   8,678,800     214,523    974,139
KOHLS CORP       COM        50025510     422,007,728   8,213,463   8,185,318     26,790     1,355   7,326,549     156,951    729,963
WELLPOINT HEALTH
NET              COM        94973H10     421,519,979   5,000,237   4,987,418     10,568     2,251   4,514,191      38,689    447,357
SARA LEE CORP    COM        80311110     416,927,863  22,165,224  22,034,334     73,144    57,746  19,844,180     424,309  1,896,735
OCCIDENTAL PETE
CORP             COM        67459910     414,943,078  12,367,901  12,328,790     38,102     1,009  11,142,567     107,934  1,117,400
AVON PRODS INC   COM        05430310     414,722,107   6,667,558   6,614,634     44,519     8,405   5,924,937     104,700    637,921
ENTERGY CORP NEW COM        29364G10     414,133,467   7,846,409   7,678,988    150,708    16,713   7,109,396     107,518    629,495
BERKSHIRE
HATHAWAY I       CL B       08467020     411,642,000     169,400     165,481      1,400     2,519       1,874     167,424        102
Page Total                            26,234,997,314


                                                                    Page 3 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                             
ANALOG DEVICES
INC              COM        03265410     411,170,995  11,808,472  11,229,321    427,921   151,230  10,469,042     338,753  1,000,677
BB&T CORP        COM        05493710     408,116,732  11,898,447  11,872,204     25,443       800  10,863,472     163,183    871,792
SUN MICROSYSTEMS
INC              COM        86681010     406,717,676  87,466,167  86,899,902    475,022    91,243  78,031,558   1,112,546  8,322,063
FPL GROUP INC    COM        30257110     405,815,532   6,070,539   5,869,600    139,139    61,800   5,539,294     119,387    411,858
UNION PAC CORP   COM        90781810     398,611,498   6,870,243   6,755,816     52,215    62,212   6,147,368     145,662    577,213
PNC FINL SVCS
GROUP            COM        69347510     393,702,924   8,066,030   7,970,796     60,330    34,904   7,140,540     109,854    815,636
GENERAL DYNAMICS
COR              COM        36955010     391,166,935   5,395,406   5,203,867    155,843    35,696   4,886,931      70,746    437,729
LIBERTY MEDIA
CORP N           COM SER A  53071810     390,196,286  33,754,004  30,684,037  3,017,819    52,148  31,421,153     159,668  2,173,183
COMPUTER ASSOC
INTL             COM        20491210     384,404,459  17,253,342  17,196,481     56,061       800  15,241,571     203,795  1,807,976
OMNICOM GROUP
INC              COM        68191910     379,119,844   5,287,585   5,164,492    103,813    19,280   4,643,647     126,478    517,460
CAPITAL ONE FINL
COR              COM        14040H10     378,081,184   7,687,702   7,544,939    116,043    26,720   6,872,441     156,156    659,105
TRIBUNE CO NEW   COM        89604710     377,198,898   7,809,501   7,663,475     78,524    67,502   6,881,256     166,232    762,013
MCGRAW HILL COS
INC              COM        58064510     376,551,482   6,073,411   5,772,880    182,691   117,840   5,329,138     205,172    539,101
BEST BUY INC     COM        08651610     368,015,166   8,379,216   8,343,343     31,415     4,458   7,464,274     150,100    764,842
EQUITY OFFICE
PROPER           COM        29474110     367,901,319  13,620,930  13,619,205      1,725            12,256,678     142,425  1,221,827
CARNIVAL CORP    PAIRED CTF 14365830     366,216,404  11,264,731  11,225,052     35,779     3,900   9,884,887     185,700  1,194,144
STRYKER CORP     COM        86366710     365,582,882   5,270,043   4,685,979    438,231   145,833   4,619,283     208,338    442,422
VERITAS
SOFTWARE CO      COM        92343610     363,947,519  12,628,297  12,580,544     44,838     2,915  11,327,610     269,029  1,031,658
EASTMAN KODAK CO COM        27746110     363,495,886  13,290,526  13,250,139     22,369    18,018  12,321,752     121,918    846,856
KROGER CO        COM        50104410     359,704,917  21,565,043  21,486,968     65,475    12,600  19,154,049     274,793  2,136,201
SPRINT CORP      COM FON GR 85206110     358,812,216  24,917,515  24,814,517     96,742     6,256  22,482,152     311,735  2,123,628
BURLINGTON
NORTHN SA        COM        12189T10     354,831,915  12,476,509  12,165,787    254,480    56,242  11,172,795     198,387  1,105,327
AMERICAN ELEC
PWR IN           COM        02553710     351,949,911  11,798,522  11,757,564     34,027     6,931  10,774,307     124,251    899,964
KELLOGG CO       COM        48783610     346,877,678  10,092,455  10,063,165     25,930     3,360   8,979,757     189,564    923,134
HEINZ H J CO     COM        42307410     342,348,758  10,380,496  10,291,150     48,574    40,772   9,218,156     210,455    951,885
LEXMARK INTL NEW CL A       52977110     341,975,643   4,832,212   4,814,391     17,721       100   4,314,670      96,914    420,628
HARLEY DAVIDSON
INC              COM        41282210     339,864,974   8,526,467   8,198,184    283,802    44,481   7,519,083     189,654    817,730
NEWMONT MINING
CORP             COM        65163910     339,385,043  10,455,485  10,380,715     45,634    29,136   9,389,008     154,380    912,097
SCHWAB CHARLES
CORP             COM        80851310     338,777,279  33,575,548  33,493,952     61,908    19,688  29,839,163     423,988  3,312,397
DEERE & CO       COM        24419910     338,722,916   7,411,880   7,391,569     17,356     2,955   6,534,077      54,905    822,898
DEVON ENERGY
CORP NE          COM        25179M10     333,889,534   6,252,613   6,225,499     20,225     6,889   5,610,070      72,746    569,797
MELLON FINL CORP COM        58551A10     328,613,418  11,841,925  11,695,499    108,208    38,218  10,592,483     154,328  1,095,114
ANADARKO PETE
CORP             COM        03251110     328,090,321   7,377,790   6,960,513    256,128   161,149   6,495,986     242,724    639,080
ANTHEM INC       COM        03674B10     328,081,146   4,252,510   4,150,195    101,210     1,105   3,761,897     124,226    366,387
WEYERHAEUSER CO  COM        96216610     326,291,706   6,042,439   6,012,988     17,441    12,010   5,473,642      85,165    483,632
YUM BRANDS INC   COM        98849810     325,467,778  11,010,412  10,973,702     29,330     7,380   6,969,677   3,381,747    658,988
MASCO CORP       COM        57459910     324,388,309  13,601,187  13,548,408     32,395    20,384  12,121,011     166,177  1,313,999
BAKER HUGHES INC COM        05722410     323,430,836   9,634,520   9,117,913    455,881    60,726   8,807,995     146,576    679,949
PUBLIC SVC
ENTERPRIS        COM        74457310     323,132,182   7,648,099   7,624,186     23,078       835   6,859,021     104,917    684,161
NIKE INC         CL B       65410610     319,832,596   5,979,297   5,970,640      7,032     1,625   5,338,477     110,774    530,046
GOLDEN WEST FINL
COR              COM        38131710     314,352,569   3,928,916   3,921,930      6,886       100   3,472,362      44,265    412,289
ST JUDE MED INC  COM        79084910     314,245,665   5,465,142   5,447,872     10,842     6,428   4,818,835     122,748    523,559
BURLINGTON RES
INC              COM        12201410     313,709,165   5,801,908   5,734,171     57,000    10,737   5,191,514      66,177    544,217
CHUBB CORP       COM        17123210     312,850,440   5,214,174   5,155,201     39,660    19,313   4,681,453      77,413    455,308
KEYCORP NEW      COM        49326710     311,284,628  12,318,347  12,259,628     38,817    19,902  11,085,427     142,871  1,090,049
CVS CORP         COM        12665010     308,641,749  11,011,122  10,857,012     84,485    69,625   9,787,026     187,575  1,036,521
LINEAR
TECHNOLOGY CO    COM        53567810     306,581,157   9,468,226   8,739,629    553,339   175,258   8,336,095     326,019    806,112
BED BATH &
BEYOND IN        COM        07589610     305,446,629   7,868,280   7,835,700     22,035    10,545   7,038,178     151,119    678,983
HALLIBURTON CO   COM        40621610     305,025,264  13,261,968  13,207,320     53,465     1,183  11,824,086     145,254  1,292,628
APACHE CORP      COM        03741110     303,336,719   4,662,415   4,554,859     80,405    27,151   4,158,672      57,893    445,850
Page Total                            17,465,956,682


                                                                    Page 4 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                             
WRIGLEY WM JR CO COM        98252610     300,654,612   5,346,872   5,325,873     17,199     3,800   4,768,845     105,311    472,716
PRAXAIR INC      COM        74005P10     296,926,814   4,940,546   4,928,004     12,272       270   4,356,836      73,136    510,574
PRINCIPAL
FINANCIAL        COM        74251V10     294,806,151   9,141,276   9,120,316     19,760     1,200   8,329,149     178,850    633,277
FEDERATED DEPT
STORE            COM        31410H10     292,167,141   7,928,552   7,913,342     15,070       140   7,134,246      82,896    711,410
DANAHER CORP DEL COM        23585110     290,410,248   4,267,601   4,224,405     41,046     2,150   3,849,378      62,045    356,178
PAYCHEX INC      COM        70432610     290,201,209   9,874,148   9,695,883     93,933    84,332   8,678,656     248,146    947,346
MAXIM INTEGRATED
PRO              COM        57772K10     289,153,814   8,479,584   8,428,526     37,822    13,236   7,557,197     187,998    734,389
NORTHERN TR CORP COM        66585910     288,244,528   6,928,955   5,546,538  1,052,742   329,675   6,020,508     385,075    523,372
TJX COS INC NEW  COM        87254010     287,432,912  15,256,524  14,886,067    338,537    31,920  13,617,603     286,195  1,352,726
CONSOLIDATED
EDISON           COM        20911510     286,710,091   6,624,540   6,563,558     27,274    33,708   6,008,123     122,889    493,528
MATTEL INC       COM        57708110     283,140,978  14,965,168  14,928,524     33,116     3,528  13,286,267     265,113  1,413,788
MCKESSON CORP    COM        58155Q10     276,944,399   7,748,864   7,730,579     18,085       200   6,847,406     142,136    759,322
ELECTRONIC ARTS
INC              COM        28551210     276,599,127   3,742,884   3,733,209      7,610     2,065   3,308,004      69,565    365,315
CAMPBELL SOUP CO COM        13442910     270,526,182  11,041,885  11,003,073     28,620    10,192   9,579,236     196,679  1,265,970
OWENS ILL INC    COM NEW    69076840     269,513,297  19,572,498  11,839,096  7,733,402             1,177,106  18,385,942      9,450
HANCOCK JOHN
FINL SV          COM        41014S10     269,107,496   8,757,159   8,712,625     29,189    15,345   7,840,236     106,645    810,278
ALLERGAN INC     COM        01849010     267,555,195   3,470,236   3,460,873      8,663       700   3,087,386      93,150    289,700
PEPSI BOTTLING
GROUP            COM        71340910     267,187,540  13,346,031  13,342,081      3,750       200   5,734,792   7,192,518    418,721
PPG INDS INC     COM        69350610     266,356,433   5,249,437   5,222,244     21,473     5,720   4,776,094      57,225    416,118
PITNEY BOWES INC COM        72447910     264,033,604   6,874,085   6,846,090     24,065     3,930   6,090,721     131,384    651,980
MARRIOTT INTL
INC NE           CL A       57190320     263,514,173   6,858,776   5,656,228  1,201,383     1,165   5,125,276   1,231,888    501,612
MARATHON OIL
CORP             COM        56584910     263,377,656   9,995,357   9,964,792     25,425     5,140   9,007,996     157,994    829,367
AGILENT
TECHNOLOGIES     COM        00846U10     262,966,365  13,450,965  13,218,814    122,013   110,138  12,060,877     246,674  1,143,414
INTERNATIONAL
GAME T           COM        45990210     262,818,641   2,568,344   2,564,852      3,192       300   2,338,010      38,026    192,308
KLA-TENCOR CORP  COM        48248010     262,468,011   5,649,333   5,630,656     17,237     1,440   5,049,229     109,992    490,112
TXU CORP         COM        87316810     259,722,254  11,568,920  11,543,745     22,210     2,965  10,589,851     147,369    831,700
XILINX INC       COM        98391910     257,464,159  10,176,449  10,123,289     40,640    12,520   8,915,301     166,605  1,094,543
APOLLO GROUP INC CL A       03760410     256,872,379   4,156,511   4,143,104     12,957       450   3,735,529      74,592    346,390
FORTUNE BRANDS
INC              COM        34963110     254,537,431   4,876,196   4,510,992    316,870    48,334   4,035,832     410,095    430,269
STAPLES INC      COM        85503010     254,229,194  13,854,452  13,592,159    163,380    98,913  12,407,366     237,517  1,209,569
FRANKLIN RES INC COM        35461310     252,292,766   6,457,455   6,144,880    253,922    58,653   5,674,940     142,718    639,797
STARBUCKS CORP   COM        85524410     251,685,986  10,251,975  10,196,669     46,686     8,620   9,116,201     178,570    957,204
SAFEWAY INC      COM NEW    78651420     249,288,834  12,184,205  12,146,765     36,850       590  10,894,735     138,105  1,151,365
INTUIT           COM        46120210     248,650,664   5,575,127   5,555,890     17,619     1,618   5,027,801      88,840    458,486
MEDIMMUNE INC    COM        58469910     247,933,053   6,816,966   6,784,803     21,278    10,885   6,039,767     135,426    641,773
HERSHEY FOODS
CORP             COM        42786610     247,647,151   3,555,084   3,492,856     32,404    29,824   3,118,517      93,095    343,472
BLOCK H & R INC  COM        09367110     245,634,915   5,679,420   5,636,954     31,179    11,287   5,092,295      89,827    497,298
ZIMMER HLDGS INC COM        98956P10     244,863,643   5,435,375   5,316,038     57,682    61,655   4,752,410     190,276    492,689
ST PAUL COS INC  COM        79286010     244,759,754   6,703,910   6,686,263     15,255     2,392   6,074,947      70,542    558,421
PPL CORP         COM        69351T10     243,376,044   5,659,908   5,643,573     13,955     2,380   5,107,848      71,945    480,115
CORNING INC      COM        21935010     242,356,513  32,795,198  32,661,612    101,746    31,840  29,823,512     347,484  2,624,202
AETNA INC NEW    COM        00817Y10     242,324,264   4,025,320   4,014,335     10,735       250   3,611,246      32,976    381,098
SOUTHTRUST CORP  COM        84473010     241,665,795   8,950,585   8,925,157     25,188       240   8,108,489      86,740    755,356
HARRAHS ENTMT
INC              COM        41361910     240,989,030   5,988,793   5,983,711      4,982       100   2,657,496   3,072,373    258,924
CLOROX CO DEL    COM        18905410     238,790,398   5,598,837   5,582,550     10,930     5,357   4,886,171     118,367    594,299
COUNTRYWIDE
FINANCIA         COM        22237210     233,127,191   3,350,973   3,341,758      9,115       100   3,010,006      37,280    303,687
AUTOZONE INC     COM        05333210     231,075,897   3,041,673   3,036,678      4,895       100   2,676,414      48,231    317,028
GENZYME CORP     COM GENL D 37291710     228,743,007   5,464,477   5,434,745     24,857     4,875   4,902,860     132,175    429,442
COMERICA INC     COM        20034010     227,738,818   4,897,609   4,875,464     14,505     7,640   4,280,322      61,190    556,097
MONSANTO CO NEW  COM        61166W10     226,397,550  10,461,994  10,420,395     36,789     4,810   9,377,322     143,567    941,105
Page Total                            13,054,983,307


                                                                    Page 5 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                            
ARCHER DANIELS
MIDLA            COM        03948310     225,118,088  17,491,693  17,452,207     31,406     8,080  15,293,104     253,541  1,945,048
KERR MCGEE CORP  COM        49238610     224,775,936   5,017,320   5,010,444      5,837     1,039   2,845,713   1,949,498    222,109
SIMON PPTY GROUP
INC              COM        82880610     221,310,950   5,670,278   5,669,603        675             5,088,514      54,867    526,897
ECOLAB INC       COM        27886510     220,205,312   8,601,770   7,680,965    720,012   200,793   7,669,404     298,293    634,073
EQUITY
RESIDENTIAL      SH BEN INT 29476L10     216,297,090   8,335,148   8,334,253        895             7,659,658      72,700    602,790
ADOBE SYS INC    COM        00724F10     216,122,808   6,739,096   6,722,116     16,200       780   6,032,676     172,922    533,498
ACE LTD          ORD        G0070K10     215,982,251   6,298,695   6,290,735     7,960              5,677,868      68,100    552,727
MOODYS CORP      COM        61536910     215,780,402   4,093,728   3,851,041    209,174    33,513   3,627,593     102,438    363,697
LUCENT
TECHNOLOGIES     COM        54946310     215,764,286 106,287,826 105,669,595    545,185    73,046  94,321,383   1,818,213 10,148,230
NORFOLK SOUTHERN
COR              COM        65584410     214,516,377  11,172,728  10,897,721    217,576    57,431   9,891,049     180,211  1,101,468
KINDER MORGAN
INC KA           COM        49455P10     212,262,294   3,884,031   3,873,498      8,833     1,700   3,492,542      39,388    352,101
PACCAR INC       COM        69371810     211,533,521   3,122,266   3,109,781      9,110     3,375   2,779,540      33,246    309,480
XL CAP LTD       CL A       G9825510     210,326,814   2,534,058   2,533,958        100             2,249,018      43,400    241,640
AMEREN CORP      COM        02360810     210,168,781   4,765,732   4,758,477      6,855       400   4,345,267      61,056    359,409
NEWELL
RUBBERMAID IN    COM        65122910     209,261,416   7,473,622   7,340,935    103,187    29,500   6,580,261     123,357    770,004
LIMITED BRANDS
INC              COM        53271610     208,727,882  13,466,315  13,431,540     34,335       440  11,894,197     119,834  1,452,284
SUNGARD DATA
SYS INC          COM        86736310     208,718,160   8,055,506   7,479,420    496,361    79,725   7,368,754     165,325    521,427
AMERISOURCE-
BERGEN CO        COM        03073E10     205,957,710   2,969,830   2,963,054      5,516     1,260   2,668,367      70,323    231,140
AMBAC FINL GROUP
INC              COM        02313910     205,521,876   3,102,217   3,090,317      5,625     6,275   2,752,853      34,485    314,879
GENENTECH INC    COM NEW    36871040     204,962,515   2,841,965   2,799,656     31,698    10,611   2,628,464      19,561    193,940
AMSOUTH
BANCORPORATI     COM        03216510     204,124,677   9,346,368   9,282,556     43,991    19,821   8,479,940     121,697    744,731
ALTERA CORP      COM        02144110     203,893,244  12,409,814  12,286,899     81,815    41,100  11,085,997     329,000    994,817
BIOMET INC       COM        09061310     201,825,029   7,032,231   7,007,195     23,606     1,430   6,309,059     165,871    557,301
JOHNSON CTLS INC COM        47836610     200,384,036   2,340,935   2,329,200      8,535     3,200   2,086,701      37,750    216,484
UNOCAL CORP      COM        91528910     199,491,439   6,953,344   6,903,429     16,335    33,580   6,318,831      99,051    535,462
COMPUTER
SCIENCES CO      COM        20536310     199,444,411   5,232,015   5,162,787     31,088    38,140   4,729,373      94,690    407,952
MBIA INC         COM        55262C10     197,650,147   4,054,362   4,032,213     12,624     9,525   3,587,365      52,079    414,918
QWEST
COMMUNICATIONS   COM        74912110     197,132,859  41,241,184  41,137,253    100,300     3,631  37,013,838     669,052  3,558,294
CHIRON CORP      COM        17004010     196,457,580   4,479,197   4,464,994     12,442     1,761   3,944,243     109,100    425,854
CONCORD EFS INC  COM        20619710     196,415,392  13,343,437  13,319,651     23,266       520  12,010,944     216,085  1,116,408
CHARTER ONE FINL
INC              COM        16090310     195,806,970   6,279,890   6,245,641     26,820     7,429   5,700,641      74,290    504,959
BEAR STEARNS COS
INC              COM        07390210     195,230,922   2,695,815   2,686,927      8,788       100   2,429,121      23,970    242,724
DOW JONES &
CO INC           COM        26056110     194,458,379   4,519,135   1,986,232     46,533 2,486,370   1,816,128   2,525,490    177,517
MAY DEPT STORES
CO               COM        57777810     193,967,384   8,713,719   8,516,606    120,413    76,700   7,793,105     160,373    760,241
CINERGY CORP     COM        17247410     193,840,255   5,268,830   5,258,694      9,014     1,122   4,830,898      60,691    377,241
CIGNA CORP       COM        12550910     193,241,277   4,116,772   4,075,360     27,158    14,254   3,678,756      39,204    398,812
DTE ENERGY CO    COM        23333110     192,645,786   4,985,657   4,974,298     10,259     1,100   4,536,533      53,088    396,036
ALBERTSONS INC   COM        01310410     190,616,774   9,927,957   9,902,553     13,530    11,874   8,775,779     138,582  1,013,596
MICRON
TECHNOLOGY IN    COM        59511210     189,928,843  16,330,941  16,298,966     31,595       380  14,634,513     155,430  1,540,998
REGIONS FINL
CORP             COM        75894010     189,133,848   5,598,989   5,559,719     28,890    10,380   5,122,137      76,617    400,235
ROHM & HAAS CO   COM        77537110     187,228,627   6,033,794   6,003,366     27,853     2,575   5,464,498      67,631    501,665
NEW YORK TIMES
CO               CL A       65011110     186,921,416   4,108,163   3,900,534    207,309       320   3,675,451      64,171    368,541
APPLE COMPUTER
INC              COM        03783310     186,199,084   9,769,102   9,743,512     23,530     2,060   8,750,620     117,792    900,690
FISERV INC       COM        33773810     185,787,102   5,209,958   5,197,283     12,375       300   4,721,603      62,008    426,347
LINCOLN NATL
CORP IN          COM        53418710     183,618,314   5,153,475   5,119,700     26,124     7,651   4,604,395      61,951    487,129
SEMPRA ENERGY    COM        81685110     182,995,870   6,414,156   6,399,786     14,370             5,871,309      63,134    479,713
STARWOOD
HOTELS&RESO      PAIRED CTF 85590A20     181,952,563   6,364,203   5,125,357  1,238,846             4,626,491   1,312,252    425,460
LOEWS CORP       COM        54042410     180,799,128   3,823,200   3,813,980      8,020     1,200   3,643,709      31,600    147,891
FIRST TENN NATL
CORP             COM        33716210     180,517,171   4,111,072   4,100,792      8,930     1,350   3,574,999      44,050    492,023
XCEL ENERGY INC  COM        98389B10     180,159,437  11,978,686  11,933,028     43,557     2,101  10,980,682     112,236    885,768
Page Total                            10,035,182,433


                                                                    Page 6 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                             
COCA COLA
ENTERPRISE       COM        19121910     178,178,350   9,816,989   9,794,113     22,346       530   8,987,545     142,421    687,023
CENTURYTEL INC   COM        15670010     177,650,663   5,097,580   4,953,457    106,813    37,310   4,671,007     138,702    287,871
BIOGEN INC       COM        09059710     177,432,746   4,672,972   3,950,742    719,780     2,450   4,216,827      96,983    359,162
BROADCOM CORP    CL A       11132010     174,925,592   7,022,304   7,008,634     13,550       120   6,316,643     113,983    591,678
CONSTELLATION
ENERGY           COM        21037110     174,565,665   5,089,378   5,046,239     39,723     3,416   4,587,198      72,211    429,969
CINCINNATI FINL
CORP             COM        17206210     173,546,215   4,685,373   4,679,658      5,595       120   4,259,171      39,515    386,687
MARSHALL &
ILSLEY CO        COM        57183410     173,104,206   5,660,700   5,650,210      9,890       600   5,218,203      54,200    388,297
DOVER CORP       COM        26000310     172,581,404   5,760,394   5,675,369     19,079    65,946   5,120,048     127,953    512,393
GILEAD SCIENCES
INC              COM        37555810     171,082,778   3,079,798   3,041,993     24,955    12,850   2,892,125      23,750    163,923
UNIVISION
COMMUNICAT       CL A       91490610     169,897,756   5,588,742   5,336,838    216,950    34,954   5,085,922     118,395    384,425
FAMILY DLR
STORES IN        COM        30700010     169,563,511   4,444,653   4,429,548     11,840     3,265   4,028,700      72,446    343,507
EATON CORP       COM        27805810     169,262,187   2,153,189   2,144,294      8,795       100   1,908,496      42,349    202,344
UNION PLANTERS
CORP             COM        90806810     169,180,742   5,452,167   5,436,627     15,540             4,937,572      56,933    457,662
INGERSOLL-RAND
COMPA            CL A       G4776G10     169,004,137   3,571,516   3,465,010    102,236     4,270   3,089,618      47,664    434,234
CSX CORP         COM        12640810     168,626,225   5,604,062   5,580,349     19,105     4,608   5,068,619      64,913    470,530
KEYSPAN CORP     COM        49337W10     168,574,959   4,755,288   4,737,850     15,038     2,400   4,307,771      45,575    401,942
SYNOVUS FINL
CORP             COM        87161C10     165,983,891   7,720,181   7,705,901     14,080       200   6,925,546      82,650    711,985
SYMANTEC CORP    COM        87150310     165,424,294   3,767,349   3,748,541     14,383     4,425   3,480,911      50,875    235,563
OFFICE DEPOT INC COM        67622010     164,940,074  11,367,338  11,308,442     46,276    12,620   7,739,864   2,885,982    741,492
EOG RES INC      COM        26875P10     163,989,536   3,919,444   3,740,540    151,984    26,920   3,582,155      47,370    289,919
BJ SVCS CO       COM        05548210     163,948,120   4,388,333   4,377,873      6,930     3,530   3,984,566      70,922    332,845
ITT INDS INC IND COM        45091110     161,107,729   2,461,163   2,445,622      5,420    10,121   2,189,028      66,873    205,262
QUEST
DIAGNOSTICS IN   COM        74834L10     160,198,801   2,510,953   2,505,418      4,885       650   2,273,712      60,950    176,291
JEFFERSON PILOT
CORP             COM        47507010     159,638,247   3,850,416   3,800,129     13,274    37,013   3,396,014      76,488    377,914
AVERY DENNISON
CORP             COM        05361110     158,115,291   3,149,707   2,941,885    136,079    71,743   2,771,571     114,610    263,526
SCIENTIFIC
ATLANTA I        COM        80865510     156,096,309   6,547,664   6,533,134     12,060     2,470   5,826,584      76,870    644,210
CITRIX SYS INC   COM        17737610     155,977,715   7,660,988   7,632,533     28,335       120   6,764,410     240,854    655,724
GENUINE PARTS CO COM        37246010     153,055,654   4,781,495   4,748,027     23,768     9,700   4,309,676      53,800    418,019
TENET HEALTHCARE
COR              COM        88033G10     152,126,119  13,058,036  13,034,441     22,935       660  11,831,134      87,801  1,139,101
TEXTRON INC      COM        88320310     151,888,237   3,892,574   3,872,440     15,785     4,349   3,525,372      52,264    314,938
BARD C R INC     COM        06738310     151,223,551   2,120,650   2,115,015      4,835       800   1,882,909      18,300    219,441
DOLLAR GEN CORP  COM        25666910     151,049,020   8,272,126   8,255,007     13,779     3,340   7,314,765     143,828    813,533
NISOURCE INC     COM        65473P10     150,554,100   7,923,900   7,909,803     13,297       800   7,166,414      60,942    696,544
MEADWESTVACO
CORP             COM        58333410     150,394,026   6,088,827   6,073,137     11,186     4,504   5,579,120      45,918    463,789
KNIGHT RIDDER
INC              COM        49904010     150,031,590   2,176,579   2,165,664     10,735       180   1,962,145      34,180    180,254
SEALED AIR CORP
NEW              COM        81211K10     149,308,485   3,132,784   3,110,643     19,534     2,607   2,691,635      97,564    343,585
NORTH FORK
BANCORPOR        COM        65942410     148,438,350   4,358,143   4,335,618     10,625    11,900   3,919,365      53,795    384,983
TRANSOCEAN INC   ORD        G9007810     148,276,123   6,749,027   6,707,907     17,636    23,484   5,921,639     130,689    696,699
ROCKWELL COLLINS
INC              COM        77434110     147,419,096   5,985,347   5,952,271     15,794    17,282   5,384,267     140,484    460,596
CINTAS CORP      COM        17290810     145,733,722   4,113,286   4,074,889      7,397    31,000   3,670,302     108,615    334,369
SHERWIN WILLIAMS
CO               COM        82434810     145,159,902   5,400,294   5,375,959     16,460     7,875   4,809,547      60,867    529,880
NOVELLUS SYS INC COM        67000810     144,895,994   3,953,506   3,932,031     10,830    10,645   3,620,408      55,962    277,136
NETWORK
APPLIANCE IN     COM        64120L10     144,517,906   8,987,432   8,959,751     27,116       565   8,051,243     151,466    784,723
MYLAN LABS INC   COM        62853010     143,962,264   4,140,416   4,125,641     12,900     1,875   3,874,623      82,750    183,043
QLOGIC CORP      COM        74727710     143,244,483   2,969,413   2,963,217      5,996       200   2,696,612      41,345    231,456
EL PASO CORP     COM        28336L10     143,101,106  17,710,533  17,652,675     54,283     3,575  16,201,261     158,879  1,350,393
RADIOSHACK CORP  COM        75043810     141,428,247   5,375,456   5,361,744      8,472     5,240   4,817,591     108,575    449,290
SPRINT CORP      PCS COM SE 85206150     139,711,228  24,297,605  24,253,765     38,364     5,476  21,805,196     378,992  2,113,417
AMERICAN STD COS
INC              COM        02971210     138,374,928   1,871,702   1,868,253      3,149       300   1,683,233      31,884    156,585
PEOPLESOFT INC   COM        71271310     138,347,179   7,878,541   7,854,585     23,796       160   7,056,006      85,660    736,875
Page Total                             7,904,838,453


                                                                    Page 7 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                             
JABIL CIRCUIT
INC              COM        46631310     135,408,423   6,127,078   6,063,188     34,965    28,925   5,439,439     204,731    482,908
APPLERA CORP     COM AP BIO 03802010     135,183,639   7,103,712   6,717,786    341,656    44,270   6,463,755     130,570    509,387
PARKER HANNIFIN
CORP             COM        70109410     133,905,984   3,188,997   3,132,694     28,951    27,352   2,868,686      70,356    249,955
KRAFT FOODS INC  CL A       50075N10     133,567,460   4,103,455   3,846,744    216,129    40,582   3,752,523      51,682    299,250
AMERADA HESS
CORP             COM        02355110     133,064,555   2,705,664   2,699,484      2,905     3,275   2,442,652      50,075    212,937
MGIC INVT CORP
WIS              COM        55284810     132,569,815   2,842,406   2,827,271     11,235     3,900   2,518,856      35,710    287,840
M & T BK CORP    COM        55261F10     132,018,134   1,567,539   1,527,864      9,464    30,211   1,456,844      30,211     80,484
GEORGIA PAC CORP COM        37329810     131,800,812   6,955,188   6,928,453     23,287     3,448   6,331,392      79,461    544,335
NABORS
INDUSTRIES LT    SHS        G6359F10     131,740,761   3,332,678   3,265,495     67,183             3,037,581      46,500    248,597
INTERPUBLIC
GROUP CO         COM        46069010     131,240,098   9,808,677   9,606,821    119,010    82,846   8,830,020     205,796    772,861
ZIONS
BANCORPORATION   COM        98970110     131,144,675   2,591,792   2,587,112      4,480       200   2,398,307      22,803    170,682
WHIRLPOOL CORP   COM        96332010     131,109,505   2,058,234   2,015,399     29,435    13,400   1,810,554      43,334    204,346
SUNOCO INC       COM        86764P10     130,126,387   3,447,970   3,438,102      9,768       100   3,143,181      31,265    273,524
SAFECO CORP      COM        78642910     128,650,647   3,645,527   3,628,688     10,440     6,399   3,284,641      32,999    327,887
CENTEX CORP      COM        15231210     127,247,326   1,635,780   1,630,640      4,640       500   1,487,873      24,566    123,341
COX
COMMUNICATIONS I CL A       22404410     126,423,687   3,963,125   3,741,479    189,698    31,948   3,639,656      40,698    282,771
GREENPOINT FINL
CORP             COM        39538410     126,313,982   2,479,662   2,469,092     10,270       300   2,214,602      57,000    208,060
JDS UNIPHASE
CORP             COM        46612J10     125,220,593  35,808,005  35,716,082     89,695     2,228  32,477,214     342,363  2,988,428
WATSON
PHARMACEUTICA    COM        94268310     124,877,853   3,093,333   3,081,860     10,373     1,100   2,809,172      20,050    264,111
UST INC          COM        90291110     123,359,195   3,521,530   3,499,284     17,566     4,680   3,307,558      55,481    158,491
SONOCO PRODS CO  COM        83549510     123,273,810   5,132,132   1,560,006  3,570,391     1,735   1,535,559   3,567,216     29,357
LIZ CLAIBORNE
INC              COM        53932010     123,220,111   3,495,606   3,486,706      7,100     1,800   3,061,498      27,164    406,944
MOLEX INC        COM        60855410     122,097,045   4,525,465   4,518,987      5,402     1,076   4,142,156      50,776    332,533
PLUM CREEK
TIMBER CO        COM        72925110     121,423,708   4,679,141   4,676,174      2,967             4,331,503      37,800    309,838
HUNTINGTON
BANCSHARE        COM        44615010     120,366,184   6,169,461   6,152,801     15,840       820   5,604,305      46,928    518,228
IMS HEALTH INC   COM        44993410     119,995,116   6,670,101   6,652,147     14,534     3,420   5,907,819     110,885    651,397
PRICE T ROWE
GROUP I          COM        74144T10     119,123,520   3,153,919   3,065,062     58,277    30,580   2,855,959      80,430    217,530
TORCHMARK CORP   COM        89102710     118,490,760   3,180,960   3,161,660     13,900     5,400   2,891,496      44,053    245,411
WILLIAMS COS
INC DEL          COM        96945710     118,314,271  14,976,490  14,913,105     61,470     1,915  13,801,821     130,964  1,043,705
SIEBEL SYS INC   COM        82617010     118,046,223  12,448,194  12,417,024     26,010     5,160  11,266,047     149,251  1,032,896
TIFFANY & CO NEW COM        88654710     117,992,675   3,610,547   3,596,792      9,255     4,500   3,287,187      68,583    254,777
HEALTH MGMT
ASSOC IN         CL A       42193310     117,723,582   6,380,682   6,361,203     18,799       680   5,912,474      43,030    425,178
V F CORP         COM        91820410     117,584,573   3,461,424   3,450,779      7,245     3,400   3,126,333      33,475    301,616
HILTON HOTELS
CORP             COM        43284810     117,555,601   9,191,212   9,163,789     25,783     1,640   8,337,680      78,240    775,292
SPDR TR          UNIT SER 1 78462F10     116,883,709   1,197,211   1,189,725      7,486               842,081      15,400    339,730
SIGMA ALDRICH
CORP             COM        82655210     116,717,601   2,148,704   2,113,117     33,122     2,465   1,947,945      33,502    167,257
BLACK & DECKER
CORP             COM        09179710     116,578,913   2,683,059   2,678,064      4,895       100   2,289,618      38,950    354,491
GRAINGER W W INC COM        38480210     116,573,521   2,493,018   2,478,722     12,221     2,075   2,232,568      28,575    231,875
BMC SOFTWARE INC COM        05592110     116,440,493   7,130,465   7,105,961     21,034     3,470   6,486,342      68,220    575,903
JONES APPAREL
GROUP            COM        48007410     116,161,702   3,969,983   3,965,628      4,055       300   3,608,553      35,350    326,080
KB HOME          COM        48666K10     115,871,424   1,869,497   1,862,187      7,310             1,670,160      21,300    178,037
ROCKWELL
AUTOMATION       COM        77390310     114,467,688   4,801,497   4,762,211     19,004    20,282   4,304,670      72,232    424,595
NVIDIA CORP      COM        67066G10     114,161,652   4,983,049   4,922,047     58,322     2,680   4,435,022     180,030    367,997
FREEPORT-MCMORAN
COP              CL B       35671D85     113,423,485   4,629,530   4,603,817      6,290    19,423   4,072,468     124,636    432,426
UNUMPROVIDENT
CORP             COM        91529Y10     113,194,668   8,441,064   8,421,046     16,258     3,760   7,634,847      97,765    708,452
NOBLE
CORPORATION      SHS        G6542210     111,632,985   3,254,606   3,124,225    100,657    29,724   2,918,918      60,724    274,964
WATERS CORP      COM        94184810     110,712,031   3,800,619   3,790,189      3,030     7,400   3,408,116      80,182    312,321
NUCOR CORP       COM        67034610     110,207,016   2,256,029   2,208,853     23,171    24,005   1,983,957      46,805    225,267
OLD REP INTL
CORP             COM        68022310     108,415,818   3,163,578   3,157,157      5,721       700   2,895,035      17,800    250,743
DEAN FOODS CO
NEW              COM        24237010     107,143,722   3,401,388   3,369,209     31,627       552   3,164,446      73,452    163,490
Page Total                             6,098,767,138


                                                                    Page 8 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                             
FIDELITY NATL
FINL I           COM        31632610     106,876,142   3,474,517   3,463,833      5,313     5,371   3,252,760      25,864    195,893
AMAZON COM INC   COM        02313510     106,673,147   2,937,036   2,928,496      7,400     1,140   2,677,964       8,840    250,232
UNISYS CORP      COM        90921410     106,493,068   8,672,074   8,649,889     21,160     1,025   7,702,730     139,725    829,619
HASBRO INC       COM        41805610     106,255,755   6,075,229   6,002,607     72,622             5,403,816      95,850    575,563
SANMINA SCI CORP COM        80090710     103,642,514  16,399,132  16,352,366     46,410       356  15,187,974     141,356  1,069,802
AES CORP         COM        00130H10     103,121,390  16,239,589  16,203,849     35,000       740  14,898,997     245,390  1,095,202
BROWN FORMAN
CORP             CL B       11563720     102,908,312   1,308,933   1,307,053      1,880             1,192,567      18,981     97,385
VULCAN MATLS CO  COM        92916010     102,763,637   2,772,151   2,747,811     24,340             2,510,244      24,100    237,807
EQUIFAX INC      COM        29442910     102,518,936   3,943,036   3,928,256      9,780     5,000   3,511,815      93,597    337,624
AUTONATION INC   COM        05329W10     102,148,009   6,497,965   6,480,285     17,040       640   5,903,928      61,240    532,797
LEGGETT & PLATT
INC              COM        52466010     102,128,212   4,981,864   4,834,255    139,679     7,930   4,525,375      55,918    400,571
CITIZENS
COMMUNICATI      COM        17453B10     100,425,809   7,790,986   7,768,768     22,018       200   6,834,298      82,450    874,238
APARTMENT
INVT & MGM       CL A       03748R10     100,122,919   2,893,726   2,890,606      3,120             2,664,960      19,100    209,666
COOPER INDS LTD  CL A       G2418210      99,609,818   2,411,860   2,401,423     10,337       100   2,113,438      33,500    264,922
PINNACLE WEST
CAP CO           COM        72348410      99,110,264   2,646,469   2,634,129      5,140     7,200   2,457,314      33,800    155,355
PACTIV CORP      COM        69525710      98,490,554   4,996,984   4,979,414     17,320       250   4,551,440      51,350    394,194
NATIONAL
SEMICONDUCT      COM        63764010      98,357,641   4,987,710   4,972,467     12,748     2,495   4,535,516      39,399    412,795
TRAVELERS PPTY
CAS C            CL A       89420G10      98,264,798   6,180,176   1,049,450  5,129,449     1,277     661,265   5,118,115    400,796
JANUS CAP GROUP
INC              COM        47102X10      97,987,835   5,974,868   5,942,704     26,830     5,334   5,425,203      75,484    474,181
CAREMARK RX INC  COM        14170510      96,503,924   3,757,941   3,144,701    605,822     7,418   3,030,659     609,618    117,664
KING
PHARMACEUTICALS  COM        49558210      96,434,386   6,533,495   6,524,792      8,370       333   6,099,952      42,683    390,860
CONVERGYS CORP   COM        21248510      95,868,528   5,991,783   5,883,262     37,125    71,396   5,350,036     135,553    506,194
ECHOSTAR
COMMUNICATI      CL A       27876210      95,847,962   2,768,572   2,758,922      9,550       100   2,566,028         350    202,194
THERMO ELECTRON
CORP             COM        88355610      93,819,953   4,463,366   4,448,426     14,152       788   3,950,579     105,453    407,334
SUPERVALU INC    COM        86853610      93,774,186   4,398,414   4,377,234     18,970     2,210   3,949,370      55,860    393,184
PHELPS DODGE
CORP             COM        71726510      92,672,304   2,417,118   2,405,944     10,300       874   2,210,135      23,232    183,751
AMERICAN PWR
CONVERS          COM        02906610      92,525,871   5,927,346   5,900,616     24,590     2,140   5,154,171      72,440    700,735
BANKNORTH GROUP
INC              COM        06646R10      91,699,637   3,593,246   2,605,940    939,577    47,729   3,426,202      53,629    113,415
MERCURY
INTERACTIVE      COM        58940510      91,420,421   2,358,628   2,300,519     50,065     8,044   2,135,723      41,705    181,200
MCCORMICK & CO
INC              COM NON VT 57978020      91,077,921   3,348,453   3,323,473     24,380       600   3,116,004      44,533    187,916
ENGELHARD CORP   COM        29284510      91,048,055   3,675,739   3,667,241      6,305     2,193   3,370,161      53,218    252,360
LUBRIZOL CORP    COM        54927110      90,722,574   2,927,479     952,186  1,973,893     1,400     864,878   1,972,903     89,698
SOLECTRON CORP   COM        83418210      89,654,576  23,971,812  23,869,438     83,089    19,285  21,787,598     225,748  1,958,466
PROVIDIAN FINL
CORP             COM        74406A10      89,411,717   9,655,693   9,614,968     36,980     3,745   8,458,931     334,635    862,127
SABRE HLDGS CORP CL A       78590510      89,355,017   3,624,950   3,606,428     17,592       930   3,315,935      54,186    254,829
CBRL GROUP INC   COM        12489V10      88,683,361   2,282,712   2,278,152      4,360       200   2,086,322      64,200    132,190
PULTE HOMES INC  COM        74586710      86,588,274   1,404,286   1,399,322      4,775       189   1,290,389      15,589     98,308
ROBERT HALF INTL
INC              COM        77032310      85,805,813   4,530,402   4,495,691     31,620     3,091   4,107,794      74,519    348,089
DARDEN
RESTAURANTS I    COM        23719410      84,606,272   4,457,654   4,444,678      7,401     5,575   3,981,543      78,175    397,936
WENDYS INTL INC  COM        95059010      84,454,792   2,915,250   2,910,070      5,180             2,591,004      42,300    281,946
EXPRESS SCRIPTS
INC              COM        30218210      84,260,460   1,231,698   1,212,460     18,638       600   1,177,569       3,200     50,929
DONNELLEY R R &
SONS             COM        25786710      83,318,191   3,187,383   3,176,943      5,080     5,360   2,848,804      34,160    304,419
TERADYNE INC     COM        88077010      83,131,880   4,802,535   4,786,441     15,974       120   4,382,873      38,502    381,160
COMCAST CORP NEW CL A SPL   20030N20      81,866,252   2,823,948   2,504,255    276,652    43,041   1,915,006      59,641    849,301
NVR INC          COM        62944T10      78,962,964     192,124     191,784        340               181,173       6,100      4,851
PROLOGIS         SH BEN INT 74341010      78,412,588   2,872,256   2,870,963      1,293             2,774,544                 97,712
SYMBOL
TECHNOLOGIES     COM        87150810      78,399,066   6,026,062   6,007,587     15,200     3,275   5,567,823      66,224    392,015
FLUOR CORP NEW   COM        34341210      77,546,154   2,305,177   2,302,357      2,820             2,112,092      21,950    171,135
INTERNATIONAL
FLAVOR           COM        45950610      76,392,237   2,392,491   2,383,556      3,335     5,600   2,140,889      66,902    184,700
TEMPLE INLAND
INC              COM        87986810      76,226,439   1,776,426   1,393,612    382,714       100   1,271,464     391,998    112,964
Page Total                             4,648,390,535


                                                                    Page 9 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                               
SYNOPSYS INC     COM        87160710      74,802,026   1,207,848   1,194,610      5,728     7,510   1,165,856       7,510     34,482
COMVERSE
TECHNOLOGY       COM PAR $0 20586240      74,555,810   4,967,076   4,921,888     44,628       560   4,527,429      46,460    393,187
WASHINGTON POST
CO               CL B       93964010      74,541,060     101,707      92,628      2,338     6,741      90,898       7,941      2,868
STORAGE
TECHNOLOGY C     COM PAR $0 86211120      74,472,435   2,893,257   2,876,857     16,000       400   2,638,763      80,700    173,794
CENTERPOINT
ENERGY I         COM        15189T10      73,876,799   9,064,638   9,031,322     28,924     4,392   8,230,878      92,037    741,723
HUMANA INC       COM        44485910      73,427,117   4,862,723   4,856,534      5,695       494   4,544,307      29,244    289,172
TELLABS INC      COM        87966410      73,398,173  11,188,746  11,160,456     27,430       860  10,117,810     100,415    970,521
GOODRICH CORP    COM        38238810      72,844,254   3,468,774   3,455,626     12,588       560   3,121,338      74,760    272,676
BALL CORP        COM        05849810      72,781,867   1,599,250   1,594,770      4,280       200   1,467,985      31,925     99,340
MICROCHIP
TECHNOLOGY       COM        59501710      72,534,206   2,930,675   2,913,105     12,070     5,500   2,836,038       5,700     88,937
FEDERATED INVS
INC P            CL B       31421110      72,495,354   2,643,886   2,643,636        250             2,467,255      35,300    141,331
XTO ENERGY INC   COM        98385X10      71,785,922   3,569,663   3,561,604      4,551     3,508   3,457,578       6,674    105,411
SANDISK CORP     COM        80004C10      71,763,745   1,768,887   1,757,877     10,550       460   1,667,877         460    100,550
PALL CORP        COM        69642930      71,592,142   3,181,873   3,175,863      6,010             2,952,523      24,666    204,684
VORNADO RLTY TR  SH BEN INT 92904210      71,517,603   1,640,312   1,639,237      1,075             1,548,958                 91,354
STANLEY WKS      COM        85461610      71,288,067   2,582,901   2,559,847     22,294       760   2,348,792      33,760    200,349
GENERAL GROWTH
PPTYS            COM        37002110      70,985,538   1,136,860   1,135,935        925             1,077,650         150     59,060
LENNAR CORP      CL A       52605710      70,398,614     984,596     972,689     11,657       250     935,126         350     49,120
PRECISION
CASTPARTS        COM        74018910      70,312,683   2,260,858   2,249,698     10,860       300   1,998,124      90,950    171,784
OXFORD HEALTH
PLANS            COM        69147110      70,308,078   1,672,807   1,668,452      4,055       300   1,569,894         300    102,613
IDEC
PHARMACEUTICALS  COM        44937010      70,196,814   2,067,044   2,041,492     10,179    15,373   1,982,502      15,373     69,169
BECKMAN COULTER
INC              COM        07581110      70,047,510   1,723,610   1,709,076      1,134    13,400   1,647,710      73,000      2,900
WILEY JOHN &
SONS IN          CL A       96822320      69,810,921   2,664,539     476,516    233,560 1,954,463     705,716   1,954,463      4,360
EDWARDS
LIFESCIENCES     COM        28176E10      69,725,705   2,169,437   1,258,718    910,319       400   1,242,631     908,756     18,050
DELUXE CORP      COM        24801910      69,705,664   1,555,930   1,535,860      8,480    11,590   1,396,702      37,647    121,581
AFFILIATED
COMPUTER         CL A       00819010      69,435,517   1,518,380   1,514,263      3,557       560   1,495,849      17,260      5,271
REYNOLDS R J
TOB HLD          COM        76182K10      69,331,718   1,863,255   1,851,437     11,538       280   1,803,928      14,080     45,247
REEBOK INTL LTD  COM        75811010      68,490,050   2,036,576   2,032,706      1,970     1,900   1,791,964      13,300    231,312
COACH INC        COM        18975410      68,282,773   1,372,794   1,355,890     10,874     6,030   1,323,181       9,430     40,183
COMPASS
BANCSHARES I     COM        20449H10      68,237,677   1,964,805   1,957,695      5,910     1,200   1,910,185       1,200     53,420
HEALTH NET INC   COM        42222G10      68,120,895   2,067,402   2,061,212      5,925       265   1,934,211      66,665     66,526
MILLENNIUM
PHARMACEU        COM        59990210      67,955,471   4,320,119   4,283,811     30,840     5,468   4,077,715       5,968    236,436
LSI LOGIC CORP   COM        50216110      67,725,934   9,565,810   9,553,410     12,160       240   8,692,222      79,165    794,423
CALPINE CORP     COM        13134710      67,108,793  10,167,999  10,127,089     25,710    15,200   9,578,859     119,400    469,740
BRUNSWICK CORP   COM        11704310      66,956,697   2,676,127   2,664,067     12,060             2,456,012      16,750    203,365
BOSTON
PROPERTIES IN    COM        10112110      66,697,807   1,522,781   1,521,451      1,330             1,400,316                122,465
AVAYA INC        COM        05349910      66,541,985  10,300,617  10,219,317     74,704     6,596   9,551,632     123,478    625,507
TOYS R US INC    COM        89233510      66,105,013   5,454,209   5,443,009     11,060       140   4,895,311      52,140    506,758
DST SYS INC DEL  COM        23332610      66,095,072   1,739,344   1,687,195      4,500    47,649   1,651,427      52,449     35,468
ARCHSTONE SMITH
TR               COM        03958310      65,726,928   2,738,622   2,738,143        479             2,570,323         400    167,899
NATIONAL
COMMERCE FI      COM        63545P10      65,686,948   2,960,205   2,952,695      6,720       790   2,858,713       8,790     92,702
FOX ENTMT GROUP
INC              CL A       35138T10      65,674,722   2,281,957   2,276,427      5,430       100   2,198,267       6,100     77,590
BOISE CASCADE
CORP             COM        09738310      65,550,458   2,742,697   1,382,018  1,360,346       333   1,291,130   1,377,029     74,538
ALBERTO CULVER
CO               CL B CONV  01306810      65,116,934   1,274,304   1,272,634      1,670             1,177,215      15,500     81,589
LEGG MASON INC   COM        52490110      64,440,402     992,154     980,534      4,625     6,995     957,852       7,095     27,207
BEMIS INC        COM        08143710      64,320,937   1,374,379   1,357,734      6,745     9,900   1,259,659      27,414     87,306
NORDSTROM INC    COM        65566410      64,299,582   3,294,036   3,286,216      3,740     4,080   3,002,787      32,280    258,969
SPX CORP         COM        78463510      63,933,439   1,451,054   1,359,006     61,310    30,738   1,308,240      57,538     85,276
SMITH INTL INC   COM        83211010      63,549,398   1,729,706   1,711,726     12,485     5,495   1,674,502       9,595     45,609
MANOR CARE INC
NEW              COM        56405510      63,397,073   2,534,869   2,530,164      4,455       250   2,271,848      16,150    246,871
Page Total                             3,457,950,330


