UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington D.C. 20549 Form 13F Form 13F Cover Page Report for Calendar Year or Quarter Ended: September 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 October 30, 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: 3,363 Form 13F Information Table Value Total: 359,462,745 (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 - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ CITIGROUP INC COM 17296710 11,721,626,641 257,561,561 242,383,590 14,559,694 618277 138,992,653 105,546,450 13,022,458 INTERNATIONAL BUSINE COM 45920010 11,396,798,830 129,025,233 104,874,558 23,826,543 324132 48,136,812 53,761,080 27,127,341 GENERAL ELEC CO COM 36960410 8,655,234,113 290,346,666 279,154,065 6,365,550 4,827,051 257,422,156 8,299,599 24,624,911 MICROSOFT CORP COM 59491810 8,379,309,255 301,414,002 295,334,758 4,365,908 1,713,336 266,901,783 5,451,087 29,061,132 EXXON MOBIL CORP COM 30231G10 7,295,004,469 199,317,062 191,910,747 4,149,159 3,257,156 178,532,730 4,837,612 15,946,720 PFIZER INC COM 71708110 6,809,248,338 224,135,890 217,468,615 4,042,103 2,625,172 196,802,039 7,763,533 19,570,318 JOHNSON & JOHNSON COM 47816010 6,574,112,873 132,756,722 126,861,069 4,122,080 1,773,573 82,857,722 41,529,481 8,369,519 WAL MART STORES INC COM 93114210 6,231,930,767 111,583,362 108,602,295 1,926,352 1,054,715 99,796,029 2,537,385 9,249,948 INTEL CORP COM 45814010 5,490,600,154 199,513,087 192,698,648 4,380,250 2,434,189 176,394,222 4,787,195 18,331,670 MERRILL LYNCH & CO I COM 59018810 5,416,401,146 101,184,404 27,376,735 73,793,733 13936 24,517,581 73,915,147 2,751,676 MORGAN STANLEY COM NEW 61744644 5,275,670,758 104,551,541 28,689,969 75,803,809 57763 27,561,894 74,496,753 2,492,894 AMERICAN INTL GROUP COM 02687410 4,299,192,264 74,509,398 71,337,830 2,068,143 1,103,425 65,511,711 1,713,660 7,284,027 3M CO COM 88579Y10 4,256,189,752 61,621,395 52,681,905 8,324,100 615390 24,854,096 34,606,655 2,160,644 GENERAL MTRS CORP COM 37044210 4,195,504,641 102,504,389 102,418,588 60509 25292 19,030,295 81,989,890 1,484,204 PROCTER & GAMBLE CO COM 74271810 4,062,196,571 43,764,238 41,914,803 1,061,662 787773 38,817,959 1,287,726 3,658,553 CISCO SYS INC COM 17275R10 4,003,830,039 204,381,319 199,861,052 3,033,899 1,486,368 180,647,457 3,969,631 19,764,231 LOCKHEED MARTIN CORP COM 53983010 3,837,473,983 83,152,199 83,035,691 107040 9468 10,935,376 95668 72,121,155 BELLSOUTH CORP COM 07986010 3,651,941,061 154,220,484 151,105,760 2,768,626 346098 49,389,095 99,472,638 5,358,751 MERCK & CO INC COM 58933110 3,632,676,165 71,763,654 68,372,874 1,935,684 1,455,096 63,318,546 2,253,488 6,191,620 BANK OF AMERICA CORP COM 06050510 3,477,661,480 44,562,551 43,939,202 476546 146803 39,692,761 497562 4,372,228 LOWES COS INC COM 54866110 3,421,718,421 65,929,064 20,284,683 45,517,674 126707 18,339,423 45,592,727 1,996,914 TARGET CORP COM 87612E10 3,250,666,270 86,384,966 85,470,341 721061 193564 21,983,027 62,288,907 2,113,032 BOEING CO COM 09702310 3,248,551,638 94,627,196 30,764,839 63,820,114 42243 86,273,943 6,506,504 1,846,749 COCA COLA CO COM 19121610 3,061,415,562 71,262,001 68,660,560 1,353,045 1,248,396 62,859,606 2,098,217 6,304,178 BP PLC SPON- SORED 05562210 2,768,346,755 65,756,455 65,724,898 31557 516739 65,236,036 3680 CHEVRONTEXACO CORP COM 16676410 2,757,637,971 38,595,353 31,068,659 7,344,230 182464 28,434,558 7,548,966 2,611,829 HONEYWELL INTL INC COM 43851610 2,710,680,309 102,872,118 27,689,211 75,131,467 51440 25,792,963 75,097,426 1,981,729 VERIZON COMMUNICATIO COM 92343V10 2,624,740,480 80,910,619 79,397,526 988300 524793 71,824,971 1,186,535 7,899,113 WELLS FARGO & CO NEW COM 94974610 2,573,019,104 49,961,536 48,051,100 1,327,582 582854 44,385,080 965993 4,610,463 DELL INC COM 24702R10 2,423,468,678 72,515,520 71,102,134 1,172,174 241212 64,333,889 1,132,969 7,048,662 AMGEN INC COM 03116210 2,401,407,172 37,219,578 36,599,100 441775 178703 32,917,950 629098 3,672,530 PEPSICO INC COM 71344810 2,350,296,223 51,282,920 48,606,013 1,707,112 969795 44,778,037 1,619,673 4,885,210 ALTRIA GROUP INC COM 02209S10 2,348,682,319 53,622,884 52,871,179 498386 253319 49,539,678 937832 3,145,374 SBC COMMUNICATIONS I COM 78387G10 2,291,689,302 102,997,272 98,975,432 3,508,667 513173 90,058,398 3,592,973 9,345,901 HOME DEPOT INC COM 43707610 2,290,919,571 71,928,401 69,444,455 1,856,584 627362 64,004,227 1,438,272 6,485,902 J P MORGAN CHASE & C COM 46625H10 2,215,377,140 64,531,813 63,611,960 571905 347948 57,879,050 868502 5,784,261 FEDERAL NATL MTG ASS COM 31358610 1,991,776,176 28,372,880 28,177,970 150436 44474 25,270,555 388869 2,713,456 AOL TIME WARNER INC COM 88731710 1,991,473,764 131,798,396 131246143 523083 29170 117990383 1600914 12207099 AMERICAN EXPRESS CO COM 02581610 1,873,413,929 41,575,986 40,456,678 930560 188748 37,247,470 640740 3,687,776 ABBOTT LABS COM 00282410 1,833,140,248 43,082,027 41,712,053 706240 663734 38,085,059 1,271,967 3,725,001 VIACOM INC CL B 92552430 1,807,242,567 47,186,490 46,925,310 226413 34767 42,237,661 465903 4,482,926 HEWLETT PACKARD CO COM 42823610 1,772,810,726 91,570,802 89,518,215 1,059,273 993314 81,912,051 1,545,325 8,113,426 LILLY ELI & CO COM 53245710 1,759,139,850 29,615,149 29,361,687 214697 38765 26,477,348 427870 2,709,931 COMCAST CORP NEW CL A 20030N10 1,749,800,322 56,774,832 56,255,286 444180 75365 51,392,184 527262 4,855,385 DU PONT E I DE NEMOU COM 26353410 1,728,562,032 43,203,250 42,289,069 568554 345627 40,451,054 665936 2,086,260 WYETH COM 98302410 1,688,631,014 36,629,740 35,186,201 859605 583934 32,543,802 1,013,596 3,072,342 SOUTHWEST AIRLS CO COM 84474110 1,655,886,223 93,552,894 93,450,102 74960 27832 17,701,668 74,098,975 1,752,251 UNITED PARCEL SERVIC CL B 91131210 1,648,738,293 25,842,293 25,625,130 188698 28465 23,085,962 434094 2,322,237 MEDTRONIC INC COM 58505510 1,611,603,327 34,347,897 33,054,041 984232 309624 30,306,001 692143 3,349,753 WACHOVIA CORP 2ND NE COM 92990310 1,584,260,695 38,462,265 37,935,336 401691 125238 34,265,583 490407 3,706,275 ORACLE CORP COM 68389X10 1,500,152,017 133,346,846 132,388,667 763680 194499 118,926,103 1,832,104 12,588,639 INTL PAPER CO COM 46014610 1,474,914,677 37,798,941 17,777,598 20,011,638 9705 16,722,637 20,061,989 1,014,315 Page Total 189,072,766,075 Page 1 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ DUKE ENERGY CORP COM 26439910 1,408,977,720 79,111,607 28,016,437 51,046,139 49031 25,820,004 51,167,042 2,124,561 UNITED TECHNOLOGIES COM 91301710 1,381,700,016 17,879,141 17,661,801 129806 87534 16,432,825 252755 1,193,561 BRISTOL MYERS SQUIBB COM 11012210 1,365,337,448 53,208,786 51,450,567 887080 871139 47,035,903 1,477,112 4,695,771 US BANCORP DEL COM NEW 90297330 1,327,925,619 55,353,298 54,832,801 442860 77637 49,208,365 576480 5,568,453 SEARS ROEBUCK & CO COM 81238710 1,289,261,328 29,482,308 29,450,483 31255 570 7,185,636 21,623,310 673362 DISNEY WALT CO COM DISNEY 25468710 1,278,876,550 63,404,886 60,917,205 1,676,145 811536 56,717,615 1,259,755 5,427,516 BANK ONE CORP COM 06423A10 1,234,771,029 31,947,504 31,811,436 106470 29598 28,305,189 426683 3,215,632 ANHEUSER BUSCH COS I COM 03522910 1,149,249,532 23,292,451 22,777,206 306231 209014 20,770,099 504610 2,017,742 TEXAS INSTRS INC COM 88250810 1,111,483,014 48,749,255 48,499,091 202140 48024 43,529,804 431245 4,788,206 HARTFORD FINL SVCS G COM 41651510 1,109,586,395 21,082,774 8,122,412 12,902,579 57783 7,447,989 12,878,564 756221 PROGRESS ENERGY INC COM 74326310 1,098,578,901 24,709,377 24,684,316 20949 4112 6,511,307 17,658,430 539640 WASHINGTON MUT INC COM 93932210 1,093,021,908 27,762,812 27,662,218 95515 5079 24,790,507 222636 2,749,669 FEDERAL HOME LN MTG COM 31340030 1,066,095,133 20,364,759 20,043,389 204317 117053 18,204,670 260369 1,899,720 FIRST DATA CORP COM 31996310 1,011,670,197 25,317,072 20,957,794 4,235,518 123760 19,360,973 4,069,147 1,886,952 CONOCOPHILLIPS COM 20825C10 996,499,275 18,200,900 18,024,825 132334 43741 16,639,804 193551 1,367,545 MCDONALDS CORP COM 58013510 973,679,417 41,362,762 40,539,663 616903 206196 37,260,317 478711 3,623,734 CATERPILLAR INC DEL COM 14912310 967,689,869 14,057,087 13,924,055 91845 41187 13,148,558 115182 793347 GILLETTE CO COM 37576610 960,600,465 30,037,538 28,974,641 813779 249118 26,634,952 611377 2,791,209 GOLDMAN SACHS GROUP COM 38141G10 954,591,714 11,377,732 10,847,628 483987 46117 10,109,180 362193 906359 PENNEY J C INC COM 70816010 930,707,650 43,552,066 43,532,100 18266 1700 6,310,351 36,572,005 669710 FLEETBOSTON FINL COR COM 33903010 925,043,697 30,681,383 29,751,309 545235 384839 27,357,511 568507 2,755,365 WALGREEN CO COM 93142210 877,968,824 28,654,335 27,029,701 1,023,448 601186 25,092,168 961726 2,600,441 FIFTH THIRD BANCORP COM 31677310 865,072,045 15,575,658 14,273,193 882429 420036 13,551,599 619185 1,404,874 QUALCOMM INC COM 74752510 861,869,777 20,683,220 20,601,414 53791 28015 18,466,027 274983 1,942,210 APPLIED MATLS INC COM 03822210 850,553,466 46,914,146 45,380,487 1,164,006 369653 42,048,150 657968 4,208,028 TYCO INTL LTD NEW COM 90212410 848,526,728 41,533,369 41,528,611 4758 36,607,374 346208 4,579,787 COLGATE PALMOLIVE CO COM 19416210 848,314,516 15,178,288 14,516,200 515488 146600 13,513,622 334071 1,330,595 UNITEDHEALTH GROUP I COM 91324P10 838,436,167 16,662,086 16,615,006 42000 5080 14,905,590 226266 1,530,230 PG&E CORP COM 69331C10 833,377,823 34,869,365 34,831,355 37430 580 11,396,593 22,536,351 936421 MBNA CORP COM 55262L10 832,977,183 36,534,087 36,237,978 191830 104279 32,323,772 386758 3,823,557 DOW CHEM CO COM 26054310 832,720,727 25,590,680 25,384,853 124230 81597 23,259,972 367284 1,963,424 CONAGRA FOODS INC COM 20588710 831,849,201 39,164,275 18,891,627 20,240,456 32192 13,458,479 24,440,579 1,265,217 E M C CORP MASS COM 26864810 830,418,673 65,749,697 64,362,371 1,028,960 358366 58,594,817 853071 6,301,809 GLAXOSMITHKLINE PLC SPON- SORED 37733W10 820,838,178 19,359,391 19,329,137 30254 19,352,034 7357 EBAY INC COM 27864210 819,717,200 15,281,827 15,250,977 30450 400 13,463,651 259042 1,559,134 NORTHROP GRUMMAN COR COM 66680710 791,390,100 9,178,730 9,159,234 14117 5379 4,387,694 4,397,755 393281 EDISON INTL COM 28102010 779,397,083 40,806,130 40,785,840 19830 460 9,153,502 30,878,995 773633 MARSH & MCLENNAN COS COM 57174810 769,542,663 16,163,467 14,890,118 960199 313150 14,271,143 502278 1,390,046 ALLSTATE CORP COM 02000210 768,600,405 21,040,252 20,963,572 69883 6797 18,946,625 241716 1,851,911 CARDINAL HEALTH INC COM 14149Y10 767,977,044 13,152,544 12,659,245 420293 73006 11,928,978 150556 1,073,010 MOTOROLA INC COM 62007610 757,052,540 63,351,677 62,245,517 719140 387020 56,915,433 790770 5,645,474 ALCOA INC COM 01381710 745,842,580 28,510,802 28,410,662 88324 11816 26,411,546 159698 1,939,558 EXELON CORP COM 30161N10 744,157,833 11,719,021 11,649,566 64551 4904 10,616,391 108683 993947 FIRSTENERGY CORP COM 33793210 742,959,294 23,290,260 23,154,509 134879 872 9,512,318 12,985,922 792020 KIMBERLY CLARK CORP COM 49436810 741,039,296 14,439,581 13,962,748 288563 188270 12,771,493 367484 1,300,604 STATE STR CORP COM 85747710 741,034,080 16,467,424 8,679,652 7,406,869 380903 8,000,936 7,663,950 802538 DELPHI CORP COM 24712610 736,026,608 81,328,907 81,027,442 275817 25648 15,141,765 64,742,346 1,444,796 GENERAL MTRS CORP CL H NEW 37044283 713,458,907 49,857,366 49,808,780 44553 4033 10,449,170 38,747,764 660432 AIR PRODS & CHEMS IN COM 00915810 708,495,879 15,709,443 6,775,315 8,738,372 195756 6,404,150 8,741,938 563355 AUTOMATIC DATA PROCE COM 05301510 706,746,828 19,713,998 16,974,076 1,794,693 945229 16,974,863 1,155,844 1,583,291 SYSCO CORP COM 87182910 691,369,092 