                                                                   Page 10 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                               
EASTMAN CHEM CO  COM        27743210      63,232,987   1,996,621   1,994,485        564     1,572   1,826,528      24,672    145,421
SOVEREIGN
BANCORP IN       COM        84590510      63,050,594   4,028,792   4,005,598     16,200     6,994   3,897,417      17,894    113,481
ENERGIZER HLDGS
INC              COM        29266R10      62,826,281   2,000,837   1,995,413      5,124       300   1,920,571       3,800     76,466
NCR CORP NEW     COM        62886E10      62,222,679   2,428,676   2,384,058     44,237       381   2,221,960      25,131    181,585
MILLIPORE CORP   COM        60107310      61,911,457   1,395,345   1,392,305      1,840     1,200   1,259,041      41,389     94,915
ROWAN COS INC    COM        77938210      60,886,851   2,718,163   2,711,533      5,570     1,060   2,526,441      24,260    167,462
TECO ENERGY INC  COM        87237510      60,456,265   5,042,224   4,944,322     57,638    40,264   4,664,821      79,764    297,639
CIENA CORP       COM        17177910      60,262,559  11,656,201  11,631,700     23,521       980  10,618,593     113,530    924,078
PUBLIC STORAGE
INC              COM        74460D10      60,133,644   1,775,425   1,775,275        150             1,705,203       1,050     69,172
MURPHY OIL CORP  COM        62671710      59,932,913   1,139,409   1,112,292     15,650    11,467   1,119,842      11,467      8,100
COMPUWARE CORP   COM        20563810      59,898,644  10,471,791  10,447,491     24,060       240   9,395,972      88,978    986,841
VARIAN MED SYS
INC              COM        92220P10      59,335,441   1,030,666   1,025,671      2,610     2,385     972,082       5,285     53,299
POPULAR INC      COM        73317410      59,225,111   1,536,718   1,536,468        250             1,530,983                  5,735
BARR LABS INC    COM        06830610      59,153,115     903,101     899,454      1,235     2,412     883,248       2,412     17,441
MINERALS
TECHNOLOGIE      COM        60315810      58,933,001   1,211,118   1,211,118                          502,153     670,570     38,395
ALLIED WASTE
INDS IN          COM PAR$.0 01958930      58,913,009   5,861,991   5,849,731     12,260             5,452,040      61,400    348,551
ENSCO INTL INC   COM        26874Q10      58,870,192   2,188,483   2,181,853      6,330       300   2,067,685         300    120,498
ADVANCED MICRO
DEVIC            COM        00790310      58,382,600   9,108,050   9,092,490     15,320       240   8,231,497      72,140    804,413
NAVISTAR INTL
CORP N           COM        63934E10      58,372,655   1,788,926   1,786,806      2,020       100   1,671,946      25,525     91,455
INVITROGEN CORP  COM        46185R10      58,268,851   1,517,418   1,253,661    219,532    44,225   1,408,207      51,125     58,086
MICHAELS STORES
INC              COM        59408710      58,228,831   1,529,922     986,107    542,084     1,731     983,227     542,495      4,200
LEAR CORP        COM        52186510      58,205,819   1,264,794   1,254,418      6,481     3,895   1,148,199      12,995    103,600
GTECH HLDGS CORP COM        40051810      57,837,026   1,536,176   1,535,656        280       240   1,477,506      54,440      4,230
VALERO ENERGY
CORP N           COM        91913Y10      57,752,129   1,589,654   1,583,808      3,592     2,254   1,535,725       2,254     51,675
DUKE REALTY CORP COM NEW    26441150      57,566,799   2,089,539   2,089,244        295             2,013,314         500     75,725
ASHLAND INC      COM        04420410      57,449,036   1,872,524   1,868,102      2,090     2,332   1,737,754      23,536    111,234
REPUBLIC SVCS
INC              COM        76075910      57,184,122   2,522,458   2,509,593      9,690     3,175   2,432,639      14,425     75,394
PEOPLES ENERGY
CORP             COM        71103010      56,878,959   1,326,159   1,324,722      1,437             1,212,082       8,450    105,627
CHECKFREE CORP
NEW              COM        16281310      56,600,768   2,021,456   2,016,291      5,065       100   1,878,159      11,800    131,497
TIMBERLAND CO    CL A       88710010      56,600,690   1,070,766   1,069,766        780       220     939,168      43,420     88,178
LAUDER ESTEE COS
INC              CL A       51843910      56,142,397   1,674,393   1,523,724    131,469    19,200   1,579,291      19,200     75,902
CABOT CORP       COM        12705510      56,018,496   1,951,864     832,995     22,530 1,096,339     814,474   1,096,339     41,051
WESTWOOD ONE INC COM        96181510      55,792,999   1,644,356   1,632,384     10,736     1,236   1,628,400       1,236     14,720
MEREDITH CORP    COM        58943310      55,547,360   1,262,440   1,259,496        740     2,204   1,139,515      18,840    104,085
NEW YORK CMNTY
BANCO            COM        64944510      55,436,143   1,905,677   1,904,665      1,012             1,900,226                  5,451
RADIAN GROUP INC COM        75023610      54,607,840   1,489,982   1,486,332      3,250       400   1,438,541         400     51,041
MONSTER
WORLDWIDE IN     COM        61174210      54,235,224   2,748,871   2,745,989      2,782       100   2,559,501      42,900    146,470
DOLLAR TREE
STORES I         COM        25674710      54,165,912   1,704,939   1,686,971     17,518       450   1,699,601         600      4,738
KIMCO REALTY
CORP             COM        49446R10      53,765,319   1,418,610   1,418,610                        1,361,129                 57,481
BRINKER INTL INC COM        10964110      53,271,238   1,478,935   1,436,422     28,928    13,585   1,439,210      17,785     21,940
PIONEER NAT RES
CO               COM        72378710      53,215,394   2,038,904   2,033,543      3,850     1,511   1,987,370       1,511     50,023
WINN DIXIE
STORES IN        COM        97428010      52,652,171   4,277,187   4,273,287      3,800       100   3,664,702      58,550    553,935
MAYTAG CORP      COM        57859210      52,274,135   2,140,628   2,131,695      2,493     6,440   1,928,348      33,289    178,991
JUNIPER NETWORKS
INC              COM        48203R10      51,858,727   4,158,679   4,142,550     15,949       180   3,849,881         430    308,368
HILLENBRAND INDS
INC              COM        43157310      51,352,651   1,017,892   1,013,577      3,240     1,075     964,117      11,275     42,500
BAUSCH & LOMB
INC              COM        07170710      50,996,437   1,359,905   1,357,515      1,890       500   1,187,022      40,250    132,633
CONSTELLATION
BRANDS           CL A       21036P10      50,876,823   1,620,281   1,573,554     30,252    16,475   1,588,446      16,475     15,360
CARMAX INC       COM        14313010      50,709,676   1,681,913   1,678,153      3,370       390   1,638,579         390     42,944
SCANA CORP NEW   COM        80589M10      50,697,960   1,478,937   1,460,162     18,175       600   1,474,697         600      3,640
WISCONSIN ENERGY
COR              COM        97665710      50,634,377   1,746,013   1,717,371      9,520    19,122   1,672,538      19,122     54,353
Page Total                             2,842,824,307


                                                                   Page 11 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                             
PMC-SIERRA INC   COM        69344F10      50,443,144   4,289,383   4,284,223      5,040       120   4,002,723      60,877    225,783
NICOR INC        COM        65408610      50,364,133   1,357,158   1,355,918      1,040       200   1,275,815       9,550     71,793
LABORATORY CORP
AMER             COM NEW    50540R40      50,171,348   1,664,058   1,658,743      3,660     1,655   1,597,003       1,655     65,400
EXPEDITORS INTL
WASH             COM        30213010      50,059,318   1,452,679   1,446,649      5,670       360   1,405,107         360     47,212
ROSS STORES INC  COM        77829610      50,043,889   1,164,895   1,162,105      2,390       400   1,161,251         550      3,094
TEKTRONIX INC    COM        87913110      49,951,771   2,312,582   2,310,632      1,850       100   2,094,749      25,750    192,083
BEA SYS INC      COM        07332510      49,566,270   4,551,540   4,508,840     19,560    23,140   4,184,785      23,140    343,615
AVALONBAY CMNTYS
INC              COM        05348410      49,420,996   1,159,029   1,157,759      1,270             1,089,374       2,300     67,355
ROUSE CO         COM        77927310      49,392,916   1,296,402   1,293,162      3,240             1,195,025         350    101,027
CADENCE DESIGN
SYSTE            COM        12738710      48,477,135   4,019,663   4,003,913     14,170     1,580   3,785,964       1,580    232,119
VERISIGN INC     COM        92343E10      48,363,584   3,507,149   3,492,281     14,635       233   3,224,356      16,333    266,460
HIBERNIA CORP    CL A       42865610      48,093,291   2,648,309   2,601,389     10,220    36,700   2,593,629      36,700     17,980
AUTODESK INC     COM        05276910      48,010,557   2,969,113   2,959,613      6,700     2,800   2,749,292      44,700    175,121
LINCARE HLDGS
INC              COM        53279110      47,814,360   1,512,634   1,505,004      3,680     3,950   1,463,441       3,950     45,243
CIRCUIT CITY
STORE I          COM        17273710      47,649,580   5,414,725   5,404,795      9,770       160   5,047,709      47,435    319,581
CHOICEPOINT INC  COM        17038810      47,602,596   1,378,986   1,374,526      2,020     2,440   1,336,218       2,440     40,328
DELTA AIR LINES
INC              COM        24736110      47,517,824   3,236,909   3,225,779     11,030       100   2,936,929      23,000    276,980
INTERSIL CORP    CL A       46069S10      47,495,470   1,784,873   1,779,363      5,410       100   1,777,899         350      6,624
MID ATLANTIC
MED SVC          COM        59523C10      47,448,442     907,236     904,673        260     2,303     847,838      51,803      7,595
COVENTRY HEALTH
CARE             COM        22286210      47,307,399   1,024,857   1,018,333      4,609     1,915   1,005,542       1,915     17,400
L-3
COMMUNICATIONS H COM        50242410      47,279,414   1,087,133   1,084,818      2,115       200   1,054,933         400     31,800
A D C
TELECOMMUNICAT   COM        00088610      47,187,260  20,516,200  20,494,704     19,386     2,110  18,662,383     236,036  1,617,781
GENTEX CORP      COM        37190110      47,102,307   1,536,780   1,197,968    213,179   125,633   1,408,315     125,633      2,832
PERKINELMER INC  COM        71404610      46,961,264   3,400,526   3,391,356      9,050       120   3,126,402      50,470    223,654
DANA CORP        COM        23581110      46,543,045   4,026,215   4,019,199      4,550     2,466   3,523,425      53,051    449,739
LIBERTY PPTY TR  SH BEN INT 53117210      46,534,093   1,344,916   1,344,516        400             1,298,453                 46,463
PEPCO HOLDINGS
INC              COM        71329110      46,058,781   2,403,903   2,390,036     11,982     1,885   2,216,883       1,885    185,135
FLEXTRONICS
INTL LTD         ORD        Y2573F10      45,992,701   4,409,655   3,670,722    738,933             4,125,189                284,466
QUINTILES
TRANSNATIO       COM        74876710      45,902,113   3,239,387   3,231,627      7,660       100   2,824,183      41,750    373,454
D R HORTON INC   COM        23331A10      45,800,077   1,629,896   1,622,361      5,439     2,096   1,583,200       2,096     44,600
BIG LOTS INC     COM        08930210      45,767,487   3,043,051   3,038,691      4,260       100   2,873,967      24,100    144,984
RYDER SYS INC    COM        78354910      45,472,195   1,774,871   1,773,301      1,570             1,655,153      20,850     98,868
MANPOWER INC     COM        56418H10      44,688,331   1,204,862   1,201,702      2,960       200   1,169,973         200     34,689
WESTERN DIGITAL
CORP             COM        95810210      44,649,264   4,334,880   4,324,780     10,100             4,035,208                299,672
APPLIED MICRO
CIRCUI           COM        03822W10      44,531,959   7,372,841   7,347,513     15,148    10,180   6,908,338      74,580    389,923
RENT A CTR INC
NEW              COM        76009N10      44,289,945     584,223     578,863      5,260       100     514,996       8,100     61,127
SERVICEMASTER CO COM        81760N10      44,206,953   4,131,491   4,123,144      8,127       220   3,663,584         220    467,687
MOHAWK INDS INC  COM        60819010      43,949,718     791,459     789,818      1,441       200     788,409         200      2,850
DUN & BRADSTREET
COR              COM        26483E10      43,851,562   1,066,948   1,062,376      3,847       725   1,033,083         725     33,140
MARTIN MARIETTA
MATL             COM        57328410      43,516,245   1,294,741   1,293,081      1,560       100     631,103     661,570      2,068
UBS AG           NAMEN AKT  H8920M85      43,206,404     779,899     142,425    637,474               254,941     521,908      3,050
OUTBACK
STEAKHOUSE I     COM        68989910      43,153,773   1,106,507   1,084,692     16,940     4,875   1,097,232       4,875      4,400
ADVANCEPCS       COM        00790K10      42,933,521   1,122,445   1,120,495      1,730       220   1,118,855         220      3,370
UNITED DOMINION
REAL             COM        91019710      42,904,267   2,491,537   2,490,122      1,415             2,430,411                 61,126
DYNEGY INC NEW   CL A       26816Q10      42,336,739  10,080,176  10,063,201     16,815       160   9,500,814     119,560    459,802
UNITED STATES
STL CO           COM        91290910      42,285,985   2,583,139   2,579,939      3,100       100   2,405,927      19,200    158,012
OMNICARE INC     COM        68190410      42,159,681   1,247,697   1,244,397      2,900       400   1,241,191         400      6,106
ONEOK INC NEW    COM        68268010      42,126,843   2,146,044   2,135,574     10,270       200   2,036,794         200    109,050
DEVELOPERS
DIVERSIFI        COM        25159110      41,945,189   1,474,866   1,473,951        915             1,427,794                 47,072
TYSON FOODS INC  CL A       90249410      41,838,711   3,939,615   3,932,850      5,466     1,299   3,814,766       1,499    123,350
Page Total                             2,310,369,850


                                                                   Page 12 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                               
DIEBOLD INC      COM        25365110      41,817,343     966,875     953,831      4,725     8,319     953,106       8,469      5,300
DENTSPLY INTL
INC NE           COM        24903010      41,613,066   1,015,944   1,009,121      6,663       160   1,008,287         160      7,497
ENERGY EAST CORP COM        29266M10      41,415,992   1,994,990   1,979,734      8,256     7,000   1,980,232       7,000      7,758
PENTAIR INC      COM        70963110      41,313,840   1,057,702   1,056,082      1,620             1,022,552                 35,150
SNAP ON INC      COM        83303410      41,242,979   1,420,702   1,418,222      2,480             1,319,150      13,900     87,652
UNIONBANCAL CORP COM        90890610      41,194,880     995,767     994,667      1,100               937,594      56,700      1,473
FAIR ISAAC CORP  COM        30325010      41,114,415     799,114     795,739      1,950     1,425     781,236       1,425     16,453
COORS ADOLPH CO  CL B       21701610      41,095,640     839,029     837,229      1,800               784,822       6,500     47,707
CABLEVISION SYS
CORP             CL A NY CA 12686C10      41,012,978   1,975,577   1,961,273     10,753     3,551   1,769,595       3,851    202,131
CAREER EDUCATION
COR              COM        14166510      40,971,462     599,875     598,055      1,820               594,225                  5,650
FIRST VA BANKS
INC              COM        33747710      40,916,912     948,908     936,673      9,085     3,150     913,009       3,900     31,999
AMB PROPERTY
CORP             COM        00163T10      40,835,034   1,449,593   1,449,393        200             1,404,484         100     45,009
TELEPHONE &
DATA SYS         COM        87943310      40,791,821     820,761     814,701      5,830       230     803,481         330     16,950
WILLIAMS SONOMA
INC              COM        96990410      40,585,488   1,389,914   1,383,969      1,940     4,005   1,359,785      25,205      4,924
UTSTARCOM INC    COM        91807610      40,208,228   1,128,177   1,124,617      1,360     2,200   1,097,523      12,800     17,854
EDWARDS AG INC   COM        28176010      39,706,781   1,161,017   1,156,287      4,230       500   1,065,509         500     95,008
SEI INVESTMENTS
CO               COM        78411710      39,486,760   1,234,347   1,219,505     13,957       885   1,228,252         885      5,210
ABERCROMBIE &
FITCH            CL A       00289620      39,482,769   1,389,749   1,378,638      8,961     2,150   1,359,535      26,150      4,064
IVAX CORP        COM        46582310      39,338,829   2,203,856   2,194,859      6,872     2,125   2,123,412       2,125     78,319
QUESTAR CORP     COM        74835610      39,227,107   1,172,008   1,061,254     94,899    15,855   1,130,643      16,105     25,260
TCF FINL CORP    COM        87227510      39,214,990     984,312     977,453      4,767     2,092     976,220       2,092      6,000
ARROW ELECTRS
INC              COM        04273510      39,129,294   2,567,539   2,549,139     18,100       300   2,342,675      16,800    208,064
WORTHINGTON INDS
INC              COM        98181110      38,792,531   2,894,965   2,874,440     11,325     9,200   2,634,501      30,300    230,164
FIRST HEALTH
GROUP C          COM        32096010      38,601,408   1,397,589   1,392,399      4,710       480   1,391,809         480      5,300
E TRADE GROUP
INC              COM        26924610      38,399,889   4,517,634   4,510,454      4,440     2,740   4,499,990       2,740     14,904
PARK PL ENTMT
CORP             COM        70069010      38,297,924   4,213,193   4,202,733     10,460             3,971,304         750    241,139
DPL INC          COM        23329310      38,281,456   2,401,597   2,393,318      7,555       724   2,394,809         724      6,064
BARNES & NOBLE
INC              COM        06777410      38,060,759   1,651,226   1,645,626      2,900     2,700   1,555,078      59,900     36,248
PACIFICARE
HEALTH SY        COM        69511210      37,982,718     769,972     769,212         60       700     713,152         700     56,120
CORINTHIAN
COLLEGES         COM        21886810      37,924,750     785,029     783,230      1,599       200     726,659         200     58,170
CHELSEA PPTY
GROUP I          COM        16342110      37,902,485     940,275     939,690        585               878,229                 62,046
CARLISLE COS INC COM        14233910      37,811,406     896,855     896,255        600               800,546       5,900     90,409
PMI GROUP INC    COM        69344M10      37,738,006   1,406,036   1,401,496      4,340       200   1,340,214         200     65,622
ZALE CORP NEW    COM        98885810      37,605,160     940,129     939,329        600       200     530,135     402,604      7,390
HOST MARRIOTT
CORP N           COM        44107P10      37,584,164   4,107,559   4,107,559                        3,787,212                320,347
LOUISIANA PAC
CORP             COM        54634710      37,345,133   3,445,123   3,437,553      4,180     3,390   3,136,885      21,890    286,348
SCHEIN HENRY INC COM        80640710      37,291,394     710,177     709,177        900       100     705,403         100      4,674
CERIDIAN CORP
NEW              COM        15677910      37,261,843   2,195,748   2,190,804      4,644       300   2,031,464         300    163,984
MACERICH CO      COM        55438210      37,252,519   1,060,419   1,060,319        100               962,894                 97,525
PATTERSON DENTAL
CO               COM        70341210      37,033,324     815,712     812,272      3,080       360     813,078         360      2,274
WHOLE FOODS MKT
INC              COM        96683710      36,990,222     778,250     773,170      3,990     1,090     759,526       1,090     17,634
CUMMINS INC      COM        23102110      36,984,034   1,030,483   1,029,293      1,190               956,601      10,900     62,982
COOPER CAMERON
CORP             COM        21664010      36,812,061     730,688     730,188        400       100     693,951         100     36,637
FISHER
SCIENTIFIC IN    COM NEW    33803220      36,325,141   1,040,835   1,039,655      1,080       100   1,010,218       5,300     25,317
ASSOCIATED BANC
CORP             COM        04548710      36,148,384     987,391     984,671      2,522       198     950,214         508     36,669
SCRIPPS E W CO
OHIO             CL A       81105420      36,086,505     406,746     404,906      1,840               386,110                 20,636
CRANE CO         COM        22439910      35,966,130   1,589,312   1,586,812      2,500             1,491,756      14,550     83,006
FASTENAL CO      COM        31190010      35,916,877   1,053,899   1,029,123     10,451    14,325   1,016,824      14,325     22,750
SMITHFIELD FOODS
INC              COM        83224810      35,906,059   1,566,582   1,563,172      3,010       400   1,561,990         400      4,192
SMUCKER J M CO   COM NEW    83269640      35,744,910     896,087     883,964      2,274     9,849     804,067       9,872     82,148
Page Total                             1,935,763,800


                                                                   Page 13 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                             
EQUITABLE RES
INC              COM        29454910      35,741,650     877,311     869,587      3,600     4,124     851,113       6,524     19,674
MERCANTILE
BANKSHARE        COM        58740510      35,733,577     908,096     896,396      7,800     3,900     900,226       3,900      3,970
AGL RES INC      COM        00120410      35,696,263   1,403,155   1,401,705        650       800   1,293,655         800    108,700
AGERE SYS INC    CL B       00845V20      35,695,804  15,519,915  15,361,324    152,992     5,599  15,075,449       5,599    438,867
DIAL CORP NEW    COM        25247D10      35,650,624   1,832,937   1,830,607      2,030       300   1,671,417      15,300    146,220
COOPER TIRE &
RUBR C           COM        21683110      35,600,031   2,023,879   2,015,674      7,405       800   1,875,115      19,700    129,064
NEW PLAN EXCEL
RLTY             COM        64805310      35,453,233   1,660,573   1,660,363        210             1,606,203                 54,370
CABOT
MICROELECTRONI   COM        12709P10      35,407,003     702,102     448,575     20,517   233,010     434,042     233,010     35,050
MIRANT CORP      COM        60467510      35,242,386  12,152,547  12,125,952     20,945     5,650  11,401,230     127,080    624,237
NOVELL INC       COM        67000610      35,177,241  11,311,010  11,273,907     36,863       240  10,131,734      72,740  1,106,536
PAN PACIFIC
RETAIL P         COM        69806L10      35,009,065     889,684     879,583     10,101               821,211                 68,473
HOSPITALITY
PPTYS TR         COM SH BEN 44106M10      34,789,656   1,113,269   1,113,169        100             1,078,402                 34,867
MACK CALI RLTY
CORP             COM        55448910      34,785,209     956,163     955,883        280               923,381                 32,782
ASTORIA FINL
CORP             COM        04626510      34,755,170   1,244,367   1,237,107      6,660       600   1,236,475         600      7,292
SMURFIT-STONE
CONTAI           COM        83272710      34,686,637   2,666,152   2,655,860      9,692       600   2,444,944       1,150    220,058
C H ROBINSON
WORLDWI          COM        12541W10      34,658,406     977,946     974,056      3,590       300     974,848         300      2,798
DEVRY INC DEL    COM        25189310      34,594,802   1,485,393   1,483,823      1,270       300   1,443,859         300     41,234
BERKLEY W R CORP COM        08442310      34,322,772     651,286     651,086        200               649,387                  1,899
PATTERSON UTI
ENERGY           COM        70348110      34,273,906   1,058,817   1,053,805      2,985     2,027   1,049,566       2,027      7,224
WEBMD CORP       COM        94769M10      33,997,642   3,127,658   3,105,615     12,200     9,843   3,103,419      10,393     13,846
RYLAND GROUP INC COM        78376410      33,937,988     489,020     488,200        820               461,520      15,550     11,950
JACOBS ENGR
GROUP IN         COM        46981410      33,921,729     804,786     801,046      2,240     1,500     801,378       1,500      1,908
WILEY JOHN &
SONS IN          CL B       96822330      33,808,897   1,287,958                  4,000 1,283,958       4,000   1,283,958
NATIONAL FUEL
GAS CO           COM        63618010      33,789,611   1,297,106   1,279,646     16,660       800   1,272,082       1,250     23,774
ADTRAN INC       COM        00738A10      33,670,125     652,269     651,169      1,000       100     620,969         100     31,200
POGO PRODUCING
CO               COM        73044810      33,450,036     782,457     780,427      1,530       500     778,619         500      3,338
ALLEGHENY ENERGY
INC              COM        01736110      33,344,494   3,946,094   3,923,926     21,380       788   3,618,482      37,438    290,174
LAM RESEARCH
CORP             COM        51280710      33,069,833   1,816,026   1,781,177     34,349       500   1,786,826         850     28,350
HORMEL FOODS
CORP             COM        44045210      32,883,915   1,387,507   1,383,522      3,740       245   1,384,036         245      3,226
CIT GROUP INC    COM        12558110      32,734,435   1,327,969   1,326,469      1,500             1,238,880                 89,089
EXPEDIA INC      CL A       30212510      32,726,266     429,817     429,437        380               401,895       3,900     24,022
NSTAR            COM        67019E10      32,702,531     717,948     699,332     10,561     8,055     707,593       8,055      2,300
CBL & ASSOC
PPTYS IN         COM        12483010      32,693,674     760,318     760,298         20               716,946                 43,372
PROTECTIVE LIFE
CORP             COM        74367410      32,682,909   1,221,791   1,218,766      1,100     1,925   1,201,830       1,925     18,036
PHARMACEUTICAL
RES I            COM        71712510      32,676,357     671,524     669,424      2,000       100     619,274         100     52,150
PUGET ENERGY
INC NEW          COM        74531010      32,642,296   1,367,503   1,356,868     10,260       375   1,314,644         375     52,484
CRESCENT REAL
ESTATE           COM        22575610      32,379,268   1,949,384   1,948,424        960             1,858,782                 90,602
AMERICAN
GREETINGS C      CL A       02637510      32,325,534   1,645,903   1,642,043      3,860             1,493,471      21,183    131,249
NORTHEAST UTILS  COM        66439710      32,313,556   1,930,320   1,919,068      9,692     1,560   1,877,253       1,560     51,507
BELO CORP        COM SER A  08055510      32,268,498   1,443,135   1,439,705      3,030       400   1,428,835       4,100     10,200
IMATION CORP     COM        45245A10      32,260,951     853,013     850,823      1,390       800     787,413         800     64,800
CMS ENERGY CORP  COM        12589610      32,212,298   3,976,827   3,975,507      1,320             3,754,296      31,400    191,131
AIRGAS INC       COM        00936310      31,983,924   1,909,488   1,909,438         50             1,802,868                106,620
GALLAGHER
ARTHUR J &       COM        36357610      31,965,820   1,175,214   1,153,839      3,400    17,975   1,153,339      17,975      3,900
MDU RES GROUP
INC              COM        55269010      31,926,787     953,323     924,953     14,820    13,550     935,673      13,550      4,100
AUTOLIV INC      COM        05280010      31,743,094   1,172,197   1,144,141     23,291     4,765   1,156,282       5,015     10,900
BOWATER INC      COM        10218310      31,496,760     841,035     836,655      1,380     3,000     815,142       3,000     22,893
ALLMERICA FINL
CORP             COM        01975410      31,477,642   1,749,730     779,954    969,058       718     775,874     964,956      8,900
MERCURY GENL
CORP NE          COM        58940010      31,440,798     688,736     317,905    362,231     8,600     304,471     383,911        354
VISHAY
INTERTECHNOLO    COM        92829810      31,355,953   2,375,451   2,251,400     91,462    32,589   2,325,012      32,939     17,500
Page Total                             1,679,157,056


                                                                   Page 14 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                               
NEUBERGER BERMAN
INC              COM        64123410      31,351,180     785,547     782,692      2,855               783,475                  2,072
VARIAN INC       COM        92220610      31,042,646     903,795     903,695        100               856,945                 46,850
REGIS CORP MINN  COM        75893210      30,976,799   1,066,327   1,066,227        100             1,001,027                 65,300
PRIDE INTL INC
DEL              COM        74153Q10      30,638,094   1,627,954   1,622,604      4,790       560   1,621,198         810      5,946
PETSMART INC     COM        71676810      30,636,615   1,833,430   1,828,730      4,700             1,826,400                  7,030
COMMERCE BANCORP
INC              COM        20051910      30,531,964     822,964     813,147      3,862     5,955     815,281       5,955      1,728
ALLETE INC       COM        01852210      30,472,178   1,147,728   1,139,508      5,940     2,280   1,103,640      42,080      2,008
AVNET INC        COM        05380710      30,453,961   2,401,732   2,392,696      7,364     1,672   2,383,360       1,972     16,400
BRIGGS &
STRATTON CO      COM        10904310      30,434,734     602,668     602,068        600               569,518                 33,150
PATINA OIL & GAS
COR              COM        70322410      30,417,243     946,104     946,104                          901,355                 44,749
UNITED
STATIONERS IN    COM        91300410      30,164,847     841,888     841,888                          795,634                 46,254
MGM MIRAGE       COM        55295310      30,119,723     881,209     876,744      2,840     1,625     854,762       1,625     24,822
CHESAPEAKE
ENERGY CO        COM        16516710      30,048,722   2,975,121   2,968,321      6,800             2,705,771                269,350
LANDAMERICA FINL
GRO              COM        51493610      30,034,820     632,312     632,212        100               603,762                 28,550
CITY NATL CORP   COM        17856610      29,957,821     672,303     672,043        260               671,076                  1,227
CYTEC INDS INC   COM        23282010      29,816,703     882,151     880,821      1,030       300     817,381         300     64,470
ITT EDUCATIONAL
SERV             COM        45068B10      29,797,472   1,018,717   1,018,317        200       200     952,450         200     66,067
NOBLE ENERGY INC COM        65504410      29,438,488     778,796     754,740      5,675    18,381     741,825      18,531     18,440
RPM INTL INC     COM        74968510      29,428,698   2,140,269   2,130,137      6,920     3,212   2,131,557       3,212      5,500
COMMERCE
BANCSHARES       COM        20052510      29,407,601     755,591     710,735     42,601     2,255     750,884       2,255      2,452
WEATHERFORD
INTERNAT         COM        G9508910      29,335,153     700,123     691,038      8,210       875     609,941         875     89,307
PROTEIN DESIGN
LABS             COM        74369L10      29,252,312   2,060,022   2,059,922        100             1,915,463                144,559
OGE ENERGY CORP  COM        67083710      29,174,879   1,365,226   1,356,148      7,478     1,600   1,340,834       1,600     22,792
CINCINNATI BELL
INC              COM        17187110      29,174,386   4,354,386   4,344,330      7,820     2,236   4,045,950       2,236    306,200
WEINGARTEN RLTY
INVS             SH BEN INT 94874110      29,111,449     694,784     694,784                          665,982                 28,802
IMCLONE SYS INC  COM        45245W10      28,997,429     907,020     903,252      1,690     2,078     821,481       2,078     83,461
SL GREEN RLTY
CORP             COM        78440X10      28,856,611     827,074     826,219        855               763,187                 63,887
DILLARDS INC     CL A       25406710      28,841,559   2,141,170   2,137,770      3,300       100   1,958,060      18,500    164,610
IDEXX LABS INC   COM        45168D10      28,820,917     864,714     856,051        700     7,963     807,001       7,963     49,750
WEBSTER FINL
CORP CO          COM        94789010      28,805,414     762,048     753,079      8,715       254     759,063         554      2,431
HARRIS CORP DEL  COM        41387510      28,770,200     957,411     949,951      7,160       300     923,375         300     33,736
DORAL FINL CORP  COM        25811P10      28,666,059     642,017     641,717        300               639,167                  2,850
MILLS CORP       COM        60114810      28,642,842     853,736     852,921        815               801,289                 52,447
STERICYCLE INC   COM        85891210      28,366,030     739,469     737,669                1,800     680,369       1,800     57,300
LEE ENTERPRISES
INC              COM        52376810      28,163,900     750,437     748,077      2,360               727,537                 22,900
LEVEL 3
COMMUNICATIO     COM        52729N10      28,112,379   4,221,078   4,201,748     16,610     2,720   3,894,161       3,120    323,797
FEDERAL REALTY
INVT             SH BEN INT 31374720      27,950,976     873,468     873,468                          797,005                 76,463
KRISPY KREME
DOUGHNU          COM        50101410      27,901,632     677,553     672,003      4,000     1,550     671,633       1,550      4,370
GREAT LAKES CHEM
COR              COM        39056810      27,859,198   1,365,647   1,363,387        760     1,500   1,238,205      10,600    116,842
UGI CORP NEW     COM        90268110      27,805,084     877,132     875,332      1,800               808,657                 68,475
SEPRACOR INC     COM        81731510      27,774,054   1,549,027   1,487,007      3,120    58,900   1,376,596      58,900    113,531
DEL MONTE FOODS
CO               COM        24522P10      27,746,868   3,138,786   3,114,670     11,739    12,377   2,754,882      12,377    371,527
AMYLIN
PHARMACEUTICA    COM        03234610      27,542,416   1,251,928   1,251,628        200       100   1,147,345         100    104,483
ANNTAYLOR STORES
COR              COM        03611510      27,524,849     950,772     949,832        790       150     882,427         150     68,195
BRITISH AMERN
TOB PL           SPONSORED  11044810      27,460,649   1,210,787      31,395  1,179,392                31,395   1,179,392
BANK HAWAII CORP COM        06254010      27,389,226     826,221     819,901      6,320               822,777                  3,444
VIAD CORP        COM        92552R10      27,336,510   1,220,925   1,198,065      1,660    21,200   1,163,409      22,000     35,516
VALSPAR CORP     COM        92035510      27,305,531     646,744     644,784      1,460       500     643,104         800      2,840
LAMAR
ADVERTISING CO   CL A       51281510      27,263,112     767,975     764,012      2,150     1,813     758,912       1,813      7,250
APTARGROUP INC   COM        03833610      27,246,276     756,841     572,671    100,900    83,270     670,859      83,270      2,712
Page Total                             1,452,368,209


                                                                   Page 15 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                               
ZEBRA
TECHNOLOGIES C   CL A       98920710      27,202,950     361,501     360,461        840       200     359,701         200      1,600
WADDELL & REED
FINL             CL A       93005910      27,086,085   1,055,165   1,048,999      2,990     3,176   1,046,855       3,176      5,134
BISYS GROUP INC  COM        05547210      27,083,148   1,474,314   1,468,814      1,800     3,700   1,465,014       3,700      5,600
UNIVERSAL HLTH
SVCS             CL B       91390310      27,076,347     683,401     681,511      1,570       320     681,585         320      1,496
HERCULES INC     COM        42705610      27,063,422   2,733,679   2,726,366      7,313             2,533,374      35,800    164,505
ALPHARMA INC     CL A       02081310      27,038,016   1,251,760   1,250,750      1,010             1,150,020                101,740
MACROMEDIA INC   COM        55610010      26,995,202   1,284,874   1,283,914        800       160   1,198,014       9,960     76,900
EATON VANCE CORP COM NON VT 27826510      26,979,163     853,771     850,891      2,840        40     852,783          40        948
CORN PRODS INTL
INC              COM        21902310      26,898,621     895,725     889,243      1,690     4,792     839,583       4,792     51,350
FIRSTMERIT CORP  COM        33791510      26,798,960   1,175,393   1,140,773     34,220       400   1,168,938         400      6,055
HARTE-HANKS INC  COM        41619610      26,722,474   1,406,446   1,405,846        300       300   1,246,232     130,600     29,614
FIRST AMERN CORP
CAL              COM        31852230      26,686,357   1,012,765   1,011,265      1,340       160   1,009,166         160      3,439
P F CHANGS CHINA
BIS              COM        69333Y10      26,668,129     541,925     520,204     16,681     5,040     500,485       5,040     36,400
ENTERCOM
COMMUNICATI      CL A       29363910      26,621,741     543,190     538,835      1,985     2,370     539,420       2,370      1,400
FOUNDRY NETWORKS
INC              COM        35063R10      26,516,840   1,859,526   1,850,046      9,380       100   1,708,498         100    150,928
ADVANCED AUTO
PARTS            COM        00751Y10      26,488,333     434,948     434,098        100       750     391,008         750     43,190
CENTERPOINT
PPTYS TR         COM        15189510      26,477,823     432,291     431,746        545               419,263                 13,028
NETWORKS ASSOCS
INC              COM        64093810      26,404,565   2,082,379   2,075,399      6,480       500   2,073,579         500      8,300
CERTEGY INC      COM        15688010      26,339,939     949,187     946,602      2,325       260     882,241         260     66,686
GREAT PLAINS
ENERGY           COM        39116410      26,282,330     910,053     907,873      1,480       700     887,089         700     22,264
UNITED ONLINE
INC              COM        91126810      26,255,306   1,036,121   1,035,921        200               992,811                 43,310
MCDATA CORP      CL A       58003120      26,228,964   1,790,373   1,786,753      3,428       192   1,691,334         192     98,847
NATIONAL-OILWELL
INC              COM        63707110      26,204,002   1,191,091   1,138,043     35,130    17,918   1,162,775      17,918     10,398
PIER 1 IMPORTS
INC              COM        72027910      26,149,270   1,281,827   1,277,827      4,000             1,268,071                 13,756
CNF INC          COM        12612W10      26,112,035   1,028,843   1,027,093      1,650       100   1,026,171         100      2,572
GATEWAY INC      COM        36762610      26,063,617   7,140,717   7,133,984      5,255     1,478   6,631,333      77,878    431,506
STANCORP FINL
GROUP            COM        85289110      26,027,805     498,426     498,076        350               451,531      42,500      4,395
VALLEY NATL
BANCORP          COM        91979410      25,969,110     985,545     978,864      6,570       111     978,689         111      6,745
AMERITRADE HLDG
CORP             COM        03074K10      25,857,464   3,494,252   3,494,052        200             3,204,427                289,825
REYNOLDS &
REYNOLDS         CL A       76169510      25,719,765     900,552     898,732      1,620       200     896,352         200      4,000
AVOCENT CORP     COM        05389310      25,698,674     859,775     857,475      2,100       200     790,175         200     69,400
HARMAN INTL INDS
INC              COM        41308610      25,688,527     324,596     322,105      1,160     1,331     313,205       1,331     10,060
BROWN & BROWN
INC              COM        11523610      25,687,025     790,370     790,370                          787,970                  2,400
PNM RES INC      COM        69349H10      25,674,462     959,793     959,551         40       202     905,191         202     54,400
ELECTRONICS FOR
IMAG             COM        28608210      25,569,503   1,265,817   1,259,919      2,125     3,773   1,177,342       3,773     84,702
BENCHMARK
ELECTRS IN       COM        08160H10      25,545,841     830,489     790,582     39,907               794,839                 35,650
THOMAS & BETTS
CORP             COM        88431510      25,502,429   1,764,874   1,762,840      1,034     1,000   1,598,626      16,200    150,048
VODAFONE GROUP
PLC N            SPONSORED  92857W10      25,465,122   1,295,935     798,433    497,502             1,273,030                 22,905
PRENTISS PPTYS
TR               SH BEN INT 74070610      25,405,518     847,133     846,653        480               784,410                 62,723
THORNBURG MTG
INC              COM        88521810      25,340,224   1,025,920   1,025,920                          943,320                 82,600
ALLIED CAP CORP
NEW              COM        01903Q10      25,334,578   1,096,735   1,065,492     21,066    10,177   1,052,064      10,177     34,494
HON INDS INC     COM        43809210      25,287,062     829,084     825,364      3,520       200     807,228         200     21,656
CORPORATE
EXECUTIVE        COM        21988R10      25,253,701     618,660     616,360      2,300               561,468                 57,192
ISTAR FINL INC   COM        45031U10      25,159,742     689,308     689,308                          686,134                  3,174
APPLEBEES INTL
INC              COM        03789910      25,103,235     798,703     772,903     25,800               782,203         350     16,150
HILB ROGAL &
HAMILTO          COM        43129410      25,099,564     737,355     707,043     22,702     7,610     676,645       7,610     53,100
INVESTORS FINL
SERVI            COM        46191510      25,066,359     863,464     863,264        200               834,044                 29,420
TUPPERWARE CORP  COM        89989610      25,063,800   1,745,390   1,743,570        820     1,000   1,560,842      23,925    160,623
WGL HLDGS INC    COM        92924F10      25,030,502     937,472     933,752      3,400       320     853,304         320     83,848
CHEESECAKE
FACTORY I        COM        16307210      24,995,891     697,430     691,940      4,840       650     693,880         650      2,900
Page Total                             1,302,989,542


                                                                   Page 16 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
HISPANIC
BROADCASTIN      CL A       43357B10      24,971,336     981,192     972,694      5,910     2,588     976,302       2,588      2,302
SHURGARD STORAGE
CTR              COM        82567D10      24,917,741     753,257     753,157        100               687,691                 65,566
CHICOS FAS INC   COM        16861510      24,889,583   1,182,403   1,115,752     51,556    15,095   1,162,671      15,095      4,637
TIDEWATER INC    COM        88642310      24,885,993     847,327     842,807      4,220       300     844,875         300      2,152
COGNIZANT
TECHNOLOGY       CL A       19244610      24,877,702   1,019,996   1,019,996                          927,596                 92,400
PARAMETRIC
TECHNOLOG        COM        69917310      24,866,076   8,233,800   8,197,739     35,881       180   7,450,317      56,280    727,203
NBTY INC         COM        62878210      24,824,948   1,179,893   1,179,733                  160   1,065,883         160    113,850
STERIS CORP      COM        85915210      24,821,288   1,074,980   1,073,380      1,600             1,044,160                 30,820
READERS DIGEST
ASSN             COM        75526710      24,740,814   1,835,372   1,826,622      6,850     1,900   1,819,902       1,900     13,570
CELGENE CORP     COM        15102010      24,739,114     815,396     812,696      2,600       100     811,313         100      3,983
AMERICAN TOWER
CORP             CL A       02991220      24,698,845   2,790,830   2,717,460     56,550    16,820   2,530,869      16,820    243,141
COLONIAL
BANCGROUP I      COM        19549330      24,657,656   1,777,769   1,774,635      3,134             1,772,769                  5,000
SICOR INC        COM        82584610      24,648,540   1,211,826   1,209,786      2,040             1,208,315                  3,511
COVANCE INC      COM        22281610      24,626,172   1,360,562   1,284,182     61,855    14,525   1,248,637      14,525     97,400
MAXTOR CORP      COM NEW    57772920      24,592,283   3,274,605   3,267,756      6,507       342   2,961,513         342    312,750
HEALTH CARE
PPTY INV         COM        42191510      24,586,461     580,554     580,554                          579,830                    724
WILMINGTON
TRUST COR        COM        97180710      24,565,333     836,979     825,359      7,020     4,600     829,079       4,600      3,300
KRONOS INC       COM        50105210      24,515,395     482,112     481,252        860               452,762                 29,350
ESSEX PPTY TR
INC              COM        29717810      24,493,668     427,837     427,417        420               391,297                 36,540
KILROY RLTY CORP COM        49427F10      24,490,262     890,555    890,255         300               839,363                 51,192
IRON MTN INC PA  COM        46284610      24,443,348     659,028     654,798      4,080       150     655,710         150      3,168
RAMBUS INC DEL   COM        75091710      24,359,417   1,474,541   1,471,361      3,100        80   1,340,838          80    133,623
RENAL CARE GROUP
INC              COM        75993010      24,348,172     691,513     688,233      1,660     1,620     687,093       1,620      2,800
ALEXANDRIA REAL
ESTA             COM        01527110      24,279,345     539,541     538,051      1,490                           499,646     39,895
LYONDELL
CHEMICAL CO      COM        55207810      24,165,757   1,786,087   1,779,387      6,400       300   1,779,525         300      6,262
BORG WARNER INC  COM        09972410      24,145,170     374,925     371,765      2,960       200     372,825         200      1,900
HCC INS HLDGS
INC              COM        40413210      24,126,103     815,898     809,692      6,206               814,076                  1,822
99 CENTS ONLY
STORES           COM        65440K10      23,967,063     698,341     696,921      1,300       120     696,621         120      1,600
RUBY TUESDAY INC COM        78118210      23,944,599     968,241     917,231     51,010               947,441                 20,800
DONALDSON INC    COM        25765110      23,873,561     537,088     531,123      5,965               523,552                 13,536
ALLIANT ENERGY
CORP             COM        01880210      23,847,958   1,253,177   1,238,727      9,850     4,600   1,241,712       4,600      6,865
ENERGEN CORP     COM        29265N10      23,830,512     715,631     713,631        500     1,500     655,581       1,500     58,550
CEPHALON INC     COM        15670810      23,805,551     579,916     573,460      3,751     2,705     575,467       2,705      1,744
CREE INC         COM        22544710      23,733,060   1,460,496   1,453,056      7,320       120   1,345,251         120    115,125
CAMDEN PPTY TR   SH BEN INT 13313110      23,721,438     678,725     678,295        430               656,965                 21,760
HSBC HLDGS PLC   SPON ADR N 40428040      23,709,789     401,113     282,999    118,114               393,025         267      7,821
DQE INC          COM        23329J10      23,650,345   1,569,366   1,566,391      2,975             1,270,158     191,779    107,429
ARDEN RLTY INC   COM        03979310      23,624,776     910,396     910,156        240               875,487                 34,909
VECTREN CORP     COM        92240G10      23,549,955     940,118     935,078      3,040     2,000     903,986      32,200      3,932
VARCO INTL INC
DEL              COM        92212210      23,519,686   1,199,984   1,156,280     43,644        60   1,195,716          60      4,208
HUNT J B TRANS
SVCS             COM        44565810      23,508,538     617,022     616,882        140               578,486                 38,536
NEUROCRINE
BIOSCIENC        COM        64125C10      23,502,224     470,515     469,695        820               425,414                 45,101
TRIAD HOSPITALS
INC              COM        89579K10      23,483,070     946,135     945,590        443       102     942,533         102      3,500
WPS RESOURCES
CORP             COM        92931B10      23,463,292     583,664     580,884      2,660       120     541,699         120     41,845
TAKE-TWO
INTERACTIVE      COM        87405410      23,381,756     825,627     823,967      1,660               763,227                 62,400
HRPT PPTYS TR    COM SH BEN 40426W10      23,341,632   2,537,134   2,537,134                        2,338,534                198,600
AMKOR TECHNOLOGY
INC              COM        03165210      23,318,862   1,771,950   1,771,630        220       100   1,680,550         100     91,300
VISTEON CORP     COM        92839U10      23,241,814   3,383,088   3,321,511     61,577             3,104,671      26,769    251,648
AMETEK INC NEW   COM        03110010      23,227,487     633,765     631,665      2,100               585,915                 47,850
3COM CORP        COM        88553510      23,219,585   4,972,074   4,951,091     14,373     6,610   4,651,972      76,418    243,684
Page Total                             1,206,743,075