21,136,322 17,733,930 2,056,902 1,345,490 17,834,934 1,574,223 1,727,165 BOSTON SCIENTIFIC CO COM 10113710 666,078,316 10,440,099 10,409,528 26110 4461 9,372,651 132859 934589 Page Total 47,999,155,933 Page 2 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ CLEAR CHANNEL COMMUN COM 18450210 660,666,305 17,249,773 16,988,935 245503 15335 15,494,012 132302 1,623,459 EMERSON ELEC CO COM 29101110 651,056,579 12,365,747 11,358,010 661568 346169 10,777,214 494804 1,093,729 SOUTHERN CO COM 84258710 645,966,116 22,009,067 21,948,386 53056 7625 20,136,339 171178 1,701,550 AON CORP COM 03738910 634,105,212 30,412,720 9,465,897 20,934,114 12709 8,661,523 20,977,159 774038 DOMINION RES INC VA COM 25746U10 627,635,421 10,139,506 10,018,855 75300 45351 9,236,238 127821 775447 ELECTRONIC DATA SYS COM 28566110 617,739,795 30,581,178 17,375,223 13,204,019 1936 13,035,179 16,324,563 1,221,436 BAXTER INTL INC COM 07181310 596,880,136 20,539,578 15,637,413 4,880,902 21263 14,102,709 4,961,942 1,474,927 SCHLUMBERGER LTD COM 80685710 593,647,973 12,265,454 11,458,414 483760 323280 10,473,255 504480 1,287,719 AT&T WIRELESS SVCS I COM 00209A10 584,801,353 71,491,608 70,610,716 797081 83811 64,121,777 644491 6,725,340 FORD MTR CO DEL COM PAR $0 34537086 583,195,747 54,150,023 53,999,058 140508 10457 48,760,784 601708 4,787,531 PRUDENTIAL FINL INC COM 74432010 582,493,956 15,591,380 15,536,010 54655 715 14,254,017 116115 1,221,248 ILLINOIS TOOL WKS IN COM 45230810 580,309,784 8,758,071 7,962,142 517955 277974 7,645,118 331614 781339 AT&T CORP COM NEW 00195750 579,097,590 26,872,278 26,636,542 204533 31203 24,408,269 185268 2,278,741 BANK NEW YORK INC COM 06405710 574,518,831 19,736,133 19,535,598 106663 93872 17,856,283 228422 1,651,428 GANNETT INC COM 36473010 570,057,701 7,349,893 7,204,024 70510 75359 6,639,706 122309 587878 NEXTEL COMMUNICATION CL A 65332V10 567,502,954 28,792,641 28,702,076 62720 27845 25,702,715 400724 2,689,202 SCHERING PLOUGH CORP COM 80660510 565,538,203 37,108,806 36,696,179 272562 140065 33,927,278 395688 2,785,840 YAHOO INC COM 98433210 550,560,637 15,556,955 15,521,300 33875 1780 13,812,438 194378 1,550,139 METLIFE INC COM 59156R10 545,150,515 19,434,956 19,404,275 29558 1123 17,342,430 144964 1,947,562 LEHMAN BROS HLDGS IN COM 52490810 538,943,024 7,801,723 7,773,698 26919 1106 7,010,335 70494 720894 WASTE MGMT INC DEL COM 94106L10 537,124,542 20,524,438 16,856,550 3,666,444 1444 15,368,698 3,785,806 1,369,934 FEDEX CORP COM 31428X10 531,117,687 8,243,329 8,135,013 31646 76670 7,371,977 128720 742632 NATIONAL CITY CORP COM 63540510 520,736,256 17,676,044 17,101,414 84705 489925 15,408,707 676016 1,591,321 XEROX CORP COM 98412110 520,023,431 50,684,545 22,831,491 27,852,354 700 20,562,204 28,051,285 2,071,056 CENDANT CORP COM 15131310 517,554,639 27,691,527 27,556,065 92027 43435 25,098,443 221885 2,371,199 AFLAC INC COM 00105510 500,370,895 15,491,359 15,245,158 188302 57899 13,691,863 184972 1,614,524 BB&T CORP COM 05493710 499,129,500 13,899,457 13,853,930 40758 4769 12,763,129 121497 1,014,831 GUIDANT CORP COM 40169810 488,013,259 10,416,505 10,390,825 24760 920 9,221,127 161898 1,033,480 HCA INC COM 40411910 482,207,532 13,082,136 12,791,138 249976 41022 11,860,562 129922 1,091,652 FOREST LABS INC COM 34583810 477,526,074 9,281,362 9,220,247 28270 32845 8,293,282 159933 828147 GENERAL MLS INC COM 37033410 469,912,142 9,983,262 9,554,119 201461 227682 8,717,317 357964 907981 GENERAL DYNAMICS COR COM 36955010 460,206,164 5,895,544 5,705,530 158233 31781 5,314,510 66231 514803 COMPUTER ASSOC INTL COM 20491210 456,828,131 17,496,290 17,433,039 62451 800 15,523,836 140195 1,832,259 SLM CORP COM 78442P10 451,382,612 11,585,796 11,553,838 31298 660 10,337,283 142609 1,105,904 SUNTRUST BKS INC COM 86791410 448,017,119 7,421,188 7,383,008 36194 1986 6,607,660 60453 753075 OCCIDENTAL PETE CORP COM 67459910 438,724,051 12,453,138 12,399,527 47802 5809 11,216,731 108834 1,127,573 KOHLS CORP COM 50025510 438,240,328 8,191,408 8,167,005 23448 955 7,365,718 107016 718674 ANALOG DEVICES INC COM 03265410 437,156,887 11,498,077 10,955,985 398437 143655 10,210,914 288018 999145 TRAVELERS PPTY CAS C CL B 89420G40 436,688,153 27,499,254 25,051,009 2,444,698 3547 22,865,437 2,560,644 2,073,173 NEWMONT MINING CORP COM 65163910 429,750,886 10,993,883 10,943,127 22745 28011 9,979,927 98211 915745 ALLTEL CORP COM 02003910 429,402,102 9,266,338 8,324,762 772218 169358 8,409,360 236230 620748 ENTERGY CORP NEW COM 29364G10 427,061,122 7,886,632 7,720,374 148170 18088 7,170,784 75028 640820 BECTON DICKINSON & C COM 07588710 426,085,317 11,796,382 11,764,464 23850 8068 6,496,417 4,594,767 705198 CAPITAL ONE FINL COR COM 14040H10 424,239,392 7,437,577 7,341,939 78258 17380 6,644,228 120016 673333 BERKSHIRE HATHAWAY I CL B 08467020 421,719,168 168958 164951 1545 2462 2476 166384 98 SARA LEE CORP COM 80311110 416,946,915 22,709,527 22,574,880 76901 57746 20,498,685 330957 1,879,885 AVON PRODS INC COM 05430310 415,890,032 6,441,915 6,389,106 42404 10405 5,749,063 83893 608959 HARLEY DAVIDSON INC COM 41282210 408,797,503 8,481,276 8,140,759 294205 46312 7,575,229 140735 765312 STRYKER CORP COM 86366710 407,735,720 5,414,098 4,824,150 443385 146563 4,761,000 208468 444630 PROGRESSIVE CORP OHI COM 74331510 405,496,566 5,867,408 5,840,659 13449 13300 5,226,690 81487 559231 GAP INC DEL COM 36476010 405,337,040 23,676,229 23,614,784 61045 400 21,130,827 301781 2,243,621 DEERE & CO COM 24419910 403,269,039 7,564,604 7,537,326 24798 2480 6,670,473 51330 842801 Page Total 26,382,558,036 Page 3 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ UNION PAC CORP COM 90781810 398,514,817 6,850,865 6,734,210 58328 58327 6,177,816 102627 570422 VERITAS SOFTWARE CO COM 92343610 398,360,193 12,638,331 12,591,083 44458 2790 11,402,452 200242 1,035,637 BEST BUY INC COM 08651610 