                                                                   Page 17 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                               
ICOS CORP        COM        44929510      23,207,747     629,448     585,251     33,722    10,475     613,106      10,575      5,767
APOGENT
TECHNOLOGIES     COM        03760A10      23,162,040   1,158,102   1,156,272        730     1,100   1,152,538       1,100      4,464
RESPIRONICS INC  COM        76123010      23,121,356     621,041     618,614      2,427               569,841                 51,200
APRIA HEALTHCARE
GRO              COM        03793310      23,109,514     928,839     928,809         30               851,299                 77,540
TELEFLEX INC     COM        87936910      23,081,970     542,467     541,637        630       200     540,035         200      2,232
NATIONAL INSTRS
CORP             COM        63651810      23,080,279     608,176     583,233     24,603       340     606,138         340      1,698
IMPAC MTG HLDGS
INC              COM        45254P10      23,053,963   1,381,304   1,381,304                        1,299,554                 81,750
HUBBELL INC      CL B       44351020      23,016,912     695,375     684,107      6,340     4,928     675,987       5,078     14,310
WASHINGTON FED
INC              COM        93882410      23,006,356     993,366     985,054      3,472     4,840     986,446       5,170      1,750
CARRAMERICA RLTY
COR              COM        14441810      22,988,552     826,629     826,629                          792,621                 34,008
AIRBORNE INC     COM        00926910      22,840,251   1,092,835   1,091,335      1,500             1,005,635                 87,200
ANDREW CORP      COM        03442510      22,747,672   2,435,511   2,433,181      2,080       250   2,248,984      32,987    153,540
HYPERION
SOLUTIONS C      COM        44914M10      22,741,879     674,233     673,833        200       200     619,933         200     54,100
BRE PROPERTIES
INC              CL A       05564E10      22,728,952     684,607     684,607                          659,371                 25,236
HAWAIIAN ELEC
INDUST           COM        41987010      22,687,405     494,818     491,558      3,160       100     491,818         100      2,900
KENNAMETAL INC   COM        48917010      22,675,845     670,090     669,530        560               618,640                 51,450
CV THERAPEUTICS
INC              COM        12666710      22,647,362     760,489     722,737     30,937     6,815     657,264       6,815     96,410
TETRA TECH INC
NEW              COM        88162G10      22,640,271   1,301,165   1,270,864     30,301             1,188,485                112,680
INTERNATIONAL
RECTIF           COM        46025410      22,611,620     843,088     838,863      3,665       560     838,956         560      3,572
EMULEX CORP      COM NEW    29247520      22,603,983     992,709     923,570     56,124    13,015     975,230      13,015      4,464
NEWFIELD EXPL CO COM        65129010      22,588,878     601,568     594,563      1,920     5,085     594,255       5,085      2,228
BANTA CORP       COM        06682110      22,462,578     693,932     688,612      4,420       900     648,364         900     44,668
CLAIRES STORES
INC              COM        17958410      22,452,729     885,360     884,380        780       200     804,060         200     81,100
MARKEL CORP      COM        57053510      22,401,792      87,507      86,847        660                87,133                    374
TECHNE CORP      COM        87837710      22,396,661     737,946     737,186        600       160     673,336         160     64,450
INTEGRATED
CIRCUIT S        COM        45811K20      22,343,691     711,356     709,536      1,820               708,896                  2,460
NORTHWEST
AIRLS CORP       CL A       66728010      22,291,359   2,006,423     731,771  1,274,652               627,579   1,267,741    111,103
AMERICREDIT CORP COM        03060R10      22,255,077   2,602,933   2,578,433     24,400       100   2,405,437       1,150    196,346
ALLIANT
TECHSYSTEMS      COM        01880410      22,190,590     427,482     425,452      1,360       670     425,462         670      1,350
GREATER BAY
BANCORP          COM        39164810      22,188,027   1,107,187   1,021,805     52,842    32,540   1,053,053      32,540     21,594
DYCOM INDS INC   COM        26747510      22,184,251   1,360,997   1,360,077        920             1,270,617                 90,380
OFFICEMAX INC    COM        67622M10      22,127,544   3,378,251   3,378,251                        3,195,251                183,000
FLAGSTAR BANCORP
INC              COM        33793010      22,091,577     903,541     898,591      4,950               855,441                 48,100
MARVEL
ENTERPRISES I    COM        57383M10      22,090,563   1,156,574   1,154,374      2,200             1,110,474                 46,100
MANDALAY RESORT
GROU             COM        56256710      22,038,002     691,931     668,936     19,695     3,300     687,639       3,300        992
CAPITAL
AUTOMOTIVE R     COM SH BEN 13973310      21,954,152     784,357     783,957        400               747,107                 37,250
PHARMACEUTICAL
PROD             COM        71712410      21,915,548     763,342     762,662        680               760,984                  2,358
TOLL BROTHERS
INC              COM        88947810      21,906,759     773,817     773,077        440       300     771,217         300      2,300
BORDERS GROUP
INC              COM        09970910      21,849,325   1,240,734   1,238,194      2,240       300   1,236,314         300      4,120
CHARLES RIV LABS
INT              COM        15986410      21,828,949     678,339     675,539      2,600       200     663,329         200     14,810
COMMERCIAL
FEDERAL C        COM        20164710      21,764,831   1,026,643   1,026,443        100       100     950,395         100     76,148
AMERICAN CAPITAL
STR              COM        02493710      21,760,394     869,720     868,320      1,400               785,597                 84,123
RESMED INC       COM        76115210      21,728,795     554,306     553,506        700       100     506,355         100     47,851
NATIONWIDE FINL
SVCS             CL A       63861210      21,704,345     667,826     666,077        460     1,289     603,145       1,289     63,392
HEALTHCARE RLTY
TR               COM        42194610      21,599,421     740,975     740,975                          678,875                 62,100
ROPER INDS INC
NEW              COM        77669610      21,591,289     580,411     551,474     21,997     6,940     527,764       6,940     45,707
PANAMSAT CORP
NEW              COM        69793310      21,485,401   1,166,417   1,134,392     32,025             1,084,109      44,900     37,408
FULTON FINL CORP
PA               COM        36027110      21,483,522   1,079,574   1,076,055      3,519             1,073,596                  5,978
GOODYEAR TIRE &
RUBR             COM        38255010      21,474,621   4,090,404   4,072,594     17,810             3,762,848      33,400    294,156
HUDSON CITY
BANCORP          COM        44368310      21,448,279     841,109     837,409      3,700               839,973                  1,136
Page Total                             1,117,352,879


                                                                   Page 18 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
GRACO INC        COM        38410910      21,385,472     668,296     663,444      4,342       510     652,968         510     14,818
BLYTH INC        COM        09643P10      21,282,068     782,429     779,067      3,362               733,429                 49,000
OSI
PHARMACEUTICALS  COM        67104010      21,271,642     660,610     637,018     23,592               598,310                 62,300
MILLER HERMAN
INC              COM        60054410      21,259,307   1,059,786   1,059,146        340       300     995,836         300     63,650
INTERDIGITAL
COMMUNI          COM        45866A10      21,186,708     905,802     904,577      1,125       100     819,148         100     86,554
GLOBAL PMTS INC  COM        37940X10      21,163,076     596,143     583,149     12,297       697     593,446         697      2,000
ROSLYN BANCORP
INC              COM        77816210      21,147,124     979,487     975,797      3,690               976,397                  3,090
KEY ENERGY SVCS
INC              COM        49291410      21,137,449   1,971,777   1,970,627      1,150             1,800,377                171,400
CROWN CASTLE
INTL CO          COM        22822710      21,109,567   2,716,804   2,701,314     15,390       100   2,583,804         100    132,900
INDEPENDENCE
CMNTY B          COM        45341410      21,058,090     748,333     748,183        150               743,533                  4,800
PACKAGING CORP
AMER             COM        69515610      21,031,799   1,141,172   1,140,732        440             1,140,138                  1,034
NOKIA CORP       SPONSORED  65490220      21,017,683   1,279,226     743,923    535,303             1,264,226                 15,000
NEIMAN MARCUS
GROUP            CL A       64020420      21,009,205     574,022     570,940      2,782       300     573,024         300        698
LANDSTAR SYS INC COM        51509810      20,991,257     335,538     335,438        100               311,688                 23,850
LEUCADIA NATL
CORP             COM        52728810      20,960,513     564,669     564,469        200               563,377                  1,292
RITE AID CORP    COM        76775410      20,945,664   4,706,891   4,679,571     17,100    10,220   4,682,243      10,220     14,428
WESTAMERICA
BANCORPO         COM        95709010      20,941,618     486,110     485,420        690               484,260                  1,850
WESTAR ENERGY
INC              COM        95709T10      20,936,342   1,289,978   1,280,958      8,820       200   1,145,747         200    144,031
REGAL ENTMT
GROUP            CL A       75876610      20,861,886     884,728     884,728                          824,578                 60,150
UNITRIN INC      COM        91327510      20,763,885     765,630     764,330        300     1,000     742,710       1,000     21,920
ANNALY MTG MGMT
INC              COM        03571040      20,708,689   1,040,115   1,038,655      1,460               980,615      48,400     11,100
BOB EVANS FARMS
INC              COM        09676110      20,534,135     733,624     731,924      1,700               663,176                 70,448
WASHINGTON REAL
ESTA             SH BEN INT 93965310      20,490,358     753,322     753,102        220               685,000                 68,322
PIEDMONT NAT GAS
INC              COM        72018610      20,488,458     527,917     527,287        630               484,347                 43,570
PHILADELPHIA
SUBN CO          COM PAR $0 71800960      20,466,156     839,465     837,865        482     1,118     836,247       1,118      2,100
STATEN IS
BANCORP IN       COM        85755010      20,450,922   1,049,842   1,049,842                          941,362                108,480
IDEX CORP        COM        45167R10      20,448,528     564,253     529,325     26,308     8,620     513,275       8,620     42,358
FMC TECHNOLOGIES
INC              COM        30249U10      20,446,728     971,341     969,716      1,540        85     959,046          85     12,210
EDUCATION MGMT
CORP             COM        28139T10      20,417,482     384,945     382,245        200     2,500     381,045       2,500      1,400
INTERNATIONAL
SPEEDW           CL A       46033520      20,392,296     516,130     508,804      1,500     5,826     509,476       5,826        828
LANCASTER COLONY
COR              COM        51384710      20,367,383     526,425     526,315        110               524,588                  1,837
ARCH COAL INC    COM        03938010      20,357,476     885,878     885,171        159       548     818,380         548     66,950
PERFORMANCE FOOD
GRO              COM        71375510      20,204,479     546,067     543,347      2,540       180     539,893         180      5,994
UCBH HOLDINGS
INC              COM        90262T30      20,090,029     700,245     690,845      9,400               625,027                 75,218
PACIFIC SUNWEAR
CALI             COM        69487310      20,047,466     832,536     828,636      3,750       150     762,486         150     69,900
CYPRESS
SEMICONDUCTO     COM        23280610      20,026,596   1,668,883   1,659,963      8,700       220   1,661,792         220      6,871
ICN
PHARMACEUTICALS  COM        44892410      19,996,825   1,193,128   1,182,136     10,892       100   1,189,656         350      3,122
SAKS INC         COM        79377W10      19,991,079   2,060,936   2,055,266      4,470     1,200   2,013,386       1,550     46,000
ACTIVISION INC
NEW              COM NEW    00493020      19,973,647   1,551,954   1,551,654        300             1,535,190                 16,764
OVERTURE SVCS
INC              COM        69039R10      19,949,109   1,100,337   1,099,717        620             1,001,987                 98,350
WOLVERINE WORLD
WIDE             COM        97809710      19,876,917   1,032,031   1,026,065      5,966               968,481                 63,550
HOME PPTYS N Y
INC              COM        43730610      19,842,833     563,077     562,777        300               504,893                 58,184
SENSIENT
TECHNOLOGIE      COM        81725T10      19,826,828     862,411     856,611      5,800               795,347                 67,064
KELLWOOD CO      COM        48804410      19,723,171     623,559     623,199        360               566,377                 57,182
VISX INC DEL     COM        92844S10      19,704,568   1,135,710   1,134,810        900             1,063,710                 72,000
HUGHES SUPPLY
INC              COM        44448210      19,687,634     567,367     567,346         21               530,790                 36,577
ALEXANDER &
BALDWIN          COM        01448210      19,678,773     753,976     753,876        100               690,855                 63,121
PERRIGO CO       COM        71429010      19,675,354   1,258,015   1,255,115      2,900             1,156,989                101,026
ATMOS ENERGY
CORP             COM        04956010      19,638,400     791,871     791,421        300       150     720,651         150     71,070
PROVIDENT FINL
GROUP            COM        74386610      19,580,274     760,399     758,819      1,580               703,841                 56,558
Page Total                             1,024,542,948


                                                                   Page 19 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
BLACK HILLS CORP COM        09211310      19,548,409     636,756     632,166      4,490       100     588,320         100     48,336
EVEREST RE GROUP
LTD              COM        G3223R10      19,504,516     254,961     254,961                          246,211                  8,750
DAVITA INC       COM        23918K10      19,504,409     728,320     722,034      1,560     4,726     719,530       4,726      4,064
FOOT LOCKER INC  COM        34484910      19,484,496   1,470,528   1,463,018      5,230     2,280   1,415,848       2,630     52,050
FIRST
BANCORP P R      COM        31867210      19,372,892     705,752     705,402        350               658,327                 47,425
REALTY INCOME
CORP             COM        75610910      19,362,804     508,477     508,377        100               465,221                 43,256
COMMUNITY FIRST
BANK             COM        20390210      19,348,140     710,545     710,545                          654,095                 56,450
POST PPTYS INC   COM        73746410      19,334,877     729,618     729,618                          662,629                 66,989
RELIANT RES INC  COM        75952B10      19,290,313   3,146,870   3,088,063     55,321     3,486   3,110,431       3,959     32,480
COOPER COS INC   COM NEW    21664840      19,281,321     554,539     549,339      1,200     4,000     503,617       4,000     46,922
MEDICIS
PHARMACEUTIC     CL A NEW   58469030      19,260,649     339,694     336,558      2,450       686     337,388         686      1,620
OSHKOSH TRUCK
CORP             COM        68823920      19,248,390     324,484     296,431     22,033     6,020     296,264       6,020     22,200
LINENS N THINGS
INC              COM        53567910      19,183,455     812,514     754,050     42,764    15,700     732,542      15,700     64,272
HELMERICH &
PAYNE IN         COM        42345210      19,182,472     656,934     654,894      1,440       600     639,584         600     16,750
INDYMAC BANCORP
INC              COM        45660710      19,097,410     751,275     746,575      4,700               745,875                  5,400
POLYCOM INC      COM        73172K10      19,070,168   1,375,914   1,368,554      4,760     2,600   1,344,206       2,600     29,108
WERNER
ENTERPRISES I    COM        95075510      18,967,889     895,134     894,508         26       600     829,850         600     64,684
BLOCKBUSTER INC  CL A       09367910      18,948,229   1,124,524   1,124,424        100             1,083,696                 40,828
REGENCY CTRS
CORP             COM        75884910      18,944,363     541,577     541,577                          510,224                 31,353
IKON OFFICE
SOLUTION         COM        45171310      18,941,238   2,128,229   2,091,852     36,177       200   1,972,429      93,000     62,800
DOUBLECLICK INC  COM        25860930      18,925,648   2,046,016   2,042,716      3,200       100   1,867,113         400    178,503
MENTOR GRAPHICS
CORP             COM        58720010      18,893,257   1,300,293   1,296,493      3,400       400   1,196,743         400    103,150
TRANSATLANTIC
HLDGS            COM        89352110      18,891,434     273,195     272,135      1,060               264,959                  8,236
ETHAN ALLEN
INTERIOR         COM        29760210      18,883,662     537,078     535,942      1,036       100     536,206         100        772
FACTSET RESH SYS
INC              COM        30307510      18,841,330     427,726     412,626               15,100     382,226      15,100     30,400
CROWN HOLDINGS
INC              COM        22836810      18,838,168   2,638,399   2,636,499      1,900             2,342,279                296,120
TRINITY INDS INC COM        89652210      18,824,892   1,017,012   1,016,712                  300     964,712         300     52,000
SOUTHWEST
BANCORPORA       COM        84476R10      18,817,503     578,822     542,100     27,467     9,255     523,817       9,255     45,750
NETIQ CORP       COM        64115P10      18,791,471   1,212,353   1,211,853        400       100   1,126,353         100     85,900
HARSCO CORP      COM        41586410      18,789,548     521,208     520,568        440       200     518,408         200      2,600
UNITED
BANKSHARES IN    COM        90990710      18,765,562     655,451     654,751        100       600     602,297         600     52,554
CLARCOR INC      COM        17989510      18,751,992     486,433     485,193        800       440     443,693         440     42,300
CLECO CORP NEW   COM        12561W10      18,726,955   1,081,233   1,078,933      2,100       200     988,283         200     92,750
COMMUNITY HEALTH
SYS              COM        20366810      18,682,692     968,517     901,663     50,019    16,835     945,304      16,835      6,378
TRIZEC
PROPERTIES IN    COM        89687P10      18,667,027   1,641,779   1,641,779                        1,559,079                 82,700
FIRST MIDWEST
BANCOR           COM        32086710      18,657,557     647,607     645,522      1,425       660     644,222         660      2,725
PACIFIC CAP
BANCORP          COM        69404P10      18,649,469     533,757     533,404        353               485,056                 48,701
SOUTH FINL GROUP
INC              COM        83784110      18,642,248     805,977     804,660      1,317               734,527                 71,450
TEVA
PHARMACEUTICAL   ADR        88162420      18,641,464     327,618     327,618                          191,891     109,377     26,350
PEDIATRIX MED
GROUP            COM        70532410      18,640,565     522,877     522,877                          486,127                 36,750
SERVICE CORP
INTL             COM        81756510      18,589,111   4,803,388   4,782,874     20,294       220   4,335,138         220    468,030
CULLEN FROST
BANKERS          COM        22989910      18,572,610     578,586     577,006      1,480       100     575,699         100      2,787
TOTAL S A        SPONSORED  89151E10      18,556,446     244,808     180,325     64,483               242,908                  1,900
ARVINMERITOR INC COM        04335310      18,505,947     917,044     913,385      3,260       399     912,545         399      4,100
ARBITRON INC     COM        03875Q10      18,465,575     517,243     515,420      1,819         4     467,335           4     49,904
RAYONIER INC     COM        75490710      18,465,282     559,554     557,529      1,725       300     556,942         300      2,312
TORO CO          COM        89109210      18,433,227     463,729     462,729      1,000               420,729                 43,000
CHURCH & DWIGHT
INC              COM        17134010      18,410,264     562,489     562,049        440               535,659                 26,830
ENDO
PHARMACEUTICALS  COM        29264F20      18,356,408   1,095,905   1,095,905                        1,054,555                 41,350
AMR CORP         COM        00176510      18,328,046   1,666,186   1,663,096      2,950       140   1,622,316         140     43,730
Page Total                               944,881,800


                                                                   Page 20 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                            
PANERA BREAD CO  CL A       69840W10      18,249,440     456,236     456,236                          416,058                 40,178
KEANE INC        COM        48666510      18,204,296   1,335,605   1,331,405      2,900     1,300   1,247,455       1,300     86,850
HUDSON UNITED
BANCOR           COM        44416510      18,176,747     532,262     530,779      1,483               529,962         300      2,000
SIERRA PAC RES
NEW              COM        82642810      18,151,838   3,055,865   3,044,565     11,300             2,850,915                204,950
CHITTENDEN CORP  COM        17022810      18,120,414     662,538     608,299     15,802    38,437     559,362      38,437     64,739
TECH DATA CORP   COM        87823710      18,113,548     677,142     672,242      4,600       300     674,008         300      2,834
PEPSIAMERICAS
INC              COM        71343P20      18,109,648   1,441,851   1,437,551      3,900       400   1,298,701      99,400     43,750
MEDIA GEN INC    CL A       58440410      18,059,184     315,720     315,110        510       100     299,970       2,100     13,650
JEFFERIES GROUP
INC              COM        47231910      18,043,597     362,394     360,994      1,400               332,644                 29,750
HEALTH CARE REIT
INC              COM        42217K10      18,016,716     590,712     590,712                          538,235                 52,477
FRIEDMAN
BILLINGS RA      CL A       35843410      17,992,448   1,342,720   1,342,720                        1,244,373                 98,347
INTERSTATE
BAKERIES         COM        46072H10      17,978,043   1,415,594   1,414,994        600             1,344,650                 70,944
AVID TECHNOLOGY
INC              COM        05367P10      17,971,947     508,688     508,588                  100     466,488         100     42,100
EVERGREEN RES
INC              COM NO PAR 29990030      17,966,454     330,813     330,813                          297,618                 33,195
FAIRCHILD
SEMICONDUC       COM        30372610      17,957,313   1,404,012   1,400,402      3,610             1,397,312                  6,700
SKY FINL GROUP
INC              COM        83080P10      17,940,683     824,859     822,689      2,170               822,433                  2,426
STANDARD PAC
CORP NE          COM        85375C10      17,894,794     539,650     539,310        340               490,710                 48,940
ADVANCED FIBRE
COMMU            COM        00754A10      17,857,688   1,090,213   1,087,893      2,020       300   1,068,387         300     21,526
CATELLUS DEV
CORP             COM        14911110      17,823,124     810,142     797,887     12,255               806,710                  3,432
HIGHWOODS PPTYS
INC              COM        43128410      17,781,774     797,389     797,089        300               769,266                 28,123
HOVNANIAN
ENTERPRISE       CL A       44248720      17,749,255     301,090     299,940        150     1,000     277,940       1,000     22,150
SUPERIOR INDS
INTL I           COM        86816810      17,738,637     425,387     425,387                          393,637                 31,750
ARAMARK CORP     CL B       03852110      17,689,043     788,985     787,945      1,040               778,385       9,200      1,400
GABLES
RESIDENTIAL T    SH BEN INT 36241810      17,680,529     584,867     584,767        100               516,946                 67,921
FURNITURE BRANDS
INT              COM        36092110      17,673,197     677,134     674,834      2,300               674,655                  2,479
NEW CENTURY
FINANCIA         COM        64352D10      17,646,109     406,218     403,318        900     2,000     376,718       2,000     27,500
BRANDYWINE RLTY
TR               SH BEN INT 10536820      17,583,727     714,205     714,185         20               642,380                 71,825
EGL INC          COM        26848410      17,559,572   1,155,235   1,153,405      1,830             1,071,795                 83,440
BROCADE
COMMUNICATIO     COM        11162110      17,521,276   2,964,683   2,766,948    158,765    38,970   2,915,113      38,970     10,600
CACI INTL INC    CL A       12719030      17,509,669     510,486     510,386        100               467,686                 42,800
TEREX CORP NEW   COM        88077910      17,509,537     897,005     896,985         20               830,805                 66,200
FREMONT GEN CORP COM        35728810      17,486,392   1,276,379   1,276,379                        1,186,829                 89,550
OLIN CORP        COM PAR $1 68066520      17,468,744   1,021,564   1,021,264        100       200     947,014         200     74,350
ENGINEERED
SUPPORT S        COM        29286610      17,456,370     418,618     418,518        100               380,893                 37,725
CABOT OIL & GAS
CORP             COM        12709710      17,451,701     632,079     606,726      6,985    18,368     551,691      18,368     62,020
HENRY JACK &
ASSOC I          COM        42628110      17,417,272     973,032     972,032        800       200     966,838         200      5,994
FIRST INDUSTRIAL
REA              COM        32054K10      17,380,853     550,027     549,847        180               529,131                 20,896
SUSQUEHANNA
BANCSHAR         COM        86909910      17,311,861     741,725     741,065                  660     683,616         660     57,449
VENTAS INC       COM        92276F10      17,289,831   1,141,243   1,141,123        120             1,033,293                107,950
WASTE
CONNECTIONS IN   COM        94105310      17,283,996     493,124     493,024                  100     449,204         100     43,820
BIO RAD LABS
INC              CL A       09057220      17,250,159     311,656     311,556        100               285,806                 25,850
WEIGHT WATCHERS
INTL             COM        94862610      17,238,571     378,953     377,513        140     1,300     376,753       1,300        900
CLAYTON HOMES
INC              COM        18419010      17,227,485   1,372,708   1,368,438      3,350       920   1,366,544         920      5,244
M D C HLDGS INC  COM        55267610      17,207,426     356,409     356,177        122       110     328,844         110     27,455
INTERGRAPH CORP  COM        45868310      17,206,628     813,937     813,237        700               735,487                 78,450
COUSINS PPTYS
INC              COM        22279510      17,059,092     611,437     611,437                          584,342                 27,095
MACROVISION CORP COM        55590410      17,052,885     855,639     855,299        300        40     786,349          40     69,250
AMERICAN EAGLE
OUTFI            COM        02553E10      17,051,261     926,699     925,809        700       190     926,109         190        400
FIRSTFED FINL
CORP             COM        33790710      17,040,835     482,880     482,180        700   450,990      31,890
POWER-ONE INC    COM        73930810      17,028,612   2,391,659   2,391,159        400       100   2,181,817      18,300    191,542
Page Total                               882,180,221


                                                                   Page 21 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
SUN COMMUNITIES
INC              COM        86667410      17,020,437     433,090     432,840        250               395,742                 37,348
STONE ENERGY
CORP             COM        86164210      17,006,189     405,682     404,702        500       480     370,006         480     35,196
CYTYC CORP       COM        23294610      16,949,229   1,606,562   1,596,912      9,550       100   1,569,231      34,200      3,131
CHATEAU CMNTYS
INC              COM        16172610      16,946,488     572,710     572,710                          514,006                 58,704
IRWIN FINL CORP  COM        46411910      16,917,310     653,178     653,178                          625,668                 27,510
SONIC CORP       COM        83545110      16,915,338     666,483     666,283        200               611,712                 54,771
BANCORPSOUTH INC COM        05969210      16,904,888     810,786     809,956        830               807,236                  3,550
SKYWORKS
SOLUTIONS I      COM        83088M10      16,781,631   2,478,823   2,465,110      9,125     4,588   2,248,281       4,588    225,954
ADVO INC         COM        00758510      16,722,949     376,643     376,543        100               346,793                 29,850
INTERNATIONAL
BANCSH           COM        45904410      16,696,766     470,199     469,316        883               432,076                 38,123
PLANTRONICS INC
NEW              COM        72749310      16,683,863     769,906     768,506      1,000       400     700,956         400     68,550
SYBASE INC       COM        87113010      16,642,230   1,196,422   1,192,097      4,225       100   1,192,722         100      3,600
EAST WEST
BANCORP IN       COM        27579R10      16,590,245     459,182     458,982        200               413,774                 45,408
SILICON
LABORATORIES     COM        82691910      16,589,796     623,208     622,508        700               584,208                 39,000
INAMED CORP      COM        45323510      16,571,171     310,496     310,376        120               284,196                 26,300
SWIFT TRANSN CO  COM        87075610      16,558,705     890,253     888,143      1,910       200     887,333         200      2,720
POLARIS INDS INC COM        73106810      16,519,547     269,048     267,728      1,240        80     267,368          80      1,600
HUTCHINSON
TECHNOLOG        COM        44840710      16,516,204     498,979     497,459      1,520               455,329                 43,650
VALASSIS
COMMUNICATI      COM        91886610      16,477,878     640,664     639,764        700       200     620,708         200     19,756
GRANT PRIDECO
INC              COM        38821G10      16,468,565   1,401,580   1,397,935      3,345       300   1,395,069         850      5,661
PAYLESS
SHOESOURCE I     COM        70437910      16,414,400   1,313,152   1,310,317      2,535       300   1,209,412         300    103,440
UNIVERSAL CORP
VA               COM        91345610      16,411,596     387,981     386,631      1,350               387,531                    450
VARIAN
SEMICONDUCTOR    COM        92220710      16,400,054     550,892     549,252      1,640               502,092                 48,800
AFFILIATED
MANAGERS         COM        00825210      16,399,572     269,066     245,806     15,020     8,240     257,426       8,240      3,400
INVESTMENT
TECHNOLOG        COM        46145F10      16,378,490     880,564     880,314        100       150     879,614         150        800
DIAMOND
OFFSHORE DRI     COM        25271C10      16,373,522     780,063     778,743      1,180       140     751,738         140     28,185
ACXIOM CORP      COM        00512510      16,333,649   1,071,059   1,066,497      3,900       662   1,066,199         662      4,198
BROWN TOM INC    COM NEW    11566020      16,290,414     586,197     586,037         60       100     534,122         100     51,975
YORK INTL CORP
NEW              COM        98667010      16,289,676     696,140     692,850      3,090       200     695,740         200        200
APPLERA CORP     COM CE GEN 03802020      16,267,488   1,576,307   1,573,207      2,900       200   1,464,357         200    111,750
FLORIDA ROCK
INDS IN          COM        34114010      16,244,257     393,514     372,050     21,314       150     361,574         150     31,790
O REILLY
AUTOMOTIVE       COM        68609110      16,158,378     482,772     480,312      2,100       360     480,212         360      2,200
WESTERN GAS RES
INC              COM        95825910      16,156,166     407,984     407,984                          379,884                 28,100
RALCORP HLDGS
INC NE           COM        75102810      16,152,739     647,145     646,845        300               602,795                 44,350
FLIR SYS INC     COM        30244510      16,134,052     535,837     535,837                          486,737                 49,100
EARTHLINK INC    COM        27032110      16,063,732   2,012,999   2,007,949      4,950       100   1,823,749         100    189,150
AGCO CORP        COM        00108410      16,030,946     938,580     936,360      2,220               933,843                  4,737
GATX CORP        COM        36144810      16,020,563     979,851     939,461     30,730     9,660     956,323       9,660     13,868
FEDERAL SIGNAL
CORP             COM        31385510      16,004,003     910,871     905,421      5,250       200     836,861         200     73,810
VITESSE
SEMICONDUCTO     COM        92849710      15,998,177   3,271,611   3,270,231      1,240       140   2,940,491         140    330,980
SCOTTS CO        CL A       81018610      15,995,182     323,135     320,135      2,900       100     304,435         100     18,600
NEW JERSEY RES   COM        64602510      15,960,942     449,604     443,399      2,436     3,769     404,909       3,769     40,926
MONY GROUP INC   COM        61533710      15,952,378     591,925     590,992        933               589,937                  1,988
UNIT CORP        COM        90921810      15,865,086     758,732     758,174        558               689,982                 68,750
METTLER TOLEDO
INTER            COM        59268810      15,855,999     432,633     431,733        800       100     431,351         100      1,182
INVACARE CORP    COM        46120310      15,821,751     479,447     478,987        460               429,410                 50,037
BEAZER HOMES USA
INC              COM        07556Q10      15,799,118     189,211     189,111        100               170,341                 18,870
YELLOW CORP      COM        98550910      15,781,653     677,615     502,865    174,310       440     623,725         440     53,450
CHRISTOPHER &
BANKS            COM        17104610      15,781,635     426,646     426,646                          390,396                 36,250
HUMAN GENOME
SCIENCE          COM        44490310      15,742,077   1,244,433   1,240,208      4,125       100   1,239,375         300     4,758
Page Total                               817,557,124


                                                                   Page 22 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
FERRO CORP       COM        31540510      15,728,959     698,134     697,554        580               640,959                 57,175
DIME CMNTY
BANCSHARE        COM        25392210      15,722,177     620,449     620,449                          579,849                 40,600
DIGITAL RIV INC  COM        25388B10      15,674,677     818,521     818,421        100               779,821                 38,700
MARTEK
BIOSCIENCES C    COM        57290110      15,644,894     364,428     364,428                          328,728                 35,700
RECKSON ASSOCS
RLTY             COM        75621K10      15,632,004     749,377     749,377                          724,070                 25,307
SIERRA HEALTH
SVCS I           COM        82632210      15,628,040     781,402     781,402                          738,702                 42,700
PLEXUS CORP      COM        72913210      15,623,527   1,359,750   1,274,272     85,378       100   1,293,900         100     65,750
BJS WHOLESALE
CLUB I           COM        05548J10      15,618,936   1,037,114   1,031,096      5,918       100   1,035,114         100      1,900
GLOBESPANVIRATA
INC              COM        37957V10      15,608,914   1,867,095   1,861,327      5,768             1,688,845                178,250
R H DONNELLEY
CORP             COM NEW    74955W30      15,569,444     426,911     426,342        569               381,411                 45,500
BEARINGPOINT INC COM        07400210      15,513,214   1,607,587   1,602,287      5,200       100   1,598,787         100      8,700
COMMERCE GROUP
INC M            COM        20064110      15,505,799     428,337     391,837     36,500               392,061                 36,276
GLIMCHER RLTY TR SH BEN INT 37930210      15,485,008     691,295     691,275         20               622,526                 68,769
TOTAL SYS SVCS
INC              COM        89190610      15,484,183     694,358     692,308      2,050               693,644                    714
LATTICE
SEMICONDUCTO     COM        51841510      15,481,923   1,867,542   1,854,897      8,345     4,300   1,713,742       4,300    149,500
SIRIUS SATELLITE
RAD              COM        82966U10      15,461,515   9,148,826   9,143,526        200     5,100   8,322,276       5,100    821,450
NETBANK INC      COM        64093310      15,436,075   1,182,841   1,178,541      4,300             1,097,941                 84,900
ENTEGRIS INC     COM        29362U10      15,334,002   1,136,694   1,121,250     15,444             1,062,094                 74,600
INGRAM MICRO INC CL A       45715310      15,302,243   1,391,113   1,390,003      1,110             1,266,799                124,314
MASSEY ENERGY
CORP             COM        57620610      15,262,810   1,160,670   1,159,970        700             1,041,250                119,420
J D EDWARDS & CO COM        28166710      15,224,222   1,063,887   1,060,027      3,760       100   1,057,487         100      6,300
RED HAT INC      COM        75657710      15,203,610   2,016,394   2,009,994      6,100       300   1,836,294         300    179,800
FREDS INC        CL A       35610810      15,191,040     405,852     405,602        100       150     367,452         150     38,250
OLD NATL BANCORP
IND              COM        68003310      15,182,116     660,092     654,801      5,291               656,128                  3,964
PIXAR            COM        72581110      15,175,168     250,498     248,798      1,640        60     236,140          60     14,298
ALLEGHENY
TECHNOLOGI       COM        01741R10      15,171,004   2,298,637   2,297,417     1,220              1,997,308      19,924    281,405
FLOWSERVE CORP   COM        34354P10      15,150,247     770,221     766,493      2,755       973     767,416         973      1,832
MAVERICK TUBE
CORP             COM        57791410      15,136,198     790,402     734,645     43,237    12,520     716,682      12,520     61,200
RUDDICK CORP     COM        78125810      15,133,376     962,683     962,483        100       100     901,720         100     60,863
DOCUMENTUM INC   COM        25615910      15,121,599     771,904     771,704        200               696,554                 75,350
SYBRON DENTAL
SPECIA           COM        87114210      15,104,542     640,023     639,054        816       153     584,230         153     55,640
HOLLYWOOD ENTMT
CORP             COM        43614110      15,089,442     867,708     867,708                          786,953                 80,755
RAYMOND JAMES
FINANC           COM        75473010      15,072,353     456,047     454,977        670       400     453,247         400      2,400
STATION CASINOS
INC              COM        85768910      15,068,341     596,766     596,766                          543,402                 53,364
CROMPTON CORP    COM        22711610      15,053,688   2,135,275   2,130,888      3,140     1,247   1,940,578       1,247    193,450
LEGATO SYS INC   COM        52465110      15,025,330   1,784,481   1,759,972     24,409       100   1,646,240         100    138,141
INTEGRATED
DEVICE TE        COM        45811810      14,974,504   1,357,616   1,353,276      3,500       840   1,352,590       1,190      3,836
FTI CONSULTING
INC              COM        30294110      14,930,836     597,951     597,801        150               536,876                 61,075
ATMEL CORP       COM        04951310      14,929,137   5,877,613   5,876,033      1,280       300   5,613,870     244,703     19,040
SONUS NETWORKS
INC              COM        83591610      14,881,843   3,074,761   3,074,441        100       220   2,773,741         220    300,800
REPUBLIC BANCORP
INC              COM        76028210      14,837,297   1,107,261   1,106,788        473             1,033,621                 73,640
SILICON VY
BANCSHARE        COM        82706410      14,833,177     622,981     621,811      1,170               622,231                    750
SYLVAN LEARNING
SYS              COM        87139910      14,832,187     650,820     650,520        300               601,320                 49,500
TEXAS REGL
BANCSHARE        CL A VTG   88267310      14,812,920     434,779     434,465        314               397,627                 37,152
KROLL INC        COM        50104910      14,755,109     546,688     546,688                          494,488                 52,200
AMERUS GROUP CO  COM        03072M10      14,743,313     522,998     520,938      2,060               509,038                 13,960
IDACORP INC      COM        45110710      14,680,732     559,266     554,408      1,740     3,118     544,798       3,368     11,100
GLOBALSANTAFE
CORP             SHS        G3930E10      14,610,559     625,988     603,084      1,095    21,809     432,260      21,809    171,919
KEMET CORP       COM        48836010      14,590,985   1,444,652   1,440,842      3,710       100   1,435,952         100      8,600
LAFARGE NORTH
AMERIC           COM        50586210      14,579,948     471,843     470,363      1,480               470,667                  1,176
Page Total                                59,813,167


                                                                   Page 23 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
HEARST-ARGYLE
TELEVI           COM        42231710      14,574,525     562,723     562,523        200               562,323                    400
ST MARY LD &
EXPL CO          COM        79222810      14,551,719     533,030     529,725      3,305               482,030                 51,000
DOWNEY FINL CORP COM        26101810      14,535,328     351,945     350,645      1,300               343,975                  7,970
SOUTHERN UN CO
NEW              COM        84403010      14,476,703     854,587     847,852                6,735     774,417       6,735     73,435
HOT TOPIC INC    COM        44133910      14,422,225     534,949     534,889         60               487,199                 47,750
CALLAWAY GOLF CO COM        13119310      14,406,455   1,089,747   1,088,277      1,470             1,089,347                    400
POTLATCH CORP    COM        73762810      14,349,599     557,266     555,814        100     1,352     509,900       1,352     46,014
MODINE MFG CO    COM        60782810      14,291,078     752,162     752,062                  100     695,012         100     57,050
WHITNEY HLDG
CORP             COM        96661210      14,284,576     446,393     443,985        140     2,268     442,475       2,268      1,650
PEABODY ENERGY
CORP             COM        70454910      14,262,146     424,595     424,595                          423,845         150        600
F M C CORP       COM NEW    30249130      14,190,186     627,052     626,522        530               578,352                 48,700
FNB CORP PA      COM        30252010      14,181,316     469,114     467,129      1,985               465,731                  3,383
AMERICAN FINL
GROUP            COM        02593210      14,174,646     621,695     620,395      1,300               603,309                 18,386
PARK NATL CORP   COM        70065810      14,170,084     124,027     123,727        300               123,177                    850
MAF BANCORP INC  COM        55261R10      14,155,809     381,867     380,687        500       680     344,187         680     37,000
MENTOR CORP MINN COM        58718810      14,140,698     728,902     728,822         80               667,902                 61,000
NPS
PHARMACEUTICALS  COM        62936P10      14,094,344     579,061     546,937     20,514    11,610     518,651      11,610     48,800
VERTEX
PHARMACEUTICA    COM        92532F10      14,092,391     963,253     962,433        720       100     961,653         100      1,500
MUELLER INDS INC COM        62475610      14,073,370     519,121     518,521        500       100     470,530         100     48,491
NATIONWIDE
HEALTH PP        COM        63862010      14,049,511     881,953     881,953                          809,753                 72,200
HARLAND JOHN H
CO               COM        41269310      14,047,318     536,977     536,857        120               487,627                 49,350
DELTA & PINE LD
CO               COM        24735710      14,042,054     638,856     638,376        480               582,656                 56,200
JETBLUE AWYS
CORP             COM        47714310      13,982,656     333,079     332,617        462               314,229                 18,850
QUIKSILVER INC   COM        74838C10      13,961,258     846,650     842,050      4,600               767,650                 79,000
ANIXTER INTL INC COM        03529010      13,941,412     595,024     594,704        320               541,574                 53,450
EXPRESSJET
HOLDINGS         CL A       30218U10      13,922,532     922,022     922,022                          865,622                 56,400
COGNEX CORP      COM        19242210      13,915,185     623,161     608,881      2,020    12,260     553,751      12,260     57,150
TOOTSIE ROLL
INDS IN          COM        89051610      13,876,334     455,111     453,483      1,516       112     443,684         112     11,315
R & G FINANCIAL
CORP             CL B       74913610      13,873,048     467,106     467,106                          441,006                 26,100
EMMIS
COMMUNICATIONS   CL A       29152510      13,851,122     598,838     598,438        400               580,388         150     18,300
BIOSITE INC      COM        09094510      13,824,335     286,931     285,931      1,000               267,631                 19,300
COLONIAL PPTYS
TR               COM SH BEN 19587210      13,816,684     392,631     392,631                          350,739                 41,892
OHIO CAS CORP    COM        67724010      13,811,740   1,044,761   1,040,311      4,450               967,077                 77,684
COMMONWEALTH TEL
ENT              COM        20334910      13,796,105     313,976     313,176        800               283,376                 30,600
KANSAS CITY
SOUTHERN         COM NEW    48517030      13,788,064   1,146,140   1,096,833      3,280    46,027     989,213      46,027    110,900
ANDRX CORP DEL   ANDRX GROU 03455310      13,764,103     689,930     683,884      3,820     2,226     685,496       2,226      2,208
TIMKEN CO        COM        88738910      13,758,727     785,764     784,694      1,070               756,444                 29,320
BROOKLINE
BANCORP IN       COM        11373M10      13,746,390     981,885     981,885                          898,752                 83,133
BANKATLANTIC
BANCORP          CL A       06590850      13,736,136   1,155,268   1,155,268                        1,075,018                 80,250
CORPORATE
OFFICE PPT       SH BEN INT 22002T10      13,735,325     811,301     810,406        895               753,575                 57,726
TRUSTCO BK CORP
N Y              COM        89834910      13,732,538   1,241,640   1,240,025      1,615             1,127,940                113,700
LNR PPTY CORP    COM        50194010      13,710,017     366,578     366,478                  100     335,278         100     31,200
GETTY IMAGES INC COM        37427610      13,706,065     331,866     331,766        100               329,885                  1,981
CAL DIVE INTL
INC              COM        12791410      13,701,079     629,067     623,567      5,500               570,117                 58,950
JACK IN THE BOX
INC              COM        46636710      13,623,694     610,928     610,328        600               554,386                 56,542
LABRANCHE & CO
INC              COM        50544710      13,564,943     655,628     654,908        520       200     653,630         200      1,798
WILSON
GREATBATCH TE    COM        97223210      13,522,374     374,581     356,782     17,799               345,031                 29,550
CH ENERGY GROUP
INC              COM        12541M10      13,500,810     300,018     298,622      1,286       110     272,702         110     27,206
ALLIANCE GAMING
CORP             COM NEW    01859P60      13,481,638     712,937     712,137                  800     639,187         800     72,950
EXTENDED STAY
AMER I           COM        30224P10      13,460,807     997,836     996,446      1,310        80     997,756          80
Page Total                               698,671,202


                                                                   Page 24 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
CANON INC        ADR        13800630      13,440,592     294,427     163,364    131,063               289,221                  5,206
COPART INC       COM        21720410      13,391,302   1,417,069   1,416,979         90             1,415,619                  1,450
DELPHI FINL
GROUP IN         CL A       24713110      13,388,871     286,087     271,751        300    14,036     236,590      14,036     35,461
ABGENIX INC      COM        00339B10      13,364,024   1,278,854   1,274,054        700     4,100   1,143,704       4,100    131,050
INTEGRA
LIFESCIENCES     COM NEW    45798520      13,359,160     506,989     506,889        100               477,139                 29,850
AMPHENOL CORP
NEW              CL A       03209510      13,346,134     285,052     281,794        500     2,758     280,912       2,758      1,382
MPS GROUP INC    COM        55340910      13,249,256   1,925,764   1,916,204      9,260       300   1,778,914         300    146,550
PROVINCE
HEALTHCARE       COM        74397710      13,221,587   1,194,362   1,118,374     55,208    20,780   1,099,532      20,780     74,050
HERITAGE PPTY
INVT T           COM        42725M10      13,148,071     485,527    485,127         400               443,227                 42,300
ACUITY BRANDS
INC              COM        00508Y10      13,131,404     722,697     722,697                          664,297                 58,400
BEDFORD PPTY
INVS IN          COM PAR $0 07644630      13,086,464     460,791     460,791                          416,493                 44,298
BRINKS CO        COM        10969610      13,072,655     897,231     896,191      1,040               895,831                  1,400
OCEANEERING INTL
INC              COM        67523210      13,024,265     509,756     509,756                          455,296                 54,460
MCCLATCHY CO     CL A       57948910      12,989,968     225,442     222,362      2,980       100     222,315         100      3,027
U S G CORP       COM NEW    90329340      12,977,076     683,004     682,872                  132     622,172         132     60,700
CYMER INC        COM        23257210      12,946,659     403,700     402,500      1,100       100     402,371         100      1,229
EMCOR GROUP INC  COM        29084Q10      12,944,363     262,244     262,244                          236,978                 25,266
BLACK BOX CORP
DEL              COM        09182610      12,807,212     354,574     354,374        200               323,274                 31,300
COST PLUS INC
CALIF            COM        22148510      12,788,622     358,526     358,486         40               312,216                 46,310
UICI             COM        90273710      12,783,941     848,304     848,304                          789,654                 58,650
CNA FINL CORP    COM        12611710      12,777,732     519,420     519,320        100               428,920      70,100     20,400
ALBANY INTL CORP CL A       01234810      12,736,424     464,833     464,629        100       104     427,879         104     36,850
OWENS & MINOR
INC NE           COM        69073210      12,735,745     569,832     569,552        280               521,432                 48,400
AXCELIS
TECHNOLOGIES     COM        05454010      12,733,502   2,084,043   1,947,546    136,397       100   1,924,382         100    159,561
UMB FINL CORP    COM        90278810      12,723,606     299,661     299,556                  105     276,256         105     23,300
CORRECTIONS CORP
AME              COM NEW    22025Y40      12,720,118     502,176     502,176                          459,626                 42,550
LA Z BOY INC     COM        50533610      12,711,079     567,966     565,426      2,540               565,216                  2,750
USF CORP         COM        91729Q10      12,707,056     471,330     471,130        100       100     430,273         100     40,957
GRANITE CONSTR
INC              COM        38732810      12,701,298     662,907     662,907                          607,182                 55,725
INTERNET SEC SYS
INC              COM        46060X10      12,658,045     887,661     842,340     45,321               828,562                 59,099
ANSYS INC        COM        03662Q10      12,648,572     403,206     403,206                          382,256                 20,950
BORLAND SOFTWARE
COR              COM        09984910      12,626,329   1,289,717   1,289,717                        1,162,717                127,000
ARIBA INC        COM        04033V10      12,623,820   4,207,940   4,202,320      5,500       120   3,790,600         120    417,220
PRICE
COMMUNICATIONS   COM NEW    74143730      12,601,838     976,130     975,650        480               852,500                123,630
TAUBMAN CTRS INC COM        87666410      12,596,109     657,417     657,417                          582,433                 74,984
SCHOLASTIC CORP  COM        80706610      12,591,013     422,801     421,701        800       300     411,601         300     10,900
THQ INC          COM NEW    87244340      12,535,468     695,642     695,142        500               625,492                 70,150
DIONEX CORP      COM        25454610      12,476,611     313,956     313,816         40       100     278,356         100     35,500
APOGEE
ENTERPRISES I    COM        03759810      12,446,053   1,400,006   1,399,906                  100     468,269     884,037     47,700
ESS TECHNOLOGY
INC              COM        26915110      12,438,972   1,275,792   1,275,692        100             1,217,542                 58,250
FLOWERS FOODS
INC              COM        34349810      12,374,206     626,225     625,301        789       135     578,240         135     47,850
THOR INDS INC    COM        88516010      12,355,111     302,673     302,673                          276,973                 25,700
TELEFONOS DE
MEXICO           SPON ADR O 87940378      12,311,801     391,846     391,846                          191,041     174,731     26,074
GREY WOLF INC    COM        39788810      12,279,293   3,039,429   2,865,781    173,648             2,786,729                252,700
HEARTLAND
EXPRESS IN       COM        42234710      12,249,573     541,298     541,298                          496,198                 45,100
MENS WEARHOUSE
INC              COM        58711810      12,241,899     560,270     560,170                  100     500,220         100     59,950
RF MICRODEVICES
INC              COM        74994110      12,235,892   2,073,880   2,064,180      9,600       100   2,066,744         100      7,036
VERITAS DGC INC  COM        92343P10      12,182,927   1,059,385   1,059,360         25             1,007,435                 51,950
SEMTECH CORP     COM        81685010      12,182,439     854,908     853,298      1,510       100     835,808         100     19,000
CITIZENS BKG
CORP MI          COM        17442010      12,172,542     450,668     448,108      2,560               449,418                  1,250
Page Total                               637,836,699