397,582,875 8,366,643 8,326,951 34834 4858 7,477,850 115423 773370 SCHWAB CHARLES CORP COM 80851310 394,255,765 33,102,919 32,956,486 70745 75688 29,552,760 310088 3,240,071 FPL GROUP INC COM 30257110 390,680,027 6,181,646 5,983,190 142762 55694 5,666,829 94816 420001 WELLPOINT HEALTH NET COM 94973H10 390,567,289 5,067,038 5,050,867 11520 4651 4,577,227 40589 449222 SPRINT CORP COM FON GR 85206110 388,128,633 25,703,883 25,575,815 121812 6256 23,268,547 225774 2,209,562 KROGER CO COM 50104410 382,263,513 21,391,355 21,303,870 74885 12600 19,203,991 176023 2,011,341 OMNICOM GROUP INC COM 68191910 381,926,003 5,315,602 5,199,222 99155 17225 4,727,316 76253 512033 PNC FINL SVCS GROUP COM 69347510 381,720,732 8,022,714 7,928,562 60255 33897 7,144,314 83197 795203 RAYTHEON CO COM NEW 75511150 381,217,956 13,614,927 13,485,143 112891 16893 10,050,439 2,772,227 792261 COSTCO WHSL CORP NEW COM 22160K10 375,603,242 12,057,889 12,008,769 46210 2910 10,832,921 82460 1,142,508 EQUITY OFFICE PROPER COM 29474110 372,983,239 13,548,247 13,546,472 1775 12,267,950 97325 1,182,972 NIKE INC CL B 65410610 370,108,432 6,085,308 6,071,188 12495 1625 5,542,867 86274 456167 CARNIVAL CORP PAIRED CTF 14365830 369,786,052 11,243,115 11,200,806 38409 3900 9,947,966 112900 1,182,249 MCGRAW HILL COS INC COM 58064510 367,515,165 5,915,261 5,603,820 183591 127850 5,197,562 193582 524117 AMERICAN ELEC PWR IN COM 02553710 367,437,270 12,247,909 12,200,529 41410 5970 11,262,486 75050 910373 BURLINGTON NORTHN SA COM 12189T10 363,450,983 12,589,227 12,287,473 246631 55123 11,332,081 153084 1,104,062 ELECTRONIC ARTS INC COM 28551210 363,070,564 3,938,713 3,927,203 9020 2490 3,501,381 47864 389468 CHUBB CORP COM 17123210 359,943,145 5,547,829 5,481,626 46715 19488 4,956,575 76388 514866 HEINZ H J CO COM 42307410 358,363,737 10,454,018 10,355,431 57719 40868 9,381,100 164351 908567 WEYERHAEUSER CO COM 96216610 353,567,323 6,049,056 6,017,000 20046 12010 5,508,792 58765 481499 TRIBUNE CO NEW COM 89604710 351,986,674 7,668,555 7,523,310 80744 64501 6,749,101 136686 782768 GOLDEN WEST FINL COR COM 38131710 348,319,303 3,891,401 3,881,515 9786 100 3,448,179 36665 406557 STAPLES INC COM 85503010 347,815,634 14,589,582 14,342,477 148975 98130 13,119,616 201634 1,268,332 FEDERATED DEPT STORE COM 31410H10 346,189,867 8,262,288 8,236,328 25820 140 7,350,821 111956 799511 MELLON FINL CORP COM 58551A10 345,616,766 11,467,046 11,334,035 102168 30843 10,312,065 105743 1,049,238 CVS CORP COM 12665010 337,236,031 10,857,567 10,702,402 88490 66675 9,715,610 135725 1,006,232 KELLOGG CO COM 48783610 334,635,033 10,034,034 10,000,474 28125 5435 8,963,178 142439 928417 ZIMMER HLDGS INC COM 98956P10 332,318,073 6,031,181 5,890,451 76939 63791 5,334,058 141923 555200 MAXIM INTEGRATED PRO COM 57772K10 330,662,151 8,394,571 8,348,358 40177 6036 7,578,071 107302 709198 PAYCHEX INC COM 70432610 328,196,848 9,624,541 9,442,481 96728 85332 8,516,049 202732 905760 LIBERTY MEDIA CORP N COM SER A 53071810 327,963,768 32,895,062 29,812,749 3,021,165 61148 30,758,387 168668 1,968,007 LINEAR TECHNOLOGY CO COM 53567810 327,357,547 9,110,981 8,413,095 518203 179683 8,092,800 277520 740661 YUM BRANDS INC COM 98849810 326,681,675 11,029,091 10,984,666 39205 5220 6,985,942 3,405,572 637577 MASCO CORP COM 57459910 322,937,197 13,191,879 13,134,150 37345 20384 11,795,205 122277 1,274,397 CORNING INC COM 21935010 322,487,774 34,234,371 34,085,055 120641 28675 31,228,984 266725 2,738,662 HALLIBURTON CO COM 40621610 314,234,676 12,958,131 12,920,663 36285 1183 11,615,498 79231 1,263,402 PUBLIC SVC ENTERPRIS COM 74457310 314,004,138 7,476,289 7,449,206 26248 835 6,785,405 60517 630367 KEYCORP NEW COM 49326710 313,906,013 12,276,340 12,217,041 39397 19902 11,088,498 110371 1,077,471 DANAHER CORP DEL COM 23585110 313,077,472 4,238,796 4,195,086 40060 3650 3,838,091 38545 362160 APACHE CORP COM 03741110 309,316,032 4,460,860 4,335,018 96271 29571 4,009,463 57828 393569 DEVON ENERGY CORP NE COM 25179M10 306,800,044 6,366,467 6,333,479 26165 6823 5,749,833 55280 561354 PRINCIPAL FINANCIAL COM 74251V10 302,388,953 9,757,630 9,726,980 29450 1200 8,816,652 167250 773728 STARBUCKS CORP COM 85524410 301,846,464 10,480,780 10,414,899 55411 10470 9,281,084 132620 1,067,076 BED BATH & BEYOND IN COM 07589610 300,504,956 7,852,233 7,806,668 35170 10395 7,064,271 114169 673793 ANADARKO PETE CORP COM 03251110 300,315,661 7,191,467 6,804,910 228658 157899 6,383,623 201210 606634 WRIGLEY WM JR CO COM 98252610 294,591,118 5,327,145 5,305,761 18184 3200 4,779,124 73261 474760 MARRIOTT INTL INC NE CL A 57190320 294,443,145 6,842,741 5,674,599 1,167,477 665 5,173,718 1,171,592 497431 PRAXAIR INC COM 74005P10 293,227,625 4,733,295 4,717,613 15412 270 4,227,230 50883 455182 KLA-TENCOR CORP COM 48248010 292,858,586 5,675,554 5,656,907 18407 240 5,106,641 67202 501711 NORTHERN TR CORP COM 66585910 292,714,010 6,911,783 5,580,907 1,009,449 321427 6,028,133 359627 524023 Page Total 17,881,680,189 Page 4 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ MARATHON OIL CORP COM 56584910 292,142,043 10,250,598 10,208,793 31665 10140 9,307,012 101384 842202 ANTHEM INC COM 03674B10 290,909,632 4,078,363 3,944,810 132498 1055 3,569,686 154074 354603 SUN MICROSYSTEMS INC COM 86681010 290,031,401 87,622,780 87,096,454 447106 79220 78,780,196 772441 8,070,143 TJX COS INC NEW COM 87254010 288,990,806 14,881,092 14,359,505 468967 52620 13,481,547 213432 1,186,113 HANCOCK JOHN FINL SV COM 41014S10 288,355,371 8,531,224 8,501,555 26929 2740 7,665,552 77440 788232 INTERNATIONAL GAME T COM 45990210 287,421,549 10,210,357 10,192,929 15228 2200 9,258,457 122804 829096 AGILENT TECHNOLOGIES COM 00846U10 286,902,963 12,976,163 12,757,886 123225 95052 11,669,438 177022 1,129,703 XILINX INC COM 98391910 284,793,232 10,017,349 9,961,929 43500 11920 8,823,357 129896 1,064,096 