                                                                   Page 25 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
PAPA JOHNS INTL
INC              COM        69881310      12,165,807     433,101     430,326      2,775               395,942                 37,159
FOREST OIL CORP  COM PAR $0 34609170      12,160,340     484,090     483,610        380       100     474,316         100      9,674
STRAYER ED INC   COM        86323610      12,114,033     152,282     151,882        400               136,932                 15,350
WESTERN WIRELESS
COR              CL A       95988E20      12,113,074   1,048,751   1,044,351      4,300       100     919,271         100    129,380
NORTHWEST NAT
GAS CO           COM        66765510      12,089,026     443,634     442,034      1,000       600     398,084         600     44,950
MANUFACTURED
HOME CM          COM        56468210      12,072,503     343,848     343,748        100               302,806                 41,042
EXAR CORP        COM        30064510      12,066,974     773,524     769,524      4,000               714,674                 58,850
NORDSON CORP     COM        65566310      12,037,373     491,522     491,022        500               444,372                 47,150
ATMI INC         COM        00207R10      12,022,681     481,871     477,731      4,140               440,421                 41,450
MACDERMID INC    COM        55427310      11,984,988     455,703     455,503        200               414,853                 40,850
PINNACLE SYS INC COM        72348110      11,981,881   1,119,802   1,118,902        900             1,021,002                 98,800
AVISTA CORP      COM                        05379B10  11,936,289     843,554    843,354       200     762,304         200     81,050
CHARTER MUN MTG
ACCE             SH BEN INT 16090810      11,917,083     626,885     626,865                   20     564,815          20     62,050
GEMSTAR-TV GUIDE
INT              COM        36866W10      11,916,765   2,378,596   2,367,596     11,000             2,367,152         900     10,544
TOWN & CTRY TR   SH BEN INT 89208110      11,916,392     512,533     512,033        500               480,147                 32,386
SOUTHWEST GAS
CORP             COM        84489510      11,896,149     561,669     559,769      1,900               507,469                 54,200
RSA SEC INC      COM        74971910      11,890,112   1,104,003   1,103,913         90             1,032,053                 71,950
LIGAND
PHARMACEUTICA    CL B       53220K20      11,880,337     874,197     874,189                    8     790,389           8     83,800
ST JOE CO        COM        79014810      11,876,404     380,654     379,554      1,100               366,596                 14,058
COHERENT INC     COM        19247910      11,874,849     489,281     488,471        610       200     441,831         200     47,250
CNET NETWORKS
INC              COM        12613R10      11,870,416   1,995,028   1,994,928                  100   1,798,778         100    196,150
HORACE MANN
EDUCATOR         COM        44032710      11,869,373     735,857     735,771         86               680,922                 54,935
MATTHEWS INTL
CORP             CL A       57712810      11,858,108     478,922     478,922                          429,972                 48,950
THORATEC CORP    COM NEW    88517530      11,855,832     807,618     807,418        200               729,668                 77,950
NOVARTIS A G     SPONSORED  66987V10      11,819,708     296,903     113,625    183,278               291,423                  5,480
TRUSTMARK CORP   COM        89840210      11,805,650     463,512     459,762      3,750               461,010                  2,502
SCP POOL CORP    COM        78402810      11,802,441     343,194     340,639      2,185       370     309,466         370     33,358
AMERICAN
ITALIAN PAS      CL A       02707010      11,788,074     283,027     282,907        120               256,727                 26,300
PHILADELPHIA
CONS HL          COM        71752810      11,776,845     294,127     294,127                          265,677                 28,450
ERIE INDTY CO    CL A       29530P10      11,761,447     285,126     284,326        800               284,326                    800
FIRST COMWLTH
FINL C           COM        31982910      11,761,096     907,492     907,492                          822,992                 84,500
S & T BANCORP
INC              COM        78385910      11,747,832     428,128     427,828        300               390,528                 37,600
LIFEPOINT
HOSPITALS        COM        53219L10      11,694,560     553,982     553,839         43       100     553,082         100        800
TRIMBLE
NAVIGATION L     COM        89623910      11,684,546     507,362     506,962        400               460,562                 46,800
TOO INC          COM        89033310      11,662,177     575,910     575,756        154               525,060                 50,850
CATHAY BANCORP
INC              COM        14915010      11,660,759     261,628     253,628                8,000     223,128       8,000     30,500
AMERICAN NATL
INS CO           COM        02859110      11,651,570     135,122     134,352        770               134,037                  1,085
DSP GROUP INC    COM        23332B10      11,639,619     534,909     534,109        600       200     490,659         200     44,050
QUANTUM CORP     COM DSSG   74790620      11,632,146   2,872,135   2,872,135                        2,631,685                240,450
PHOTRONICS INC   COM        71940510      11,628,588     676,474     672,274      4,200               630,624                 45,850
EXTREME NETWORKS
INC              COM        30226D10      11,626,315   2,208,227   1,982,077    173,610    52,540   1,987,137      52,540    168,550
KIRBY CORP       COM        49726610      11,598,603     411,298     410,778        520               382,998                 28,300
W HLDG CO INC    COM        92925110      11,571,503     683,895     683,715        180               622,470                 61,425
PROGRESS
SOFTWARE CO      COM        74331210      11,526,251     555,482     551,400      4,082               507,447                 48,035
SIMPSON
MANUFACTURIN     COM        82907310      11,520,362     314,764     314,764                          288,864                 25,900
MGI PHARMA INC   COM        55288010      11,517,369     450,249     450,149                  100     411,549         100     38,600
KELLY SVCS INC   CL A       48815220      11,486,640     483,648     479,025      4,623               444,273                 39,375
EQUITY ONE       COM        29475210      11,472,980     699,572     698,972        600               619,045                 80,527
TRACTOR SUPPLY
CO               COM        89235610      11,467,560     242,136     238,126      3,010     1,000     219,186       1,000     21,950
OMNIVISION
TECHNOLOG        COM        68212810      11,455,497     367,989     367,689        300               335,139                 32,850
Page Total                               590,126,927


                                                                   Page 26 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
HANOVER
COMPRESSOR C     COM        41076810      11,449,487   1,013,229   1,003,069     10,060       100     935,629         100     77,500
LIBERTY CORP S C COM        53037010      11,448,692     269,381     267,781      1,600               239,881                 29,500
AEROFLEX INC     COM        00776810      11,420,567   1,487,053   1,486,653        300       100   1,391,603         100     95,350
TRIMERIS INC     COM        89626310      11,392,454     249,725     249,325        400               227,005                 22,720
TRUST CO NJ
JERSEY C         COM        89830410      11,390,648     375,929     287,690     88,239               260,890      88,239     26,800
RADIO ONE INC    CL D NON V 75040P40      11,358,139     640,617     627,357     12,660       600     637,215         600      2,802
POWER
INTEGRATIONS I   COM        73927610      11,355,662     467,119     462,899      4,220               426,869                 40,250
XM SATELLITE
RADIO H          CL A       98375910      11,354,824   1,033,196   1,033,096        100               939,796                 93,400
ALLIANCE DATA
SYSTEM           COM        01858110      11,336,621     484,471     484,171        300               482,771                  1,700
TECUMSEH PRODS
CO               CL A       87889520      11,317,086     295,177     294,807        270       100     272,877         100     22,200
SKYWEST INC      COM        83087910      11,305,396     592,526     588,926      2,950       650     582,304       1,050      9,172
SELECTIVE INS
GROUP            COM        81630010      11,297,023     450,979     450,779        100       100     405,780         100     45,099
AIRTRAN HLDGS
INC              COM        00949P10      11,284,262   1,077,771   1,077,721         50               961,521                116,250
DENDRITE INTL
INC              COM        24823910      11,273,630     881,441     876,964      1,977     2,500     820,141       2,500     58,800
ABM INDS INC     COM        00095710      11,268,857     731,744     731,544        200               679,994                 51,750
IHOP CORP        COM        44962310      11,223,987     355,527     353,127      2,400               323,677                 31,850
OVERSEAS
SHIPHOLDING      COM        69036810      11,221,732     509,847     509,447        400               469,247                 40,600
BRADY CORP       CL A       10467410      11,171,282     334,971     331,531      3,340       100     300,621         100     34,250
FOREST CITY
ENTERPRI         CL A       34555010      11,161,034     269,265     266,575      2,690               266,965                  2,300
PEP BOYS MANNY
MOE &            COM        71327810      11,152,599     825,507     816,599      8,908               734,857                 90,650
VINTAGE PETE INC COM        92746010      11,150,945     988,559     988,559                          916,959                 71,600
LINCOLN ELEC
HLDGS I          COM        53390010      11,150,402     546,053     545,973         80               487,503                 58,550
ODYSSEY
HEALTHCARE I     COM        67611V10      11,148,766     301,318     301,118        200               269,943                 31,375
SPINNAKER EXPL
CO               COM        84855W10      11,140,790     425,221     424,721        500               386,571                 38,650
YANKEE CANDLE
INC              COM        98475710      11,140,421     479,777     479,011        600       166     435,461         166     44,150
CURTISS WRIGHT
CORP             COM        23156110      11,140,074     176,267     174,567      1,700               160,066                 16,201
RARE HOSPITALITY
INT              COM        75382010      11,139,363     343,172     339,881      3,291               315,222                 27,950
ALBEMARLE CORP   COM        01265310      11,134,773     398,097     397,097      1,000               398,097
CAMBREX CORP     COM        13201110      11,128,075     483,409     447,797     26,207     9,405     436,104       9,405     37,900
TELEFONICA S A   SPONSORED  87938220      11,126,769     321,862      94,352    227,510               313,648                  8,214
KNIGHT TRANSN
INC              COM        49906410      11,057,980     445,527     445,527                          392,777                 52,750
BALDOR ELEC CO   COM        05774110      11,018,301     534,869     534,589         20       260     478,209         260     56,400
ZORAN CORP       COM        98975F10      10,932,619     569,704     568,134      1,570               527,104                 42,600
OTTER TAIL CORP  COM        68964810      10,916,512     404,765     402,300        465     2,000     362,137       2,000     40,628
PROVIDENT
BANKSHARES       COM        74385910      10,915,971     432,487     432,487                          387,637                 44,850
FULLER H B CO    COM        35969410      10,908,708     495,400     494,600        600       200     446,090         200     49,110
LENNOX INTL INC  COM        52610710      10,895,664     846,594     846,394        200               786,994                 59,600
UNITED RENTALS
INC              COM        91136310      10,884,370     783,612     782,531      1,081               782,122                  1,490
JOY GLOBAL INC   COM        48116510      10,876,971     735,925     735,925                          668,875                 67,050
SEACOR SMIT INC  COM        81190410      10,871,246     297,924     297,574        350               270,974                 26,950
NDCHEALTH CORP   COM        63948010      10,855,658     591,589     591,189        400               540,189                 51,400
AMERICAN MGMT
SYS IN           COM        02735210      10,830,409     756,842     754,942      1,900               685,842                 71,000
CEC ENTMT INC    COM        12513710      10,821,634     293,031     292,771        260               292,931                    100
BROWN SHOE INC
NEW              COM        11573610      10,800,265     362,425     362,265         60       100     336,325         100     26,000
MANHATTAN ASSOCS
INC              COM        56275010      10,785,953     415,004     414,904        100               382,854                 32,150
WESCO FINL CORP  COM        95081710      10,764,936      34,503      33,803                  700      31,803         700      2,000
AFFYMETRIX INC   COM        00826T10      10,751,824     545,501     544,001      1,400       100     543,789         100      1,612
ILEX ONCOLOGY
INC              COM        45192310      10,745,662     554,758     554,758                          504,208                 50,550
CSK AUTO CORP    COM        12596510      10,744,181     743,542     743,462         80               694,542                 49,000
CREDENCE SYS
CORP             COM        22530210      10,737,852   1,250,041   1,249,941                  100   1,151,641         100     98,300
Page Total                               554,701,076


                                                                   Page 27 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
CHEMICAL FINL
CORP             COM        16373110      10,691,574     361,813     361,713        100               324,906                 36,907
NTL INC DEL      COM        62940M10      10,688,821     310,541     310,541                          309,741                    800
AMSURG CORP      COM        03232P40      10,685,683     350,006     350,006                          319,456                 30,550
COMMERCIAL NET
LEASE            COM        20221810      10,681,404     619,571     618,951        620               555,521                 64,050
BOYD GAMING CORP COM        10330410      10,671,184     618,261     618,261                          572,661                 45,600
CHIQUITA BRANDS
INTL             COM        17003280      10,669,941     735,858     735,858                          638,948                 96,910
TEXAS INDS INC   COM        88249110      10,666,826     448,186     448,186                          398,776                 49,410
ALLEGHANY CORP
DEL              COM        01717510      10,665,822      55,842      53,757      2,085                54,053       1,563        226
NEWPORT CORP     COM        65182410      10,665,820     719,691     718,871        800        20     659,421          20     60,250
TRIQUINT
SEMICONDUCT      COM        89674K10      10,646,055   2,596,599   2,585,378     11,120       101   2,382,648         101    213,850
FRONTIER OIL
CORP             COM        35914P10      10,620,544     698,720     698,720                          653,270                 45,450
EL PASO ELEC CO  COM NEW    28367785      10,598,263     859,551     859,051        400       100     784,801         100     74,650
HARLEYSVILLE
GROUP I          COM        41282410      10,596,661     459,725     459,325                  400     415,475         400     43,850
RYANS FAMILY
STEAK H          COM        78351910      10,584,177     773,132     767,612      4,080     1,440     703,967       1,440     67,725
MANITOWOC INC    COM        56357110      10,553,051     473,231     472,006        900       325     429,956         325     42,950
GROUP 1
AUTOMOTIVE I     COM        39890510      10,526,735     324,799     324,719         80               296,949                 27,850
PETROLEO
BRASILEIRO       SPONSORED  71654V40      10,507,656     531,764     531,764                          308,731     179,775     43,258
CONTINENTAL
AIRLS IN         CL B       21079530      10,483,835     700,323     692,513      7,810               689,373                 10,950
CONEXANT SYSTEMS
INC              COM        20714210      10,466,800   2,498,043   2,479,039      8,800    10,204   2,484,849      10,204      2,990
LA QUINTA CORP   PAIRED CTF 50419U20      10,455,853   2,425,952   2,425,952                        2,161,502                264,450
TECHNITROL INC   COM        87855510      10,448,492     694,252     692,252      1,500       500     631,902         500     61,850
CUMULUS MEDIA
INC              CL A       23108210      10,446,781     556,568     467,618     70,865    18,085     522,768      18,085     15,715
MOOG INC         CL A       61539420      10,438,900     300,400     300,400                          279,700                 20,700
GREY GLOBAL
GROUP IN         COM        39787M10      10,405,253      13,460      13,460                           12,260                  1,200
EFUNDS CORP      COM        28224R10      10,404,771     900,846     895,852      1,471     3,523     824,323       3,523     73,000
ACCREDO HEALTH
INC              COM        00437V10      10,384,162     479,638     479,138        500               476,560                  3,078
INSIGHT
COMMUNICATIO     CL A       45768V10      10,374,424     777,693     775,593      2,100               709,556                 68,137
IOMEGA CORP      COM NEW    46203030      10,364,393     977,773     975,473      2,300               897,223                 80,550
ADVENT SOFTWARE
INC              COM        00797410      10,357,360     604,986     601,029      3,957               594,576                 10,410
ALASKA AIR GROUP
INC              COM        01165910      10,344,477     482,260     481,960        300               436,308                 45,952
FILENET CORP     COM        31686910      10,330,884     573,938     573,538                  400     521,638         400     51,900
SOVRAN SELF
STORAGE          COM        84610H10      10,327,432     327,855     327,855                          291,525                 36,330
LONE STAR
TECHNOLOGI       COM        54231210      10,315,909     487,059     486,759        200       100     444,409         100     42,550
PS BUSINESS PKS
INC              COM        69360J10      10,299,728     291,777     291,397        380               252,610                 39,167
WAYPOINT FINL
CORP             COM        94675610      10,275,460     568,333     567,733        600               511,183                 57,150
LONGS DRUG
STORES CO        COM        54316210      10,273,789     618,903     617,103      1,800               558,116                 60,787
GEN-PROBE INC
NEW              COM        36866T10      10,235,125     249,820     249,820                          215,234                 34,586
PENN NATL GAMING
INC              COM        70756910      10,199,999     497,076     497,076                          452,576                 44,500
BROOKS
AUTOMATION IN    COM        11434010      10,195,725     899,094     792,102     83,482    23,510     811,134      23,510     64,450
ATLANTIC COAST
AIRLI            COM        04839610      10,188,099     765,447     765,447                          667,477                 97,970
STERLING
BANCSHARES       COM        85890710      10,175,287     783,317     783,317                          723,167                 60,150
KAYDON CORP      COM        48658710      10,172,801     489,077     488,157        920               447,177                 41,900
CIMAREX ENERGY
CO               COM        17179810      10,149,990     427,368     426,243        807       318     425,059         318      1,991
G & K SVCS INC   CL A       36126810      10,149,057     344,737     344,542         75       120     310,267         120     34,350
PETROLEO
BRASILEIRO       SPONSORED  71654V10      10,144,174     571,181     571,181                          309,783     210,544     50,854
FIRST CTZNS
BANCSHAR         CL A       31946M10      10,140,473     100,570     100,570                           92,540                  8,030
DRS TECHNOLOGIES
INC              COM        23330X10      10,130,939     362,856     362,256        500       100     328,856         100     33,900
STEWART
INFORMATION      COM        86037210      10,124,561     363,539     363,539                          339,489                 24,050
MEDICINES CO     COM        58468810      10,111,194     518,257     518,257                          456,507                 61,750
COMMSCOPE INC    COM        20337210      10,091,983   1,062,314   1,062,214                  100     979,264         100     82,950
Page Total                               520,128,327


                                                                   Page 28 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
ENCANA CORP      COM        29250510      10,085,170     262,840      74,474    188,366               258,068                  4,772
SYCAMORE
NETWORKS IN      COM        87120610      10,063,480   2,634,419   2,630,969      3,350       100   2,361,199         100    273,120
PROASSURANCE
CORP             COM        74267C10      10,051,156     372,403     372,403                          335,503                 36,900
FOOTSTAR INC     COM        34491210      10,029,799     771,523     768,823      2,700               706,793                 64,730
PHOENIX COS INC
NEW              COM        71902E10       9,979,603   1,105,161   1,095,847      8,539       775   1,101,686         775      2,700
RUSSELL CORP     COM        78235210       9,977,831     525,149     525,049        100               477,669                 47,480
MICREL INC       COM        59479310       9,971,270     958,776     946,486     11,050     1,240     955,126       1,240      2,410
ADAPTEC INC      COM        00651F10       9,961,516   1,253,021   1,248,481      4,540             1,223,421                 29,600
UNISOURCE
ENERGY COR       COM        90920510       9,961,386     529,861     529,521        100       240     487,321         240     42,300
JDA SOFTWARE
GROUP I          COM        46612K10       9,960,106     898,116     895,516      2,600               853,016                 45,100
GEORGIA GULF
CORP             COM PAR $0 37320020       9,954,093     502,732     502,632        100               454,782                 47,950
CVB FINL CORP    COM        12660010       9,952,943     514,364     514,364                          467,879                 46,485
NBT BANCORP INC  COM        62877810       9,930,673     512,948     512,548        400               469,066                 43,882
SUMMIT PPTYS INC COM        86623910       9,912,887     480,043     480,043                          432,976                 47,067
GENTA INC        COM NEW    37245M20       9,908,207     744,978     743,978      1,000               676,328                 68,650
FEI CO           COM        30241L10       9,907,087     527,815     527,115        600       100     486,915         100     40,800
ANWORTH MORTGAGE
ASS              COM        03734710       9,872,362     640,231     637,931        500     1,800     601,531       1,800     36,900
FOSSIL INC       COM        34988210       9,854,111     417,017     417,017                          378,075                 38,942
ADVANCED DIGITAL
INF              COM        00752510       9,853,694     993,316     989,716      3,500       100     895,096         100     98,120
REGENERON
PHARMACEUT       COM        75886F10       9,850,520     625,033     624,733        300               565,783                 59,250
TUESDAY MORNING
CORP             COM NEW    89903550       9,846,877     374,406     374,406                          354,256                 20,150
MILLENNIUM
CHEMICALS        COM        59990310       9,837,067   1,034,392   1,034,392                          940,802                 93,590
CASEYS GEN
STORES IN        COM        14752810       9,826,220     695,908     694,448        720       740     632,618         740     62,550
ALLEN TELECOM
INC              COM        01809110       9,803,694     593,444     586,744      6,700               545,694                 47,750
ENZON
PHARMACEUTICAL   COM        29390410       9,801,010     780,957     729,683     51,274               710,707                 70,250
PALM INC         COM NEW    69664220       9,799,587     610,186     602,242      7,423       521     483,336       6,309    120,541
TITAN CORP       COM        88826610       9,794,052     951,803     950,003      1,700       100     949,488         100      2,215
TELEDYNE
TECHNOLOGIE      COM        87936010       9,791,071     747,410     747,083        327               704,210                 43,200
DIAGNOSTIC PRODS
COR              COM        25245010       9,786,566     238,406     238,406                          238,006                    400
METRO GOLDWYN
MAYER            COM        59161010       9,765,485     786,271     761,311      4,860    20,100     727,221      20,100     38,950
CHOICE HOTELS
INTL I           COM        16990510       9,764,745     357,552     355,502      1,800       250     324,702         250     32,600
SENIOR HSG PPTYS
TR               SH BEN INT 81721M10       9,763,783     720,043     719,983         60               652,826                 67,217
WATSON WYATT &
CO HL            CL A       94271210       9,747,166     420,499     420,499                          372,349                 48,150
ALKERMES INC     COM        01642T10       9,739,400     917,081     915,251      1,730       100     830,481         100     86,500
AMERICAN AXLE &
MFG              COM        02406110       9,726,989     406,987     406,687        100       200     406,787         200
COX RADIO INC    CL A       22405110       9,717,662     420,496     415,556      4,940               419,982                    514
NOVASTAR FINL
INC              COM        66994740       9,702,623     162,387     162,287        100               148,237                 14,150
HEADWATERS INC   COM        42210P10       9,679,984     665,291     665,291                          626,541                 38,750
HANCOCK HLDG CO  COM        41012010       9,674,258     206,936     206,736        200               184,636                 22,300
CUNO INC         COM        12658310       9,667,563     266,986     266,946         40               237,136                 29,850
ESPERION
THERAPEUTIC      COM        29664R10       9,657,020     497,016     496,716        300               452,066                 44,950
PRIORITY
HEALTHCARE       CL B       74264T10       9,635,674     518,047     518,027         20               469,459                 48,588
MID-AMER APT
CMNTYS           COM        59522J10       9,634,250     356,692     356,692                          322,571                 34,121
DIAGEO P L C     SPON ADR N 25243Q20       9,630,088     220,066     131,291     88,775               213,846                  6,220
WESBANCO INC     COM        95081010       9,613,081     400,045     396,645      3,400               370,495                 29,550
TEKELEC          COM        87910110       9,606,885     853,187     850,087      3,100               775,162                 78,025
BARRA INC        COM        06831310       9,599,845     268,377     267,527        550       300     242,327         300     25,750
NEXTEL PARTNERS
INC              CL A       65333F10       9,591,970   1,306,808   1,300,548      6,260             1,191,208                115,600
USEC INC         COM        90333E10       9,572,738   1,363,638   1,363,638                        1,250,788                112,850
PACIFIC
NORTHWEST BA     COM        69466M10       9,555,211     274,891     274,891                          242,841                 32,050
Page Total                               490,370,458


                                                                   Page 29 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
AMERIGROUP CORP  COM        03073T10       9,524,874     256,045     255,945        100               223,745                 32,300
KT CORP          SPONSORED  48268K10       9,524,739     483,244     483,244                          354,369      99,926     28,949
CSG SYS INTL INC COM        12634910       9,497,693     669,323     669,223                  100     667,079         100      2,144
MICROMUSE INC    COM        59509410       9,478,171   1,189,231   1,184,141      5,030        60   1,073,031          60    116,140
GARTNER INC      COM        36665110       9,472,801   1,249,710   1,241,231      5,879     2,600   1,118,760       2,600    128,350
PFF BANCORP INC  COM        69331W10       9,462,099     244,815     244,815                          225,415                 19,400
IDT CORP         COM        44894710       9,455,871     528,261     526,961      1,300               524,460                  3,801
SCHULMAN A INC   COM        80819410       9,446,678     587,480     587,380        100               533,580                 53,900
QUANTA SVCS INC  COM        74762E10       9,438,015   1,329,298   1,329,198                  100   1,222,598         100    106,600
CONMED CORP      COM        20741010       9,393,832     510,812     510,272        540               463,512                 47,300
PROQUEST COMPANY COM        74346P10       9,391,922     364,028     298,428               65,600     264,278      65,600     34,150
MICROS SYS INC   COM        59490110       9,381,471     284,287     284,247         40               260,237                 24,050
CATALINA
MARKETING C      COM        14886710       9,379,227     531,401     529,401        200     1,800     522,409       1,800      7,192
LASALLE HOTEL
PPTYS            COM SH BEN 51794210       9,376,964     634,436     633,896        540               590,477                 43,959
K V
PHARMACEUTICAL C CL A       48274020       9,376,662     337,290     337,290                          304,440                 32,850
WEBSENSE INC     COM        94768410       9,371,161     598,032     597,332        700               563,782                 34,250
ENZO BIOCHEM INC COM        29410010       9,363,115     435,089     433,340      1,749               400,859                 34,230
US ONCOLOGY INC  COM        90338W10       9,362,708   1,266,943   1,265,543      1,300       100   1,152,593         100    114,250
NATIONAL PENN
BANCSH           COM        63713810       9,355,093     333,040     332,740        300               298,798                 34,242
NATIONAL HEALTH
INVS             COM        63633D10       9,347,752     506,928     506,928                          475,678                 31,250
BANDAG INC       COM        05981510       9,340,756     250,624     250,374        250               227,324                 23,300
RLI CORP         COM        74960710       9,331,657     283,637     282,637      1,000               258,949                 24,688
AZTAR CORP       COM        05480210       9,305,184     577,603     576,733         20       850     527,153         850     49,600
CORUS BANKSHARES
INC              COM        22087310       9,271,859     192,642     192,642                          176,892                 15,750
M/I
SCHOTTENSTEIN HO COM        55305B10       9,268,687     217,167     217,167                          168,832                 48,335
J2 GLOBAL
COMMUNICAT       COM NEW    46626E20       9,245,862     200,997     200,997                          180,267                 20,730
SHUFFLE MASTER
INC              COM        82554910       9,237,730     316,469     316,469                          287,019                 29,450
MEDIACOM
COMMUNICATI      CL A       58446K10       9,237,143     948,372     948,372                          822,342                126,030
FIRST FINL
BANCORP O        COM        32020910       9,214,912     582,117     579,312      2,805               531,167                 50,950
ROLLINS INC      COM        77571110       9,211,749     488,687     488,477        210               453,787                 34,900
UNITED NAT FOODS
INC              COM        91116310       9,201,827     324,465     323,665        800               291,615                 32,850
VIASYS
HEALTHCARE IN    COM NEW    92553Q20       9,172,439     443,113     441,806      1,229        78     397,089         172     45,852
WESTPORT RES
CORP NE          COM        96141810       9,170,388     403,094     402,594        500               370,157                 32,937
POLO RALPH
LAUREN CO        CL A       73157210       9,162,310     355,266     354,446        720       100     353,596         100      1,570
HOLLINGER INTL
INC              CL A       43556910       9,150,568     849,635     849,435        200               772,385                 77,250
COMMERCIAL
METALS CO        COM        20172310       9,145,109     514,059     514,059                          467,249                 46,810
HARBOR FLA
BANCSHARE        COM        41190110       9,136,069     381,146     380,866        280               352,647                 28,499
AMCORE FINL INC  COM        02391210       9,134,918     393,238     392,838        400               357,388                 35,850
FLORIDA EAST
COAST I          CL A       34063210       9,134,252     357,505     352,965        540     4,000     321,905       4,000     31,600
LANDRYS
RESTAURANTS      COM        51508L10       9,129,494     386,843     386,723         20       100     352,243         100     34,500
MGE ENERGY INC   COM        55277P10       9,129,015     291,011     287,761      2,800       450     256,812         450     33,749
LANDAUER INC     COM        51476K10       9,125,339     218,153     178,256     39,897               162,748      39,897     15,508
JO-ANN STORES
INC              CL A       47758P10       9,121,080     360,517     360,517                          338,617                 21,900
RIO TINTO PLC    SPONSORED  76720410       9,082,963     118,654      82,665     35,989               117,634                  1,020
MICROSEMI CORP   COM        59513710       9,075,466     570,067     570,067                          517,467                 52,600
WOODWARD
GOVERNOR CO      COM        98074510       9,068,959     210,857     210,837         20               198,657                 12,200
PSS WORLD MED
INC              COM        69366A10       9,065,335   1,582,083   1,581,923        160             1,477,033                105,050
ARGOSY GAMING CO COM        04022810       9,051,018     432,856     432,756        100               396,056                 36,800
DIGITAL INSIGHT
CORP             COM        25385P10       9,010,364     475,732     475,732                          432,682                 43,050
CELESTICA INC    SUB VTG SH 15101Q10       8,987,660     570,283     417,471    152,812               543,169                 27,114
Page Total                               463,320,960


                                                                   Page 30 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
IMC GLOBAL INC   COM        44966910       8,978,067   1,338,013   1,335,346        945     1,722   1,332,291       1,722      4,000
UIL HLDG CORP    COM        90274810       8,972,295     221,265     220,465        700       100     197,239         100     23,926
ALIGN TECHNOLOGY
INC              COM        01625510       8,970,872     711,974     678,861      6,600    26,513     616,761      26,513     68,700
INTER TEL INC    COM        45837210       8,969,847     418,956     418,856        100               381,606                 37,350
FELCOR LODGING
TR IN            COM        31430F10       8,948,222   1,139,901   1,139,901                        1,012,296                127,605
ROGERS CORP      COM        77513310       8,947,809     268,703     268,703                          244,587                 24,116
ARMOR HOLDINGS
INC              COM        04226010       8,928,500     666,306     666,306                          628,106                 38,200
SMITH A O        COM        83186520       8,924,253     317,025     317,005         20               287,176                 29,849
ANCHOR BANCORP
WIS I            COM        03283910       8,923,870     373,540     373,420        120               332,190                 41,350
PEOPLES BK
BRIDGEPOR        COM        71019810       8,908,858     307,308     295,618      5,440     6,250     300,118       6,250        940
ANTHRACITE CAP
INC              COM        03702310       8,905,477     738,431     730,931      7,500               647,244                 91,187
NTT DOCOMO INC   SPONS ADR  62942M20       8,891,327     404,519     102,987    301,532               395,819                  8,700
EASTGROUP PPTY
INC              COM        27727610       8,885,943     329,109     329,109                          293,507                 35,602
WINNEBAGO INDS
INC              COM        97463710       8,876,710     234,214     233,714        500               215,759                 18,455
LACLEDE GROUP
INC              COM        50559710       8,846,144     330,080     329,480        600               304,380                 25,700
FIRST CHARTER
CORP             COM        31943910       8,832,238     502,117     502,117                          459,567                 42,550
IMAGISTICS
INTERNATI        COM        45247T10       8,791,840     340,769     338,728      1,959        82     309,597          82     31,090
REDWOOD TR INC   COM        75807540       8,779,920     219,993     219,193        800               202,407                 17,586
MEMC ELECTR
MATLS IN         COM        55271510       8,769,833     894,881     894,881                          858,081                 36,800
KOPIN CORP       COM        50060010       8,761,436   1,426,944   1,218,194      2,650   206,100   1,111,144     206,100    109,700
RELIANCE STEEL &
ALU              COM        75950910       8,758,314     423,107     421,307      1,800               386,807                 36,300
ITRON INC        COM        46574110       8,745,340     406,760     406,760                          360,340                 46,420
WABASH NATL CORP COM        92956610       8,736,270     622,685     622,685                          577,185                 45,500
LONE STAR
STEAKHOUSE       COM        54230710       8,731,334     395,083     387,583                7,500     354,317       7,500     33,266
MB FINANCIAL INC
 NEW             COM        55264U10       8,730,697     217,452     212,852      4,600               201,952                 15,500
CAPITOL FED FINL COM        14057C10       8,728,846     309,369     305,969      3,400               309,369
DOLLAR THRIFTY
AUTOM            COM        25674310       8,724,306     470,313     430,897     39,416               383,543                 86,770
SIX FLAGS INC    COM        83001P10       8,712,001   1,284,956   1,278,336      6,520       100   1,282,356         100      2,500
WAUSAU-MOSINEE
PAPER            COM        94331510       8,685,432     775,485     774,585        900               724,585                 50,900
FIRST NIAGARA
FINL G           COM        33582V10       8,666,188     622,571     622,571                          521,309                101,262
TELIK INC        COM        87959M10       8,652,177     540,086     538,386      1,700               458,786                 81,300
BANKUNITED FINL
CORP             CL A       06652B10       8,650,664     430,810     430,810                          389,360                 41,450
UNITED DEFENSE
INDS             COM        91018B10       8,637,267     332,971     332,871        100               301,321                 31,650
ENTERASYS
NETWORKS I       COM        29363710       8,635,645   2,850,048   2,702,797    147,131       120   2,540,468         120    309,460
TRANSACTION SYS
ARCH             CL A       89341610       8,629,482     953,534     953,534                          891,684                 61,850
SOUTHWESTERN
ENERGY           COM        84546710       8,613,368     573,842     573,842                          517,692                 56,150
ENTERTAINMENT
PPTYS            COM SH BEN 29380T10       8,583,398     298,553     298,553                          270,903                 27,650
SOUTH JERSEY
INDS IN          COM        83851810       8,579,564     232,824     231,624      1,200               207,696                 25,128
VICURON
PHARMACEUTIC     COM        92647110       8,575,422     603,903     603,803                  100     546,542         100     57,261
UNOVA INC        COM        91529B10       8,574,639     772,490     769,930      2,560               708,340                 64,150
SONY CORP        ADR NEW    83569930       8,558,592     305,664     172,820    132,844               300,764                  4,900
IDENTIX INC      COM        45190610       8,555,570   1,349,459   1,349,459                        1,220,003                129,456
MERCURY COMPUTER
SYS              COM        58937810       8,529,775     468,669     468,569        100               416,759                 51,910
LONGVIEW FIBRE
CO               COM        54321310       8,518,930   1,038,894   1,023,894               15,000     946,144      15,000     77,750
GYMBOREE CORP    COM        40377710       8,510,657     507,493     507,493                          464,593                 42,900
CHARMING SHOPPES
INC              COM        16113310       8,493,711   1,754,899   1,754,899                        1,534,849                220,050
TALBOTS INC      COM        87416110       8,452,032     286,996     286,416        180       400     286,148         400        448
URS CORP NEW     COM        90323610       8,445,737     434,005     434,005                          395,255                 38,750
PENNSYLVANIA RL
ESTA             SH BEN INT 70910210       8,437,304     281,713     281,613        100               251,451                 30,262
MCDERMOTT INTL
INC              COM        58003710       8,435,706   1,332,655   1,332,655                        1,234,017      20,800     77,838
Page Total                               436,101,829


                                                                   Page 31 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
AKAMAI
TECHNOLOGIES     COM        00971T10       8,421,380   1,761,795   1,636,070      1,125   124,600   1,443,245     124,600    193,950
ADVANCED
NEUROMODULA      COM        00757T10       8,393,418     162,979     162,579        400               144,879                 18,100
ARKANSAS BEST
CORP D           COM        04079010       8,376,922     354,804     354,804                          322,204                 32,600
KNIGHT TRADING
GROUP            COM        49906310       8,347,317   1,324,971   1,320,571      4,300       100   1,188,272         100    136,599
VERIDIAN CORP
DEL              COM        92342R20       8,311,077     238,208     237,888                  320     205,263         320     32,625
JONES LANG
LASALLE I        COM        48020Q10       8,296,580     525,100     525,100                          477,200                 47,900
ROYAL DUTCH
PETE CO          NY REG EUR 78025780       8,281,203     177,632     127,127     50,505               175,822                  1,810
TOYOTA MOTOR
CORP             SP ADR REP 89233130       8,243,762     159,146      76,415     82,731               156,516                  2,630
QUANEX CORP      COM        74762010       8,243,703     277,379     277,379                          252,179                 25,200
COMSTOCK RES
INC              COM NEW    20576820       8,222,610     601,068     600,968        100               562,418                 38,650
LEXINGTON CORP
PPTYS            COM        52904310       8,222,198     464,531     464,531                          418,981                 45,550
PARKWAY PPTYS
INC              COM        70159Q10       8,217,747     195,428     195,428                          175,965                 19,463
JARDEN CORP      COM        47110910       8,216,440     296,944     296,444        500               275,794                 21,150
STEEL DYNAMICS
INC              COM        85811910       8,200,664     594,682     591,612      3,070               542,932                 51,750
SEACOAST FINL
SVCS C           COM        81170Q10       8,191,950     413,526     408,050      2,876     2,600     376,626       2,600     34,300
COLUMBIA
SPORTSWEAR       COM        19851610       8,185,707     159,255     158,705        550               157,855                  1,400
CARBO CERAMICS
INC              COM        14078110       8,184,868     219,728     218,728      1,000               191,768                 27,960
WRIGHT MED GROUP
INC              COM        98235T10       8,184,153     430,292     429,802        300       190     409,102         190     21,000
GLENBOROUGH RLTY
TR               COM        37803P10       8,183,561     427,340     427,340                          388,659                 38,681
IGEN INC         COM        44953610       8,173,182     260,874     260,174        400       300     233,924         300     26,650
SELECT MEDICAL
CORP             COM        81619610       8,166,686     328,904     328,904                          293,204                 35,700
UMPQUA HLDGS
CORP             COM        90421410       8,150,228     438,656     438,356        300               397,071                 41,585
POWERWAVE
TECHNOLOGI       COM        73936310       8,147,406   1,322,631   1,322,631                        1,216,231                106,400
CHECKPOINT SYS
INC              COM        16282510       8,137,636     575,098     574,098      1,000               524,148                 50,950
LTX CORP         COM        50239210       8,110,618     938,729     938,129        500       100     864,879         100     73,750
ESPEED INC       CL A       29664310       8,095,691     409,701     409,701                          374,001                 35,700
JOURNAL REGISTER
CO               COM        48113810       8,090,662     447,245     444,765      2,480               405,395                 41,850
NAVIGANT
CONSULTING       COM        63935N10       8,086,250     682,384     681,084      1,300               620,234                 62,150
CITY HLDG CO     COM        17783510       8,073,828     275,934     275,634        300               251,709                 24,225
GRIFFON CORP     COM        39843310       8,035,648     502,228     502,228                          464,278                 37,950
KIMBALL INTL INC CL B       49427410       8,033,005     516,260     516,260                          463,710                 52,550
EMPIRE DIST ELEC
CO               COM        29164110       8,025,032     368,967     368,747        120       100     322,567         100     46,300
MAGNUM HUNTER
RES IN           COM PAR $0 55972F20       8,023,837   1,004,235     892,342    111,893               928,836                 75,399
HARLEYSVILLE
NATL CO          COM        41285010       8,022,624     297,796     297,796                          269,499                 28,297
ADOLOR CORP      COM        00724X10       8,014,138     653,149     586,796     66,353               601,949                 51,200
WD-40 CO         COM        92923610       8,003,350     281,214     281,014        200               254,164                 27,050
VEECO INSTRS INC
DEL              COM        92241710       8,001,579     469,852     465,637      4,215               428,453                 41,399
CARAUSTAR INDS
INC              COM        14090910       7,979,690     996,216     480,972    515,244               949,866                 46,350
F&M BANCORP MD   COM        30236710       7,979,543     162,087     161,987        100               143,337                 18,750
NEKTAR
THERAPEUTICS     COM        64026810       7,976,863     869,887     865,687      4,000       200     783,237         200     86,450
PHOTON DYNAMICS
INC              COM        71936410       7,970,688     287,232     285,547      1,685               256,182                 31,050
REMEC INC        COM        75954310       7,965,125   1,154,366   1,149,866      4,500             1,041,666                112,700
GENESIS HEALTH
VENTU            COM        37183F10       7,954,031     451,677     451,312                  365     404,812         365     46,500
CONSOLIDATED
GRAPHIC          COM        20934110       7,952,172     347,560     189,331    158,229               167,281     158,229     22,050
COMMUNITY BK SYS
INC              COM        20360710       7,949,144     209,188     208,588        600               185,868                 23,320
NUVEEN INVTS INC CL A       67090F10       7,945,472     291,684     291,364        320               289,754         150      1,780
FIRST FINL
BANKSHARE        COM        32020R10       7,941,429     237,341     237,341                          214,716                 22,625
QUEST SOFTWARE
INC              COM        74834T10       7,911,462     667,634     665,734      1,900               607,434                 60,200
ACTEL CORP       COM        00493410       7,910,807     384,393     384,393                          349,943                 34,450
POSCO            SPONSORED  69348310       7,883,190     301,000     301,000                          301,000
Page Total                               405,636,276


                                                                   Page 32 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
AVX CORP NEW     COM        00244410       7,877,170     716,758     715,858        900               715,734                  1,024
ELKCORP          COM        28745610       7,872,300     349,880     349,880                          316,780                 33,100
HUDSON RIV
BANCORP I        COM        44412810       7,866,990     281,769     279,669      2,100               256,719                 25,050
ESCO
TECHNOLOGIES IN  COM        29631510       7,852,108     178,457     178,456          1               160,462                 17,995
MAXIMUS INC      COM        57793310       7,850,953     284,146     284,146                          255,646                 28,500
STEWART &
STEVENSON        COM        86034210       7,838,948     497,711     496,501      1,210               454,261                 43,450
BIOMARIN
PHARMACEUTI      COM        09061G10       7,829,755     802,229     801,929        300               708,429                 93,800
WABTEC CORP      COM        92974010       7,791,366     560,127     560,127                          510,177                 49,950
SERENA SOFTWARE
INC              COM        81749210       7,781,718     376,292     376,192        100               343,142                 33,150
BLACKROCK INC    CL A       09247X10       7,779,669     172,728     172,728                          172,536                    192
C&D TECHNOLOGIES
INC              COM        12466110       7,779,185     541,726     541,726                          502,626                 39,100
ALFA CORP        COM        01538510       7,752,862     620,229     620,029        200               543,289                 76,940
COMPANHIA DE
BEBIDAS          SPON ADR P 20441W20       7,733,630     380,031     380,031                          202,807     144,500     32,724
FORWARD AIR CORP COM        34985310       7,719,982     305,863     264,847     41,016               286,313                 19,550
CYBERONICS INC   COM        23251P10       7,717,143     357,938     351,878      6,060               320,738                 37,200
MEDAREX INC      COM        58391610       7,712,638   1,182,920   1,182,820                  100   1,060,870         100    121,950
ACCENTURE LTD
BERMUD           CL A       G1150G11       7,709,867     426,195     426,195                          326,116                100,079
NEW ENGLAND
BUSINESS         COM        64387210       7,684,380     256,146     251,626                4,520     230,776       4,520     20,850
ADVANCED MEDICAL
OPT              COM        00763M10       7,676,950     450,261     448,832      1,363        66     449,064          66      1,131
ATHEROGENICS INC COM        04743910       7,672,049     513,868     513,868                          460,418                 53,450
LITTELFUSE INC   COM        53700810       7,656,435     348,495     348,495                          313,841                 34,654
ASTRAZENECA PLC  SPONSORED  04635310       7,655,709     187,778     183,241      4,537               186,076                  1,702
NETSCREEN
TECHNOLOGI       COM        64117V10       7,650,996     343,094     342,394        700               326,591                 16,503
MOVIE GALLERY
INC              COM        62458110       7,649,235     410,587     410,587                          374,937                 35,650
CUBIC CORP       COM        22966910       7,645,013     344,060     343,160        900               321,360                 22,700
RAMCO-GERSHENSON
PPT              COM SH BEN 75145220       7,628,979     327,424     326,969        455               313,424                 14,000
TALK AMERICA
HLDGS I          COM NEW    87426R20       7,608,659     682,391     682,391                          642,025                 40,366
SCHOOL SPECIALTY
INC              COM        80786310       7,606,854     269,651     269,411        240               245,751                 23,900
ACTUANT CORP     CL A NEW   00508X20       7,594,623     160,495     160,355        140               144,185                 16,310
SEROLOGICALS
CORP             COM        81752310       7,581,184     557,440     479,137     78,303               521,640                 35,800
ALABAMA NATL
BANCORP          COM        01031710       7,578,964     157,928     157,728        200               140,078                 17,850
SUPERIOR ENERGY
SVCS             COM        86815710       7,571,969     798,731     798,211                  520     727,211         520     71,000
BOWNE & CO INC   COM        10304310       7,571,798     581,105     580,945        160               536,605                 44,500
NETFLIX COM INC  COM        64110L10       7,563,898     296,043     296,043                          257,443                 38,600
PEROT SYS CORP   CL A       71426510       7,560,625     665,548     661,298      4,250               664,748                    800
STUDENT LN CORP  COM        86390210       7,555,968      59,968      59,618        350                58,768                  1,200
BOK FINL CORP    COM NEW    05561Q20       7,555,497     195,789     195,522        267               195,789
WINTRUST
FINANCIAL C      COM        97650W10       7,555,250     253,617     253,417        200               229,967                 23,650
REGAL BELOIT
CORP             COM        75875010       7,554,584     395,528     395,428        100               357,078                 38,450
W-H ENERGY SVCS
INC              COM        92925E10       7,554,208     386,207     386,207                          353,207                 33,000
ODYSSEY RE HLDGS
COR              COM        67612W10       7,541,393     357,412     357,412                          338,212                 19,200
RFS HOTEL INVS
INC              COM        74955J10       7,534,862     611,596     611,576         20               548,424                 63,172
ANTEON INTL CORP COM        03674E10       7,527,271     269,698     269,698                          243,698                 26,000
RAIT INVT TR     COM        74922710       7,526,503     284,019     284,019                          254,069                 29,950
INSIGHT
ENTERPRISES      COM        45765U10       7,525,350     752,535     750,435      2,100               683,495                 69,040
UNITED NATL
BANCORP          COM        91090910       7,507,138     272,195     272,195                          240,895                 31,300
PROVIDENT FINL
SVCS             COM        74386T10       7,495,660     393,473     393,473                          327,673                 65,800
POLYMEDICA CORP  COM        73173810       7,463,164     162,738     162,538        200               147,438                 15,300
BOSTON PRIVATE
FINL             COM        10111910       7,453,248     352,900     333,250        150    19,500     305,550      19,500     27,850
CROWN AMERN RLTY
TR               SH BEN INT 22818610       7,440,854     692,817     692,817                          607,461                 85,356
Page Total                               382,415,554