BAKER HUGHES INC COM 05722410 284,517,052 9,615,311 9,118,107 447778 49426 8,857,954 108076 649281 FORTUNE BRANDS INC COM 34963110 282,096,588 4,970,865 4,605,721 316810 48334 4,149,599 405845 415421 FRANKLIN RES INC COM 35461310 280,949,465 6,354,885 6,040,234 255323 59328 5,619,382 110293 625210 PEPSI BOTTLING GROUP COM 71340910 279,969,846 13,603,977 13,596,387 7390 200 5,694,076 7,454,011 455890 INTUIT COM 46120210 277,896,602 5,760,709 5,741,372 17769 1568 5,203,246 80490 476973 EASTMAN KODAK CO COM 27746110 276,412,250 13,200,203 13,165,896 18029 16278 12,345,962 66078 788163 APOLLO GROUP INC CL A 03760410 275,671,882 4,174,949 4,162,662 11537 750 3,769,884 55442 349623 TXU CORP COM 87316810 275,470,847 11,692,311 11,660,026 29420 2865 10,727,920 95047 869344 SAFEWAY INC COM NEW 78651420 275,287,524 12,000,328 11,957,368 42260 700 10,806,335 77600 1,116,393 CONSOLIDATED EDISON COM 20911510 274,729,696 6,740,179 6,658,232 43589 38358 6,154,537 85739 499903 ST JUDE MED INC COM 79084910 272,989,429 5,076,984 5,058,524 12032 6428 4,507,173 69548 500263 CAMPBELL SOUP CO COM 13442910 272,672,518 10,289,529 10,247,677 31660 10192 9,047,915 137479 1,104,135 COUNTRYWIDE FINANCIA COM 22237210 268,613,749 3,431,448 3,420,658 10690 100 3,114,150 22950 294348 BURLINGTON RES INC COM 12201410 267,425,409 5,548,245 5,470,581 62415 15249 5,013,555 50199 484491 ALLERGAN INC COM 01849010 266,753,143 3,388,202 3,376,059 11443 700 3,055,147 41450 291605 MCKESSON CORP COM 58155Q10 266,509,952 8,005,706 7,983,941 21565 200 7,180,037 61399 764270 PPG INDS INC COM 69350610 266,265,341 5,098,915 5,071,462 22383 5070 4,652,185 41475 405255 ADOBE SYS INC COM 00724F10 263,885,269 6,699,296 6,680,286 18230 780 6,050,107 128522 520667 MATTEL INC COM 57708110 263,445,123 13,894,785 13,857,746 35136 1903 12,434,631 155737 1,304,417 AUTOZONE INC COM 05333210 260,109,449 2,905,277 2,900,011 5166 100 2,548,022 38631 318624 SOUTHTRUST CORP COM 84473010 260,065,037 8,857,801 8,829,341 28220 240 8,063,156 59940 734705 PITNEY BOWES INC COM 72447910 259,362,558 6,768,334 6,732,639 24265 11430 6,043,907 93880 630547 GENZYME CORP COM GENL D 37291710 257,465,585 5,559,611 5,529,747 26177 3687 5,002,822 78987 477802 MONSANTO CO NEW COM 61166W10 255,859,085 10,687,514 10,643,738 39035 4741 9,533,015 176998 977501 CLOROX CO DEL COM 18905410 254,711,431 5,552,898 5,537,388 12430 3080 4,883,337 77550 592011 HERSHEY FOODS CORP COM 42786610 250,402,587 3,445,275 3,382,787 32664 29824 3,039,646 74889 330740 EQUITY RESIDENTIAL SH BEN INT 29476L10 248,921,724 8,501,425 8,500,530 895 7,770,323 59000 672102 SIMON PPTY GROUP INC COM 82880610 248,438,249 5,700,740 5,699,905 835 5,151,232 50967 498541 HARRAHS ENTMT INC COM 41361910 246,814,837 5,861,193 5,855,441 5652 100 2,680,194 2,922,395 258604 LEXMARK INTL NEW CL A 52977110 245,670,571 3,898,914 3,887,764 9050 2100 3,516,146 59114 323654 AETNA INC NEW COM 00817Y10 244,070,748 3,999,193 3,986,559 12634 3,596,379 32226 370588 ST PAUL COS INC COM 79286010 243,451,105 6,574,429 6,556,171 15866 2392 5,985,164 42242 547023 PPL CORP COM 69351T10 241,589,275 5,899,616 5,879,461 17775 2380 5,376,547 49145 473924 SYMANTEC CORP COM 87150310 240,178,428 3,800,893 3,778,713 16780 5400 3,462,052 51450 287391 UNIVISION COMMUNICAT CL A 91490610 236,092,112 7,394,053 7,157,762 214832 21459 6,699,872 121800 572381 BIOMET INC COM 09061310 234,838,115 7,010,093 6,983,612 25051 1430 6,331,541 86671 591881 ALTERA CORP COM 02144110 232,186,028 12,265,506 12,138,781 86825 39900 11,004,824 300726 959956 LUCENT TECHNOLOGIES COM 54946310 231,828,389 107,327,958 106,671,351 599773 56834 95,549,726 1,493,019 10,285,213 KERR MCGEE CORP COM 49238610 231,033,516 5,175,482 5,169,126 5317 1039 3,062,323 1,893,348 219811 CHIRON CORP COM 17004010 230,503,443 4,448,156 4,433,362 13033 1761 3,952,534 63400 432222 PACCAR INC COM 69371810 228,943,482 3,077,611 3,065,186 9050 3375 2,780,260 27901 269450 COMERICA INC COM 20034010 226,952,718 4,870,230 4,846,195 16395 7640 4,284,921 38340 546969 MOODYS CORP COM 61536910 224,697,955 4,087,647 3,815,044 234618 37985 3,642,604 89710 355333 SPDR TR UNIT SER 1 78462F10 224,459,214 2,245,715 2,241,269 4446 1,900,585 15400 329730 Page Total 13,559,754,323 Page 5 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ ARCHER DANIELS MIDLA COM 03948310 224,160,718 17,098,453 17,057,820 32553 8080 15,141,094 143412 1,813,947 JOHNSON CTLS INC COM 47836610 224,116,197 2,369,093 2,354,818 11075 3200 2,108,359 18950 241784 MBIA INC COM 55262C10 222,756,305 4,052,325 4,023,436 19364 9525 3,621,534 34675 396116 BLOCK H & R INC COM 09367110 222,288,907 5,151,539 5,104,802 33250 13487 4,662,208 69527 419804 ACE LTD ORD G0070K10 221,900,904 6,708,008 6,707,828 180 6,128,742 46000 533266 OWENS ILL INC COM NEW 69076840 221,699,566 19,413,272 11,679,470 7,733,802 1,172,183 18,232,089 9000 MEDIMMUNE INC COM 58469910 221,457,066 6,704,725 6,665,584 29568 9573 5,982,806 87614 634305 UNOCAL CORP COM 91528910 221,165,722 7,016,679 6,956,049 27050 33580 6,394,730 88751 533198 GENENTECH INC COM NEW 36871040 220,173,991 2,747,367 2,705,206 31528 10633 2,545,552 19583 182232 STARWOOD HOTELS&RESO PAIRED CTF 85590A20 219,061,441 6,294,869 5,118,886 1,175,983 4,647,820 1,209,583 437466 INGERSOLL-RAND COMPA CL A G4776G10 217,842,335 4,076,391 3,865,201 190955 20235 3,534,562 49935 491894 MICRON TECHNOLOGY IN COM 59511210 217,376,717 16,197,967 16,156,147 41440 380 14,462,991 130180 1,604,796 KINDER MORGAN INC KA COM 49455P10 217,046,206 4,018,630 4,002,437 8893 7300 3,589,143 32338 397149 SUNGARD DATA SYS INC COM 86736310 213,534,669 8,116,103 7,561,154 476149 78800 7,385,198 128400 602505 SCIENTIFIC ATLANTA I COM 80865510 210,530,296 6,758,597 6,735,387 21790 1420 5,943,954 94720 719923 MAY DEPT STORES CO COM 57777810 208,822,129 8,478,365 8,289,842 114521 74002 7,598,427 129575 750363 REGIONS FINL CORP COM 75894010 205,452,495 5,998,613 5,958,643 29590 10380 5,506,917 58467 433229 DOW JONES & CO INC COM 26056110 204,609,814 4,321,221 1,938,948 46503 2,335,770 1,783,014 2,360,990 177217 AMEREN CORP COM 02360810 203,976,976 4,753,600 4,745,413 7787 400 4,356,896 28356 368348 ROHM & HAAS CO COM 77537110 203,724,281 6,090,412 6,072,893 14304 3215 5,547,789 41815 500808 RADIOSHACK CORP COM 75043810 202,836,462 7,139,615 7,124,683 9692 5240 6,248,845 157275 733495 DOVER CORP COM 26000310 202,800,261 5,733,680 5,640,991 21349 71340 5,110,722 106540 516418 APPLE COMPUTER INC COM 03783310 202,656,145 9,780,702 9,752,872 25570 2260 8,754,670 80152 945880 GEORGIA PAC CORP COM 37329810 201,803,211 8,325,215 8,294,578 28477 2160 7,590,149 113134 621932 XL CAP LTD CL A G9825510 201,797,798 2,605,860 2,605,840 20 2,344,260 23700 237900 LIMITED BRANDS INC COM 53271610 200,670,163 13,307,040 13,267,085 39515 440 11,756,756 91540 1,458,744 MEDCO HEALTH SOLUTIO COM 58405U10 200,029,465 7,714,210 7,379,277 180663 154270 6,840,845 212942 660423 CINERGY CORP COM 17247410 199,565,425 5,437,750 5,426,414 10364 972 5,016,471 38441 382838 ALBERTSONS INC COM 01310410 199,255,706 9,686,714 9,657,010 20830 8874 8,642,879 72874 970961 AMBAC FINL GROUP INC COM 02313910 197,593,216 3,087,394 3,073,529 7665 6200 2,750,813 28110 308471 ECOLAB INC COM 27886510 197,382,987 7,817,148 6,929,754 682856 204538 6,936,224 286138 594786 AMSOUTH BANCORPORATI COM 03216510 197,043,805 9,285,759 9,220,967 44971 19821 8,457,022 95797 732940 COMPUTER SCIENCES CO COM 20536310 195,066,633 5,192,085 5,121,607 32838 37640 4,705,057 70140 416888 BROADCOM CORP CL A 11132010 194,950,130 7,312,458 7,296,228 15970 260 6,608,549 87660 616249 NORFOLK SOUTHERN COR COM 65584410 194,433,742 10,509,932 10,361,335 98511 50086 9,366,147 134266 1,009,519 SYNOVUS FINL CORP COM 87161C10 194,002,318 7,763,198 7,747,798 15200 200 7,003,928 53250 706020 CHARTER ONE FINL INC COM 16090310 193,658,740 6,328,717 6,279,234 41754 7729 5,716,472 56181 556064 SEMPRA ENERGY COM 81685110 193,133,544 6,578,118 6,563,798 14320 6,043,062 43134 491922 FISERV INC COM 33773810 192,877,358 5,314,890 5,300,865 13725 300 4,807,869 34000 473021 EATON CORP COM 27805810 192,408,553 2,171,164 2,161,259 9805 100 1,929,532 24349 217283 CINCINNATI FINL CORP COM 17206210 190,962,480 4,774,062 4,755,087 6855 12120 4,292,654 45315 436093 GILEAD SCIENCES INC COM 37555810 190,830,994 3,405,264 3,337,144 53435 14685 3,220,331 25585 159348 TENET HEALTHCARE COR COM 88033G10 188,516,625 13,019,104 12,989,457 28987 660 11,823,425 88801 1,106,878 BEAR STEARNS COS INC COM 07390210 188,397,712 2,518,686 2,509,908 8678 100 2,292,458 17450 208778 DTE ENERGY CO COM 23333110 185,464,954 5,027,513 5,014,223 12190 1100 4,623,980 30200 373333 XCEL ENERGY INC COM 98389B10 185,297,509 11,977,861 11,924,253 51837 1771 11,058,960 71876 847025 CONSTELLATION ENERGY COM 21037110 184,465,292 5,155,542 5,106,131 45995 3416 4,663,885 38711 452946 BIOGEN INC COM 09059710 182,569,831 4,789,345 4,068,035 720010 1300 4,381,303 47333 360709 INTERACTIVECORP COM 45840Q10 182,458,412 5,499,048 5,484,125 12773 2150 5,212,382 9911 276755 NETWORK APPLIANCE IN COM 64120L10 181,810,272 8,855,834 8,831,049 24245 540 8,013,996 117291 724547 FIRST TENN NATL CORP COM 33716210 180,939,511 4,261,411 4,251,231 8830 1350 3,725,538 37250 498623 MARSHALL & ILSLEY CO COM 57183410 180,496,001 5,726,396 5,715,506 10290 600 5,281,348 40300 404748 Page Total 10,497,871,990 Page 6 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ LINCOLN NATL CORP IN COM 53418710 180,392,678 5,098,719 5,064,354 26714 7651 4,580,595 38951 479173 COCA COLA ENTERPRISE COM 19121910 178,901,067 9,386,205 9,361,359 24466 380 8,593,302 78880 714023 NEW YORK TIMES CO CL A 65011110 178,321,682 4,103,122 3,934,093 168709 320 3,685,296 47071 370755 CONCORD EFS INC COM 20619710 177,656,509 12,996,087 12,966,631 28936 520 11,757,317 154585 1,084,185 CIGNA CORP COM 12550910 177,055,556 3,965,410 3,927,098 24110 14202 3,551,530 38752 375128 FREEPORT-MCMORAN COP CL B 35671D85 176,447,229 5,330,732 5,303,899 7410 19423 4,712,362 114236 504134 FAMILY DLR STORES IN COM 30700010 176,336,537 4,420,570 4,405,970 12000 2600 3,988,064 56081 376425 CSX CORP COM 12640810 172,626,509 5,901,761 5,869,653 20382 11726 5,388,486 49176 464099 UNION PLANTERS CORP COM 90806810 171,314,843 5,414,502 5,398,862 15640 4,924,697 42783 447022 JEFFERSON PILOT CORP COM 47507010 171,129,235 3,855,999 3,788,842 17544 49613 3,408,713 74213 373073 PEOPLESOFT INC COM 71271310 170,745,939 9,345,700 9,314,459 29174 2067 8,480,103 68617 796980 KEYSPAN CORP COM 49337W10 170,238,469 4,852,864 4,836,431 14913 1520 4,411,869 34570 406425 DOLLAR GEN CORP COM 25666910 166,569,800 8,328,490 8,309,001 16149 3340 7,377,610 117616 833264 CENTURYTEL INC COM 15670010 166,254,410 4,905,707 4,758,922 111175 35610 4,447,318 129202 329187 SHERWIN WILLIAMS CO COM 82434810 165,960,806 5,643,006 5,615,586 20220 7200 4,985,661 55992 601353 PROLOGIS SH BEN INT 74341010 165,325,264 5,465,298 5,464,005 1293 5,058,020 31000 376278 CITRIX SYS INC COM 17737610 164,345,125 7,426,350 7,407,515 17715 1120 6,589,970 177154 659226 EOG RES INC COM 26875P10 162,903,038 3,902,804 3,761,539 121245 20020 3,547,756 40070 314978 NISOURCE INC COM 65473P10 162,545,112 8,135,391 8,118,914 15677 800 7,390,038 52082 693271 NATIONAL SEMICONDUCT COM 63764010 162,101,579 5,020,179 5,004,566 13168 2445 4,543,359 34145 442675 APPLERA CORP COM AP BIO 03802010 162,058,345 7,263,933 6,896,696 342267 24970 6,695,662 61270 507001 AVERY DENNISON CORP COM 05361110 160,040,741 3,167,869 2,931,528 148488 87853 2,779,779 122020 266070 NEWELL RUBBERMAID IN COM 65122910 158,049,039 7,293,449 7,048,862 183887 60700 6,526,465 108400 658584 OFFICE DEPOT INC COM 67622010 157,646,184 