                                                                   Page 33 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
CERNER CORP      COM        15678210       7,439,913     326,312     326,092        220               324,816                  1,496
COMPANHIA VALE
DO RI            SPON ADR P 20441210       7,426,233     267,612     267,612                          151,263      90,485     25,864
CRAY INC         COM        22522310       7,424,617     939,825     939,825                          843,625                 96,200
MYRIAD GENETICS
INC              COM        62855J10       7,415,369     545,649     486,327     59,322               501,899                 43,750
ARROW INTL INC   COM        04276410       7,411,961     166,374     164,374      2,000               148,197                 18,177
SOTHEBYS HLDGS
INC              CL A       83589810       7,411,356     996,150     992,850      3,300               912,650                 83,500
LAWSON SOFTWARE
INC              COM        52078010       7,408,921     957,225     957,225                          888,025                 69,200
AMLI RESIDENTIAL
PPT              SH BEN INT 00173510       7,397,408     314,115     314,115                          275,649                 38,466
CONNETICS CORP   COM        20819210       7,396,380     493,092     492,992        100               450,592                 42,500
SAXON CAPITAL
INC              COM        80556P30       7,371,630     426,599     426,599                          385,849                 40,750
HONDA MOTOR
LTD              AMERN SHS  43812830       7,364,006     386,562     216,544    170,018               382,462                  4,100
K-SWISS INC      CL A       48268610       7,360,844     213,296     213,196        100               195,596                 17,700
THOMAS INDS
INC              COM        88442510       7,355,327     271,916     271,916                          240,616                 31,300
COINSTAR INC     COM        19259P30       7,354,588     388,515     388,475         40               352,165                 36,350
VIGNETTE CORP    COM        92673410       7,333,208   3,722,441   3,722,181        100       160   3,339,331         160    382,950
GENESIS
MICROCHIP IN     COM        37184C10       7,310,205     539,897     539,697        200               490,447                 49,450
HAIN CELESTIAL
GROUP            COM        40521710       7,309,021     457,672     455,717      1,955               382,932                 74,740
VCA ANTECH INC   COM        91819410       7,290,234     368,939     368,939                          324,939                 44,000
TETRA
TECHNOLOGIES I   COM        88162F10       7,283,789     245,659     245,659                          221,859                 23,800
COMPANHIA VALE
DO RI            SPONSORED  20441220       7,279,127     245,419     245,419                          242,500                  2,919
CATO CORP NEW    CL A       14920510       7,274,518     345,091     345,091                          322,291                 22,800
TIBCO SOFTWARE
INC              COM        88632Q10       7,271,203   1,420,157   1,408,759     11,298       100   1,292,257         100    127,800
LOEWS CORP       CAROLNA GP 54042420       7,270,641     269,283     260,363      8,920               252,093                 17,190
KOGER EQUITY INC COM        50022810       7,246,938     420,600     420,600                          358,154                 62,446
BARCLAYS PLC     ADR        06738E20       7,243,991     242,112     104,643    137,469               238,512                  3,600
DATASCOPE CORP   COM        23811310       7,228,201     248,905     248,905                          228,005                 20,900
ULTRATECH INC    COM        90403410       7,219,399     390,027     390,027                          346,777                 43,250
TRIARC COS INC   CL A       89592710       7,197,330     239,991     238,691        800       500     214,110         500     25,381
CARPENTER
TECHNOLOGY       COM        14428510       7,193,737     461,137     459,037      2,100               420,037                 41,100
GENLYTE GROUP
INC              COM        37230210       7,175,374     205,716     205,416        300               184,366                 21,350
HAEMONETICS
CORP             COM        40502410       7,166,008     383,209     383,109        100               355,509                 27,700
AMERICAN
HEALTHWAYS       COM        02649V10       7,165,566     198,933     198,933                          179,983                 18,950
ELECTRO
SCIENTIFIC I     COM        28522910       7,160,583     472,334     472,334                          428,084                 44,250
ATRIX LABS INC   COM        04962L10       7,154,903     325,667     325,667                          293,717                 31,950
RUSS BERRIE & CO COM        78223310       7,153,550     195,934     194,734      1,200               174,739                 21,195
TULARIK INC      COM        89916510       7,152,542     722,479     716,499      5,900        80     648,724          80     73,675
INDEPENDENT BANK
COR              COM        45383810       7,149,534     278,192     278,192                          252,202                 25,990
AMERICA MOVIL
S A DE           SPON ADR L 02364W10       7,135,893     380,581     380,581                          184,126     162,992     33,463
HECLA MNG CO     COM        42270410       7,131,170   1,685,856   1,685,756        100             1,518,356                167,500
CROSS CTRY
HEALTHCAR        COM        22748310       7,119,810     541,019     541,019                          465,519                 75,500
AMDOCS LTD       ORD        G0260210       7,116,000     296,500     294,300      2,200               209,743                 86,757
TRANSKARYOTIC
THERAP           COM        89373510       7,099,985     617,390     612,690      4,700               468,790                148,600
OFFSHORE
LOGISTICS I      COM        67625510       7,098,112     326,350     325,030      1,320               296,150                 30,200
STAGE STORES INC COM NEW    85254C30       7,089,151     301,666     301,666                          272,766                 28,900
NU SKIN
ENTERPRISES      CL A       67018T10       7,065,621     676,136     676,136                          611,786                 64,350
EXULT INC DEL    COM        30228410       7,062,898     825,105     824,905        100       100     743,806         100     81,199
TREDEGAR CORP    COM        89465010       7,052,899     470,507     470,507                          429,507                 41,000
PRIMEDIA INC     COM        74157K10       7,048,229   2,310,895   2,308,375      2,400       120   2,092,725         120    218,050
LITHIA MTRS INC  CL A       53679710       7,042,342     435,519     182,178    253,341               163,978     253,341     18,200
RESOURCES
CONNECTION       COM        76122Q10       7,039,119     294,894     294,894                          265,944                 28,950
Page Total                               361,869,384


                                                                   Page 34 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
SURMODICS INC    COM        86887310       7,031,380     230,386     230,086        300               210,386                 20,000
FRONTIER FINL
CORP W           COM        35907K10       7,028,090     250,021     250,021                          226,271                 23,750
MID-ATLANTIC
RLTY TR          SH BEN INT 59523210       7,014,544     334,983     334,983                          296,617                 38,366
MFA MTG INVTS
INC              COM        55272X10       7,012,468     698,453     698,453                          637,503                 60,950
TESORO PETE CORP COM        88160910       7,011,924   1,019,175   1,014,475      4,700               918,675                100,500
HANDLEMAN CO DEL COM        41025210       7,006,176     437,886     437,886                          391,286                 46,600
REINSURANCE
GROUP AM         COM        75935110       7,002,165     218,136     217,796        340               202,034                 16,102
PLAINS EXPL &
PRODTN           COM        72650510       7,001,042     647,645     647,060        400       185     579,785         185     67,675
WELLMAN INC      COM        94970210       7,000,560     625,050     625,050                          543,840                 81,210
INTERNATIONAL
MULTIF           COM        46004310       6,995,018     305,326     304,926        400               272,676                 32,650
CORNERSTONE RLTY
INC              COM        21922V10       6,993,674     956,727     956,727                          854,227                102,500
SANDY SPRING
BANCORP          COM        80036310       6,975,926     219,162     219,162                          197,762                 21,400
POLYONE CORP     COM        73179P10       6,965,335   1,565,244   1,565,244                        1,433,644                131,600
OAKLEY INC       COM        67366210       6,959,306     591,275     591,275                          549,675                 41,600
NEWPARK RES INC  COM PAR $. 65171850       6,947,615   1,267,813   1,264,013      3,800             1,143,413                124,400
NACCO INDS INC   CL A       62957910       6,946,668     117,860     104,363     13,297       200     105,520         200     12,140
MERITAGE CORP    COM        59001A10       6,942,999     140,946     140,946                          127,546                 13,400
METHODE ELECTRS
INC              CL A       59152020       6,938,942     645,483     643,883      1,600               598,333                 47,150
METRIS COS INC   COM        59159810       6,927,121   1,248,130   1,248,030                  100   1,158,630         100     89,400
MAXYGEN INC      COM        57777610       6,915,786     632,156     631,849        307               587,306                 44,850
AQUANTIVE INC    COM        03839G10       6,914,659     658,539     658,539                          593,239                 65,300
HOUSTON EXPL CO  COM        44212010       6,913,523     199,237     199,037        200               181,286                 17,951
ING GROUP N V    SPONSORED  45683710       6,898,160     393,506      95,276    298,230               384,506                  9,000
GAYLORD ENTMT CO
NEW              COM        36790510       6,895,841     352,368     352,118        150       100     321,818         100     30,450
FIDELITY
NATIONAL SO      COM        31620P10       6,878,282     263,839     263,696        143               238,035                 25,804
BELDEN INC       COM        07745910       6,876,000     432,725     432,725                          395,425                 37,300
SUNRISE SENIOR
LIVIN            COM        86768K10       6,875,315     307,208     306,908        300               279,958                 27,250
MID-STATE
BANCSHARES       COM        59544010       6,870,519     356,170     356,170                          324,670                 31,500
INSITUFORM
TECHNOLOG        CL A       45766710       6,870,076     389,681     389,681                          355,431                 34,250
RETEK INC        COM        76128Q10       6,861,027   1,089,052   1,088,752        200       100   1,003,602         100     85,350
CONNECTICUT
BANCSHAR         COM        20754010       6,859,383     175,163     175,163                          158,263                 16,900
WATSCO INC       COM        94262220       6,851,236     413,722     413,722                          385,622                 28,100
FINANCIAL FED
CORP             COM        31749210       6,847,616     280,640     280,640                          258,440                 22,200
SCIENTIFIC GAMES
COR              CL A       80874P10       6,845,583     732,148     732,148                          660,748                 71,400
BOMBAY CO INC    COM        09792410       6,839,448     643,410     643,410                          585,510                 57,900
PARK
ELECTROCHEMICAL  COM        70041620       6,839,438     342,829     342,679        150               319,079                 23,750
TRIUMPH GROUP
INC NE           COM        89681810       6,805,787     241,597     241,397        200               217,936                 23,661
INTERMUNE INC    COM        45884X10       6,774,851     418,459     418,459                          375,809                 42,650
APOLLO GROUP INC COM UNV PH 03760420       6,767,424     134,568     133,935        633               133,135                  1,433
PULITZER INC     COM        74576910       6,744,446     136,472     135,372      1,000       100     120,122         100     16,250
MYKROLIS CORP    COM        62852P10       6,743,071     664,342     658,096      5,029     1,217     597,770       1,217     65,355
APPLIED INDL
TECHNOL          COM        03820C10       6,737,145     319,296     316,496      2,800               294,146                 25,150
CIBER INC        COM        17163B10       6,736,188     959,571     958,571                1,000     874,171       1,000     84,400
TANOX INC        COM        87588Q10       6,732,365     420,510     418,410      2,100               385,848                 34,662
SINCLAIR
BROADCAST G      CL A       82922610       6,725,411     578,779     578,779                          518,579                 60,200
WFS FINL INC     COM        92923B10       6,724,327     201,629     201,629                          184,529                 17,100
FREEMARKETS INC  COM        35660210       6,713,971     966,039     684,885     96,086   185,068     714,671     185,068     66,300
UNITED CMNTY BKS
BLA              CAP STK    90984P10       6,713,449     268,753     268,753                          244,403                 24,350
PHILLIPS VAN
HEUSEN           COM        71859210       6,707,459     492,110     492,110                          436,710                 55,400
MONACO COACH
CORP             COM        60886R10       6,705,587     437,416     437,406         10               400,216                 37,200
Page Total                               343,884,326


                                                                   Page 35 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
SHOPKO STORES
INC              COM        82491110       6,688,292     514,484     514,484                          468,784                 45,700
SPHERION CORP    COM        84842010       6,686,073     962,025     960,825      1,200               856,675                105,350
EON LABS INC     COM        29412E10       6,676,986     190,011     190,011                          177,111                 12,900
NCO GROUP INC    COM        62885810       6,674,097     371,816     371,716        100               330,116                 41,700
PEGASUS
SOLUTIONS IN     COM        70590610       6,672,269     409,593     409,553         40               372,343                 37,250
RAYOVAC CORP     COM        75508110       6,665,753     514,730     514,730                          458,180                 56,550
IONICS INC       COM        46221810       6,664,537     297,923     296,373        550     1,000     266,923       1,000     30,000
MTS SYS CORP     COM        55377710       6,662,701     452,015     452,015                          422,607                 29,408
REMINGTON OIL &
GAS              COM        75959430       6,660,397     362,372     362,372                          334,070                 28,302
SPORTS AUTH INC  COM        84917610       6,654,768     621,941     620,941      1,000               572,191                 49,750
WESTCORP INC     COM        95790710       6,653,724     237,633     237,633                          216,123                 21,510
AARON RENTS INC  COM        00253520       6,652,607     257,853     257,753        100               236,903                 20,950
SUREWEST
COMMUNICATI      COM        86873310       6,652,469     219,264     218,164      1,100               199,764                 19,500
HAVERTY
FURNITURE IN     COM        41959610       6,651,732     380,099     380,099                          357,049                 23,050
INTERACTIVE DATA
COR              COM        45840J10       6,648,020     393,374     391,074        300     2,000     390,374       2,000      1,000
GLACIER BANCORP
INC              COM        37637Q10       6,645,356     269,917     269,917                          242,637                 27,280
STEWART
ENTERPRISES      CL A       86037010       6,644,213   1,545,166   1,545,166                        1,384,076                161,090
ARCH CHEMICALS
INC              COM        03937R10       6,643,992     347,853     347,753                  100     317,753         100     30,000
AMERICAN STS WTR
CO               COM        02989910       6,580,146     241,031     241,031                          220,831                 20,200
SOLA INTL INC    COM        83409210       6,572,658     377,739     377,739                          344,089                 33,650
F5 NETWORKS INC  COM        31561610       6,561,193     394,777     392,452        100     2,225     354,352       2,225     38,200
CIMA LABS INC    COM        17179610       6,554,087     243,737     243,617        100        20     218,767          20     24,950
ANALOGIC CORP    COM PAR $0 03265720       6,552,962     134,227     133,827        400               120,477                 13,750
CORIXA CORP      COM        21887F10       6,528,519     843,478     771,384     71,994       100     741,078         100    102,300
ARTISAN
COMPONENTS I     COM        04292310       6,522,016     290,513     290,013        500               263,663                 26,850
GLATFELTER       COM        37731610       6,512,626     441,534     440,714        820               404,335                 37,199
FRANKLIN ELEC
INC              COM        35351410       6,494,501     117,505     117,505                          106,855                 10,650
GUITAR CTR MGMT
INC              COM        40204010       6,486,991     223,074     222,974        100               198,274                 24,800
CALIFORNIA WTR
SVC G            COM        13078810       6,482,812     230,541     227,141      3,400               201,041                 29,500
SPEEDWAY
MOTORSPORTS      COM        84778810       6,452,609     240,769     240,669        100               220,569                 20,200
AMC ENTMT INC    COM        00166910       6,448,853     563,711     563,711                          521,461                 42,250
O CHARLEYS INC   COM        67082310       6,434,385     298,718     298,718                          271,245                 27,473
IBERIABANK CORP  COM        45082810       6,426,399     131,151     131,151                          117,201                 13,950
C D I CORP       COM        12507110       6,417,597     247,211     247,211                          223,111                 24,100
ROTO ROOTER INC
NEW              COM        77878710       6,415,796     168,217     166,717      1,500               149,717                 18,500
URBAN OUTFITTERS
INC              COM        91704710       6,406,829     178,215     178,215                          160,815                 17,400
SOURCECORP       COM        83616710       6,406,063     296,577     296,477                  100     274,327         100     22,150
UNIZAN FINANCIAL
COR              COM        91528W10       6,403,790     364,473     364,473                          335,173                 29,300
BURLINGTON COAT
FACT             COM        12157910       6,399,321     357,504     347,538      9,966               332,254                 25,250
INFORMATICA CORP COM        45666Q10       6,393,540     923,922     923,822                  100     830,097         100     93,725
UNITED STATES
CELLUL           COM        91168410       6,393,319     251,211     249,081      1,730       400     250,001         400        810
VERITY INC       COM        92343C10       6,383,235     502,617     502,567         50               465,167                 37,450
D & K HEALTHCARE
RES              COM        23286110       6,367,746     394,532     394,332        200               369,532                 25,000
SPS TECHNOLOGIES
INC              COM        78462610       6,343,881     234,611     233,711        300       600     217,061         600     16,950
COHU INC         COM        19257610       6,333,834     406,015     401,895      4,120               374,565                 31,450
REALNETWORKS INC COM        75605L10       6,328,935     936,233     931,833      4,300       100     935,133         100      1,000
RENAISSANCE
LEARNING         COM        75968L10       6,319,170     291,206     291,206                          274,206                 17,000
STRIDE RITE CORP COM        86331410       6,317,966     634,334     634,334                          568,634                 65,700
CHIPPAC INC      CL A       16965710       6,307,890     828,895     828,895                          737,495                 91,400
ALBANY MOLECULAR
RES              COM        01242310       6,305,546     418,695     418,695                          380,095                 38,600
Page Total                               325,753,201


                                                                   Page 36 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
AGILE SOFTWARE
CORP             COM        00846X10       6,304,068     653,949     651,049      2,900               586,999                 66,950
CHARTER
COMMUNICATIO     CL A       16117M10       6,303,334   1,689,902   1,687,607      2,295             1,451,187         950    237,765
GENERAL
COMMUNICATIO     CL A       36938510       6,277,267     717,402     717,402                          652,852                 64,550
AAIPHARMA INC    COM        00252W10       6,273,396     315,881     315,881                          282,206                 33,675
WEST COAST
BANCORP O        COM        95214510       6,268,428     344,230     344,230                          322,880                 21,350
LEXAR MEDIA INC  COM        52886P10       6,265,159     662,279     662,279                          579,554                 82,725
MAGMA DESIGN
AUTOMAT          COM        55918110       6,250,317     364,450     364,450                          334,200                 30,250
AQUILA INC       COM        03840P10       6,244,010   2,420,159   2,413,709      5,970       480   2,414,145         480      5,534
ROADWAY CORP     COM        76974210       6,242,154     218,716     218,616        100               195,866                 22,850
SYMYX
TECHNOLOGIES     COM        87155S10       6,236,781     378,216     378,216                          341,016                 37,200
ERESEARCH-
TECHNOLOGY       COM        29481V10       6,222,360     278,530     278,030        500               251,480                 27,050
WEST CORP        COM        95235510       6,214,433     233,187     233,037        150               232,933                    254
SAUL CTRS INC    COM        80439510       6,201,779     242,257     242,257                          215,587                 26,670
UNITED SURGICAL
PART             COM        91301630       6,200,340     274,716     274,716                          250,866                 23,850
ARTHROCARE CORP  COM        04313610       6,194,233     380,715     380,715                          342,465                 38,250
ARRIS GROUP INC  COM        04269Q10       6,192,976   1,248,584   1,248,584                        1,137,034                111,550
COSTAR GROUP INC COM        22160N10       6,186,558     208,442     208,292        150               184,542                 23,900
EXELIXIS INC     COM        30161Q10       6,165,254     894,812     891,112      3,600       100     724,632      98,730     71,450
UNITED AUTO
GROUP IN         COM        90944010       6,163,543     282,991     282,431        560               254,741                 28,250
SILICON STORAGE
TECH             COM        82705710       6,156,485   1,462,348   1,462,348                        1,334,898                127,450
GENESCO INC      COM        37153210       6,154,520     347,713     347,713                          315,413                 32,300
SILICONIX INC    COM NEW    82707920       6,150,681     170,379     170,379                          162,079                  8,300
WELLCHOICE INC   COM        94947510       6,148,097     209,976     208,801                1,175     208,801       1,175
BERRY PETE CO    CL A       08578910       6,147,121     342,458     342,458                          313,108                 29,350
BRIGHT HORIZON
FAMIL            COM        10919510       6,119,788     182,408     177,199      5,209               159,958                 22,450
GETTY RLTY CORP
NEW              COM        37429710       6,118,760     274,138     274,138                          248,588                 25,550
REED ELSEVIER
P L C            SPONSORED  75820510       6,115,880     181,534     108,232     73,302                90,653      88,831      2,050
SAP
AKTIENGESELLSCHA SPONSORED  80305420       6,115,424     209,289     108,559    100,730               206,839                  2,450
INVISION
TECHNOLOGIE      COM        46185110       6,114,475     248,657     248,557        100               194,547                 54,110
PREMCOR INC      COM        74045Q10       6,114,101     283,717     279,987        580     3,150     280,567       3,150
HELIX TECHNOLOGY
COR              COM        42331910       6,104,272     466,331     466,231                  100     426,131         100     40,100
GLOBAL IMAGING
SYSTE            COM        37934A10       6,086,408     263,595     263,095        500               244,195                 19,400
PAXAR CORP       COM        70422710       6,086,080     553,280     553,220         60               506,080                 47,200
WMS INDS INC     COM        92929710       6,082,952     390,183     390,183                          348,933                 41,250
SPARTECH CORP    COM NEW    84722020       6,079,507     286,634     286,634                          252,334                 34,300
WEBMETHODS INC   COM        94768C10       6,069,434     748,389     748,089        300               677,259                 71,130
UNIFI INC        COM        90467710       6,059,632     977,360     977,360                          892,210                 85,150
AMERICAN MED SYS
HLD              COM        02744M10       6,056,216     358,356     358,356                          330,156                 28,200
ECLIPSYS CORP    COM        27885610       6,051,314     575,220     570,180                5,040     497,520       5,040     72,660
CENTRAL VT PUB
SVC C            COM        15577110       6,048,027     309,362     308,722                  640     283,322         640     25,400
ESTERLINE
TECHNOLOGI       COM        29742510       6,033,679     346,564     346,564                          318,264                 28,300
GBC BANCORP
CALIF            COM        36147510       6,031,719     157,692     149,092        100     8,500     138,442       8,500     10,750
PRIME
HOSPITALITY CO   COM        74191710       6,031,484     898,880     898,880                          819,830                 79,050
INSTINET GROUP
INC              COM        45775010       6,026,952   1,290,568   1,265,028     25,540             1,288,018       1,050      1,500
WEIS MKTS INC    COM        94884910       6,026,410     194,275     190,715        260     3,300     170,314       3,300     20,661
NAUTILUS GROUP
INC              COM        63910B10       6,025,631     485,938     485,555        383               440,588                 45,350
ROYAL GOLD INC   COM        78028710       6,023,860     281,226     280,726        500               211,286                 69,940
CELL
THERAPEUTICS IN  COM        15093410       6,023,286     617,140     617,140                          556,490                 60,650
PMA CAP CORP     CL A       69341920       6,015,808     481,650     481,650                          435,300                 46,350
PACKETEER INC    COM        69521010       6,013,453     388,466     386,381      2,085               350,416                 38,050
Page Total                               306,837,846


                                                                   Page 37 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
KORN FERRY INTL  COM NEW    50064320       6,007,599     741,679     741,669         10               687,529                 54,150
ISHARES TR       RUSSELL100 46428759       6,002,659     118,700     118,700                          118,700
INVESTORS REAL
ESTAT            SH BEN INT 46173010       6,001,489     565,112     557,412      7,700               496,362                 68,750
DIVERSA CORP     COM        25506410       5,989,432     625,855     625,848          7               581,455                 44,400
HYDRIL CO        COM        44877410       5,979,562     219,353     219,353                          199,853                 19,500
PRESIDENTIAL
LIFE CO          COM        74088410       5,965,722     422,801     421,741        620       440     383,912         440     38,449
FINISH LINE INC  CL A       31792310       5,963,149     269,460     269,460                          243,460                 26,000
PLAINS RES INC   COM PAR $0 72654050       5,942,801     419,986     419,486        400       100     371,136         100     48,750
CHICAGO
MERCANTILE H     CL A       16776010       5,930,944      85,178      85,178                           85,178
HOOPER HOLMES
INC              COM        43910410       5,930,731     920,921     920,921                          841,971                 78,950
PRE PAID LEGAL
SVCS             COM        74006510       5,917,568     241,238     241,238                          220,588                 20,650
GOLD BANC CORP
INC              COM        37990710       5,916,199     565,062     561,762      3,300               512,659                 52,403
STERLING FINL
CORP             COM        85931710       5,905,553     254,221     254,221                          230,671                 23,550
STERLING FINL
CORP W           COM        85931910       5,896,157     242,142     242,142                          220,912                 21,230
ALLIANCE CAP
MGMT HL          UNIT LTD P 01855A10       5,893,947     161,478     145,988      9,925     5,565     155,413       5,565        500
FIRST SENTINEL
BANCO            COM        33640T10       5,890,749     370,954     370,954                          338,154                 32,800
PLANAR SYS INC   COM        72690010       5,887,556     300,846     300,646        200               278,796                 22,050
SWIFT ENERGY CO  COM        87073810       5,885,737     535,067     535,067                          495,317                 39,750
DIGENE CORP      COM        25375210       5,880,724     215,096     215,096                          192,596                 22,500
UNIVERSAL FST
PRODS            COM        91354310       5,875,596     280,592     280,342        250               258,542                 22,050
BAY VIEW CAP
CORP DE          COM        07262L10       5,875,028   1,016,441   1,016,241        200               935,191                 81,250
CENTRAL PAC FINL
COR              COM        15476010       5,873,480     212,039     212,039                          187,539                 24,500
STEAK N SHAKE CO COM        85787310       5,860,514     384,296     384,296                          348,146                 36,150
ECHELON CORP     COM        27874N10       5,856,938     420,455     419,785        670               375,105                 45,350
FIRST CMNTY
BANCORP          COM        31983B10       5,840,475     188,951     188,951                          170,751                 18,200
VALMONT INDS INC COM        92025310       5,832,064     299,695     299,695                          278,545                 21,150
OM GROUP INC     COM        67087210       5,831,651     395,903     392,763      2,700       440     382,083         440     13,380
ICU MED INC      COM        44930G10       5,831,178     187,558     187,458        100               172,708                 14,850
NAUTICA
ENTERPRISES      COM        63908910       5,829,140     443,618     443,618                          397,318                 46,300
UNIVERSAL
COMPRESSIO       COM        91343110       5,821,921     279,095     279,095                          244,945                 34,150
STANDARD
REGISTER CO      COM        85388710       5,819,582     353,130     353,080         50               314,080                 39,050
TANGER FACTORY
OUTLE            COM        87546510       5,813,644     175,745     175,745                          159,851                 15,894
WEBEX INC        COM        94767L10       5,806,142     418,310     418,310                          378,410                 39,900
CABLE DESIGN
TECHNOL          COM        12692410       5,804,670     811,842     811,842                          738,592                 73,250
CONSOL ENERGY
INC              COM        20854P10       5,791,309     254,675     254,675                          254,475                    200
SANGSTAT MED
CORP             COM        80100310       5,772,595     440,320     439,920        400               399,720                 40,600
FIRST MERCHANTS
CORP             COM        32081710       5,771,700     238,500     238,500                          215,480                 23,020
VALUECLICK INC   COM        92046N10       5,767,320     951,703     951,703                          849,403                102,300
UNITED FIRE &
CAS CO           COM        91033110       5,748,034     178,788     172,851      5,937               168,088                 10,700
OAK TECHNOLOGY
INC              COM        67180210       5,746,194     929,805     929,805                          818,005                111,800
SONIC AUTOMOTIVE
INC              CL A       83545G10       5,721,993     261,159     261,099         60               261,059                    100
OCULAR SCIENCES
INC              COM        67574410       5,696,698     287,132     287,092         40               261,932                 25,200
GLOBAL INDS LTD  COM        37933610       5,657,494   1,173,754   1,169,329      4,425             1,066,054                107,700
POSSIS MEDICAL
INC              COM        73740710       5,652,895     416,573     416,573                          392,973                 23,600
BANK MUT CORP    COM        06374810       5,642,848     174,162     173,762        400               158,362                 15,800
NUEVO ENERGY CO  COM        67050910       5,634,273     322,881     322,881                          296,531                 26,350
DENBURY RES INC  COM NEW    24791620       5,630,554     419,252     419,252                          373,552                 45,700
AGERE SYS INC    CL A       00845V10       5,628,758   2,415,776   2,383,849      5,835    26,092   2,383,012      26,092      6,672
E ON AG          SPONSORED  26878010       5,625,148     109,759      38,996     70,763               107,989                  1,770
EQUITY INNS INC  COM        29470310       5,624,900     815,203     815,203                          735,250                 79,953
Page Total                               291,473,014


                                                                   Page 38 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
SILICON IMAGE
INC              COM        82705T10       5,622,870   1,022,340   1,022,320         20               920,440                101,900
AKSYS LTD        COM        01019610       5,612,635     435,088     435,088                          389,150                 45,938
JACUZZI BRANDS
INC              COM        46986510       5,612,034   1,060,876   1,060,376                  500     950,846         500    109,530
LIBBEY INC       COM        52989810       5,611,190     247,189     246,789        400               226,516                 20,673
CTS CORP         COM        12650110       5,598,002     535,694     535,694                          483,394                 52,300
OPENWAVE SYS INC COM        68371810       5,592,926   2,796,463   2,796,003        300       160   2,489,803         160    306,500
ORIENTAL FINL
GROUP            COM        68618W10       5,592,841     217,705     217,705                          191,993                 25,712
SUFFOLK BANCORP  COM        86473910       5,580,531     173,524     173,524                          158,524                 15,000
INCYTE CORP      COM        45337C10       5,573,486   1,146,808   1,146,518        190       100   1,019,358         100    127,350
SILGAN HOLDINGS
INC              COM        82704810       5,568,427     177,282     177,282                          161,932                 15,350
TALX CORP        COM        87491810       5,564,721     248,536     248,336        200               224,836                 23,700
MINE SAFETY
APPLIANC         COM        60272010       5,556,402     127,382     127,282        100               116,482                 10,900
PAREXEL INTL
CORP             COM        69946210       5,554,164     398,148     398,148                          360,448                 37,700
KULICKE & SOFFA
INDS             COM        50124210       5,550,462     868,617     868,617                          783,267                 85,350
FIRST FINL HLDGS
INC              COM        32023910       5,534,279     201,981     201,981                          185,631                 16,350
FIRST FINL CORP
IND              COM        32021810       5,525,140     104,445     104,445                           92,045                 12,400
FIRST FED CAP
CORP             COM        31996010       5,522,951     279,219     279,219                          250,069                 29,150
AEROPOSTALE      COM        00786510       5,521,734     257,064     257,064                          229,614                 27,450
BOSTON
COMMUNICATION    COM        10058210       5,510,630     325,880     325,680        200               301,330                 24,550
TENNANT CO       COM        88034510       5,507,906     149,875     149,875                          129,035                 20,840
UNITED
THERAPEUTICS     COM        91307C10       5,504,718     254,377     254,377                          228,715                 25,662
BOCA RESORTS INC CL A       09688T10       5,504,096     423,392     422,892        500               385,192                 38,200
VECTOR GROUP LTD COM        92240M10       5,498,920     314,224     294,484     19,740               312,469                  1,755
PENN VA CORP     COM        70788210       5,490,799     127,693     127,293        400               111,696                 15,997
IMPAX
LABORATORIES I   COM        45256B10       5,485,092     459,388     459,388                          404,073                 55,315
NUI CORP         COM        62943110       5,472,631     352,618     352,618                          316,919                 35,699
GRAFTECH INTL
LTD              COM        38431310       5,445,356     999,148     999,048        100               902,398                 96,750
TBC CORP         COM        87218010       5,439,442     285,685     277,685      8,000               260,885                 24,800
DUANE READE INC  COM        26357810       5,437,941     368,674     367,174      1,400       100     333,374         100     35,200
FIDELITY
BANKSHARES       COM        31604Q10       5,433,212     244,519     244,519                          218,519                 26,000
TIVO INC         COM        88870610       5,423,150     448,565     445,065      3,500               402,565                 46,000
INTEGRATED
DEFENSE T        COM        45819B10       5,418,713     349,369     263,646     71,058    14,665     320,204      14,665     14,500
CENTRAL GARDEN &
PET              COM        15352710       5,410,370     225,057     224,857        200               200,057                 25,000
SPANISH
BROADCASTING     CL A       84642588       5,409,002     669,431     669,231        200               557,331                112,100
IMMUCOR INC      COM        45252610       5,400,763     247,401     244,801                2,600     227,051       2,600     17,750
WIND RIVER
SYSTEMS I        COM        97314910       5,400,191   1,417,373   1,417,273                  100   1,301,373         100    115,900
VENTANA MED SYS
INC              COM        92276H10       5,394,753     199,289     199,289                          181,339                 17,950
ACTION
PERFORMANCE C    COM        00493310       5,388,704     283,616     283,116        500               259,366                 24,250
JAKKS PAC INC    COM        47012E10       5,384,461     405,762     405,762                          363,912                 41,850
ANTIGENICS INC
DEL              COM        03703210       5,376,033     467,075     466,725        350               396,325                 70,750
CHESAPEAKE CORP  COM        16515910       5,370,686     245,798     245,418        300        80     226,118          80     19,600
PER-SE
TECHNOLOGIES     COM NEW    71356930       5,370,624     483,840     472,543     11,297               440,640                 43,200
WIRELESS
FACILITIES       COM        97653A10       5,363,841     450,743     447,963      2,780               407,243                 43,500
PENWEST
PHARMACEUTIC     COM        70975410       5,347,972     219,449     219,449                          196,050                 23,399
CUBIST
PHARMACEUTICA    COM        22967810       5,331,020     493,613     493,613                          406,243                 87,370
MERISTAR
HOSPITALITY      COM        58984Y10       5,303,143   1,031,740   1,031,410        330               919,957                111,783
UNIFIRST CORP
MASS             COM        90470810       5,283,922     241,275     217,275     24,000               218,775                 22,500
MATRIXONE INC    COM        57685P30       5,283,594     904,725     723,233    181,492               822,725                 82,000
ARCTIC CAT INC   COM        03967010       5,268,395     277,430     277,410         20               246,331                 31,099
BEVERLY
ENTERPRISES      COM NEW    08785130       5,259,600   1,502,743   1,502,743                        1,333,343                169,400
Page Total                               273,214,475


                                                                   Page 39 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
BARNES GROUP INC COM        06780610       5,259,348     241,698     240,698      1,000               222,748                 18,950
K2 INC           COM        48273210       5,247,606     428,376     428,329         47               395,126                 33,250
TRIAD GTY INC    COM        89592510       5,230,774     137,797     137,797                          126,097                 11,700
CALIFORNIA PIZZA
KIT              COM        13054D10       5,228,061     242,152     242,052                  100     217,702         100     24,350
PALM HARBOR
HOMES            COM        69663910       5,226,699     277,573     277,573                          250,723                 26,850
MCG CAPITAL CORP COM        58047P10       5,218,637     359,658     359,658                          326,758                 32,900
PRACTICEWORKS
INC              COM        73941910       5,215,833     269,831     269,831                          239,031                 30,800
GARDNER DENVER
INC              COM        36555810       5,206,435     254,469     254,394         75               233,569                 20,900
SWS GROUP INC    COM        78503N10       5,204,845     258,305     258,305                          230,755                 27,550
YOUNG
BROADCASTING I   CL A       98743410       5,204,209     246,879     246,879                          223,079                 23,800
ENNIS BUSINESS
FORMS            COM        29338910       5,180,760     356,066     350,766      5,300               332,666                 23,400
MERIT MED SYS
INC              COM        58988910       5,178,580     258,929     258,929                          241,329                 17,600
CASH AMER INTL
INC              COM        14754D10       5,177,679     391,655     391,655                          356,255                 35,400
HOLOGIC INC      COM        43644010       5,175,393     395,370     395,370                          366,970                 28,400
KADANT INC       COM        48282T10       5,165,437     275,490     275,017        459        14     245,886          53     29,551
TRAMMELL CROW CO COM        89288R10       5,158,083     486,153     486,153                          442,753                 43,400
RYANAIR HLDGS
PLC              SPONSORED  78351310       5,155,648     114,774      72,048     42,726               111,613                  3,161
HIBBETT SPORTING
GOO              COM        42856510       5,137,256     155,958     155,958                          142,408                 13,550
MARCUS CORP      COM        56633010       5,128,821     343,065     343,065                          309,230                 33,835
WALTER INDS INC  COM        93317Q10       5,123,235     436,020     436,020                          393,270                 42,750
CURAGEN CORP     COM        23126R10       5,107,301     961,827     656,360    305,167       300     583,810     305,467     72,550
ENTRAVISION
COMMUNIC         CL A       29382R10       5,099,180     449,267     449,267                          448,731                    536
INTERMAGNETICS
GEN C            COM        45877110       5,098,219     257,226     257,226                          234,276                 22,950
VIASAT INC       COM        92552V10       5,095,512     355,088     354,988        100               325,638                 29,450
SANOFI-
SYNTHELABO       SPONSORED  80105N10       5,094,108     174,755       8,300    166,455               169,855                  4,900
AMERICAN
PHARMACEUTI      COM        02886P10       5,093,373     150,247     150,247                          139,947                 10,300
CIRRUS LOGIC INC COM        17275510       5,081,871   1,273,652   1,272,582                1,070   1,130,475       1,070    142,107
CRH PLC          ADR        12626K20       5,081,465     322,101      29,109    292,992               247,872      68,829      5,400
CELL GENESYS INC COM        15092110       5,076,991     576,276     576,176                  100     482,526         100     93,650
SCHWEITZER-
MAUDUIT I        COM        80854110       5,075,217     210,241     210,201                   40     210,201          40
COMMUNITY TR
BANCORP          COM        20414910       5,074,412     193,976     193,976                          177,256                 16,720
STATE AUTO FINL
CORP             COM        85570710       5,067,627     225,629     225,529        100               205,804                 19,825
ADVANTEST CORP   SPONSORED  00762U10       5,066,364     452,354      19,800    432,554               441,604                 10,750
ALEXION
PHARMACEUTIC     COM        01535110       5,064,113     297,889     295,289      2,600               270,139                 27,750
KRAMONT RLTY TR  COM SH BEN 50075Q10       5,055,682     306,405     306,405                          260,605                 45,800
ADVISORY BRD CO  COM        00762W10       5,049,127     125,413     125,413                          110,763                 14,650
MONDAVI ROBERT
CORP             CL A       60920010       5,045,358     201,653     201,653                          186,453                 15,200
E PIPHANY INC    COM        26881V10       5,044,285     987,140     987,040                  100     890,555         100     96,485
J JILL GROUP INC COM        46618910       5,034,268     300,374     300,184         40       150     270,349         150     29,875
FIRST ESSEX
BANCORP          COM        32010310       5,033,892     106,786     103,786      3,000                93,636                 13,150
WEST
PHARMACEUTICAL   COM        95530610       5,032,814     205,421     205,401         20               179,343                 26,078
GULFMARK
OFFSHORE IN      COM        40262910       5,025,096     299,648     299,648                          278,148                 21,500
ROCK-TENN CO     CL A       77273920       5,023,759     296,387     293,387      3,000               254,037                 42,350
COLUMBIA LABS
INC              COM        19777910       5,023,282     446,514     446,514                          393,514                 53,000
LIFELINE SYS INC COM        53219210       5,017,200     176,662      62,353    114,309                53,753     114,309      8,600
LANCE INC        COM        51460610       5,001,897     547,853     546,893        240       720     504,608         720     42,525
STRATTEC SEC
CORP             COM        86311110       4,997,927      93,946      93,946                           86,846                  7,100
FUELCELL ENERGY
INC              COM        35952H10       4,992,189     609,547     555,347        200    54,000     488,277      54,000     67,270
TOPPS INC        COM        89078610       4,975,735     587,454     587,354        100               539,154                 48,300
OSHKOSH B GOSH
INC              CL A       68822220       4,970,187     184,491     184,491                          161,845                 22,646
Page Total                               255,321,790


                                                                   Page 40 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
DRESS BARN INC   COM        26157010       4,969,100     396,893     396,813         80               357,143                 39,750
SKYLINE CORP     COM        83083010       4,966,470     165,549     165,549                          156,349                  9,200
21ST CENTY INS
GROUP            COM        90130N10       4,960,941     346,919     346,429        490               345,281                  1,638
MSC INDL DIRECT
INC              CL A       55353010       4,957,458     276,953     274,853      2,100               276,853                    100
NORTH PITTSBURGH
SYS              COM        66156210       4,943,100     333,093     332,633        460               310,744                 22,349
REHABCARE GROUP
INC              COM        75914810       4,939,057     337,137     336,837        300               312,137                 25,000
CENTENE CORP DEL COM        15135B10       4,933,265     128,037     128,037                          112,937                 15,100
RANGE RES CORP   COM        75281A10       4,926,483     785,723     781,723                4,000     709,373       4,000     72,350
ENDESA S A       SPONSORED  29258N10       4,919,307     301,798     131,184    170,614               297,718                  4,080
GREIF INC        CL A       39762410       4,915,491     213,717     213,617        100               195,067                 18,650
CENTILLIUM
COMMUNICA        COM        15231910       4,915,431     502,087     502,087                          448,887                 53,200
BANNER CORP      COM        06652V10       4,909,811     239,503     239,503                          222,903                 16,600
ATWOOD OCEANICS
INC              COM        05009510       4,907,769     180,765     178,965      1,800               163,665                 17,100
MKS INSTRUMENT
INC              COM        55306N10       4,893,825     268,449     268,149        300               260,249                  8,200
SHAW GROUP INC   COM        82028010       4,892,733     406,036     405,236        800               402,686                  3,350
ELECTRONICS
BOUTIQUE         COM        28604510       4,892,344     213,267     212,867        400               194,667                 18,600
PETCO ANIMAL
SUPPLIE          COM NEW    71601620       4,877,587     223,948     223,948                          179,366                 44,582
CHAMPION
ENTERPRISES      COM        15849610       4,877,451     941,593     941,493                  100     815,193         100    126,300
SEQUA
CORPORATION      CL A       81732010       4,869,948     141,981     141,961         20               131,031                 10,950
NCI BUILDING SYS
INC              COM        62885210       4,869,903     291,611     291,511        100               265,811                 25,800
ZENITH NATL INS
CORP             COM        98939010       4,861,102     170,565     170,465        100               150,196                 20,369
TOMPKINSTRUSTCO
INC              COM        89011010       4,860,286     108,853     108,853                           99,053                  9,800
ORBITAL SCIENCES
COR              COM        68556410       4,858,004     665,480     663,980      1,500               595,380                 70,100
WATTS INDS INC   CL A       94274910       4,838,349     271,056     271,056                          254,006                 17,050
PIONEER STD
ELECTRS          COM        72387710       4,831,693     571,798     571,778         20               501,408                 70,390
AK STL HLDG CORP COM        00154710       4,826,650   1,333,329   1,333,149        100        80   1,294,537          80     38,712
SAGA
COMMUNICATIONS   CL A       78659810       4,823,697     248,005     248,005                          221,705                 26,300
GORMAN RUPP CO   COM        38308210       4,816,392     200,683     200,683                          182,633                 18,050
LABOR READY INC  COM NEW    50540120       4,808,166     670,595     670,595                          612,555                 58,040
MEDQUIST INC     COM        58494910       4,797,038     237,125     236,216        909               224,975                 12,150
1ST SOURCE CORP  COM        33690110       4,791,617     258,030     258,030                          240,580                 17,450
GENCORP INC      COM        36868210       4,779,424     537,618     537,518        100               480,618                 57,000
SOHU COM INC     COM        83408W10       4,778,292     140,538     140,538                          114,438                 26,100
RIGGS NATL CORP
WASH             COM        76657010       4,767,801     313,259     313,139                  120     285,989         120     27,150
ADVANCED ENERGY
INDS             COM        00797310       4,762,000     333,007     333,007                          304,207                 28,800
FIRST REP BK SAN
FRA              COM        33615810       4,731,129     177,862     177,002        800        60     165,452          60     12,350
SYSTEMS &
COMPUTER T       COM        87187310       4,722,882     536,082     536,002                   80     481,502          80     54,500
SAFEGUARD
SCIENTIFIC       COM        78644910       4,720,426   1,748,306   1,748,206                  100   1,546,357         100    201,849
INDEPENDENT BANK
COR              COM        45383610       4,710,505     208,799     205,378      3,421               190,708                 18,091
ARGONAUT GROUP
INC              COM        04015710       4,704,009     382,751     382,751                          343,351                 39,400
KEYSTONE PPTY TR
COR              COM        49359610       4,699,892     253,911     253,911                          231,711                 22,200
STARTEK INC      COM        85569C10       4,692,656     178,428     178,428                          162,878                 15,550
COMPUTER NETWORK
TEC              COM        20492510       4,686,645     591,002     586,662      4,340               541,402                 49,600
OXFORD INDS INC  COM        69149730       4,678,764     112,687     112,427        100       160      99,077         160     13,450
WET SEAL INC     CL A       96184010       4,678,658     444,317     444,317                          403,217                 41,100
CAPITAL CITY BK
GROU             COM        13967410       4,671,025     129,463     129,463                          114,776                 14,687
TREX INC         COM        89531P10       4,665,451     118,865     118,765        100               104,365                 14,500
STERLING BANCORP COM        85915810       4,648,565     166,675     166,675                          145,355                 21,320
FARMER BROS CO   COM        30767510       4,648,273      13,700      13,600        100                12,500                  1,200
UNION BANKSHARES
COR              COM        90539910       4,641,162     164,814     164,814                          153,414                 11,400
Page Total                               240,838,027


                                                                   Page 41 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
APPLIED FILMS
CORP             COM        03819710       4,633,465     179,175     179,175                          161,125                 18,050
U S RESTAURANT
PPTYS            COM        90297110       4,633,399     295,121     295,121                          261,721                 33,400
PDF SOLUTIONS
INC              COM        69328210       4,622,202     395,060     395,060                          374,260                 20,800
CHILDRENS PL
RETAIL           COM        16890510       4,619,230     229,584     229,584                          208,484                 21,100
7-ELEVEN INC     COM NEW    81782620       4,613,704     437,318     437,318                          385,468                 51,850
BRITISH SKY
BROADCAS         SPONSORED  11101310       4,606,784     102,146      19,709     82,437                99,296                  2,850
EPIQ SYS INC     COM        26882D10       4,596,509     267,550     267,550                          249,550                 18,000
MAXWELL SHOE INC CL A       57776610       4,596,120     319,175     319,175                          298,275                 20,900
POPE & TALBOT
INC              COM        73282710       4,594,678     415,808     415,808                          384,908                 30,900
GREAT ATLANTIC &
PAC              COM        39006410       4,588,452     521,415     515,615      5,800               482,765                 38,650
LIN TV CORP      CL A       53277410       4,586,056     194,737     194,737                          184,361                 10,376
FIRST ST
BANCORPORAT      COM        33645310       4,585,400     167,779     167,779                          156,879                 10,900
JLG INDS INC     COM        46621010       4,583,825     674,092     674,092                          608,692                 65,400
SIMMONS 1ST NATL
COR              CL A $5 PA 82873020       4,580,434     227,769     227,769                          201,769                 26,000
OLD SECOND
BANCORP I        COM        68027710       4,576,281     108,417     108,417                           96,417                 12,000
EDO CORP         COM        28134710       4,575,273     258,490     258,490                          235,590                 22,900
ALDERWOODS GROUP
INC              COM        01438310       4,564,941     853,260     853,260                          781,510                 71,750
BALLY TOTAL
FITNESS          COM        05873K10       4,562,371     505,246     505,246                          451,046                 54,200
GENENCOR INTL
INC              COM        36870910       4,557,403     278,060     277,960        100               278,060
NEWCASTLE INVT
CORP             COM        65105M10       4,556,559     232,715     232,715                          203,115                 29,600
PEOPLES HLDG CO  COM        71114810       4,551,333     102,855     102,855                           94,855                  8,000
DELTIC TIMBER
CORP             COM        24785010       4,539,652     159,566     159,066                  500     143,916         500     15,150
SONOSITE INC     COM        83568G10       4,522,698     225,571     225,471                  100     202,721         100     22,750
GOLDEN TELECOM
INC              COM        38122G10       4,516,471     204,643     204,643                          179,543                 25,100
OIL STS INTL INC COM        67802610       4,516,409     373,257     373,257                          340,407                 32,850
THERASENSE INC   COM        88338110       4,515,830     451,583     451,583                          412,683                 38,900
FLUSHING FINL
CORP             COM        34387310       4,506,373     203,448     203,448                          182,998                 20,450
FLEETWOOD
ENTERPRISE       COM        33909910       4,497,091     607,715     607,715                          534,665                 73,050
ROYAL CARIBBEAN
CRUI             COM        V7780T10       4,484,517     193,632     193,632                          192,432                  1,200
DADE BEHRING
HLDGS I          COM        23342J20       4,477,797     198,045     198,045                          138,645                 59,400
WSFS FINL CORP   COM        92932810       4,476,660     117,931     117,931                          107,831                 10,100
S1 CORPORATION   COM        78463B10       4,475,656   1,118,914   1,113,107      5,707       100   1,008,114         100    110,700
WASHINGTON TR
BANCOR           COM        94061010       4,470,944     194,220     194,220                          169,720                 24,500
BUILDING MATLS
HLDG             COM        12011310       4,449,038     300,205     300,205                          283,055                 17,150
BRADLEY
PHARMACEUTIC     COM        10457610       4,442,625     269,250     269,250                          256,350                 12,900
STEELCASE INC    CL A       85815520       4,442,116     377,731     377,531        200               364,221                 13,510
HANCOCK FABRICS
INC              COM        40990010       4,435,629     274,652     274,652                          253,002                 21,650
VALUEVISION
MEDIA IN         CL A       92047K10       4,434,712     324,412     324,412                          287,012                 37,400
CASCADE NAT GAS
CORP             COM        14733910       4,416,206     231,215     230,415        100       700     211,315         700     19,200
LLOYDS TSB GROUP
PLC              SPONSORED  53943910       4,411,086     152,054      77,484     74,570               149,954                  2,100
ASYST TECHNOLOGY
COR              COM        04648X10       4,409,872     657,209     657,209                          557,479                 99,730
IDX SYS CORP     COM        44949110       4,388,760     282,054     280,054      2,000               258,704                 23,350
MADDEN STEVEN
LTD              COM        55626910       4,387,800     203,233     203,233                          188,283                 14,950
INTEGRA BK CORP  COM        45814P10       4,386,897     254,904     254,904                          233,794                 21,110
TIME WARNER
TELECOM          CL A       88731910       4,385,108     714,187     713,547        540       100     640,787         100     73,300
LOCAL FINL CORP  COM        53955310       4,383,131     305,871     305,871                          280,321                 25,550
WPP GROUP PLC    SPON ADR N 92930930       4,376,765     109,228     107,213      2,015               109,220                      8
PC-TEL INC       COM        69325Q10       4,375,671     369,255     369,255                          334,682                 34,573
FRONTIER
AIRLINES IN      COM        35906510       4,371,104     482,995     482,995                          437,195                 45,800
SCANSOURCE INC   COM        80603710       4,368,489     163,308     163,308                          146,808                 16,500
Page Total                               225,249,526