11,220,369 11,169,023 50726 620 7,568,258 2,903,167 748944 JABIL CIRCUIT INC COM 46631310 157,533,806 6,047,363 5,989,393 35240 22730 5,370,283 162536 514544 SANMINA SCI CORP COM 80090710 156,733,268 16,224,976 16,163,745 55200 6031 15,065,812 94431 1,064,733 AMERISOURCEBERGEN CO COM 03073E10 156,709,435 2,899,342 2,891,821 7236 285 2,647,115 19425 232802 AMERICAN STD COS INC COM 02971210 155,101,975 1,840,973 1,837,748 2925 300 1,644,949 25084 170940 LOEWS CORP COM 54042410 153,969,363 3,813,955 3,804,415 8340 1200 3,620,464 31600 161891 ROCKWELL COLLINS INC COM 77434110 153,192,103 6,067,014 6,030,168 19814 17032 5,527,106 80334 459574 CINTAS CORP COM 17290810 153,115,403 4,137,136 4,093,864 11397 31875 3,686,992 89435 360709 GENUINE PARTS CO COM 37246010 152,726,598 4,775,691 4,741,744 24247 9700 4,322,851 39900 412940 MYLAN LABS INC COM 62853010 152,723,774 3,951,456 3,936,031 13550 1875 3,701,353 77600 172503 AMAZON COM INC COM 02313510 151,870,958 3,135,886 3,126,066 8680 1140 2,875,365 8840 251681 QUEST DIAGNOSTICS IN COM 74834L10 151,034,956 2,490,682 2,484,582 5450 650 2,278,606 18950 193126 TEXTRON INC COM 88320310 150,824,253 3,823,175 3,802,441 15385 5349 3,447,202 28849 347124 HILTON HOTELS CORP COM 43284810 150,416,851 9,273,542 9,151,223 118504 3815 8,416,590 69915 787037 MEADWESTVACO CORP COM 58333410 149,353,729 5,857,009 5,840,610 11895 4504 5,357,604 39306 460099 BJ SVCS CO COM 05548210 146,758,612 4,294,955 4,285,365 7110 2480 3,879,119 53672 362164 NORTH FORK BANCORPOR COM 65942410 146,492,134 4,215,601 4,189,776 13925 11900 3,788,590 39550 387461 SEALED AIR CORP NEW COM 81211K10 146,385,087 3,099,409 3,075,778 21024 2607 2,705,397 83350 310662 ITT INDS INC IND COM 45091110 146,121,321 2,441,867 2,426,321 5425 10121 2,196,111 42273 203483 WILLIAMS COS INC DEL COM 96945710 145,489,592 15,444,755 15,376,031 66809 1915 14,179,049 92709 1,172,997 BARD C R INC COM 06738310 144,390,286 2,033,666 2,027,851 5015 800 1,792,057 17000 224609 IMS HEALTH INC COM 44993410 144,192,230 6,833,755 6,814,621 15714 3420 6,013,739 79422 740594 AMERADA HESS CORP COM 02355110 144,079,784 2,875,844 2,865,099 7470 3275 2,595,632 35975 244237 KNIGHT RIDDER INC COM 49904010 143,312,020 2,148,606 2,136,251 12175 180 1,947,894 25780 174932 SPRINT CORP PCS COM SE 85206150 143,244,957 24,999,120 24,877,425 116419 5276 22,570,754 327049 2,101,317 PARKER HANNIFIN CORP COM 70109410 142,425,240 3,186,247 3,128,614 33931 23702 2,890,108 44152 251987 INTERPUBLIC GROUP CO COM 46069010 141,487,483 10,020,360 9,824,852 117637 77871 9,108,565 145821 765974 HEALTH MGMT ASSOC IN CL A 42193310 141,149,805 6,471,793 6,446,039 22749 3005 5,959,754 44755 467284 QWEST COMMUNICATIONS COM 74912110 140,394,408 41,292,473 41,180,611 108231 3631 37,183,958 532705 3,575,810 Page Total 8,216,195,127 Page 7 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ QLOGIC CORP COM 74727710 139,365,657 2,964,596 2,957,640 6756 200 2,674,275 32645 257676 ZIONS BANCORPORATION COM 98970110 138,683,534 2,476,934 2,472,094 4640 200 2,273,548 15900 187486 SUNOCO INC COM 86764P10 138,453,287 3,442,399 3,431,113 11186 100 3,140,749 23850 277800 MGIC INVT CORP WIS COM 55284810 135,983,772 2,611,557 2,596,097 11560 3900 2,305,970 21100 284487 TRANSOCEAN INC ORD G9007810 135,929,900 6,796,495 6,756,590 16716 23189 6,018,858 78789 698848 WATSON PHARMACEUTICA COM 94268310 134,410,769 3,224,053 3,213,394 9559 1100 2,897,472 19750 306831 TORCHMARK CORP COM 89102710 134,402,576 3,307,150 3,286,850 14900 5400 3,042,079 30653 234418 V F CORP COM 91820410 134,385,451 3,453,751 3,443,516 6835 3400 3,145,484 25525 282742 TIFFANY & CO NEW COM 88654710 134,248,423 3,596,261 3,582,426 9335 4500 3,261,349 50183 284729 AVAYA INC COM 05349910 133,605,703 12,257,404 12,145,935 104999 6470 11,212,358 162252 882794 NOVELLUS SYS INC COM 67000810 133,286,160 3,966,850 3,949,590 11290 5970 3,623,262 32066 311522 WHIRLPOOL CORP COM 96332010 133,246,392 1,966,156 1,922,901 30355 12900 1,720,281 34234 211641 PRICE T ROWE GROUP I COM 74144T10 132,283,576 3,204,544 3,109,776 54838 39930 2,882,527 78230 243787 SOLECTRON CORP COM 83418210 131,642,731 22,503,031 22,381,776 103870 17385 20,374,566 161285 1,967,180 COX COMMUNICATIONS I CL A 22404410 131,440,893 4,156,891 3,954,529 182614 19748 3,854,508 28498 273885 EL PASO CORP COM 28336L10 130,503,253 17,877,158 17,818,029 55774 3355 16,452,302 108757 1,316,099 EXPRESS SCRIPTS INC COM 30218210 129,007,059 2,111,063 2,072,386 36437 2240 1,912,594 27640 170829 MOLEX INC COM 60855410 128,746,612 4,504,780 4,497,267 6437 1076 4,131,221 34326 339233 SAFECO CORP COM 78642910 128,520,333 3,635,653 3,616,604 12650 6399 3,265,990 30399 339264 JDS UNIPHASE CORP COM 46612J10 128,186,391 35,607,331 35,525,217 79886 2228 32,373,649 250328 2,983,354 HUNTINGTON BANCSHARE COM 44615010 128,143,997 6,455,617 6,437,607 17190 820 5,786,331 40980 628306 CENTEX CORP COM 15231210 127,392,910 1,635,759 1,630,419 4840 500 1,487,457 13666 134636 ROCKWELL AUTOMATION COM 77390310 125,177,797 4,768,678 4,731,592 17454 19632 4,312,762 52182 403734 UST INC COM 90291110 125,076,087 3,555,318 3,532,332 18306 4680 3,342,755 55481 157082 CONVERGYS CORP COM 21248510 125,071,042 6,819,577 6,725,976 25505 68096 6,033,757 93996 691824 AUTONATION INC COM 05329W10 122,486,678 6,983,277 6,964,567 18070 640 6,384,010 49940 549327 AES CORP COM 00130H10 122,299,155 16,482,366 16,444,481 37145 740 15,126,037 198240 1,158,089 KRAFT FOODS INC CL A 50075N10 122,228,382 4,143,335 3,924,291 186787 32257 3,811,361 43357 288617 UNUMPROVIDENT CORP COM 91529Y10 122,214,172 8,274,487 8,247,859 22868 3760 7,489,586 54110 730791 SIEBEL SYS INC COM 82617010 121,442,879 12,442,918 12,407,783 30750 4385 11,339,105 89385 1,014,428 PLUM CREEK TIMBER CO COM 72925110 121,072,903 4,759,155 4,756,628 2527 4,335,224 32350 391581 