                                                                   Page 42 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
CTI MOLECULAR
IMAGIN           COM        22943D10       4,367,326     234,173     234,173                          200,373                 33,800
ANGELICA CORP    COM        03466310       4,362,353     257,366     256,786                  580     237,036         580     19,750
SCANSOFT INC     COM        80603P10       4,356,808     800,884     797,884      3,000               710,584                 90,300
SECURE COMPUTING
COR              COM        81370510       4,355,491     498,340     498,340                          441,790                 56,550
ISLE OF CAPRI
CASINO           COM        46459210       4,348,514     262,909     262,829         80               232,959                 29,950
UNIVERSAL HEALTH
RLT              SH BEN INT 91359E10       4,340,952     160,776     159,976        800               142,626                 18,150
OMEGA FINL CORP  COM        68209210       4,328,555     126,640     126,640                          109,590                 17,050
UNITED CMNTY
FINL CO          COM        90983910       4,314,517     467,952     467,952                          423,252                 44,700
WORLD FUEL SVCS
CORP             COM        98147510       4,299,905     174,864     174,414        300       150     155,964         150     18,750
PRECISION
DRILLING C       COM        74022D10       4,297,843     113,820       7,525    106,295               110,420                  3,400
MAIN STR BKS INC
NEW              COM        56034R10       4,296,239     172,263     172,263                          153,213                 19,050
ZOLL MED CORP    COM        98992210       4,281,278     128,799     128,799                          116,699                 12,100
NARA BANCORP INC COM        63080P10       4,276,639     228,331     228,331                          213,931                 14,400
IMMUNOMEDICS INC COM        45290710       4,275,927     675,502     675,502                          603,852                 71,650
WILD OATS
MARKETS IN       COM        96808B10       4,275,051     388,641     388,471        170               347,841                 40,800
CENTEX
CONSTRUCTION     COM        15231R10       4,272,872     106,582     106,282        300                95,982                 10,600
FIRST CMNTY
BANCSHAR         COM        31983A10       4,272,114     121,678     121,678                          105,578                 16,100
PACER INTL INC
TENN             COM        69373H10       4,265,132     226,267     226,267                          194,867                 31,400
CKE RESTAURANTS
INC              COM        12561E10       4,246,370     759,637     759,637                          681,237                 78,400
RADISYS CORP     COM        75045910       4,246,366     316,893     316,893                          275,143                 41,750
CT COMMUNI-
CATIONS IN       COM NEW    12642640       4,243,705     396,608     396,208        400               372,808                 23,800
AMVESCAP PLC     SPONSORED  03235E10       4,223,441     302,106      38,831    263,275               294,806                  7,300
MESA AIR GROUP
INC              COM        59047910       4,221,808     530,378     530,378                          477,928                 52,450
HANMI FINL CORP  COM        41049510       4,215,222     241,560     219,452               22,108     207,652      22,108     11,800
RIGHT MGMT
CONSULTAN        COM        76657310       4,215,068     333,207     333,207                          311,107                 22,100
GRACE W R & CO
DEL N            COM        38388F10       4,211,100     954,898     941,699     12,999       200     820,638         200    134,060
CASCADE CORP     COM        14719510       4,203,300     241,569     241,269        300               226,869                 14,700
PRAECIS
PHARMACEUTIC     COM        73942110       4,201,901     857,531     850,231      7,200       100     762,231         100     95,200
GREAT LAKES REIT
INC              COM        39075210       4,201,632     262,602     262,602                          233,004                 29,598
HARDINGE INC     COM        41232430       4,197,914     518,261     518,261                            7,700     510,561
KAMAN CORP       CL A       48354810       4,195,753     367,404     367,404                          330,307                 37,097
COBALT CORP      COM        19074W10       4,195,344     204,153     204,153                          180,653                 23,500
VALHI INC NEW    COM        91890510       4,195,185     436,090     436,090                          405,190                 30,900
HAWTHORNE FINL
CORP             COM        42054210       4,192,781     120,934     115,454                5,480     104,154       5,480     11,300
DUPONT
PHOTOMASKS IN    COM        26613X10       4,188,358     222,785     222,485        300               203,185                 19,600
NATIONAL WESTN
LIFE             CL A       63852210       4,186,953      37,915      37,915                           35,065                  2,850
AFC ENTERPRISES
INC              COM        00104Q10       4,181,994     255,467     255,467                          234,767                 20,700
OCEANFIRST FINL
CORP             COM        67523410       4,174,807     166,327     166,327                          145,127                 21,200
NABI
BIOPHARMACEUTIC  COM        62951910       4,168,095     599,726     597,797      1,929               527,226                 72,500
CHECK POINT
SOFTWARE         ORD        M2246510       4,166,331     213,658     213,658                          144,762      54,265     14,631
MANUGISTICS
GROUP IN         COM        56501110       4,164,665   1,015,772   1,015,712                   60     905,312          60    110,400
HOLLY CORP       COM PAR $0 43575830       4,159,844     150,719     150,719                          133,669                 17,050
IDINE REWARDS
NETWOR           COM        45168A10       4,148,751     301,947     301,947                          267,297                 34,650
SONICWALL INC    COM        83547010       4,144,426     854,521     850,721      3,800               766,071                 88,450
HANGER
ORTHOPEDIC GR    COM NEW    41043F20       4,117,820     359,635     359,635                          330,485                 29,150
LINDSAY MFG CO   COM        53555510       4,108,848     176,953     176,953                          156,253                 20,700
RAINBOW
TECHNOLOGIES     COM        75086210       4,104,009     487,412     487,412                          452,412                 35,000
CENTRAL PKG CORP COM        15478510       4,102,407     331,910     331,410        500               304,260                 27,650
STANDEX INTL
CORP             COM        85423110       4,099,767     195,227     195,227                          174,927                 20,300
AT RD INC        COM        04648K10       4,094,748     374,977     374,977                          333,777                 41,200
Page Total                               211,306,229


                                                                   Page 43 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
KINDRED
HEALTHCARE I     COM        49458010       4,087,188     230,005     228,905      1,100               210,605                 19,400
MULTIMEDIA GAMES
INC              COM        62545310       4,086,225     160,875     160,875                          143,775                 17,100
STEPAN CO        COM        85858610       4,083,232     180,674     180,674                          171,374                  9,300
HARMONIC INC     COM        41316010       4,081,864   1,002,915   1,002,815        100               886,040                116,875
TOLLGRADE
COMMUNICAT       COM        88954210       4,072,563     218,251     218,251                          196,651                 21,600
RTI INTL METALS
INC              COM        74973W10       4,053,853     374,317     373,597        720               338,517                 35,800
MOLECULAR
DEVICES CO       COM        60851C10       4,046,661     254,507     254,507                          232,007                 22,500
ISIS
PHARMACEUTICALS  COM        46433010       4,041,034     756,748     756,748                          676,298                 80,450
MCGRATH RENTCORP COM        58058910       4,021,127     150,435     150,435                          131,485                 18,950
STANDARD
MICROSYSTEM      COM        85362610       4,017,677     266,601     266,601                          243,001                 23,600
VICOR CORP       COM        92581510       4,007,943     413,190     413,070                  120     380,520         120     32,550
INTRADO INC      COM        46117A10       4,002,206     253,144     253,144                          228,794                 24,350
PTEK HLDGS INC   COM        69366M10       4,000,560     795,340     700,340     95,000               728,140                 67,200
HARRIS
INTERACTIVE I    COM        41454910       3,984,637     616,817     616,817                          543,567                 73,250
AMERON INTL INC  COM        03071010       3,976,505     114,366     114,266        100                99,446                 14,920
INPUT/OUTPUT INC COM        45765210       3,969,320     737,792     737,792                          654,942                 82,850
INFOUSA INC NEW  COM        45681830       3,962,187     489,159     489,159                          438,684                 50,475
ASML HLDG NV     N Y SHS    N0705911       3,961,501     413,950     102,799    311,151               405,750                  8,200
SCS TRANSN INC   COM        81111T10       3,958,999     311,487     224,212     87,055       220     287,992         220     23,275
STRATEX NETWORKS
INC              COM        86279T10       3,951,760   1,266,590   1,266,490                  100   1,115,923         100    150,567
PRG-SCHULTZ
INTERNAT         COM        69357C10       3,951,242     668,569     668,569                          610,869                 57,700
INFORMATION
HLDGS IN         COM        45672710       3,947,566     216,305     216,205        100               198,755                 17,550
INVERESK RESH
GROUP            COM        46123810       3,935,959     219,886     219,886                          203,986                 15,900
CONCEPTUS INC    COM        20601610       3,933,801     280,585     280,585                          245,468                 35,117
PORT FINL CORP   COM        73411910       3,901,774      72,416      71,816        100       500      63,816         500      8,100
CHURCHILL DOWNS
INC              COM        17148410       3,893,985     101,274     100,374        900                89,924                 11,350
A C MOORE ARTS &
CRA              COM        00086T10       3,890,906     193,385     193,385                          169,085                 24,300
CONCORD
COMMUNICATIO     COM        20618610       3,882,487     281,748     278,708      3,000        40     250,258          40     31,450
URSTADT BIDDLE
PPTYS            CL A       91728620       3,878,318     301,580     300,480      1,100               266,730                 34,850
MOVADO GROUP INC COM        62458010       3,871,869     178,017     178,017                          159,517                 18,500
POZEN INC        COM        73941U10       3,867,495     352,552     352,552                          314,461                 38,091
CENTURY BUSINESS
SVC              COM        15649010       3,863,040   1,199,702   1,149,702     50,000             1,080,752                118,950
COMPUCREDIT CORP COM        20478N10       3,855,190     317,561     317,561                          281,261                 36,300
QUICKSILVER
RESOURCE         COM        74837R10       3,848,908     160,706     160,706                          146,006                 14,700
ALARIS MED INC   COM        01163710       3,842,705     296,734     296,734                          274,034                 22,700
II VI INC        COM        90210410       3,836,670     168,719     168,719                          148,319                 20,400
FORRESTER RESH
INC              COM        34656310       3,835,026     237,316     237,316                          209,766                 27,550
ENERGY PARTNERS
LTD              COM        29270U10       3,833,953     331,944     331,944                          304,744                 27,200
HEIDRICK &
STRUGGLES        COM        42281910       3,823,014     302,933     301,933      1,000               270,333                 32,600
ADMINISTAFF INC  COM        00709410       3,820,094     370,883     370,883                          327,183                 43,700
TRC COS INC      COM        87262510       3,811,460     258,229     258,229                          241,479                 16,750
COLE KENNETH
PRODTNS          CL A       19329410       3,807,371     195,350     195,250        100               181,200                 14,150
KONINKLIJKE
PHILIPS          NY REG SH  50047230       3,796,927     198,688     197,806        882               198,688
TRANSMONTAIGNE
INC              COM        89393410       3,791,383     585,090     581,590      3,500               537,110                 47,980
ASK JEEVES INC   COM        04517410       3,783,739     277,197     277,197                          223,497                 53,700
INSIGNIA FINL
GROUP            COM        45767A10       3,780,421     340,272     340,272                          309,022                 31,250
FOMENTO
ECONOMICO ME     SPON ADR U 34441910       3,771,200      91,534      91,534                           45,700      35,000     10,834
TELE NORTE LESTE
PAR              SPON ADR P 87924610       3,768,680     322,661     322,661                          183,981     107,077     31,603
AMERISTAR
CASINOS IN       COM        03070Q10       3,765,223     176,448     176,448                          160,298                 16,150
AMERICAN
WOODMARK CO      COM        03050610       3,760,371      80,059      79,959                  100      71,909         100      8,050
Page Total                               195,717,819


                                                                   Page 44 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
LENDINGTREE INC  COM        52602Q10       3,750,699     154,668     154,668                          129,768                 24,900
ROBBINS & MYERS
INC              COM        77019610       3,750,616     202,736     202,736                          182,586                 20,150
NEW FOCUS INC    COM        64438310       3,745,404   1,001,445   1,001,445                          881,095                120,350
MEMBERWORKS INC  COM        58600210       3,741,718     188,785     188,785                          172,235                 16,550
FIRSTFED AMER
BANCOR           COM        33792910       3,741,145     108,439     108,439                           96,639                 11,800
SAPIENT CORP     COM        80306210       3,737,362   1,354,117   1,311,171     37,846     5,100   1,152,677       5,100    196,340
ORTHODONTIC CTRS
AME              COM        68750P10       3,735,663     466,375     460,975        400     5,000     456,443       5,000      4,932
BEI TECHNOLOGIES
INC              COM        05538P10       3,720,640     310,571     310,571                          287,571                 23,000
COLUMBIA BKG SYS
INC              COM        19723610       3,714,181     206,803     206,803                          180,703                 26,100
NOVEN
PHARMACEUTICAL   COM        67000910       3,703,869     361,706     361,706                          327,656                 34,050
MACATAWA BK CORP COM        55422510       3,703,578     153,167     153,167                          139,295                 13,872
SOLUTIA INC      COM        83437610       3,700,508   1,697,481   1,695,704      1,377       400   1,498,581         400    198,500
LEAPFROG
ENTERPRISES      CL A       52186N10       3,694,731     116,150     116,150                          116,150
FISHER
COMMUNICATION    COM        33775620       3,692,155      75,304      75,304                           68,804                  6,500
SHARPER IMAGE
CORP             COM        82001310       3,688,431     135,256     135,256                          120,906                 14,350
UNITEDGLOBALCOM  CL A       91324750       3,682,526     722,064     721,864        100       100     721,064         100        900
FBL FINL GROUP
INC              CL A       30239F10       3,673,445     182,305     182,305                          156,155                 26,150
REGISTER COM INC COM        75914G10       3,654,584     606,067     606,067                          550,517                 55,550
IMPATH INC       COM        45255G10       3,654,363     258,991     258,991                          233,241                 25,750
FALCONSTOR
SOFTWARE         COM        30613710       3,651,668     546,657     546,657                          483,857                 62,800
RAILAMERICA INC  COM        75075310       3,642,913     431,114     431,114                          390,264                 40,850
DICKS SPORTING
GOODS            COM        25339310       3,634,474      99,086      99,086                           81,586                 17,500
DIMON INC        COM        25439410       3,631,430     507,183     506,483        700               505,783                  1,400
INDEVUS
PHARMACEUTIC     COM        45407210       3,628,042     581,417     581,317                  100     519,617         100     61,700
DATASTREAM SYS
INC              COM        23812410       3,610,105     342,840     342,840                          310,440                 32,400
ALLEGIANT
BANCORP IN       COM        01747610       3,608,245     178,626     178,626                          158,526                 20,100
CLEVELAND CLIFFS
INC              COM        18589610       3,606,538     202,047     201,347        700               177,447                 24,600
PEC SOLUTIONS
INC              COM        70510710       3,594,533     223,819     223,619        200               210,219                 13,600
INTERWOVEN INC   COM        46114T10       3,591,726   1,632,603   1,631,603        900       100   1,437,653         100    194,850
BANK OF GRANITE
CORP             COM        06240110       3,591,232     210,506     210,506                          184,781                 25,725
INTEGRATED
ELECTRICA        COM        45811E10       3,583,885     494,329     490,729      3,600               437,929                 56,400
ASIAINFO HLDGS
INC              COM        04518A10       3,581,530     438,913     438,913                          381,263                 57,650
CB BANCSHARES
INC HA           COM        12478510       3,580,082      57,641      57,641                           51,011                  6,630
SRA INTL INC     CL A       78464R10       3,577,568     111,799     111,699        100                98,149                 13,650
INTERFACE INC    CL A       45866510       3,573,547     775,173     775,173                          689,823                 85,350
BSB BANCORP      COM        05565210       3,565,593     143,716     143,496        220               124,616                 19,100
INTERPORE INTL   COM        46062W10       3,561,634     280,886     280,486        400               248,486                 32,400
LIGHTBRIDGE INC  COM        53222610       3,556,194     413,511     413,511                          367,311                 46,200
PEOPLES BANCORP
INC              COM        70978910       3,555,896     139,666     139,666                          125,666                 14,000
CORVEL CORP      COM        22100610       3,551,400      98,650      98,650                           87,050                 11,600
MOBILE MINI INC  COM        60740F10       3,545,745     217,397     217,097        300               194,397                 23,000
TIERONE CORP     COM        88650R10       3,532,118     180,671     180,671                          149,271                 31,400
LEXICON GENETICS
INC              COM        52887210       3,527,469     534,465     532,765      1,700               468,265                 66,200
U S PHYSICAL
THERAPY          COM        90337L10       3,523,175     269,562     269,562                          251,912                 17,650
STILLWATER MNG
CO               COM        86074Q10       3,515,826     684,013     683,913                  100     588,313         100     95,600
PATHMARK STORES
INC              COM        70322A10       3,511,723     476,489     473,589      2,900               425,939                 50,550
GABELLI ASSET
MGMT I           CL A       36239Y10       3,511,230      97,264      96,864        400                84,864                 12,400
ST FRANCIS CAP
CORP             COM        78937410       3,508,559     120,735     120,735                          111,785                  8,950
RYERSON TULL INC
NEW              COM        78375P10       3,506,099     399,328     399,028                  300     364,878         300     34,150
HEALTHCARE SVCS
GRP              COM        42190610       3,502,852     255,124     255,124                          238,824                 16,300
Page Total                               181,148,649


                                                                   Page 45 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
WILTEL
COMMUNICATNS     COM        97248710       3,500,698     235,262     235,262                          197,862                 37,400
OCWEN FINL CORP  COM        67574610       3,495,836     770,008     726,408      1,000    42,600     656,908      42,600     70,500
WCI CMNTYS INC   COM        92923C10       3,490,494     181,513     181,513                          159,313                 22,200
CHATTEM INC      COM        16245610       3,488,532     185,659     185,659                          165,259                 20,400
GRUPO TELEVISA
SA DE            SP ADR REP 40049J20       3,487,846     101,097     101,097                           57,932      34,507      8,658
PIXELWORKS INC   COM        72581M10       3,487,178     585,097     585,097                          534,947                 50,150
COMMUNITY BKS
INC MI           COM        20362810       3,485,578     118,396     118,396                          103,331                 15,065
TEJON RANCH CO
DEL              COM        87908010       3,483,202     115,721     115,721                          102,021                 13,700
CCBT FINL COS
INC              COM        12500Q10       3,479,409     145,582     127,522     10,060     8,000     119,982       8,000     17,600
INFOSPACE INC    COM NEW    45678T20       3,476,936     254,162     254,144                   18     215,244          18     38,900
J & J SNACK
FOODS CO         COM        46603210       3,468,538     110,463     110,463                          101,563                  8,900
BEL FUSE INC     CL B       07734730       3,462,198     152,789     152,789                          139,489                 13,300
SUPERTEX INC     COM        86853210       3,458,321     188,670     188,670                          172,220                 16,450
PARKER DRILLING
CO               COM        70108110       3,455,127   1,187,329   1,186,329      1,000             1,063,779                123,550
SPSS INC         COM        78462K10       3,450,703     207,999     207,999                          188,799                 19,200
PRIMA ENERGY
CORP             COM PAR $0 74190120       3,447,998     165,055     165,055                          150,205                 14,850
CAPITOL BANCORP
LTD              COM        14056D10       3,446,279     127,169     127,169                          113,119                 14,050
INNKEEPERS USA
TR               COM        4576J010       3,443,948     506,463     506,463                          482,954                 23,509
CIPHERGEN
BIOSYSTEMS       COM        17252Y10       3,440,412     335,650     335,120        530               300,250                 35,400
NAVIGATORS GROUP
INC              COM        63890410       3,439,408     115,339     115,339                          115,339
STONERIDGE INC   COM        86183P10       3,438,325     251,892     251,792        100               232,342                 19,550
PROSPERITY
BANCSHARE        COM        74360610       3,430,675     178,588     178,588                          161,088                 17,500
TOWER AUTOMOTIVE
INC              COM        89170710       3,421,020     934,705     934,705                          834,455                100,250
DAKTRONICS INC   COM        23426410       3,417,559     210,182     209,682        500               187,582                 22,600
INTUITIVE
SURGICAL I       COM        46120E10       3,415,887     450,051     450,051                          401,701                 48,350
KEITHLEY INSTRS
INC              COM        48758410       3,415,734     236,383     236,383                          219,783                 16,600
PLAYBOY
ENTERPRISES      CL B       72811730       3,406,188     250,455     250,455                          214,505                 35,950
INFOCUS CORP     COM        45665B10       3,404,035     721,194     721,094                  100     652,494         100     68,600
ORASURE
TECHNOLOGIES     COM        68554V10       3,389,837     443,696     443,696                          394,796                 48,900
INVERNESS MED
INNOVA           COM        46126P10       3,386,513     175,467     173,418      2,049               156,567                 18,900
ANAREN INC       COM        03274410       3,385,940     355,666     355,666                          319,716                 35,950
REGENT
COMMUNICATION    COM        75886510       3,384,939     551,293     551,293                          502,193                 49,100
TEXAS GENCO
HLDGS IN         COM        88244310       3,365,879     144,769     143,031      1,542       196     143,891         196        682
GENTIVA HEALTH
SERVI            COM        37247A10       3,360,970     371,378     371,378                          327,161                 44,217
ELECTRO RENT
CORP             COM        28521810       3,358,034     313,542     313,542                          313,542
AMERICAN
PHYSICIANS       COM        02888410       3,353,417     136,986     136,986                          119,736                 17,250
GENESEE & WYO
INC              CL A       37155910       3,351,367     162,925     162,925                          147,325                 15,600
HARVEST NATURAL
RESO             COM        41754V10       3,348,307     525,637     525,637                          474,787                 50,850
CHARLES RIVER
ASSOCI           COM        15985210       3,336,029     118,006     118,006                          104,506                 13,500
CORRECTIONAL
PPTYS T          COM        22025E10       3,335,024     119,108     119,108                          107,008                 12,100
FIRST IND CORP   COM        32054R10       3,326,637     193,860     193,860                          170,760                 23,100
STURM RUGER & CO
INC              COM        86415910       3,325,560     332,556     328,636      3,920               303,556                 29,000
SECOND BANCORP
INC              COM        81311410       3,317,707     128,793     128,793                          115,343                 13,450
AVIALL INC NEW   COM        05366B10       3,315,526     291,603     291,603                          256,553                 35,050
BRYN MAWR BK
CORP             COM        11766510       3,309,433      88,393      87,993        400                83,093                  5,300
AMERICAN MED SEC
GRO              COM        02744P10       3,299,200     172,733     128,972     43,761               112,872      43,761     16,100
FIRST PL FINL
CORP             COM        33610T10       3,298,177     195,274     195,274                          170,424                 24,850
NATIONAL
PROCESSING       COM        63722910       3,280,496     204,011     202,311      1,700               203,811                    200
ARENA
PHARMACEUTICAL   COM        04004710       3,276,804     491,275     491,275                          442,125                 49,150
SEACHANGE INTL
INC              COM        81169910       3,270,846     342,856     342,856                          307,456                 35,400
Page Total                               170,114,706


                                                                   Page 46 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
AAR CORP         COM        00036110       3,254,709     461,007     461,007                          405,907                 55,100
SHELL TRANS &
TRADIN           ADR NY SHS 82270360       3,244,268      81,412      81,412                           81,412
SILICON GRAPHICS
INC              COM        82705610       3,242,953   2,844,696   2,844,296        400             2,516,246                328,450
U S B HLDG INC   COM        90291010       3,241,309     182,609     182,609                          165,409                 17,200
HEWITT ASSOCS
INC              COM        42822Q10       3,236,712     137,440     137,440                          137,440
CHOLESTECH CORP  COM        17039310       3,225,978     321,633     321,633                          295,683                 25,950
BALDWIN & LYONS
INC              CL B       05775520       3,217,745     135,484     135,484                          117,761                 17,723
LAWSON PRODS INC COM        52077610       3,216,590     117,351     117,351                           99,952                 17,399
MAGNA ENTMT CORP CL A       55921110       3,213,060     637,512     637,512                          559,312                 78,200
PERICOM
SEMICONDUCTO     COM        71383110       3,212,897     334,921     334,921                          308,171                 26,750
POWELL INDS INC  COM        73912810       3,212,601     219,440     219,440                          206,040                 13,400
SJW CORP         COM        78430510       3,207,190      37,621      37,621                           35,121                  2,500
ONYX
PHARMACEUTICALS  COM        68339910       3,204,186     265,467     265,467                          230,867                 34,600
BANCFIRST CORP   COM        05945F10       3,198,632      61,929      61,929                           56,572                  5,357
ARROW FINL CORP  COM        04274410       3,198,621      96,752      96,752                           86,008                 10,744
RADIO ONE INC    CL A       75040P10       3,196,674     178,685     175,425      3,160       100     172,785         100      5,800
LABONE INC NEW   COM        50540L10       3,187,775     147,856     147,756        100               136,656                 11,200
CENTURY BANCORP
INC              CL A NON V 15643210       3,184,077     106,920      52,920               54,000      45,720      54,000      7,200
AUDIOVOX CORP    CL A       05075710       3,171,805     285,491     285,491                          261,478                 24,013
QUAKER CITY
BANCORP          COM        74731K10       3,164,707      76,093      76,093                           68,593                  7,500
VITAL SIGNS INC  COM        92846910       3,157,952     121,413     121,313        100               112,513                  8,900
CAMDEN NATL CORP COM        13303410       3,152,297     114,629     114,629                           98,129                 16,500
GREAT SOUTHN
BANCORP          COM        39090510       3,151,916      81,783      81,783                           74,033                  7,750
NATIONAL PRESTO
INDS             COM        63721510       3,148,876      99,648      98,928        400       320      88,228         320     11,100
EXCEL TECHNOLOGY
INC              COM        30067T10       3,148,788     137,023     136,923        100               123,473                 13,550
ALEXANDERS INC   COM        01475210       3,146,487      37,687      37,687                           31,627                  6,060
FIRST BUSEY CORP COM        31938310       3,144,982     130,227     130,227                          111,627                 18,600
ADVANCED
MARKETING S      COM        00753T10       3,142,451     241,727     241,727                          217,927                 23,800
NORTHWEST
BANCORP IN       COM        66732810       3,133,207     195,459     195,459                          182,359                 13,100
NII HLDGS INC    CL B NEW   62913F20       3,131,428      82,082      82,082                           64,682                 17,400
CRYOLIFE INC     COM        22890310       3,123,505     301,788     296,188      5,600               275,188                 26,600
INTERCHANGE FINL
SVC              COM        45844710       3,119,678     161,893     161,893                          146,893                 15,000
INFINITY PPTY &
CAS              COM        45665Q10       3,118,865     136,493     136,493                          119,893                 16,600
BUCKEYE
TECHNOLOGIES     COM        11825510       3,115,032     458,093     458,093                          405,643                 52,450
LOOKSMART LTD    COM        54344210       3,114,510   1,116,312   1,116,312                          981,362                134,950
CALGON CARBON
CORP             COM        12960310       3,109,134     540,719     540,719                          479,520                 61,199
TRIZETTO GROUP
INC              COM        89688210       3,101,017     517,699     517,699                          467,887                 49,812
SPECTRALINK CORP COM        84758010       3,100,913     316,743     316,593        150               282,593                 34,150
CORNELL
COMPANIES IN     COM        21914110       3,100,172     204,767     204,467        300               177,167                 27,600
MANTECH INTL
CORP             CL A       56456310       3,096,248     161,347     161,347                          142,847                 18,500
QUAKER CHEM CORP COM        74731610       3,095,628     123,578     123,038                  540     107,038         540     16,000
4 KIDS ENTMT INC COM        35086510       3,095,207     166,409     166,409                          149,309                 17,100
ALLOY INC        COM        01985510       3,094,245     479,728     479,728                          428,828                 50,900
DEPARTMENT 56
INC              COM        24950910       3,089,270     201,518     201,518                          175,218                 26,300
LEARNING TREE
INTL I           COM        52201510       3,082,075     196,812     196,812                          175,062                 21,750
PORTFOLIO
RECOVERY A       COM        73640Q10       3,081,554     100,018     100,018                           84,518                 15,500
FINANCIAL INSTNS
INC              COM        31758540       3,079,090     130,636     130,636                          116,536                 14,100
SHOE CARNIVAL
INC              COM        82488910       3,078,670     208,582     208,582                          193,882                 14,700
SALEM
COMMUNICATIONS   CL A       79409310       3,076,335     152,068     152,068                          138,018                 14,050
BOYKIN LODGING
CO               COM        10343010       3,065,868     393,060     392,960        100               348,653                 44,407
Page Total                               157,627,889


                                                                   Page 47 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
ABLE
LABORATORIES IN  COM NEW    00371N40       3,065,201     155,594     155,594                          135,694                 19,900
PRESSTEK INC     COM        74111310       3,063,048     494,040     494,040                          429,990                 64,050
HERLEY INDS INC
DEL              COM        42739810       3,062,051     182,591     182,591                          164,841                 17,750
PINNACLE ENTMT
INC              COM        72345610       3,057,320     449,606     449,386                  220     412,886         220     36,500
KOS
PHARMACEUTICALS  COM        50064810       3,054,583     130,315     130,315                          121,115                  9,200
CITY BK LYNNWOOD
WAS              COM        17770A10       3,046,956     112,600     112,600                          101,400                 11,200
PLAYTEX PRODS
INC              COM        72813P10       3,038,021     473,212     473,112                  100     429,462         100     43,650
RUDOLPH
TECHNOLOGIES     COM        78127010       3,037,108     190,295     190,295                          172,445                 17,850
TROY FINL CORP   COM        89732910       3,036,808     111,853     111,853                          101,553                 10,300
TARO
PHARMACEUTICAL   ORD        M8737E10       3,033,913      55,132      55,132                           33,085      17,364      4,683
GART SPORTS CO   COM        36663010       3,030,625     106,825     106,825                           95,125                 11,700
MYERS INDS INC   COM        62846410       3,008,811     316,717     316,717                          292,347                 24,370
CREDIT ACCEP
CORP MI          COM        22531010       3,005,940     300,594     300,594                          276,194                 24,400
NL INDS INC      COM NEW    62915640       3,003,101     176,653     175,765                  888     163,565         888     12,200
KEYNOTE SYS INC  COM        49330810       3,002,121     286,462     286,462                          257,862                 28,600
VASTERA INC      COM        92239N10       2,997,455     503,774     503,774                          435,327                 68,447
WEST MARINE INC  COM        95423510       2,991,003     171,798     171,298                  500     152,948         500     18,350
X-RITE INC       COM        98385710       2,988,300     298,830     298,830                          269,730                 29,100
COCA COLA
BOTTLING C       COM        19109810       2,984,818      54,667      54,467                  200      49,007         200      5,460
SKECHERS U S A
INC              CL A       83056610       2,983,162     403,130     403,130                          376,680                 26,450
ENTERPRISE PRODS
PAR              COM        29379210       2,979,299     132,237     132,237                          132,237
COACHMEN INDS
INC              COM        18987310       2,978,190     249,221     249,221                          229,321                 19,900
RC2 CORP         COM        74938810       2,975,378     173,694     173,694                          154,794                 18,900
TEEKAY SHIPPING
MARS             COM        Y8564W10       2,946,543      68,684      35,800     26,634     6,250      62,434       6,250
ARTESYN
TECHNOLOGIES     COM        04312710       2,943,264     525,583     525,583                          451,142                 74,441
PHARMACOPEIA INC COM        71713B10       2,937,660     356,080     356,080                          319,430                 36,650
SOUTHWEST
BANCORP IN       COM        84476710       2,934,817     107,032     107,032                           98,932                  8,100
AMERICAN HOME
MTG HL           COM        02660M10       2,932,439     151,469     151,469                          133,269                 18,200
KENSEY NASH CORP COM        49005710       2,927,289     114,258     114,258                          102,958                 11,300
CCC INFORMATION
SVCS             COM        12487Q10       2,926,574     209,041     209,041                          186,041                 23,000
MIDDLESEX WATER
CO               COM        59668010       2,918,002     118,618     118,618                          106,618                 12,000
ADVANTA CORP     CL B       00794220       2,913,833     291,675     291,675                          261,025                 30,650
CASCADE BANCORP  COM        14715410       2,906,713     170,282     170,282                          151,382                 18,900
ELIZABETH ARDEN
INC              COM        28660G10       2,902,038     220,185     220,185                          194,185                 26,000
DEB SHOPS INC    COM        24272810       2,898,159     154,651     154,651                          145,351                  9,300
EURONET
WORLDWIDE IN     COM        29873610       2,897,060     269,494     267,494                2,000     232,794       2,000     34,700
ITLA CAP CORP    COM        45056510       2,892,653      72,154      72,154                           64,954                  7,200
TWEETER HOME
ENTMT G          COM        90116710       2,889,728     332,918     332,518        400               299,418                 33,500
EPIX MEDICAL INC COM        26881Q10       2,884,422     205,297     205,297                          186,797                 18,500
PAXSON
COMMUNICATION    COM        70423110       2,880,968     480,963     480,963                          408,863                 72,100
WHITE ELECTR
DESIGNS          COM        96380110       2,875,982     272,605     272,605                          245,105                 27,500
NEOPHARM INC     COM        64091910       2,874,277     208,432     208,432                          181,235                 27,197
WORLD ACCEP CORP
DEL              COM        98141910       2,868,196     177,268     177,268                          157,668                 19,600
COVENANT TRANS
INC              CL A       22284P10       2,867,092     167,080     167,080                          154,980                 12,100
CIRCOR INTL INC  COM        17273K10       2,865,387     160,706     160,706                          144,156                 16,550
FRIEDMANS INC    CL A       35843810       2,864,193     251,908     251,908                          225,408                 26,500
DRUGSTORE COM
INC              COM        26224110       2,862,020     490,072     490,072                          442,572                 47,500
INTEGRAL SYS INC
MD               COM        45810H10       2,857,189     145,035     145,035                          130,685                 14,350
CONCURRENT
COMPUTER         COM        20671020       2,855,757     984,744     984,744                          843,394                141,350
ASPECT
COMMUNICATION    COM        04523Q10       2,854,174     810,845     810,845                          701,920                108,925
Page Total                               147,599,641


                                                                   Page 48 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
NS GROUP INC     COM        62891610       2,853,747     292,692     292,692                          260,442                 32,250
SANDERSON FARMS
INC              COM        80001310       2,852,964     101,529     101,329                  200      93,929         200      7,400
PEAPACK-
GLADSTONE FI     COM        70469910       2,848,748      88,940      88,940                           79,740                  9,200
CONNECTICUT WTR
SVC              COM        20779710       2,846,748     111,506     111,506                          100,256                 11,250
TELETECH
HOLDINGS IN      COM        87993910       2,842,747     738,376     738,376                          669,976                 68,400
CURATIVE HEALTH
SVCS             COM        23126410       2,839,341     167,909     167,909                          152,359                 15,550
QUIXOTE CORP     COM        74905610       2,835,352     111,716     111,716                          101,816                  9,900
MRV
COMMUNICATIONS I COM        55347710       2,831,806   1,459,694   1,459,594                  100   1,261,494         100    198,100
MIDWEST BANC
HOLDING          COM        59825110       2,830,406     145,747     145,747                          131,055                 14,692
COURIER CORP     COM        22266010       2,825,290      54,860      54,860                           49,810                  5,050
BASSETT
FURNITURE IN     COM        07020310       2,824,942     214,988     214,348                  640     195,448         640     18,900
S Y BANCORP INC  COM        78506010       2,815,911      79,613      79,613                           72,713                  6,900
QUIDEL CORP      COM        74838J10       2,815,103     452,589     452,589                          395,939                 56,650
GENE LOGIC INC   COM        36868910       2,810,387     472,334     472,234        100               421,009                 51,325
SCHNITZER STL
INDS             CL A       80688210       2,810,060      63,865      63,765        100                53,665                 10,200
GENERAL CABLE
CORP D           COM        36930010       2,808,691     520,128     520,128                          459,478                 60,650
BRUSH ENGINEERED
MAT              COM        11742110       2,808,171     336,308     336,308                          336,308
SUPERIOR
FINANCIAL C      COM        86816110       2,803,759     117,805     117,805                          106,805                 11,000
KEYSTONE
AUTOMOTIVE       COM        49338N10       2,798,978     157,246     157,246                          141,196                 16,050
MONOLITHIC SYS
TECHN            COM        60984210       2,798,902     305,891     305,891                          274,691                 31,200
STAMPS COM INC   COM        85285710       2,798,203     582,959     582,959                          523,759                 59,200
PENN ENGR & MFG
CORP             COM NON VT 70738930       2,788,381     204,277     204,277                          173,327                 30,950
MIDLAND CO       COM        59748610       2,784,373     126,161     126,161                          116,061                 10,100
ASPEN TECHNOLOGY
INC              COM        04532710       2,780,806     586,668     586,668                          506,568                 80,100
VOLT INFORMATION
SCI              COM        92870310       2,779,972     203,661     203,661                          185,211                 18,450
TAYLOR CAP GROUP
INC              COM        87685110       2,774,009     133,046     133,046                          123,446                  9,600
NYFIX INC        COM        67071210       2,772,464     437,988     434,568      2,400     1,020     390,968       1,020     46,000
CONCORD CAMERA
CORP             COM        20615610       2,771,673     398,229     398,229                          359,579                 38,650
WINSTON HOTELS
INC              COM        97563A10       2,767,497     338,739     338,739                          302,996                 35,743
STANLEY
FURNITURE IN     COM NEW    85430520       2,765,902     101,056     101,056                           92,556                  8,500
ULTIMATE ELECTRS
INC              COM        90384910       2,760,728     216,358     216,358                          192,508                 23,850
GOODYS FAMILY
CLOTHI           COM        38258810       2,760,539     320,993     320,993                          272,943                 48,050
AETHER SYS INC   COM        00808V10       2,755,060     573,971     565,771      8,200               497,071                 76,900
MRO SOFTWARE INC COM        55347W10       2,753,779     319,835     319,835                          284,035                 35,800
SUN BANCORP INC  COM        86663B10       2,750,431     138,491     138,491                          123,161                 15,330
TERAYON
COMMUNICATIO     COM        88077510       2,740,438   1,011,232   1,011,232                          872,332                138,900
PENNROCK FINL
SVCS C           COM        70835210       2,738,270     102,327     102,327                           91,792                 10,535
GIBRALTAR STL
CORP             COM        37476F10       2,736,803     133,113     133,113                          121,463                 11,650
SUREBEAM CORP    CL A       86866R10       2,733,242   1,012,312   1,011,243                1,069     890,376       1,069    120,867
ENCORE
ACQUISITION C    COM        29255W10       2,732,590     142,694     142,694                          131,294                 11,400
VIRGINIA FINL
CORP             COM        92781010       2,725,143      99,349      99,349                           88,949                 10,400
UNIVERSAL
ELECTRS IN       COM        91348310       2,723,464     216,148     215,848        300               191,248                 24,900
MAPICS INC       COM        56491010       2,715,607     331,576     331,576                          304,076                 27,500
AAON INC         COM PAR $0 00036020       2,713,105     146,496     146,496                          134,896                 11,600
FEDERAL AGRIC
MTG CO           CL C       31314830       2,712,105     121,347     121,247                  100     110,347         100     10,900
BROOKSTONE INC   COM        11453710       2,710,240     135,512     135,512                          119,162                 16,350
SHENANDOAH
TELECOMMU        COM        82312B10       2,709,948      56,223      56,223                           50,123                  6,100
CITIZENS INC     CL A       17474010       2,705,319     372,121     372,121                          332,621                 39,500
INTERTAN INC     COM        46112010       2,699,571     329,216     329,216                          278,666                 50,550
COLDWATER CREEK
INC              COM        19306810       2,698,751     219,768     219,618        150               219,768
Page Total                               138,860,466


                                                                   Page 49 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
MICROSTRATEGY
INC              CL A NEW   59497240       2,698,271      73,683      73,683                           59,383                 14,300
STMICRO-
ELECTRONICS N    NY REGISTR 86101210       2,695,277     129,643     129,643                          129,643
PEETS COFFEE &
TEA I            COM        70556010       2,694,467     154,234     140,344        890    13,000     124,434      13,000     16,800
RAYTECH CORP DEL COM        75510310       2,690,322     633,017     633,017                          574,967                 58,050
BUNGE LIMITED    COM        G1696210       2,685,797      93,909      93,909                           92,949                    960
KYPHON INC       COM        50157710       2,683,404     179,013     179,013                          154,713                 24,300
CASELLA WASTE
SYS IN           CL A       14744810       2,676,866     300,434     300,414                   20     266,314          20     34,100
CMGI INC         COM        12575010       2,671,772   1,769,386   1,767,356      1,825       205   1,223,081         205    546,100
FIRST BANCORP
N C              COM        31891010       2,669,481     103,029     102,129        900                91,329                 11,700
BLAIR CORP       COM        09282810       2,667,751     120,169     120,169                          106,919                 13,250
WYNN RESORTS LTD COM        98313410       2,653,052     149,552     149,552                          149,552
CITIZENS FIRST
BANCO            COM        17461R10       2,651,869     125,681     125,681                          105,444                 20,237
TRANSMETA CORP
DEL              COM        89376R10       2,648,948   1,655,593   1,655,593                        1,417,043                238,550
BROOKFIELD HOMES
COR              COM        11272310       2,645,933     171,591     171,591                          151,191                 20,400
UNITED INDL CORP COM        91067110       2,645,049     162,273     162,273                          139,273                 23,000
OPTION CARE INC  COM        68394810       2,642,281     229,564     229,564                          199,614                 29,950
CNA SURETY CORP  COM        12612L10       2,641,622     268,185     268,185                          245,385                 22,800
FARMERS CAP BK
CORP             COM        30956210       2,631,057      82,375      82,375                           73,625                  8,750
NETEGRITY INC    COM        64110P10       2,630,466     439,143     439,123                   20     398,723          20     40,400
MSC SOFTWARE
CORP             COM        55353110       2,629,705     390,164     390,164                          348,514                 41,650
VERINT SYS INC   COM        92343X10       2,619,009     103,314     103,314                           95,714                  7,600
HORIZON ORGANIC
HOLD             COM        44043T10       2,611,835     109,972     109,972                           95,672                 14,300
ABN AMRO HLDG NV SPONSORED  00093710       2,609,488     136,694     136,694                          136,694
IXIA             COM        45071R10       2,607,909     404,327     404,327                          351,177                 53,150
SEACOAST BKG
CORP FL          COM        81170730       2,594,062     150,555     150,555                          136,755                 13,800
AO TATNEFT       SPON ADR R 03737P30       2,586,975     136,085     136,085                           78,488      44,277     13,320
NATURES SUNSHINE
PRO              COM        63902710       2,584,961     323,930     323,430        500               317,130                  6,800
DURA AUTOMOTIVE
SYST             CL A       26590310       2,584,745     256,169     256,169                          230,769                 25,400
VAIL RESORTS INC COM        91879Q10       2,581,431     191,643     191,643                          167,343                 24,300
BENTLEY
PHARMACEUTIC     COM        08265710       2,576,926     195,964     195,964                          172,064                 23,900
REED ELSEVIER
N V              SPONSORED  75820410       2,574,785     108,412     108,412                           22,858      85,554
KANSAS CITY LIFE
INS              COM        48483610       2,573,998      60,084      60,084                           54,784                  5,300
LYDALL INC DEL   COM        55081910       2,570,364     240,221     240,221                          217,851                 22,370
CFS BANCORP INC  COM        12525D10       2,568,765     171,251     171,251                          146,651                 24,600
SUPERGEN INC     COM        86805910       2,567,860     481,775     481,775                          431,875                 49,900
IMMUNOGEN INC    COM        45253H10       2,567,008     601,173     601,173                          530,016                 71,157
ALCAN INC        COM        01371610       2,556,393      81,700      81,700                           81,570                    130
UNIVERSAL
DISPLAY CO       COM        91347P10       2,556,269     288,844     288,844                          260,844                 28,000
APPLICA INC      COM        03815A10       2,553,017     300,355     300,355                          253,555                 46,800
MTC TECHNOLOGIES
INC              COM        55377A10       2,550,122     107,103     107,103                           98,503                  8,600
BERKSHIRE HILLS
BANC             COM        08468010       2,548,019      89,719      89,719                           78,119                 11,600
AXA              SPONSORED  05453610       2,545,725     163,083     110,840     52,243               151,260                 11,823
STEIN MART INC   COM        85837510       2,544,921     434,287     434,287                          398,787                 35,500
OMNOVA SOLUTIONS
INC              COM        68212910       2,544,036     629,712     629,712                          567,812                 61,900
TENARIS S A      SPONSORED  88031M10       2,534,139      99,378      99,378                           58,738      31,860      8,780
FIRST NATL CORP
ORAN             COM        32094210       2,534,012     102,758     102,758                           89,943                 12,815
GRAY TELEVISION
INC              COM        38937510       2,526,103     203,718     194,218      9,500               147,618                 56,100
U S I HLDGS      COM        90333H10       2,525,819     215,882     215,882                          186,882                 29,000
MISSION WEST
PPTYS I          COM        60520310       2,519,989     221,635     221,635                          198,235                 23,400
LTC PPTYS INC    COM        50217510       2,519,204     263,791     263,791                          259,691                  4,100
Page Total                               130,191,279


                                                                   Page 50 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
CLARK INC        COM        18145710       2,517,781     210,693     210,693                          187,343                 23,350
NAVIGANT INTL
INC              COM        63935R10       2,515,770     195,021     195,021                          173,571                 21,450
BANK OF THE
OZARKS I         COM        06390410       2,515,011      65,461      65,461                           57,861                  7,600
LAKELAND BANCORP
INC              COM        51163710       2,513,749     157,306     157,306                          140,769                 16,537
NBC CAP CORP     COM        62872910       2,506,951      99,089      99,089                           83,557                 15,532
VIVUS INC        COM        92855110       2,502,300     495,505     495,505                          441,580                 53,925
WESTELL
TECHNOLOGIES     CL A       95754110       2,500,005     301,933     301,933                          234,233                 67,700
GREEN MTN COFFEE
ROA              COM        39312210       2,499,089     131,531     131,531                          129,731                  1,800
GULF ISLAND
FABRICAT         COM        40230710       2,480,863     146,450     146,450                          134,450                 12,000
THREE FIVE SYS
INC              COM        88554L10       2,475,927     358,830     358,830                          314,930                 43,900
RIVIANA FOODS
INC              COM        76953610       2,475,156      92,116      92,116                           83,716                  8,400
TAIWAN
SEMICONDUCTOR    SPONSORED  87403910       2,470,003     245,040     245,040                          245,040
TRIPATH IMAGING
INC              COM        89694210       2,469,596     363,176     363,176                          312,976                 50,200
ENERGY
CONVERSION DE    COM        29265910       2,469,116     262,672     262,672                          236,922                 25,750
GERON CORP       COM        37416310       2,466,325     338,781     338,781                          296,681                 42,100
INET
TECHNOLOGIES IN  COM        45662V10       2,465,935     244,394     244,394                          223,594                 20,800
BUCKLE INC       COM        11844010       2,446,056     127,200     127,200                          117,001                 10,199
GARTNER INC      CL B       36665120       2,441,017     325,469     325,159        310               325,469
EXACT SCIENCES
CORP             COM        30063P10       2,440,262     222,855     222,655        200               172,875                 49,980
NASH FINCH CO    COM        63115810       2,430,419     145,796     145,796                          129,596                 16,200
EMBRAER-EMPRESA
BRAS             SP ADR PFD 29081M10       2,428,049     127,123     127,123                           70,963      45,481     10,679
SELECT COMFORT
CORP             COM        81616X10       2,427,016     147,539     147,539                          118,339                 29,200
GLADSTONE
CAPITAL CO       COM        37653510       2,425,753     118,445     118,445                          105,645                 12,800
AMCOL INTL CORP  COM        02341W10       2,422,352     302,794     302,794                          268,994                 33,800
HICKORY TECH
CORP             COM        42906010       2,421,572     216,019     215,019      1,000               197,019                 19,000
MONRO MUFFLER
BRAKE            COM        61023610       2,421,345      85,681      85,681                           77,081                  8,600
VISTACARE INC    CL A       92839Y10       2,415,458      98,711      98,711                           82,311                 16,400
UNIVERSAL AMERN
FINL             COM        91337710       2,399,326     389,501     389,501                          350,851                 38,650
AMN HEALTHCARE
SERVI            COM        00174410       2,398,522     188,860     187,760      1,100               188,173                    687
C COR NET CORP   COM        12501010       2,398,319     489,453     489,453                          433,703                 55,750
DIGIMARC CORP    COM        25380710       2,393,747     152,468     152,468                          137,268                 15,200
SANTANDER
BANCORP          COM        80280910       2,393,304     146,290     146,290                          133,090                 13,200
LYON WILLIAM
HOMES            COM        55207410       2,383,431      74,833      74,833                           66,233                  8,600
MATERIAL
SCIENCES CO      COM        57667410       2,383,086     245,679     245,679                          245,679
LSI INDS INC     COM        50216C10       2,375,810     214,037     214,037                          195,287                 18,750
MTR GAMING GROUP
INC              COM        55376910       2,374,541     308,382     308,382                          276,132                 32,250
NATIONAL
HEALTHCARE       COM        63590610       2,372,010     120,529     120,529                          108,829                 11,700
WARNACO GROUP
INC              CL A NEW   93439040       2,367,373     176,275     176,275                          128,575                 47,700
AMERICAN NATL
BANKSH           COM        02774510       2,363,839      91,057      91,057                           83,057                  8,000
CEMEX S A        SPON ADR 5 15129088       2,361,714     105,954     105,954                           63,364      33,182      9,408
APEX MORTGAGE
CAPITA           COM        03756410       2,360,939     431,616     431,616                          393,466                 38,150
DRIL-QUIP INC    COM        26203710       2,359,721     129,655     129,555        100               119,655                 10,000
GERMAN AMERN
BANCORP          COM        37386510       2,356,369     134,496     134,496                          119,448                 15,048
PRIVATEBANCORP
INC              COM        74296210       2,350,132      86,117      86,117                           77,067                  9,050
TENNECO
AUTOMOTIVE I     COM        88034910       2,346,782     651,884     651,814         20        50     585,234          50     66,600
SBS TECHNOLOGIES
INC              COM        78387P10       2,346,304     240,400     240,400                          215,300                 25,100
AVANEX CORP      COM        05348W10       2,344,716     593,599     593,411        188               509,599                 84,000
ASBURY
AUTOMOTIVE GR    COM        04343610       2,343,767     173,870     173,870                          157,470                 16,400
PILGRIMS PRIDE
CORP             CL B       72146710       2,343,495     242,347     242,347                          211,297                 31,050
ALTIRIS INC      COM        02148M10       2,342,867     117,202     117,202                          103,002                 14,200
Page Total                               121,022,990


                                                                   Page 51 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
MIM CORP         COM        55304410       2,342,238     359,239     359,239                          328,189                 31,050
CPI CORP         COM        12590210       2,342,066     132,695     130,395      2,300               130,595                  2,100
ASTEC INDS INC   COM        04622410       2,337,387     268,049     267,989                   60     244,689          60     23,300
ENCYSIVE
PHARMACEUTI      COM        29256X10       2,328,854     487,208     487,208                          425,108                 62,100
GALYANS TRADING
INC              COM        36458R10       2,327,430     165,066     165,066                          144,914                 20,152
RESOURCE AMERICA
INC              CL A       76119520       2,324,682     224,607     224,607                          199,457                 25,150
CSS INDS INC     COM        12590610       2,322,059      60,235      58,935      1,300                50,635                  9,600
ALLIANCE
SEMICONDUCT      COM        01877H10       2,321,450     475,707     475,707                          400,957                 74,750
DOT HILL SYS
CORP             COM        25848T10       2,315,700     176,771     176,771                          137,971                 38,800
OVERLAND STORAGE
INC              COM        69031010       2,313,489     113,685     113,685                          102,285                 11,400
CLOSURE MED CORP COM        18909310       2,312,874     124,415     124,415                          114,315                 10,100
1-800 CONTACTS
INC              COM        68197710       2,311,125      93,910      93,810        100                83,910                 10,000
ROXIO INC        COM        78000810       2,307,799     355,046     355,012         34               301,538                 53,508
UNILEVER N V     N Y SHS NE 90478470       2,301,696      42,624      42,624                           42,354                    270
TELECOM ITALIA
SPA              SPON ADR O 87927W10       2,298,177      25,355      25,355                           25,355
CARDIAC SCIENCE
INC              COM NEW    14141020       2,298,069     851,137     851,137                          740,287                110,850
SYKES
ENTERPRISES IN   COM        87123710       2,288,216     472,772     472,772                          406,022                 66,750
ON ASSIGNMENT
INC              COM        68215910       2,284,620     565,500     565,500                          565,400                    100
OSI SYSTEMS INC  COM        67104410       2,281,602     145,325     145,325                          128,025                 17,300
SCICLONE
PHARMACEUTI      COM        80862K10       2,271,524     265,365     265,365                          208,965                 56,400
ABC BANCORP      COM        00040010       2,268,856     160,004     160,004                          143,804                 16,200
RIVERSTONE
NETWORKS         COM        76932010       2,268,358   1,938,768   1,912,575     26,112        81   1,656,507          81    282,180
PACIFIC UN BK
CALIF            COM        69502510       2,268,111     173,403     173,403                          157,003                 16,400
ORTHOLOGIC CORP  COM        68750J10       2,266,503     500,332     500,332                          449,332                 51,000
OCTEL CORP       COM        67572710       2,265,825     163,009     163,009                          147,059                 15,950
UNIBANCO-UNIAO
DE BA            GDR REP PF 90458E10       2,260,915     131,755     131,755                           71,558      47,528     12,669
VITALWORKS INC   COM        92848310       2,259,432     580,831     580,831                          523,981                 56,850
BOSTON BEER INC  CL A       10055710       2,256,883     156,728     141,958     14,570       200     144,028         200     12,500
NORTEL NETWORKS
CORP             NOTE  4.25 656568AB       2,255,000   2,750,000   2,750,000                        2,750,000
WASHINGTON GROUP
INT              COM NEW    93886220       2,234,982     102,054     102,054                           67,254                 34,800
NEOSE
TECHNOLOGIES I   COM        64052210       2,226,340     222,634     222,534                  100     191,134         100     31,400
EMS TECHNOLOGIES
INC              COM        26873N10       2,224,622     164,909     164,909                          148,459                 16,450
SAFENET INC      COM        78645R10       2,221,446      80,081      80,081                           66,681                 13,400
GAMESTOP CORP    CL A       36466R10       2,218,015     171,673     171,673                          170,316                  1,357
INSURANCE AUTO
AUCTI            COM        45787510       2,217,335     175,145     175,045        100               154,845                 20,300
REPUBLIC
BANCSHARES       COM        75992910       2,214,525      87,427      87,427                           77,427                 10,000
WEST
BANCORPORATION   CAP STK    95123P10       2,206,910     123,360     123,360                           99,260                 24,100
ACADIA RLTY TR   COM SH BEN 00423910       2,194,920     239,882     239,882                          230,082                  9,800
HUMBOLDT BANCORP COM        44506910       2,186,050     146,322     146,322                          126,622                 19,700
CORVIS CORP      COM        22100910       2,185,242   1,507,064   1,506,884                  180   1,067,384         180    439,500
OPNET
TECHNOLOGIES I   COM        68375710       2,185,099     179,548     179,548                          179,548
COMPUTER
HORIZONS CO      COM        20590810       2,182,078     480,634     480,634                          420,334                 60,300
PEGASUS
COMMUNICATIO     CL A NEW   70590460       2,180,963      74,793      74,783                   10      74,783          10
TYLER
TECHNOLOGIES I   COM        90225210       2,180,173     512,982     512,982                          455,095                 57,887
STANDARD COML
CORP             COM        85325810       2,179,961     128,233     128,033        200               127,533                    700
MATRIA
HEALTHCARE IN    COM NEW    57681720       2,173,761     123,299     123,299                          109,799                 13,500
INTERCEPT INC    COM        45845L10       2,173,134     258,092     254,492      3,500       100     230,142         100     27,850
HYPERCOM CORP    COM        44913M10       2,160,714     520,654     520,654                          445,254                 75,400
PORTAL SOFTWARE
INC              COM        73612610       2,156,903   1,141,219   1,138,699      2,420       100     949,319         100    191,800
BIORELIANCE CORP COM        09095110       2,156,252     101,710     101,710                          101,710
Page Total                               112,660,365


                                                                   Page 52 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
BONE CARE INTL
INC              COM        09807210       2,155,945     155,104     155,104                          136,104                 19,000
DREXLER
TECHNOLOGY C     COM        26187610       2,155,046     140,029     137,379        950     1,700     126,729       1,700     11,600
ASSOCIATED
ESTATES R        COM        04560410       2,152,594     327,640     327,140        500               314,508                 13,132
PRIMUS
TELECOMMUNICA    COM        74192910       2,148,518     417,188     417,188                          340,788                 76,400
LODGENET ENTMT
CORP             COM        54021110       2,140,553     195,663     195,663                          169,313                 26,350
LAKELAND FINL
CORP             COM        51165610       2,137,528      71,657      71,657                           63,157                  8,500
YARDVILLE NATL
BANCO            COM        98502110       2,133,321     109,289     109,289                           95,189                 14,100
SYNAPTICS INC    COM        87157D10       2,127,583     159,489     159,489                          137,289                 22,200
CEPHEID          COM        15670R10       2,121,110     431,998     431,998                          384,498                 47,500
ZYGO CORP        COM        98985510       2,120,093     262,713     262,713                          225,263                 37,450
1 800 FLOWERS
COM              CL A       68243Q10       2,105,839     250,994     250,994                          223,294                 27,700
XICOR INC        COM        98490310       2,101,877     337,380     337,280                  100     292,230         100     45,050
FIRST OAK BROOK
BANC             COM        33584720       2,100,506      63,671      63,671                           57,571                  6,100
SS&C
TECHNOLOGIES IN  COM        85227Q10       2,097,661     133,609     133,609                          115,809                 17,800
HEALTHEXTRAS INC COM        42221110       2,097,217     268,874     268,874                          240,174                 28,700
RADIANT SYSTEMS
INC              COM        75025N10       2,093,026     305,998     305,998                          278,748                 27,250
INSPIRE
PHARMACEUTIC     COM        45773310       2,091,870     192,977     192,977                          150,177                 42,800
WOODHEAD INDS
INC              COM        97943810       2,090,526     176,714     176,714                          159,814                 16,900
KIRKLANDS INC    COM        49749810       2,084,214     126,316     126,316                          110,116                 16,200
REGENERATION
TECH IN          COM        75886N10       2,081,178     157,665     157,665                          122,465                 35,200
SOUTHWEST WTR CO COM        84533110       2,081,040     148,752     148,442        310               134,052                 14,700
ENCORE WIRE CORP COM        29256210       2,073,949     223,727     211,427     12,300               203,427                 20,300
BIOPURE CORP     CL A       09065H10       2,072,891     343,194     338,324      2,870     2,000     293,094       2,000     48,100
CHESAPEAKE UTILS
COR              COM        16530310       2,072,600      91,708      91,708                           80,908                 10,800
BROOKFIELD PPTYS
COR              COM        11290010       2,071,875      97,500      97,500                           97,500
LUFKIN INDS INC  COM        54976410       2,067,041      84,507      84,507                           76,607                  7,900
STATE BANCORP
INC N.           COM        85571610       2,066,611     105,601     105,601                           94,051                 11,550
CENTRAL COAST
BANCOR           COM        15314510       2,063,800     123,065     123,065                          111,625                 11,440
APHTON CORP      COM        03759P10       2,058,094     249,466     249,466                          249,466
B A S F  A G     SPONSORED  05526250       2,050,107      48,102      48,102                           48,102
AMERICAN LD
LEASE IN         COM        02711810       2,048,104     121,911     121,911                          105,311                 16,600
F N B CORP VA    COM        30293010       2,045,731      75,544      75,544                           65,494                 10,050
L S B BANCSHARES
N C              COM        50215810       2,039,005     119,871     119,871                          107,021                 12,850
COLUMBIA BANCORP COM        19722710       2,034,751      84,746      84,746                           75,546                  9,200
NN INC           COM        62933710       2,034,487     160,702     160,702                          160,702
CELLTECH GROUP
PLC              SPONSORED  15115810       2,031,357     182,676      18,542    164,134               175,876                  6,800
ZYMOGENETICS INC COM        98985T10       2,020,479     173,283     173,283                          156,883                 16,400
ENTRUST INC      COM        29384810       2,017,464     712,885     712,785                  100     634,685         100     78,100
MOLDFLOW CORP    COM        60850710       2,015,104     224,900     224,900                          224,900
YOUNG
INNOVATIONS IN   COM        98752010       2,014,750      70,693      70,593        100                61,493                  9,200
NATIONAL
AUSTRALIA B      SPONSORED  63252540       2,004,897      17,861      17,861                           17,861
MERCHANTS
BANCSHARES       COM        58844810       2,002,723      77,385      59,055               18,330      59,055      18,330
OLD DOMINION
FGHT LI          COM        67958010       2,002,625      93,712      93,712                           76,912                 16,800
INTERPOOL INC    COM        46062R10       2,000,005     121,803     115,698      6,105               121,703                    100
CRAWFORD & CO    CL B       22463310       1,999,008     407,130     407,130                          368,870                 38,260
MILACRON INC     COM        59870910       1,987,178     406,376     406,364                   12     355,164          12     51,200
RENT WAY INC     COM        76009U10       1,983,992     426,665     426,665                          360,365                 66,300
RPC INC          COM        74966010       1,981,529     180,139     180,139                          162,039                 18,100
MAINSOURCE
FINANCIAL        COM        56062Y10       1,981,180      81,463      81,463                           67,903                 13,560
E-LOAN INC       COM        26861P10       1,976,555     356,779     356,779                          287,479                 69,300
Page Total                               103,235,137


                                                                   Page 53 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
AVENTIS          SPONSORED  05356110       1,975,928      36,123      33,234      2,889                34,623                  1,500
MIDAS GROUP INC  COM        59562610       1,975,111     162,963     159,063      3,900               143,463                 19,500
SIZELER PPTY
INVS IN          COM        83013710       1,973,442     192,531     192,531                          192,531
THERAGENICS CORP COM        88337510       1,964,820     456,935     456,935                          411,185                 45,750
TEPPCO PARTNERS
L P              UT LTD PAR 87238410       1,963,187      53,639      51,239                2,400      50,539       2,400        700
RIBAPHARM INC    COM        76253710       1,953,382     302,850     302,850                          255,450                 47,400
PLUG POWER INC   COM        72919P10       1,953,344     418,275     418,075        200               322,695                 95,580
DAVE & BUSTERS
INC              COM        23833N10       1,952,353     179,115     179,115                          153,465                 25,650
MASSBANK CORP
READ M           COM        57615210       1,951,769      53,961      53,861        100                47,561                  6,400
ULTICOM INC      COM        90384410       1,945,244     204,118     204,118                          204,118
FINISAR          COM        31787A10       1,935,606   1,265,102   1,260,002                5,100   1,075,802       5,100    184,200
PENNFED FINL
SVCS IN          COM        70816710       1,933,314      69,669      69,669                           62,369                  7,300
SIEMENS A G      SPONSORED  82619750       1,933,141      39,573      39,573                           39,573
CAPSTEAD MTG
CORP             COM NO PAR 14067E50       1,927,463     171,026     170,976                   50     156,126          50     14,850
GLOBAL POWER
EQUIPME          COM        37941P10       1,927,099     414,430     408,730      5,700               368,780                 45,650
KINDER MORGAN
MANAGE           SHS        49455U10       1,922,746      51,328      51,328                           51,328
WATCHGUARD
TECHNOLOG        COM        94110510       1,903,056     417,337     417,337                          369,437                 47,900
FIRST LONG IS
CORP             COM        32073410       1,900,326      47,437      47,437                           41,587                  5,850
CENTURY ALUM CO  COM        15643110       1,898,771     271,253     271,253                          241,203                 30,050
AVATAR HLDGS INC COM        05349410       1,890,931      63,263      63,263                           56,263                  7,000
REPUBLIC BANCORP
KY               CL A       76028120       1,886,960     131,130     131,130                          114,930                 16,200
KOSAN
BIOSCIENCES IN   COM        50064W10       1,885,340     323,386     323,386                          285,286                 38,100
PHOENIX
TECHNOLOGY L     COM        71915310       1,883,589     331,035     331,035                          331,035
BANCO SANTANDER
CENT             ADR        05964H10       1,881,173     213,285     210,695      2,590               213,285
JOHNSON OUTDOORS
INC              CL A       47916710       1,873,153     137,328     137,328                          137,328
SEEBEYOND
TECHNOLOGI       COM        81570410       1,870,582     831,370     831,370                          717,970                113,400
MIDWAY GAMES INC COM        59814810       1,870,019     515,157     515,157                          458,007                 57,150
COLE NATIONAL
CORP N           CL A       19329010       1,860,472     148,600     148,600                          148,100                    500
PARTNERS TRUST
FINCL            COM        70213A10       1,855,625      97,255      97,255                           86,955                 10,300
OSTEOTECH INC    COM        68858210       1,852,480     136,312     136,312                          114,012                 22,300
GREAT AMERN FINL
RES              COM        38991510       1,850,646     141,163     141,163                          141,163
CONCUR
TECHNOLOGIES     COM        20670810       1,849,543     182,942     182,942                          148,042                 34,900
ERICSSON L M TEL
CO               ADR B SEK  29482160       1,842,838     173,362     170,302      3,060               173,362
ENERGYSOUTH INC  COM        29297010       1,830,472      56,409      56,409                           56,409
WACKENHUT
CORRECTION       COM        92979810       1,830,216     133,495     133,495                          133,495
USANA HEALTH
SCIENCE          COM        90328M10       1,825,371      41,298      41,298                           34,298                  7,000
LANNET INC       COM        51601210       1,820,139      77,651      77,651                           68,351                  9,300
TRICO BANCSHARES COM        89609510       1,818,855      71,524      71,524                           63,624                  7,900
AMERICAN MTG
ACCEP C          SH BEN INT 02756810       1,817,592     104,700      99,300      5,400                86,200                 18,500
SOUTHERN FINL
BANCOR           COM        84287010       1,817,535      59,416      59,416                           51,316                  8,100
CERUS CORP       COM        15708510       1,817,102     241,636     238,436      3,200               216,736                 24,900
CHARTER FINL
CORP WE          COM        16122M10       1,810,825      64,100      64,100                           64,100
NETWORK EQUIP
TECHNO           COM        64120810       1,810,291     214,999     214,999                          182,799                 32,200
METRO ONE
TELECOMMUN       COM        59163F10       1,808,994     351,261     348,161      2,500       600     312,161         600     38,500
WILLOW GROVE
BANCORP          COM        97111W10       1,806,335     106,255     105,755        500                85,055                 21,200
GROUP 1 SOFTWARE
INC              COM        39943Y10       1,801,447      96,852      96,252                  600      82,252         600     14,000
MANUFACTURERS
SVCS L           COM        56500510       1,800,916     371,323     369,423      1,900               371,323
COMTECH
TELECOMMUNIC     COM NEW    20582620       1,799,367      63,830      63,630        200                52,130                 11,700
INFONET SVCS
CORP             CL B       45666T10       1,797,779   1,130,679   1,129,879        800             1,004,079                126,600
SUMMIT
BANCSHARES IN    COM        86601110       1,794,505      76,427      76,427                           66,127                 10,300
Page Total                                93,851,194


                                                                   Page 54 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
WORLD WRESTLING
ENTM             CL A       98156Q10       1,783,503     173,324     170,924      2,400               143,474                 29,850
WAYNE BANCORP
INC OH           COM        94429310       1,782,323      58,456      58,456                           50,756                  7,700
CROWN MEDIA
HLDGS IN         CL A       22841110       1,771,150     436,244     436,164                   80     388,664          80     47,500
TIER
TECHNOLOGIES IN  CL B       88650Q10       1,769,681     228,346     228,346                          203,496                 24,850
CEDAR FAIR L P   DEPOSITRY  15018510       1,761,200      62,900      47,700      6,000     9,200      52,700       9,200      1,000
VALUE LINE INC   COM        92043710       1,745,184      35,616      35,616                           28,545                  7,071
ONEIDA LTD       COM        68250510       1,745,097     258,533     258,533                          217,633                 40,900
FIRST DEFIANCE
FINL             COM        32006W10       1,742,031      87,804      87,804                           77,604                 10,200
CARDIODYNAMICS
INTL             COM        14159710       1,741,293     512,145     512,145                          447,945                 64,200
RAINDANCE COMM   COM        75086X10       1,740,564     699,022     667,622     31,400               622,672                 76,350
SPORTS RESORTS
INTL             COM        84918U10       1,729,017     375,058     375,058                          332,358                 42,700
GREEN MOUNTAIN
PWR C            COM        39315410       1,728,520      86,426      86,146                  280      86,146         280
MARTHA STEWART
LIVIN            CL A       57308310       1,727,788     184,003     183,003        900       100     158,053         100     25,850
GLAMIS GOLD LTD  COM        37677510       1,721,991     150,130     150,130                          137,039                 13,091
PLAINS ALL AMERN
PIP              UNIT LTD P 72650310       1,715,313      54,489      49,489      3,000     2,000      52,489       2,000
GUILFORD
PHARMACEUTI      COM        40182910       1,714,919     384,511     384,511                          339,361                 45,150
SAUER-DANFOSS
INC              COM        80413710       1,710,002     159,070     159,010         60               159,070
BANCO BILBAO
VIZCAYA          SPONSORED  05946K10       1,708,789     162,897     162,897                          162,897
ACTIVCARD CORP   COM        00506J10       1,705,066     180,813     180,813                          129,913                 50,900
LENNAR CORP      CL B       52605730       1,701,561      24,768      23,630      1,128        10      24,513          20        235
VANS INC         COM        92193010       1,701,453     190,960     189,760      1,200               166,460                 24,500
SOUTHERN PERU
COPPER           COM        84361110       1,700,396     111,137     111,137                          108,542                  2,595
SYNTEL INC       COM        87162H10       1,698,336     107,968     107,968                          107,968
DECODE GENETICS
INC              COM        24358610       1,697,383     538,852     538,852                          442,902                 95,950
CHEROKEE INC DEL
NEW              COM        16444H10       1,696,234      84,727      72,927               11,800      62,327      11,800     10,600
MATSUSHITA ELEC
INDL             ADR        57687920       1,689,264     168,086     155,116     12,970               168,086
BHP BILLITON LTD SPONSORED  08860610       1,678,058     144,785     102,467     42,318               135,585                  9,200
HORIZON FINL
CORP WA          COM        44041F10       1,669,128     105,842     105,842                           90,142                 15,700
TRITON PCS HLDGS
INC              CL A       89677M10       1,667,126     330,124     329,924        100       100     329,324         100        700
PARKVALE FINL
CORP             COM        70149210       1,666,323      68,236      68,236                           68,236
RED ROBIN
GOURMET BU       COM        75689M10       1,663,384      87,685      87,685                           76,285                 11,400
NELSON THOMAS
INC              COM        64037610       1,661,112     132,889     132,849                   40     132,849          40
BIG 5 SPORTING
GOODS            COM        08915P10       1,654,144     131,490     131,490                          111,490                 20,000
WESCO INTL INC   COM        95082P10       1,650,930     275,155     275,155                          275,155
HUDSON HIGHLAND
GROU             COM        44379210       1,650,678      87,430      87,228        195         7      87,345          29         56
WHITEHALL
JEWELLERS        COM        96506310       1,650,304     181,952     181,912         40               161,352                 20,600
ACCREDITED HOME
LEND             COM        00437P10       1,647,540      84,750      84,750                           70,850                 13,900
DEUTSCHE BANK AG
NAM              ORD        D1819089       1,643,418      25,511      25,511                           25,511
PRINCETON REVIEW
INC              COM        74235210       1,642,689     278,422     270,807                7,615     235,507       7,615     35,300
FIRSTBANK CORP
MICH             COM        33761G10       1,638,174      54,083      54,083                           45,083                  9,000
INTEGRATED
SILICON S        COM        45812P10       1,636,972     235,875     235,660        215               235,875
COASTAL BANCORP
INC              COM        19041P10       1,635,109      57,554      57,554                           51,154                  6,400
EXCHANGE NATL
BANCSH           COM        30130910       1,632,197      29,162      29,162                           23,462                  5,700
FINDWHAT COM     COM        31779410       1,627,292      85,154      85,154                           66,854                 18,300
KVH INDS INC     COM        48273810       1,617,007      65,732      65,732                           50,832                 14,900
LUMINEX CORP DEL COM        55027E10       1,609,349     312,495     312,495                          275,495                 37,000
GROUPE DANONE    SPONSORED  39944910       1,605,282      57,848      57,848                           57,848
NETRATINGS INC   COM        64116M10       1,605,163     172,784     168,584                4,200     168,584       4,200
REX STORES CORP  COM        76162410       1,603,690     132,427     132,427                          115,527                 16,900
OPLINK
COMMUNICATION    COM        68375Q10       1,600,371     899,085     899,085                          771,785                127,300
Page Total                                84,283,498


                                                                   Page 55 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
CREDIT SUISSE
GROUP            SPONSORED  22540110       1,595,597      60,623      60,623                           60,623
CONSOLIDATED
TOMOKA           COM        21022610       1,588,990      63,256      63,256                           54,256                  9,000
COASTAL FINL
CORP DE          COM        19046E10       1,588,748     123,350     123,350                          108,220                 15,130
KINDER MORGAN
ENERGY           UT LTD PAR 49455010       1,585,858      40,128       9,992     19,236    10,900      27,528      10,900      1,700
IXYS CORP        COM        46600W10       1,585,839     198,478     198,278        200               174,378                 24,100
PROXIM CORP      CL A       74428310       1,578,591   1,088,684   1,088,684                          919,984                168,700
BIOLASE
TECHNOLOGY I     COM        09091110       1,576,548     146,112     143,112                3,000     113,712       3,000     29,400
D & E
COMMUNICATIONS   COM        23286010       1,574,416     138,593     138,593                          119,693                 18,900
GRAPHIC
PACKAGING IN     COM        38869010       1,573,376     348,864     348,864                          348,864
MERIDIAN
RESOURCE CO      COM        58977Q10       1,567,309     331,355     331,355                          284,255                 47,100
SUN BANCORP INC  COM        86663410       1,564,362      77,713      73,013      4,700                67,413                 10,300
GRUPO
AEROPORTUARIO    SPON ADR S 40051E20       1,556,017     106,358     106,358                           55,208      41,806      9,344
DELTA FINANCIAL
CORP             COM        24791810       1,550,327     213,250      15,300    197,950               213,250
CHARLOTTE RUSSE
HLDG             COM        16104810       1,545,705     147,210     147,210                          128,360                 18,850
SAFETY INS GROUP
INC              COM        78648T10       1,542,343     104,850     104,850                           90,750                 14,100
PROVIDENT
BANCORP IN       COM        74383510       1,536,819      47,876      47,876                           41,676                  6,200
ONE LIBERTY
PPTYS IN         COM        68240610       1,532,160      91,200      91,200                           91,200
SYMMETRICOM INC  COM        87154310       1,527,790     347,225     347,225                          294,625                 52,600
POMEROY COMPUTER
RES              COM        73182210       1,527,485     138,109     138,109                          138,109
DEUTSCHE TELEKOM
AG               SPONSORED  25156610       1,526,992     100,460     100,460                          100,460
WARWICK VALLEY
TEL C            COM        93675010       1,525,123      18,590      18,590                           15,390                  3,200
FINLAY
ENTERPRISES I    COM NEW    31788420       1,524,718      92,128      92,128                           76,628                 15,500
NEWS CORP LTD    ADR NEW    65248770       1,522,823      50,308      50,308                           50,308
FLORIDAFIRST
BANCORP          COM        34325810       1,519,728      63,322      63,322                           53,222                 10,100
CHICAGO PIZZA &
BREW             COM        16788910       1,514,920     151,492     151,492                          151,492
STANDARD MTR
PRODS I          COM        85366610       1,511,853     136,203     136,203                          136,203
DUCOMMUN INC DEL COM        26414710       1,510,885     107,155     107,155                           92,355                 14,800
TRADESTATION
GROUP I          COM        89267P10       1,505,807     146,908     146,908                          118,708                 28,200
SUMMIT AMER
TELEVISI         COM        86600T10       1,503,305     520,175     520,175                          443,275                 76,900
JOS A BANK
CLOTHIERS        COM        48083810       1,497,862      44,659      44,659                           38,159                  6,500
COMPANHIA
BRASILEIRA       SPON ADR P 20440T20       1,493,256      97,344      97,344                           53,277      34,720      9,347
DOVER DOWNS
GAMING &         COM        26009510       1,490,813     161,169     161,169                          131,569                 29,600
HEICO CORP NEW   COM        42280610       1,488,851     122,037     122,037                          122,037
FIRST M & F CORP COM        32074410       1,485,622      45,418      45,418                           39,818                  5,600
UNITED MOBILE
HOMES            COM        91102410       1,476,265      97,379      97,379                           81,079                 16,300
BUCKEYE PARTNERS
L P              UNIT LTD P 11823010       1,476,176      37,600      27,800      8,800     1,000      35,900       1,000        700
FINANCIAL INDS
CORP             COM        31757410       1,462,808      98,307      98,307                           84,107                 14,200
PEREGRINE
PHARMACEUT       COM        71366110       1,460,909   1,007,524   1,007,524                          850,324                157,200
MARINEMAX INC    COM        56790810       1,459,360     104,240     104,240                          104,240
ARIAD
PHARMACEUTICAL   COM        04033A10       1,453,940     330,441     330,441                          280,641                 49,800
CAMCO FINL CORP  COM        13261810       1,451,495      93,464      93,464                           79,264                 14,200
ACME
COMMUNICATION I  COM        00463110       1,450,862     190,903     188,203      2,700               190,903
FIRST UTD CORP   COM        33741H10       1,450,617      69,077      69,077                           58,677                 10,400
PENNS WOODS
BANCORP          COM        70843010       1,444,667      34,307      34,307                           29,007                  5,300
NEOFORMA COM INC COM NEW    64047550       1,443,705     132,450     132,450                          132,450
STATE FINL SVCS
CORP             CL A       85685510       1,443,629      65,769      65,769                           56,769                  9,000
SHORE BANCSHARES
INC              COM        82510710       1,441,990      46,894      46,894                           38,194                  8,700
ACETO CORP       COM        00444610       1,441,337      77,784      77,784                           63,984                 13,800
CNB FINL CORP PA COM        12612810       1,440,078      32,405      32,405                           25,705                  6,700
DAIMLERCHRYSLER
AG               ORD        D1668R12       1,437,373      41,399      41,399                           41,399
Page Total                                75,556,049


                                                                   Page 56 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
NATIONAL
BANKSHARES       COM        63486510       1,434,478      36,270      36,270                           29,670                  6,600
OPSWARE INC      COM        68383A10       1,433,787     357,553     357,553                          280,653                 76,900
WARWICK CMNTY
BANCOR           COM        93655910       1,433,731      49,050      49,050                           43,050                  6,000
FIRST CONSULTING
GRO              COM        31986R10       1,430,674     314,434     314,434                          281,734                 32,700
IMPAC MED SYS
INC              COM        45255A10       1,425,726      67,283      67,283                           58,083                  9,200
HI-TECH
PHARMACAL IN     COM        42840B10       1,425,692      34,858      34,858                           28,158                  6,700
MCMORAN
EXPLORATION      COM        58241110       1,424,338     127,858     127,284                  574     109,884         574     17,400
COCA-COLA FEMSA
S A              SPON ADR R 19124110       1,423,988      66,232      66,232                           34,722      25,760      5,750
ROYAL BANCSHARES
PA               CL A       78008110       1,416,461      66,128      66,128                           66,128
DEL LABS INC     COM        24509110       1,412,115      60,090      60,090                           60,090
AFTERMARKET
TECHNOLO         COM        00831810       1,411,019     133,115     133,115                          133,115
ALCON INC        COM SHS    H0130110       1,410,941      30,874      30,774        100                30,874
FIRST FED FINL
CORP             COM        31996110       1,401,470      43,162      43,162                           43,162
COMPANHIA
SIDERURGIC       SPONSORED  20440W10       1,400,797      56,461      56,461                           29,640      21,874      4,947
BEBE STORES INC  COM        07557110       1,399,539      73,236      73,236                           73,236
NEOWARE SYS INC  COM        64065P10       1,397,920      91,908      85,908      6,000                71,308                 20,600
CAPITAL
SOUTHWEST CO     COM        14050110       1,396,464      24,760      24,760                           24,760
SALIX
PHARMACEUTICAL   COM        79543510       1,395,158     134,279     134,279                          104,629                 29,650
ON SEMICONDUCTOR
COR              COM        68218910       1,390,267     514,914     514,914                          514,914
FIRST SOUTH
BANCORP          COM        33646W10       1,386,428      41,485      41,485                           35,885                  5,600
NEWS CORP LTD    SP ADR PFD 65248780       1,374,618      54,875      54,875                           54,875
VALENCE
TECHNOLOGY I     COM        91891410       1,373,157     459,250     457,490                1,760     380,290       1,760     77,200
COMPUCOM SYS INC COM        20478010       1,371,815     301,498     301,498                          301,498
AMERICANWEST
BANCORP          COM        03058P10       1,371,628      83,738      83,738                           69,338                 14,400
BOYDS COLLECTION
LTD              COM        10335410       1,371,283     291,143     291,143                          291,143
MERCANTILE BANK
CORP             COM        58737610       1,370,611      47,957      47,957                           40,357                  7,600
COEUR D ALENE
MINES            COM        19210810       1,369,833     985,492     985,464                   28     776,264          28    209,200
ROFIN SINAR
TECHNOLO         COM        77504310       1,368,815      96,873      96,873                           80,873                 16,000
SPECIALTY
LABORATORI       COM        84749R10       1,366,806     133,347     132,952        395               113,047                 20,300
INGLES MKTS INC  CL A       45703010       1,365,196     135,168     134,668                  500     133,868         500        800
CANTEL MEDICAL
CORP             COM        13809810       1,359,741     101,322     101,322                          101,322
FRANKLIN FINL
CORP T           COM NEW    35352320       1,358,374      45,024      45,024                           38,824                  6,200
VIACOM INC       CL A       92552410       1,356,535      31,042      30,142        900                 7,243                 23,799
MICROTUNE INC
DEL              COM        59514P10       1,356,533     426,583     426,483        100               352,283                 74,300
F N B CORP N C   COM        30251910       1,355,515      55,237      55,237                           46,637                  8,600
GREENE CNTY
BANCSHAR         COM NEW    39436120       1,347,529      63,713      63,713                           54,413                  9,300
BRT RLTY TR      SH BEN INT 05564530       1,346,221      84,668      84,668                           71,368                 13,300
MODTECH HLDGS
INC              COM        60783C10       1,344,807     149,423     149,423                          128,623                 20,800
GERBER
SCIENTIFIC IN    COM        37373010       1,343,861     201,781     197,763      2,018     2,000     163,481       2,000     36,300
HORIZON OFFSHORE
INC              COM        44043J10       1,341,341     268,806     268,806                          268,806
UNITIL CORP      COM        91325910       1,340,442      55,620      54,154        200     1,266      54,354       1,266
MITSUBISHI TOKYO
FIN              SPONSORED  60681610       1,339,196     292,401     266,696     25,705               292,401
STEINWAY MUSICAL
INS              COM ORD    85849510       1,338,506      86,916      86,716        200                86,916
MASTEC INC       COM        57632310       1,336,469     232,026     232,026                          231,926                    100
SEMITOOL INC     COM        81690910       1,335,147     275,857     275,857                          242,657                 33,200
NASB FINL INC    COM        62896810       1,333,362      45,978      45,978                           39,078                  6,900
TURNSTONE
SYSTEMS IN       COM        90042310       1,330,964     526,073     526,073                          446,620                 79,453
NATIONAL HEALTH
REAL             COM        63590510       1,327,649      83,030      83,030                           80,580                  2,450
ENPRO INDS INC   COM        29355X10       1,326,329     124,072     122,307      1,653       112      91,181         202     32,689
BKF CAP GROUP
INC              COM        05548G10       1,323,596      60,632      60,632                           60,382                    250
Page Total                                68,796,872


                                                                   Page 57 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
KOREA ELECTRIC
PWR              SPONSORED  50063110       1,322,832     148,466     148,466                           59,712      88,754
COBIZ INC        COM        19089710       1,314,705      95,824      95,824                           95,824
EMC INS GROUP
INC              COM        26866410       1,312,942      69,248      69,248                           69,248
SPEECHWORKS INTL
INC              COM        84764M10       1,311,483     279,039     279,004         35               235,439                 43,600
COLLINS & AIKMAN
COR              COM NEW    19483020       1,310,923     444,381     441,081      3,300               378,331                 66,050
P A M TRANSN
SVCS IN          COM        69314910       1,310,387      50,968      50,968                           50,968
SEMCO ENERGY INC COM        78412D10       1,310,192     225,119     225,119                          195,019                 30,100
HOMESTORE INC    COM        43785210       1,306,506     759,597     759,397        100       100     633,897         100    125,600
FRESH DEL MONTE
PROD             ORD        G3673810       1,306,336      50,850      50,200        650                50,850
GSI COMMERCE INC COM        36238G10       1,301,238     194,505     194,505                          192,105                  2,400
ISHARES TR       RUSSELL 20 46428765       1,299,718      14,620      14,620                           14,620
KLAMATH FIRST
BANCOR           COM        49842P10       1,297,661      75,798      75,798                           64,698                 11,100
DYNAMICS RESH
CORP             COM        26805710       1,289,119      84,477      84,477                           84,477
RAVEN INDS INC   COM        75421210       1,288,433      64,197      64,197                           53,797                 10,400
RESEARCH
FRONTIERS I      COM        76091110       1,285,027      91,919      91,419        500                91,919
STRATASYS INC    COM        86268510       1,282,295      37,082      37,082                           30,382                  6,700
COMMERCIAL
BANKSHARE        COM        20160710       1,280,662      43,033      43,033                           37,033                  6,000
IMCO RECYCLING
INC              COM        44968110       1,277,190     192,348     192,348                          188,548                  3,800
GEVITY HR INC    COM        37439310       1,276,881     108,394     108,394                           86,894                 21,500
STAAR SURGICAL
CO               COM PAR $0 85231230       1,272,919     110,019     110,019                           84,319                 25,700
CENTER BANCORP
INC              COM        15140810       1,272,586      85,294      85,294                           71,094                 14,200
AMERICA WEST
HLDG CO          CL B       02365720       1,271,933     187,049     187,049                          142,549                 44,500
BT GROUP PLC     ADR        05577E10       1,271,775      37,783      37,688         95                37,783
INTER PARFUMS
INC              COM        45833410       1,270,395     171,675     171,675                          171,675
OVERSTOCK COM
INC DE           COM        69037010       1,261,696      86,655      86,655                           72,855                 13,800
TV AZTECA S A DE
C V              SPONSORED  90114510       1,256,742     193,345     193,345                          110,945      65,400     17,000
PENFORD CORP     COM        70705110       1,248,973     111,815     111,735                   80     111,735          80
LA JOLLA
PHARMACEUTI      COM        50345910       1,245,877     383,347     383,347                          322,447                 60,900
INNOVEX INC      COM        45764710       1,244,909     122,410     122,410                           99,910                 22,500
PICO HLDGS INC   COM NEW    69336620       1,240,720      95,440      95,400         40                95,440
BLUE RHINO CORP  COM        09581110       1,238,472     103,206      99,806                3,400      85,406       3,400     14,400
GA FINL INC      COM        36143710       1,236,877      49,180      49,180                           41,280                  7,900
ANSWERTHINK INC  COM        03691610       1,236,232     603,040     603,040                          603,040
NORTHERN STS
FINL CO          COM        66575110       1,235,391      43,030      43,030                           43,030
ROYAL BK CDA
MONTREA          COM        78008710       1,232,665      28,963      28,963                            4,554                 24,409
MUTUALFIRST FINL
INC              COM        62845B10       1,232,163      52,928      52,928                           52,928
TRANS WORLD
ENTMT CO         COM        89336Q10       1,230,901     239,010     220,843     18,167               237,510                  1,500
TORONTO DOMINION
BK               COM NEW    89116050       1,226,959      44,167      44,167                           44,167
PATRIOT BANK
CORP PA          COM        70335P10       1,223,499      68,010      68,010                           54,810                 13,200
SOUTHSIDE
BANCSHARES       COM        84470P10       1,222,084      68,695      68,695                           53,195                 15,500
ARACRUZ CELULOSE
S A              SPON ADR P 03849620       1,221,185      57,986      57,986                           32,619      20,819      4,548
HERITAGE FINL
CORP W           COM        42722X10       1,217,639      55,855      55,855                           47,655                  8,200
MEDIS
TECHNOLOGIES L   COM        58500P10       1,217,429     170,032     170,032                          170,032
MANULIFE FINL
CORP             COM        56501R10       1,216,189      43,112      43,112                           23,812                 19,300
EMBREX INC       COM        29081710       1,209,961     119,208     119,208                          119,208
VIRAGE LOGIC
CORP             COM        92763R10       1,207,475     167,009     167,009                          167,009
COMPUTER
PROGRAMS &       COM        20530610       1,207,443      60,342      60,342                           51,042                  9,300
APPLIED SIGNAL
TECHN            COM        03823710       1,203,540      69,892      69,892                           57,292                 12,600
PDI INC          COM        69329V10       1,194,915     116,805     116,805                          116,805
ENSTAR GROUP INC
GA               COM        29358R10       1,194,178      30,118      30,118                           24,418                  5,700
Page Total                                62,948,252


                                                                   Page 58 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
PROGENICS
PHARMACEUT       COM        74318710       1,193,625      79,258      79,258                           79,258
DREW INDS INC    COM NEW    26168L20       1,187,331      65,238      65,238                           65,238
ZOMAX INC MINN   COM        98992910       1,185,947     355,074     355,074                          355,074
DYNACQ INTL INC  COM PAR $. 26791930       1,184,609      69,765      69,765                           69,765
FFLC BANCORP INC COM        30242W10       1,182,517      45,534      45,534                           37,234                  8,300
ARDEN GROUP INC  CL A       03976210       1,180,354      20,006      20,006                           19,806                    200
MEDICAL STAFFING
NET              COM        58463F10       1,180,319     168,617     168,617                          166,817                  1,800
FIRST CTZNS BANC
COR              COM NO PAR 31945920       1,178,441      45,412      45,412                           38,412                  7,000
ALLSCRIPTS
HEALTHCAR        COM        01988P10       1,175,649     317,743     317,743                          317,743
BUTLER MFG CO
DEL              COM        12365510       1,174,902      71,077      70,437        300       340      69,237         340      1,500
ANSOFT CORP      COM        03638410       1,173,729     111,254      66,835      5,541    38,878      72,376      38,878
ISHARES TR       S&P SMLCAP 46428780       1,173,255      10,700      10,700                                                  10,700
MERIDIAN GOLD
INC              COM        58997510       1,172,933     102,083     102,083                           97,783                  4,300
CRIIMI MAE INC   COM NEW    22660350       1,172,701     107,096     107,096                           88,996                 18,100
WEYCO GROUP INC  COM        96214910       1,169,528      25,419      25,419                           21,619                  3,800
CAPITAL CORP OF
THE              COM        14006510       1,162,707      46,323      46,323                           38,523                  7,800
I-STAT CORP      COM        45031210       1,160,694     131,598     121,598     10,000               107,898                 23,700
OMNICELL INC     COM        68213N10       1,159,076     115,331     115,331                          115,331
BIOVAIL CORP     COM        09067J10       1,151,040      24,459      24,459                           22,360                  2,099
C & F FINL CORP  COM        12466Q10       1,149,830      29,117      29,117                           22,617                  6,500
ETHYL CORP       COM NEW    29765960       1,148,120     115,389     115,389                           92,989                 22,400
WESTPAC BKG CORP SPONSORED  96121430       1,148,115      20,997      20,997                           20,997
MBT FINL CORP    COM        57887710       1,147,746      65,623      65,623                           41,423                 24,200
SYNOVIS LIFE
TECHNOL          COM        87162G10       1,144,431      57,858      57,858                           44,958                 12,900
LIONBRIDGE
TECHNOLOG        COM        53625210       1,141,997     224,361     128,118               96,243      86,118      96,243     42,000
AMPCO-PITTSBURGH
COR              COM        03203710       1,141,438      85,182      85,182                           69,182                 16,000
BAYER A G        SPONSORED  07273030       1,141,194      49,531      49,311        220                49,531
ULTRA PETE CORP  COM        90391410       1,141,114      88,390      88,390                           88,390
MICROSTRATEGY
INC              NOTE  7.50 594972AA       1,138,422   1,116,130   1,116,130                        1,116,130
REDBACK NETWORKS
INC              COM        75720910       1,135,106   1,289,894   1,289,794                  100   1,083,594         100    206,200
MAIL-WELL INC    COM        56032120       1,128,937     447,991     447,991                          447,991
GREAT NORTHN
IRON OR          CTFS BEN I 39106410       1,126,800      14,400      14,400                           14,400
PENN-AMER GROUP
INC              COM        70724710       1,121,310      99,672      99,672                           82,272                 17,400
SOUND FED BANCORP
IN               COM        83607V10       1,120,061      81,816      81,816                           58,716                 23,100
PAB BANKSHARES
INC              COM        69313P10       1,119,738      86,200      86,200                           70,500                 15,700
UNILEVER PLC     SPON ADR N 90476770       1,119,134      34,864      34,114        750                34,764                    100
GENERAL BINDING
CORP             COM        36915410       1,105,578      92,517      92,517                           92,517
SIPEX CORP       COM        82990910       1,100,793     231,746     231,746                          231,746
ALICO INC        COM        01623010       1,097,618      44,456      44,456                           44,356                    100
UNITED SEC
BANCSHARE        SHS        91145910       1,097,347      24,160      24,160                           20,160                  4,000
WESTERN SIERRA
BANCO            COM        95952210       1,096,727      33,447      33,447                           27,047                  6,400
OAK HILL FINL
INC              COM        67133710       1,096,100      43,774      43,774                           43,774
VITRIA
TECHNOLOGY       COM NEW    92849Q40       1,093,059     193,120     193,120                          193,120
SEAGATE
TECHNOLOGY       SHS        G7945J10       1,085,333      61,492      61,492                           61,492
SPARTAN MTRS INC COM        84681910       1,085,048     131,521     131,521                          128,421                  3,100
MOTHERS WK INC   COM        61990310       1,076,742      40,222      40,222                           40,222
HEXCEL CORP NEW  COM        42829110       1,075,033     335,948     335,948                          335,948
VITAL IMAGES INC COM        92846N10       1,073,965      58,115      58,115                           45,715                 12,400
AMBASSADORS
GROUP IN         COM        02317710       1,072,896      76,800      76,700                  100      76,700         100
MOBILE
TELESYSTEMS O    SPONSORED  60740910       1,070,791      18,149      18,149                           12,397       4,478      1,274
Page Total                                56,859,880


                                                                   Page 59 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
PAIN
THERAPEUTICS IN  COM        69562K10       1,070,448     165,961     165,961                          165,961
BOSTONFED
BANCORP IN       COM        10117810       1,068,972      39,724      39,574        150                39,724
BROADVISION INC  COM NEW    11141260       1,067,498     192,342     192,327                   15     153,527          15     38,800
BUCA INC         COM        11776910       1,065,556     184,034     183,574        460               184,034
BELL
MICROPRODUCTS I  COM        07813710       1,062,955     249,520     249,520                          249,520
IGATE CORP       COM        45169U10       1,062,714     307,143     307,143                          307,143
TTM TECHNOLOGIES
IN               COM        87305R10       1,058,387     225,669     225,669                          225,669
ALTEON INC       COM        02144G10       1,056,029     217,738     217,738                          167,138                 50,600
CENTRAL EUROPEAN
DIS              COM        15343510       1,053,793      52,168      51,868        300                42,868                  9,300
U S CONCRETE INC COM        90333L10       1,051,330     273,784     273,784                          273,784
DHB INDS INC     COM        23321E10       1,051,260     257,032     257,032                          257,032
DISCOVERY
LABORATORI       COM        25466810       1,047,069     163,095     163,095                          120,195                 42,900
SCHAWK INC       CL A       80637310       1,046,522      99,859      99,859                           99,859
AUTOBYTEL INC    COM        05275N10       1,044,364     168,718     168,718                          123,218                 45,500
EPICOR SOFTWARE
CORP             COM        29426L10       1,040,340     173,390     173,390                          114,290                 59,100
HOME FED BANCORP COM        43692610       1,039,184      42,800      42,800                           42,800
WILLIAMS CLAYTON
ENE              COM        96949010       1,036,030      56,123      56,123                           46,823                  9,300
W P CAREY & CO
LLC              COM        92930Y10       1,035,055      34,571      32,422                2,149      32,422       2,149
K V
PHARMACEUTICAL C CL B CONV  48274010       1,032,921      36,499      36,499                           36,399                    100
LECROY CORP      COM        52324W10       1,032,522     107,779     107,779                          107,779
SIGMA DESIGNS
INC              COM        82656510       1,029,816      94,392      94,392                           68,992                 25,400
WILSONS THE
LEATHER          COM        97246310       1,029,523     144,596     144,596                          144,596
MATTSON
TECHNOLOGY I     COM        57722310       1,027,244     329,245     329,245                          329,245
HERITAGE
COMMERCE CO      COM        42692710       1,026,660      85,200      85,200                           68,200                 17,000
DVI INC          COM        23334310       1,024,406     219,359     219,359                          186,059                 33,300
SANCHEZ COMPUTER
ASS              COM        79970210       1,018,496     196,621     196,501        120               196,621
WESTFIELD
FINANCIAL        COM        96008D10       1,012,542      53,830      53,830                           53,830
TECHNICAL
OLYMPIC US       COM        87848310       1,009,787      42,092      42,092                           41,592                    500
EVERTRUST FINL
GROUP            COM        30041210       1,009,631      43,897      43,897                           33,397                 10,500
NUANCE
COMMUNICATION    COM        66996710       1,007,829     196,458     191,883      4,475       100     196,358         100
WHITMAN ED GROUP
INC              COM        96652410       1,006,468      65,568      65,568                           51,968                 13,600
PROVIDENT FINL
HLDGS            COM        74386810       1,002,782      34,178      34,178                           34,178
WELLSFORD REAL
PPTYS            COM NEW    95024020       1,001,834      65,012      65,012                           65,012
CASUAL MALE
RETAIL G         COM        14871110         994,284     189,749     189,749                          144,249                 45,500
NETSCOUT SYS INC COM        64115T10         993,229     184,959     184,959                          184,359                    600
ALAMO GROUP INC  COM        01131110         991,934      81,173      81,173                           81,173
NYMAGIC INC      COM        62948410         991,706      48,949      48,949                           48,949
MEDICAL ACTION
INDS             COM        58449L10         986,013      60,790      60,790                           48,690                 12,100
RCN CORP         COM        74936110         978,395     494,139     494,139                          494,139
BADGER METER INC COM        05652510         975,925      37,900      37,900                           37,900
BANCTRUST
FINANCIAL        COM        05978R10         975,002      60,484      60,484                           60,484
PERINI CORP      COM        71383910         971,434     122,193     122,143                   50      97,043          50     25,100
TEXAS PAC LD TR  SUB CTF PR 88261010         970,519      20,782      20,782                           20,782
QUAKER FABRIC
CORP N           COM        74739910         967,169     145,439     145,439                          145,339                    100
U S XPRESS
ENTERPRIS        CL A       90338N10         963,920      90,594      90,594                           90,594
NASSDA CORP      COM        63172M10         960,903     122,097     122,097                          121,797                    300
ESB FINL CORP    COM        26884F10         960,536      70,524      70,524                           56,624                 13,900
GERDAU S A       SPONSORED  37373710         960,445      81,740      81,740                           45,953      27,068      8,719
UNITED SECURITY
BANC             COM        91146010         958,103      44,071      44,071                           44,071
WATER PIK
TECHNOLOGI       COM        94113U10         955,344     122,953     122,853        100               122,953
Page Total                                50,784,828


                                                                   Page 60 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
BRASIL TELECOM
PARTI            SPON ADR P 10553010         955,049      25,502      25,502                           17,817       5,962      1,723
INTERMET CORP    COM        45881K10         946,690     274,403     274,403                          274,403
CHRONIMED INC    COM        17116410         946,529      98,086      98,086                           77,086                 21,000
PARTY CITY CORP  COM        70214510         945,504      91,530      91,529          1                91,530
SM&A             COM        78465D10         942,865      84,335      84,335                           64,135                 20,200
MOLEX INC        CL A       60855420         939,658      40,590      34,871      5,469       250      11,487         250     28,853
LNB BANCORP INC  COM        50210010         936,101      43,784      43,784                           35,184                  8,600
BANCORP RHODE
ISLAND           COM        05969010         932,184      42,800      42,800                           42,800
FUJI PHOTO FILM
LTD              ADR        35958630         931,773      32,342      32,342                           32,342
CARMIKE CINEMAS
INC              COM        14343640         931,604      41,185      41,185                           41,185
NIC INC          COM        62914B10         927,294     318,658     313,658      5,000               318,658
MESTEK INC       COM        59082910         926,442      51,469      42,469                9,000      42,469       9,000
KCS ENERGY INC   COM        48243420         925,414     171,691     171,691                          121,291                 50,400
TASTY BAKING CO  COM        87655330         920,703      87,686      47,486        200    40,000      47,686      40,000
MILLEA HOLDINGS
INC              ADR        60032R10         915,110      23,800      23,800                           23,800
FLAG FINL CORP   COM        33832H10         913,086      66,600      66,600                           66,600
PRICE LEGACY
CORP             COM        74144P10         912,210     243,256     243,256                          243,256
NET2PHONE        COM        64108N10         907,190     207,595     207,595                          207,595
FIRST BELL
BANCORP I        COM        31930110         906,343      34,940      34,940                           34,940
COMPANHIA
ENERGETICA       SP ADR N-V 20440960         904,881      98,037      98,037                           53,714      36,325      7,998
NOLAND CO        COM        65528610         903,350      25,375      25,375                           25,375
DIGITAS INC      COM        25388K10         900,828     179,806     149,882     28,189     1,735     178,071       1,735
SEATTLE GENETICS
INC              COM        81257810         897,491     177,020     174,165                2,855     174,165       2,855
BG PLC           ADR FIN IN 05543420         896,838      39,613      39,613                           39,613
AEGON N V        ORD AMER R 00792410         896,792      89,322      89,322                           89,322
SAFLINK CORP     COM NEW    78657830         896,279     141,369     141,369                           95,969                 45,400
GUESS INC        COM        40161710         888,036     148,006     148,006                          148,006
INTERLAND INC    COM        45872710         883,924     911,262     911,262                          910,862                    400
DOMINION HOMES
INC              COM        25738610         883,887      36,464      36,464                           36,464
EASTERN VA
BANKSHARE        COM        27719610         882,312      38,445      38,445                           38,445
HEALTHTRONICS
SURGIC           COM        42222L10         882,117      98,013      98,013                           98,013
AVI BIOPHARMA
INC              COM        00234610         877,087     144,021     144,021                          144,021
QUALITY SYS INC  COM        74758210         876,381      32,149      32,149                           32,149
ARCH CAP GROUP
LTD              ORD        G0450A10         874,144      25,206      25,206                           25,206
MESABA HLDGS INC COM        59066B10         874,140     148,411     148,411                          148,411
P C CONNECTION   COM        69318J10         873,507     126,779     126,779                          126,779
WILLIS GROUP
HOLDING          SHS        G9665510         870,686      28,315      28,200        115                28,315
BEASLEY
BROADCAST GR     CL A       07401410         865,614      63,883      63,883                           63,883
MOORE WALLACE
INC              COM        61585710         861,642      58,695      58,623         72                51,943                  6,752
VIVENDI
UNIVERSAL        SPON ADR N 92851S20         859,912      46,633      46,633                           44,114                  2,519
AVANT
IMMUNOTHERAPEU   COM        05349110         859,665     297,462     297,462                          207,162                 90,300
SMART & FINAL
INC              COM        83168310         857,985     185,310     185,100        210               185,310
VIRGINIA COMM
BANCOR           COM        92778Q10         853,621      44,252      44,252                           44,252
MAUI LD &
PINEAPPLE        COM        57734510         851,722      37,888      35,888                2,000      35,888       2,000
HARVARD
BIOSCIENCE I     COM        41690610         851,310     224,029     224,029                          224,029
FTD INC          CL A       30265Q10         850,711      42,198      42,198                           42,198
COMMERCIAL CAP
BANCO            COM        20162L10         847,179      54,692      54,692                           54,692
CAVALRY BANCORP
INC              COM        14954710         846,402      49,847      49,847                           49,847
REPLIGEN CORP    COM        75991610         845,947     166,198     166,198                          124,198                 42,000
EMBARCADERO
TECHNOLO         COM        29078710         842,392     119,658     119,658                          119,658
Page Total                                44,718,531


                                                                   Page 61 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
FMS FINL CORP    COM        30250910         842,391      51,054      51,054                           51,054
SALTON INC       COM        79575710         842,179      93,368      93,368                           93,368
OMEGA HEALTHCARE
INV              COM        68193610         835,957     159,230     159,230                          159,230
MARINE PRODS
CORP             COM        56842710         835,645      77,018      77,018                           77,018
NORTHWESTERN
CORP             COM        66807410         832,638     416,319     416,319                          409,119                  7,200
CHECKERS
DRIVE-IN RE      COM NEW    16280930         832,495      73,607      73,607                           73,607
YADKIN VY BK&TR
CO E             COM        98430810         831,287      51,697      51,697                           40,797                 10,900
REDWOOD EMPIRE
BANCO            COM        75789710         831,066      29,150      29,150                           29,150
COVEST
BANCSHARES IN    COM        22303210         829,125      33,500      33,500                           33,500
KOMAG INC        COM NEW    50045320         825,858      70,950      70,950                           52,350                 18,600
SUPPORTSOFT INC  COM        86858710         825,532     127,397     127,397                           88,397                 39,000
PETROCORP INC    COM        71645N10         825,345      74,022      74,022                           59,622                 14,400
ALLIANCE IMAGING
INC              COM NEW    01860620         824,590     187,407     187,407                          187,207                    200
EMERSON RADIO
CORP             COM NEW    29108720         824,248     122,656     122,656                           93,356                 29,300
YORK WTR CO      COM        98718410         815,248      50,200      50,200                           48,900                  1,300
AUSTRALIA&NEW
ZEALAN           SPONSORED  05252830         814,620      13,059      13,059                           13,059
CAPITAL TRUST
INC MD           CL A NEW   14052H50         811,432      43,743      43,743                           43,743
PRIME MED SVCS
INC N            COM        74156D10         810,473     172,075     172,075                          172,075
INTERVOICE INC
NEW              COM        46114210         808,957     169,238     169,238                          117,338                 51,900
CITIZENS SOUTH
BKG C            COM        17668210         806,805      60,937      60,937                           44,737                 16,200
APAC CUSTOMER
SERVIC           COM        00185E10         803,644     317,646     317,646                          317,646
ALLOS
THERAPEUTICS I   COM        01977710         803,617     264,348     264,348                          264,348
G B & T
BANCSHARES I     COM        36146210         801,104      32,605      32,605                           23,905                  8,700
HITACHI LIMITED  ADR 10 COM 43357850         800,273      18,919      18,919                           18,919
SECURITY BANK
CORP             COM        81404710         798,775      23,066      23,066                           23,066
GALLAHER GROUP
PLC              SPONSORED  36359510         795,920      20,099      20,099                           20,099
INDEPENDENCE
HLDG CO          COM NEW    45344030         794,411      37,632      37,632                           37,632
DURECT CORP      COM        26660510         794,035     330,848     330,848                          329,848                  1,000
VOTORANTIM
CELULOSE         SPONSORED  92906P10         789,594      40,827      40,827                           24,001      12,964      3,862
BHA GROUP HLDGS
INC              COM        05544610         788,679      39,513      39,513                           39,513
CDN IMPERIAL BK
OF C             COM        13606910         786,160      19,605      19,605                           19,605
PRIME GROUP
REALTY T         SH BEN INT 74158J10         784,809     135,312     135,312                          132,812                  2,500
SYPRIS SOLUTIONS
INC              COM        87165510         781,537      75,438      75,438                           75,438
SK TELECOM LTD   SPONSORED  78440P10         779,144      41,312      41,312                           41,312
EASTERN AMERN
NAT GA           SPERS RCT  27621710         775,990      36,500      36,500                           36,500
MATRIX SVC CO    COM        57685310         775,402      45,213      45,213                           32,513                 12,700
MERIDIAN
BIOSCIENCE       COM        58958410         775,135      82,637      82,637                           82,637
NOVOSTE CORP     COM        67010C10         772,723     128,573     128,573                          103,673                 24,900
REPSOL YPF S A   SPONSORED  76026T20         772,004      47,743      47,743                           47,743
WILLIAMS ENERGY
PART             COM UNIT R 96949110         771,968      16,300      16,300                           16,300
RESTORATION
HARDWARE         COM        76098110         767,298     174,386     174,386                          174,386
FOOTHILL INDPT
BANCO            COM        34490510         766,643      41,151      41,151                           41,151
CAPITAL BK CORP  COM        13979310         764,416      51,200      51,200                           51,200
FARGO
ELECTRONICS IN   COM        30744P10         762,572      79,767      79,767                           62,567                 17,200
ENESCO GROUP INC COM        29297310         760,076     102,713     102,713                          102,713
NETRO CORP       COM        64114R10         759,935     260,252     260,152        100               260,252
ATARI INC        COM        04651M10         758,441     169,295     169,295                          169,295
QRS CORP         COM        74726X10         757,873     142,995     142,995                          138,895                  4,100
NORSK HYDRO A S  SPONSORED  65653160         756,910      15,400      15,400                           15,400
PRUDENTIAL PLC   ADR        74435K20         754,211      61,770      61,770                           61,770
Page Total                                39,859,190


                                                                   Page 62 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
A S V INC        COM        00196310         752,328      51,742      51,742                           51,742
ADVANTA CORP     CL A       00794210         751,943      76,417      76,417                           76,417
GREENBRIER COS
INC              COM        39365710         745,405      68,701      68,701                           46,601                 22,100
FIDELITY BANCORP
INC              COM        31583B10         744,991      23,022      23,022                           23,022
INTELIDATA
TECHNOLOG        COM        45814T10         744,671     246,580     243,378      3,202               168,580                 78,000
CENTENNIAL
COMMUNCTN        CL A NEW   15133V20         744,395     185,173     185,173                          185,173
HAMPSHIRE GROUP
LTD              COM        40885910         743,163      24,374      24,374                           24,374
NORTHWEST PIPE
CO               COM        66774610         743,107      53,538      53,538                           53,538
TRI CONTL CORP   COM        89543610         742,044      50,206      50,206                            1,324                 48,882
DIODES INC       COM        25454310         737,450      38,469      38,469                           38,469
COLLAGENEX
PHARMACEU        COM        19419B10         734,126      55,364      54,364      1,000                55,364
PRICESMART INC   COM        74151110         733,157      56,878      56,878                           56,678                    200
NORTH VALLEY
BANCORP          COM        66304M10         731,220      48,748      48,748                           48,748
EDP-
ELECTRICIDADE DE SPONSORED  26835310         729,835      33,664      33,664                           33,664
COLUMBIA BANCORP
ORE              COM        19723110         727,924      54,608      54,608                           40,808                 13,800
MARITRANS INC    COM        57036310         727,694      49,672      49,672                           49,672
ECOLLEGE COM     COM        27887E10         727,244      64,018      64,018                           41,818                 22,200
SYNGENTA AG      SPONSORED  87160A10         727,240      71,720      71,711          9                71,720
IMPERIAL OIL LTD COM NEW    45303840         726,475      20,804      20,804                           20,804
FIRST
SECURITYFED FI   COM        33639210         726,219      29,107      28,607        500                29,107
NEWMIL BANCORP
INC              COM        65163310         722,294      32,683      32,683                           32,683
SANDERS MORRIS
HARRI            COM        80000Q10         715,194      79,910      79,910                           60,410                 19,500
DJ ORTHOPEDICS
INC              COM        23325G10         713,539      65,104      65,104                           65,004                    100
PETROLEUM DEV
CORP             COM        71657810         713,184      78,200      78,200                           78,200
PAMRAPO BANCORP
INC              COM        69773810         707,570      40,900      40,900                           40,900
ENBRIDGE ENERGY
MANA             SHS UNITS  29250X10         702,821      15,406      15,406                           15,406
DIGITALTHINK INC COM        25388M10         701,613     207,578     207,578                          150,478                 57,100
SEABULK INTL INC COM        81169P10         695,943      79,810      79,810                           61,210                 18,600
HUGOTON RTY TR
TEX              UNIT BEN I 44471710         690,515      37,528      37,528                           37,528
STORAGENETWORKS
INC              COM        86211E10         688,723     499,075     493,975        100     5,000     494,075       5,000
NU HORIZONS
ELECTRS          COM        66990810         683,917     114,559     114,559                          114,559
FPIC INS GROUP
INC              COM        30256310         674,921      48,766      48,766                           48,766
AMERICAN
SUPERCONDUC      COM        03011110         674,814     110,084      99,459     10,625               110,084
LIQUIDMETAL
TECHNOLO         COM        53634X10         674,808     130,021     130,021                          126,121                  3,900
INFOSYS
TECHNOLOGIES     SPONSORED  45678810         674,487      12,572      12,572                           12,572
VIRBAC CORP      COM        92764910         673,845     112,495     112,495                          112,495
NOVO-NORDISK A S ADR        67010020         671,800      19,377      19,377                           19,377
NEWHALL LAND &
FARMI            DEPOSITARY 65142610         671,550      22,200      22,200                           22,200
AKZO NOBEL NV    SPONSORED  01019930         667,928      25,063      25,063                           25,063
TURKCELL
ILETISIM HI      SPON ADR N 90011120         664,981      39,348      39,348                           24,518      11,629      3,201
CAPITAL CROSSING
BK               COM        14007110         659,568      27,300      27,300                           27,300
IPAYMENT INC     COM        46262E10         659,390      27,659      27,659                           27,659
CATAPULT
COMMUNICATI      COM        14901610         657,418      62,671      62,671                           62,671
PEGASYSTEMS INC  COM        70557310         654,278      88,416      83,416      5,000                88,316                    100
THIRD WAVE
TECHNOLOG        COM        88428W10         652,859     144,438     144,438                          144,438
PALATIN
TECHNOLOGIES     COM NEW    69607730         651,079     204,100     204,100                          146,300                 57,800
GRAY TELEVISION
INC              CL A       38937520         649,538      52,808      52,808                           52,208                    600
COMMERICAL NATL
FINL             COM        20221710         647,693      24,600      24,600                           24,600
NATIONAL
BEVERAGE CO      COM        63501710         643,250      46,277      46,277                           46,277
TARAGON RLTY
INVS IN          COM        87628710         640,025      43,988      43,988                           43,988
Page Total                                35,040,176


                                                                   Page 63 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
MAGYAR
TAVKOZLESI RT    SPONSORED  55977610         639,513      37,181      37,181                            9,853      24,531      2,797
PUMATECH INC     COM        74588710         638,724     187,860     187,860                          130,260                 57,600
ALLIANCE
FINANCIAL C      COM        01920510         637,200      23,600      23,600                           23,600
KYOCERA CORP     ADR        50155620         634,581      11,133      11,133                           11,133
DARLING INTL INC COM        23726610         634,125     264,219     264,219                          162,719                101,500
FIRST HORIZON
PHARMA           COM        32051K10         633,973     166,835     166,835                          166,835
ALLIANZ
AKTIENGESELL     SP ADR 1/1 01880510         633,928      76,654      76,274        380                76,654
UNITED CAPITAL
CORP             COM        90991210         629,149      18,079      18,079                           18,079
INNKEEPERS USA
TR               PFD CV A 8 4576J030         626,200      24,800                    400    24,400         400      24,400
SELECT SECTOR
SPDR T           SBI CONS S 81369Y30         623,185      30,912      30,912                                                  30,912
KANEB SERVICES
LLC              COM        48417310         622,885      21,339      21,339                           21,339
CHESTER VALLEY
BANCO            COM        16633510         620,172      32,200      32,200                           32,200
IBT BANCORP INC  COM        44923F10         617,026      12,343      12,343                            6,843                  5,500
MAPINFO CORP     COM        56510510         616,695      86,493      86,493                           86,493
PETROLEUM
HELICOPTER       COM VTG    71660410         613,647      19,450      19,450                           19,450
ALLIED IRISH BKS
P L              SPON ADR O 01922840         613,454      20,510      20,510                           20,510
NEC CORP         ADR        62905020         612,208     121,470     121,470                          121,470
AMBASSADORS INTL
INC              COM        02317810         611,700      50,975      50,875                  100      50,875         100
SCOTTISH PWR PLC SPON ADR F 81013T70         611,372      25,149      25,149                           25,149
SBA
COMMUNICATIONS C COM        78388J10         607,613     201,865     201,765                  100     139,765         100     62,000
GREATER DEL VY
HLDGS            COM        39168810         604,968      26,592      26,592                           26,592
SFBC INTL INC    COM        78412110         604,696      33,335      33,335                           33,335
OPEN JT STK CO-
VIMPE            SPONSORED  68370R10         602,884      12,982      12,982                            8,428       3,549      1,005
SIERRA BANCORP   COM        82620P10         602,124      42,433      42,433                           42,433
FRANCE TELECOM   SPONSORED  35177Q10         601,312      24,394      24,394                           24,394
PROGRESS FINL
CORP             COM        74326610         600,272      43,498      43,498                           43,498
AMERSHAM PLC     SPONSORED  03071910         600,038      15,626      15,626                           15,626
IRELAND BK       SPONSORED  46267Q10         597,811      12,326      12,326                           12,326
NISSAN MOTORS    SPONSORED  65474440         597,771      31,712      31,712                           31,712
NATIONAL GRID
TRANSC           SPONSORED  63627410         597,061      17,504      17,475         29                17,504
GREATER
COMMUNITY BA     COM        39167M10         595,923      39,154      39,154                           39,154
TELE2 AB         SPON ADR R 87952P20         594,356      16,151      16,151                           16,151
CACHE INC        COM NEW    12715030         592,954      39,636      39,636                           39,636
HOOKER FURNITURE
COR              COM        43903810         590,333      23,823      23,823                           23,823
CADBURY
SCHWEPPES PL     ADR        12720930         586,872      24,271      24,271                           24,271
INFORMATION RES
INC              COM        45690510         571,614     145,449     145,449                          145,449
RMH TELESERVICES
INC              COM        74993810         568,041     131,491     131,491                          131,491
QAD INC          COM        74727D10         565,990      76,074      76,074                           76,074
FIRST YRS INC    COM        33761010         563,592      46,655      46,655                           46,655
EXACTECH INC     COM        30064E10         563,102      38,437      38,437                           38,437
EFC BANCORP INC  COM        26842310         561,912      31,200      31,200                           31,200
PETRO-CDA        COM        71644E10         559,619      14,008      14,008                           14,008
SOURCE INTERLINK
COS              COM NEW    83615120         557,909      73,700      73,700                           73,700
RESOURCES
BANKSHARES       COM        76121R10         554,268      16,302      16,302                           10,202                  6,100
REMEDYTEMP INC   CL A       75954910         553,836      59,745      59,745                           59,745
ONEIDA FINL CORP COM        68247810         547,856      23,903      23,903                           23,903
ACTUATE CORP     COM        00508B10         547,260     197,567     197,467                  100     197,267         100        200
OLD POINT FINL
CORP             COM        68019410         540,857      18,453      18,453                           18,453
UPM KYMMENE CORP SPONSORED  91543610         538,146      36,986      36,986                           36,986
MONARCH CASINO &
RES              COM        60902710         535,963      57,942      57,942                           57,942
Page Total                                29,776,690


                                                                   Page 64 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
BOTTOMLINE TECH
DEL              COM        10138810         533,466      66,600      66,600                           66,600
FRISCHS
RESTAURANTS      COM        35874810         529,560      29,420      29,420                           29,420
GUNDLE/SLT
ENVIRONME        COM        40280910         527,094      38,700      38,600                  100      38,600         100
TC PIPELINES LP  UT COM LTD 87233Q10         523,948      17,773      17,773                           17,773
SAN PAOLO-IMI
S P A            SPONSORED  79917510         521,351      27,702      27,702                           27,702
KFORCE INC       COM        49373210         519,339     106,860     106,860                          106,860
UNITED
MICROELECTRON    SPONSORED  91087320         518,797     138,346     138,346                          138,346
Q MED            COM        74791410         518,788      71,557      71,557                           71,557
INTERCONTINENTAL
HOT              SPONSORED  45857310         509,306      69,768      69,768                           69,768
VALERO L P       COM UT LTD 91913W10         508,482      11,700      11,700                           11,700
HEARTLAND FINL
USA I            COM        42234Q10         505,600      15,800      15,800                           15,800
NORTEL NETWORKS
CORP             COM        65656810         505,218     187,118     187,118                          184,038                  3,080
CALIFORNIA FIRST
NTN              COM        13022210         504,583      53,170      53,170                           53,170
CHAMPS ENTMT INC
DEL              COM        15878710         504,361     107,311     107,311                          107,311
EXPONENT INC     COM        30214U10         503,905      32,510      32,510                           32,510
LESCO INC OHIO   COM        52687210         503,562      56,390      56,390                           56,390
AMERICAN REAL
ESTATE           DEPOSITRY  02916910         503,377      40,925      40,925                           40,925
DITECH
COMMUNICATION    COM        25500M10         503,296     103,559     100,950      2,609               103,559
CERADYNE INC     COM        15671010         500,916      26,931      26,931                           26,931
SCHERING A G     SPONSORED  80658520         498,750      10,292      10,292                           10,292
DESERT CMNTY BK
VICT             COM        25037Y10         498,411      26,246      26,246                           26,246
MAXWELL
TECHNOLOGIES     COM        57776710         494,784      85,900      85,900                           85,900
BRIGHTPOINT INC  COM NEW    10947340         492,315      39,767      39,767                           39,767
P T
TELEKOMUNIKASI I SPONSORED  71568410         492,251      43,951      43,951                           43,951
CENTER FINL CORP
CAL              COM        15146E10         489,450      32,500      10,500               22,000      10,500      22,000
ICT GROUP INC    COM        44929Y10         489,426      47,936      47,936                           47,936
ATALANTA SOSNOFF
CAP              COM        04649910         482,380      35,600      35,600                           35,600
BRASCAN CORP     CL A LTD V 10549P60         481,498      19,605      19,605                           19,605
CALIPER
TECHNOLOGIES     COM        13087610         480,090     105,283     104,246      1,037               105,283
NORTHWAY FINL
INC              COM        66727010         479,325      16,500                 16,500                16,500
WEST ESSEX
BANCORP          COM        95269810         477,632      13,600      13,500        100                 8,200                  5,400
ORPHAN MED INC   COM        68730310         477,510      52,244      52,244                           52,244
CARREKER CORP    COM        14443310         477,337     107,995     107,995                          107,995
KUBOTA CORP      ADR        50117320         476,960      35,200      35,200                           35,200
TELLIUM INC      COM        87967E10         473,330     537,876     515,876      2,000    20,000     514,326      20,000      3,550
AMERICAS CAR
MART IN          COM        03062T10         471,225      25,920      25,920                           25,920
INFORTE CORP     COM        45677R10         470,560      60,174      55,874      4,300                60,174
MERIX CORP       COM        59004910         469,990      62,004      61,504        500                58,254                  3,750
WGNB CORP        CAP STK    92923K10         469,650      18,600      18,600                           18,600
RADIOLOGIX INC   COM        75040K10         468,820     111,624     111,624                          111,324                    300
FEDERAL SCREW
WKS              COM        31381910         468,270      12,900      12,900                           12,900
BARRICK GOLD
CORP             COM        06790110         468,120      26,152      25,845        307                23,386                  2,766
EDGAR ONLINE INC COM        27976510         467,640     433,000                          433,000                 433,000
STELLENT INC     COM        85856W10         463,384      85,812      85,712                  100      85,712         100
ALCATEL          SPONSORED  01390430         459,546      51,346      50,776        570                51,346
OMI CORP NEW     COM        Y6476W10         459,301      74,562      74,562                           74,562
BE AEROSPACE INC COM        07330210         452,941     146,110     146,110                          145,510                    600
SIMPLETECH INC   COM        82882310         449,784     112,446     112,446                          112,446
AMERCO           COM        02358610         449,159      65,190      64,610        580                64,990                    200
UTAH MED PRODS
INC              COM        91748810         449,120      22,400      22,400                           22,400
Page Total                                24,443,908


                                                                   Page 65 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
IMPERIAL TOBACCO
GRO              SPONSORED  45314210         448,352      12,382      12,382                           12,382
NASTECH
PHARMACEUTIC     COM PAR $0 63172840         447,815      43,351      43,351                           43,351
TELESP CELULAR
PART             SPON ADR P 87952L10         446,394     114,460     114,460                           68,045      35,597     10,818
KONINKLIJKE
AHOLD N          SPON ADR N 50046730         446,196      53,309      52,889        420                53,309
RICHARDSON
ELECTRS L        COM        76316510         444,355      55,131      55,131                           53,331                  1,800
DORCHESTER
MINERALS         COM UNIT   25820R10         443,880      25,265      25,265                           25,265
PEARSON PLC      SPONSORED  70501510         440,390      45,874      45,874                           45,874
FSI INTL INC     COM        30263310         438,489     119,806     119,806                          119,806
COLES MYER LTD   SPON ADR N 19387040         438,275      11,750      11,750                           11,750
WITNESS SYS INC  COM        97742410         435,143      84,167      81,167      3,000                84,167
COMFORT SYS USA
INC              COM        19990810         434,610     165,251     165,251                          165,151                    100
PACIFIC ENERGY
PARTN            COM UNIT   69422R10         434,280      16,800      16,800                           16,800
KFX INC          COM        48245L10         433,035     111,607     111,607                          111,607
KENDLE
INTERNATIONAL    COM        48880L10         432,668      69,898      69,898                           69,898
MEDCATH CORP     COM        58404W10         431,083      72,451      61,451     10,000     1,000      68,651       1,000      2,800
COMMUNITY BK
NORTHN           COM        20356610         428,251      36,634      36,634                           36,634
ARQULE INC       COM        04269E10         426,601     103,544     100,844      2,700               103,544
MUNICIPAL MTG &
EQUI             GROWTH SHS 62624B10         426,384      16,800       1,800     10,000     5,000      11,800       5,000
SUNOCO LOGISTICS
PRT              COM UNITS  86764L10         425,854      14,300      14,300                           14,300
TRICO MARINE
SERVICE          COM        89610610         424,021     109,284     109,284                          109,284
VOLVO
AKTIEBOLAGET     ADR B      92885640         422,736      19,137      19,137                           19,137
WESTMORELAND
COAL CO          COM        96087810         421,589      23,177      21,677      1,500                23,177
SUN LIFE FINL
SVCS C           COM        86679610         416,417      20,049      20,049                           20,049
MIPS
TECHNOLOGIES IN  CL A       60456710         416,298     163,897     163,797                  100     163,797         100
MITCHELLS &
BUTLERS          SPONSORED  60668M10         415,576     100,868     100,868                          100,868
ACE CASH EXPRESS
INC              COM        00440310         415,234      38,200      38,200                           38,200
EXCO RESOURCES
INC              COM NEW    26927920         410,852      22,876      22,876                           22,876
NATIONAL BK
GREECE S         SPONSORED  63364340         409,986     120,940     120,940                          120,940
ACLARA
BIOSCIENCES I    COM        00461P10         409,981      97,152      97,152                           97,052                    100
SCM MICROSYSTEMS
INC              COM        78401810         408,227      74,767      74,767                           74,767
STARRETT L S CO  CL A       85566810         406,150      31,363      31,363                           31,113                    250
MARKETWATCH COM
INC              COM        57061910         404,865      48,779      48,779                           48,779
VIRCO MFG CO     COM        92765110         403,758      63,484      63,484                           63,484
AMERICAN RLTY
INVS I           COM        02917410         401,836      32,803      32,803                           32,803
METROLOGIC
INSTRS IN        COM        59167610         400,250      12,034      12,034                           12,034
ELLIS PERRY INTL
INC              COM        28885310         399,798      20,513      20,513                           20,513
SEQUENOM INC     COM        81733710         399,264     145,187     145,187                          145,187
BP PRUDHOE BAY
RTY T            UNIT BEN I 05563010         398,560      21,099      21,099                           21,099
ANDERSONS INC    COM        03416410         398,125      32,500      32,500                           32,500
HELEN OF TROY
CORP L           COM        G4388N10         395,524      26,090      25,890        200                26,090
VERSO
TECHNOLOGIES I   COM        92531710         393,229     227,300     227,300                          227,300
SUNCOR ENERGY
INC              COM        86722910         392,700      20,944      20,944                           20,944
SONIC SOLUTIONS  COM        83546010         392,520      45,536      45,536                           45,536
METROCORP
BANCSHARES       COM        59165010         390,830      32,300      32,300                           32,300
PREFORMED LINE
PRODS            COM        74044410         390,590      27,800       6,800               21,000       6,800      21,000
JNI CORP         COM        46622G10         388,355      77,983      77,983                           77,983
CASTLE A M & CO  COM        14841110         387,118      59,102      59,102                           59,102
HAWKINS INC      COM        42026110         386,676      38,862      38,862                           38,862
STORA ENSO CORP  SPON ADR R 86210M10         386,614      34,244      34,244                           34,244
CLEAN HARBORS
INC              COM        18449610         382,399      40,168      40,168                           40,168
Page Total                                20,772,133


                                                                   Page 66 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
FIRST CASH FINL
SVCS             COM        31942D10         379,674      26,700      26,700                           26,700
LAYNE
CHRISTENSEN CO   COM        52105010         378,483      46,900      46,900                           46,900
ASTROPOWER INC   COM        04644A10         377,606     111,718     111,718                          105,818                  5,900
NIPPON TELEG &
TEL C            SPONSORED  65462410         376,893      19,035      18,200        835                19,035
SYNPLICITY INC   COM        87160Y10         376,813      72,744      72,744                           72,744
DOV
PHARMACEUTICAL I COM        25985810         376,267      33,298      33,298                           33,298
NORTHFIELD LABS
INC              COM        66613510         375,515      48,579      48,579                           48,579
DOBSON
COMMUNICATION    CL A       25606910         374,802      71,120      71,120                           71,120
TMBR/SHARP
DRILLING         COM        87257P10         371,542      19,700      19,700                           19,700
DOVER
MOTORSPORTS IN   COM        26017410         370,758      90,429      90,429                           88,429                  2,000
PLATO LEARNING
INC              COM        72764Y10         370,250      63,399      63,399                           63,399
DIAMONDCLUSTER
INTL             CL A       25278P10         369,904     101,902     100,902                1,000     100,902       1,000
ANADIGICS INC    COM        03251510         369,709     116,261     116,261                          116,261
EMCORE CORP      COM        29084610         369,214     113,256     113,256                          113,256
FEDDERS CORP     COM NEW    31313550         367,457     119,693     119,693                          119,693
BENIHANA INC     CL A       08204720         367,435      27,836      27,836                           27,436                    400
BANCO BRADESCO
S A              SP ADR PFD 05946020         364,969      19,538      19,538                           11,699       7,839
ROANOKE ELEC STL
COR              COM        76984110         361,567      49,126      49,126                           49,126
COVANSYS CORP    COM        22281W10         358,012     111,879     111,879                          111,779                    100
XOMA LTD         ORD        G9825R10         357,381      67,177      67,177                           67,177
DENDREON CORP    COM        24823Q10         357,071      60,113      60,013                  100      60,013         100
MAINE PUB SVC CO COM        56048310         354,359      10,900      10,600        300                10,900
NATURAL RESOURCE
PAR              COM UNIT L 63900P10         354,032      11,200      11,200                           11,200
HANSON PLC       SPON ADR N 41135240         351,921      12,453      12,453                           12,453
MMO2 PLC         ADR        55309W10         347,860      37,688      37,688                           37,688
ADE CORP MASS    COM        00089C10         347,486      41,074      41,074                           41,074
SITEL CORP       COM        82980K10         347,336     224,088     224,088                          224,088
FACTORY 2-U INC  COM        30307210         343,677      71,749      71,749                           71,749
MEDALLION FINL
CORP             COM        58392810         343,509      49,284      49,284                           49,284
BAKER MICHAEL
CORP             COM        05714910         342,517      32,011      32,011                           32,011
MOCON INC        COM        60749410         338,575      46,700      10,400               36,300      10,400      36,300
FIRST ALBANY COS
INC              COM        31846510         338,503      28,045      28,045                           28,045
RES-CARE INC     COM        76094310         338,136      74,809      74,809                           74,709                    100
ASHWORTH INC     COM        04516H10         336,867      47,513      47,513                           47,513
CAPTARIS INC     COM        14071N10         336,184      97,728      97,728                           97,728
HUFFY CORP       COM        44435610         335,720      47,960      39,259      8,701                47,960
LASERSCOPE       COM        51808110         335,544      42,260      42,260                           42,260
NUTRACEUTICAL
INTL C           COM        67060Y10         334,325      31,100      31,100                           31,100
ESCALADE INC     COM        29605610         332,926      20,756      20,756                           20,756
CELERITEK INC    COM        15092610         332,656      45,507      45,407                  100      45,407         100
VICAL INC        COM        92560210         329,141      72,819      72,819                           72,819
SUPERCONDUCTOR
TECHN            COM        86793110         327,988     147,080     147,080                          147,080
HILFIGER TOMMY
CORP             ORD        G8915Z10         327,040      35,394      35,394                           35,394
PEMSTAR INC      COM        70655210         325,692      77,731      77,731                           77,731
RANK GROUP PLC   SPONSORED  75303710         325,631      39,280      39,280                           39,280
VESTA INS GROUP
INC              COM        92539110         322,517     140,225     140,225                          140,225
AVANIR
PHARMACEUTICA    CL A       05348P10         322,516     184,295     184,295                          184,295
PECHINEY         SPONSORED  70515120         322,471      17,935      17,935                           17,935
STEEL
TECHNOLOGIES I   COM        85814710         321,952      31,845      31,485                  360      31,485         360
SIRNA
THERAPEUTICS I   COM        82966910         319,762      36,839      36,839                           36,839
Page Total                                17,508,165


                                                                   Page 67 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
BANC CORP        COM        05944B10         318,033      48,407      48,407                           48,407
NATCO GROUP INC  CL A       63227W20         316,283      46,308      46,308                           46,308
SANFILIPPO JOHN
B &              COM        80042210         315,964      19,432      19,432                           19,432
OREGON STL MLS
INC              COM        68607910         313,289     108,031     108,031                          108,031
MONTEREY PASTA
CO               COM        61257010         312,688      63,814      63,814                           62,914                    900
FIRST BANCTRUST
CORP             COM        31868F10         312,193      14,420      14,420                           14,420
READING
INTERNATIONA     CL A       75540810         311,355      56,100      56,100                           56,100
MAGNETEK INC     COM        55942410         309,499     121,850     121,850                          121,650                    200
DIGI INTL INC    COM        25379810         308,182      54,248      53,886        362                54,248
ABIOMED INC      COM        00365410         306,424      58,035      57,935        100                58,035
CADMUS
COMMUNICATION    COM        12758710         305,949      34,415      34,415                           34,415
NEUROGEN CORP    COM        64124E10         304,969      63,668      63,108        560                63,668
BOC GROUP PLC    SPONSORED  05561760         304,830      11,617      11,617                           11,617
META GROUP INC   COM        59100210         304,810      71,720       9,672     13,986    48,062      23,658      48,062
ORIX CORP        SPONSORED  68633010         303,596      10,835      10,835                           10,835
DIGITAL
GENERATION S     COM        25392110         301,944     156,448     156,448                          156,448
ACTIVE POWER INC COM        00504W10         300,294     178,747     176,147      2,600               176,047                  2,700
ENDOCARDIAL
SOLUTION         COM        29296210         298,390      49,898      49,898                           49,898
3-D SYS CORP DEL COM NEW    88554D20         295,399      43,187      43,187                           43,187
ARRAY BIOPHARMA
INC              COM        04269X10         294,320      94,032      94,032                           94,032
CANDELA CORP     COM        13690710         294,144      25,600      25,600                           25,600
PROTON ENERGY
SYS IN           COM        74371K10         292,811     123,549     123,549                          123,549
TREND MICRO INC  SPONS ADR  89486M20         291,673      18,697      18,697                           18,697
PLX TECHNOLOGY
INC              COM        69341710         291,116      72,779      72,779                           72,779
IMPERIAL CHEM
INDS P           ADR NEW    45270450         289,719      34,906      34,906                           34,906
HELLENIC TELECOM
ORG              SPONSORED  42332530         287,472      47,912      47,912                           47,912
ADVANCED
SEMICONDUCT      SPONSORED  00756M40         285,575      97,466      97,466                           97,466
DURATEK INC      COM        26658Q10         283,894      35,800      35,800                           35,800
NOVAVAX INC      COM        67000210         283,250      51,500      31,500     20,000                51,500
PETROQUEST
ENERGY IN        COM        71674810         283,064     120,453     120,453                          120,453
ALLIED DOMECQ
PLC              SPON ADR N 01912120         282,240      12,439      12,439                           12,439
TROPICAL
SPORTSWEAR       COM        89708P10         278,235      39,078      39,078                           38,178                    900
CNS INC          COM        12613610         277,100      32,600      12,600     20,000                32,600
HOLLIS-EDEN
PHARMACE         COM        43590210         277,027      22,287      22,287                           22,287
PORTUGAL TELECOM
SGP              SPONSORED  73727310         276,410      38,713      38,713                           38,713
LAKES ENTMNT INC COM        51206P10         272,520      34,112      34,112                           34,112
CHORDIANT
SOFTWARE I       COM        17040410         271,237     144,275     144,275                          144,275
AMERICA SVC
GROUP IN         COM        02364L10         270,290      15,100      15,100                           15,100
AIRNET SYS INC   COM        00941710         270,244      66,727       9,200     57,527                 9,200      57,527
IMPCO
TECHNOLOGIES I   COM        45255W10         269,124      43,760      43,760                           43,760
LIFECORE
BIOMEDICAL       COM        53218710         268,702      47,474      47,474                           47,474
EXPLORATION CO   COM NEW    30213320         268,073      63,076      59,976      3,100                63,076
AVIGEN INC       COM        05369010         264,330      71,248      71,248                           71,248
ITXC CORP        COM        45069F10         263,649     101,015     101,015                          101,015
MCLEODUSA INC    CL A       58226670         262,919     178,857     173,430        409     5,018     173,675       5,018        164
NUVELO INC       COM        67072M10         261,972     130,986     130,986                          130,986
TPG N V          SPONSORED  89233910         261,621      15,444      15,444                           15,444
UNITED UTILS PLC SPONSORED  91311Q10         261,420      13,071      13,071                           13,071
PLACER DOME INC  COM        72590610         258,798      21,092      21,092                           20,792                    300
BRUKER AXS INC   COM        11679P10         258,157      79,433      79,433                           79,433
Page Total                                14,395,197


                                                                   Page 68 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
CELLSTAR CORP    COM NEW    15092520         257,725      65,579      65,579                           65,579
AUGUST
TECHNOLOGY CO    COM        05106U10         257,635      41,354      41,354                           41,354
LAFARGE COPPEE
S A              SPON ADR N 50586140         256,590      16,501      16,501                           16,501
MONMOUsREAL
ESTATE           CL A       60972010         256,230      36,500      36,500                           36,500
M & F WORLDWIDE
CORP             COM        55254110         255,009      35,418      35,377                   41      35,377          41
ILLUMINA INC     COM        45232710         254,968      90,736      90,736                           90,736
WIPRO LTD        SPON ADR 1 97651M10         254,679      11,049      11,049                           11,049
COMPANHIA DE
BEBIDAS          SPONSORED  20441W10         253,317      14,901      14,901                           14,901
STEWART W P & CO
LTD              COM        G8492210         250,297      11,174      11,174                           11,174
CCF HLDG CO      COM        12487X10         249,300      11,250      11,250                           11,250
INCO LTD         COM        45325840         249,050      11,781      11,781                           11,781
SYNTROLEUM CORP  COM        87163010         247,290      92,618      92,618                           92,618
SELECT SECTOR
SPDR T           SBI INT-IN 81369Y70         246,290      11,000      11,000                                                  11,000
PARKERVISION INC COM        70135410         245,342      37,687      37,687                           37,687
MEDSOURCE
TECHNOLOGI       COM        58505Y10         244,961      57,774      57,774                           57,574                    200
LUBYS INC        COM        54928210         243,454     108,202     108,202                          102,102                  6,100
COMARCO INC      COM        20008010         240,690      33,900      33,900                           33,900
GENERAL MARITIME
COR              SHS        Y2692M10         240,555      23,700      23,700                           23,700
CABLE & WIRELESS
PUB              SPONSORED  12683020         239,826      43,844      43,404        440                43,844
ICICI BK LTD     ADR        45104G10         239,568      32,953      32,953                           32,953
CROSS TIMBERS
RTY TR           TR UNIT    22757R10         238,703      10,106      10,106                           10,106
FOAMEX INTL INC  COM        34412310         238,354      80,525      80,525                           78,225                  2,300
GTC
BIOTHERAPEUTICS  COM        36238T10         237,685      71,377      71,377                           71,377
QUOVADX INC      COM        74913K10         237,160      88,824      88,824                           88,824
CARLTON
COMMUNICATIO     ADR        14287220         237,111      19,596      19,596                           19,596
TRIPOS INC       COM        89692810         236,468      30,085      30,085                           30,085
TELSTRA CORP LTD SPON ADR F 87969N20         235,684      15,871      15,871                           15,871
URSTADT BIDDLE
PPTYS            COM        91728610         235,037      17,672      17,672                           17,672
METASOLV INC     COM        59139P10         234,866     119,830     119,830                          119,830
NANOMETRICS INC  COM        63007710         234,842      33,311      30,891      2,420                33,311
FRESENIUS MED
CARE A           SPONSORED  35802910         233,645      14,212      14,212                           14,212
CROSS A T CO     CL A       22747810         232,366      39,119      37,479                1,640      33,679       1,640      3,800
DOCUCORP INTL
INC              COM        25591110         232,309      36,017      36,017                           36,017
AEP INDS INC     COM        00103110         230,451      32,186      32,186                           31,986                    200
I-MANY INC       COM        44973Q10         229,804     216,797     129,297     87,500               216,797
ALASKA
COMMUNICATION    COM        01167P10         228,000      63,510      63,510                           63,510
DISCOVERY
PARTNERS I       COM        25467510         226,291      51,547      51,423        124                51,547
APPLIED
MOLECULAR EV     COM        03823E10         226,068      54,871      54,871                           54,871
TERRA INDS INC   COM        88091510         223,593     208,966     208,966                          208,966
UNITED PANAM
FINANCI          COM        91130110         222,213      17,993      17,993                           17,993
CONCERTO
SOFTWARE IN      COM        20602T10         222,149      24,173      24,173                           24,173
ASPECT MED SYS
INC              COM        04523510         220,078      29,821      29,621                  200      29,621         200
GAIAM INC        CL A       36268Q10         219,809      37,130      37,130                           34,930                  2,200
BANK SOUTH
CAROLINA         COM        06506610         219,395      14,806      14,806                           14,806
BANKRATE INC     COM        06646V10         216,771      17,915      17,915                           17,915
FRANKLIN BANCORP
INC              COM        35242V10         216,250      12,500      12,500                           12,500
LADISH INC       COM NEW    50575420         215,701      32,339      32,339                           32,339
KANA SOFTWARE
INC              COM NEW    48360030         214,190      70,690      70,690                           70,690
REVLON INC       CL A       76152550         213,828      71,276      70,426        850                71,276
CHALONE WINE
GROUP L          COM        15763910         212,620      27,613      27,613                           27,613
Page Total                                11,804,217


                                                                   Page 69 of 70





                                                   State Street Corporation (STT)
                                                    SEC13F Report - June 30, 2003
====================================================================================================================================
                                                                      Investment Discretion                Voting Authority
                                                                 -------------------------------------------------------------------
     Name of      Title of   Cusip     Fair Market      Shares               Shared as   Shared
     Issuer        Class     Number       Value        Prin Amt     Sole      Defined     Other      Sole       Shared      None
====================================================================================================================================
                                                                                              
REUTERS GROUP
PLC              SPONSORED  76132M10         210,913      12,066      12,066                           12,066
CYBERGUARD CORP  COM        23191010         209,450      29,500      29,500                           29,500
CAPSTONE TURBINE
COR              COM        14067D10         209,211     186,796     184,636      2,100        60     186,736          60
PROXYMED
PHARMACY IN      COM NEW    74429030         208,143      16,454      16,454                           16,454
SOMERA
COMMUNICATION    COM        83445810         207,027     135,312     135,312                          135,312
SANYO ELEC LTD   ADR 5 COM  80303830         203,918      11,960      11,960                           11,960
SANGAMO
BIOSCIENCES      COM        80067710         203,270      70,826      70,826                           70,826
MIDDLEBY CORP    COM        59627810         203,000      14,500      14,500                           14,500
KINROSS GOLD
CORP             COM NEW    49690220         202,331      29,975      29,975                           19,075                 10,900
Page Total                                 1,857,263
Grand Total                          347,435,884,084

TOTAL MARKET
VALUE                                347,435,884,084


                                                                   Page 70 of 70