EXPRESSJET HOLDINGS CL A 30218U10 118,623,447 8,595,902 8,595,902 8,539,502 56400 APARTMENT INVT & MGM CL A 03748R10 117,463,543 2,984,338 2,982,798 1540 2,739,366 16300 228672 GRAINGER W W INC COM 38480210 116,773,955 2,455,814 2,442,153 11661 2000 2,216,689 17900 221225 HASBRO INC COM 41805610 116,626,357 6,243,381 6,228,524 14857 5,598,068 80550 564763 M & T BK CORP COM 55261F10 116,122,793 1,330,158 1,290,333 9614 30211 1,222,884 30211 77063 BECKMAN COULTER INC COM 07581110 115,603,654 2,538,508 2,523,854 1254 13400 2,355,908 72700 109900 UNISYS CORP COM 90921410 115,095,745 8,506,707 8,481,242 24440 1025 7,559,057 103425 844225 KB HOME COM 48666K10 112,120,708 1,879,328 1,873,008 6320 1,618,887 16000 244441 PHELPS DODGE CORP COM 71726510 111,953,134 2,392,161 2,377,371 13916 874 2,193,997 16574 181590 NABORS INDUSTRIES LT SHS G6359F10 111,841,255 3,001,644 2,996,920 4724 2,728,090 25300 248254 SIGMA ALDRICH CORP COM 82655210 111,278,295 2,133,812 2,095,200 36147 2465 1,933,018 27402 173392 PROVIDIAN FINL CORP COM 74406A10 110,818,065 9,399,327 9,358,212 40895 220 8,245,538 306610 847179 NOBLE CORPORATION SHS G6542210 110,782,247 3,259,260 3,140,058 99153 20049 2,920,849 43249 295162 VULCAN MATLS CO COM 92916010 109,595,972 2,746,078 2,738,532 7546 2,514,115 17600 214363 BLACK & DECKER CORP COM 09179710 109,395,465 2,697,792 2,689,322 8370 100 2,320,063 24550 353179 SONOCO PRODS CO COM 83549510 108,677,149 4,951,123 1,526,784 3,422,604 1735 1,504,857 3,417,809 28457 SUPERVALU INC COM 86853610 108,256,160 4,537,140 4,514,980 19950 2210 4,000,596 38560 497984 LEGGETT & PLATT INC COM 52466010 107,733,384 4,980,739 4,839,000 133809 7930 4,525,250 49718 405771 MERCURY INTERACTIVE COM 58940510 107,208,883 2,351,072 2,296,615 46563 7894 2,125,091 34555 191426 JONES APPAREL GROUP COM 48007410 107,177,594 3,580,942 3,575,840 4742 360 3,242,729 22560 315653 COOPER INDS LTD CL A G2418210 106,434,576 2,216,002 2,208,465 6437 1100 1,936,327 17300 262375 Page Total 6,378,520,855 Page 8 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ DEAN FOODS CO NEW COM 24237010 106,190,307 3,422,182 3,414,838 5792 1552 3,217,381 40352 164449 ENGELHARD CORP COM 29284510 106,056,093 3,832,891 3,822,243 8455 2193 3,550,088 24343 258460 INVITROGEN CORP COM 46185R10 105,959,976 1,828,788 1,631,940 173113 23735 1,685,867 46435 96486 LSI LOGIC CORP COM 50216110 104,625,053 11,637,937 11,618,097 19600 240 10,247,338 124040 1,266,559 BROWN FORMAN CORP CL B 11563720 104,140,513 1,316,235 1,313,795 2440 1,204,069 18781 93385 NUCOR CORP COM 67034610 103,751,793 2,261,373 2,214,157 23211 24005 2,041,517 37805 182051 ECHOSTAR COMMUNICATI CL A 27876210 103,390,951 2,698,798 2,688,748 9950 100 2,505,114 350 193334 BANKNORTH GROUP INC COM 06646R10 103,203,841 3,657,117 2,680,413 936274 40430 3,472,362 40430 144325 PACTIV CORP COM 69525710 101,676,031 5,013,611 4,995,711 17650 250 4,532,262 42050 439299 ADVANCED MICRO DEVIC COM 00790310 101,648,678 9,149,296 9,130,436 18620 240 8,236,735 60240 852321 LIZ CLAIBORNE INC COM 53932010 100,631,676 2,955,409 2,943,489 10120 1800 2,674,669 20700 260040 WATERS CORP COM 94184810 100,368,591 3,659,081 3,648,551 3130 7400 3,264,509 53132 341440 THERMO ELECTRON CORP COM 88355610 96,852,698 4,463,258 4,446,396 16372 490 4,032,558 28790 401910 AMERICAN PWR CONVERS COM 02906610 96,603,217 5,584,001 5,548,636 31400 3965 4,894,882 58665 630454 PULTE HOMES INC COM 74586710 96,345,346 1,416,635 1,410,051 6395 189 1,295,538 10889 110208 KING PHARMACEUTICALS COM 49558210 96,066,877 6,341,048 6,327,095 13620 333 5,830,522 42283 468243 BMC SOFTWARE INC COM 05592110 94,414,879 6,777,809 6,757,525 16414 3870 6,173,040 44270 560499 WENDYS INTL INC COM 95059010 94,136,089 2,914,430 2,906,860 7570 2,628,094 19700 266636 OLD REP INTL CORP COM 68022310 93,637,784 2,829,791 2,821,948 7143 700 2,581,348 17800 230643 MCCORMICK & CO INC COM NON VT 57978020 93,621,010 3,414,333 3,389,613 24120 600 3,149,719 44233 220381 LUBRIZOL CORP COM 54927110 93,293,944 2,875,006 987263 1,887,543 200 901515 1,883,793 89698 PINNACLE WEST CAP CO COM 72348410 92,276,534 2,599,339 2,584,779 7060 7500 2,417,184 23400 158755 NVR INC COM 62944T10 91,104,651 195294 194854 440 181743 5900 7651 FIDELITY NATL FINL I COM 31632610 90,882,201 3,023,360 3,012,196 5793 5371 2,816,229 16183 190948 GENERAL GROWTH PPTYS COM 37002110 90,645,362 1,264,231 1,263,306 925 1,195,194 150 68887 HUMANA INC COM 44485910 89,577,023 4,962,716 4,954,612 7610 494 4,531,800 43944 386972 TERADYNE INC COM 88077010 89,450,301 4,809,156 4,792,942 16094 120 4,384,328 32570 392258 TEMPLE INLAND INC COM 87986810 89,103,378 1,835,291 1,451,688 383503 100 1,334,119 390498 110674 CAREMARK RX INC COM 14170510 88,875,200 3,932,531 3,317,111 607402 8018 3,155,977 610218 166336 GREENPOINT FINL CORP COM 39538410 88,290,675 2,956,821 2,944,896 11475 450 2,635,598 63850 257373 ROBERT HALF INTL INC COM 77032310 88,079,004 4,516,872 4,490,581 24350 1941 4,081,462 54769 380641 EQUIFAX INC COM 29442910 87,637,215 3,935,214 3,920,554 9660 5000 3,552,003 48597 334614 JANUS CAP GROUP INC COM 47102X10 85,833,104 6,144,102 6,109,938 28830 5334 5,602,587 47234 494281 GOODRICH CORP COM 38238810 85,403,725 3,523,256 3,509,068 13628 560 3,212,340 21360 289556 VORNADO RLTY TR SH BEN INT 92904210 84,392,300 1,756,709 1,755,634 1075 1,647,595 109114 DARDEN RESTAURANTS I COM 23719410 84,200,419 4,431,601 4,420,745 7306 3550 4,005,276 32650 393675 CITIZENS COMMUNICATI COM 17453B10 83,589,259 7,456,669 7,431,461 25008 200 6,725,901 49950 680818 RLI CORP COM 74960710 83,193,778 2,527,150 342701 2,184,449 319013 2,183,449 24688 CENTERPOINT ENERGY I COM 15189T10 82,706,339 9,019,230 8,987,424 27414 4392 8,263,180 58242 697808 BALL CORP COM 05849810 82,664,982 1,530,833 1,526,253 4380 200 1,406,368 22625 101840 FLUOR CORP NEW COM 34341210 82,638,466 2,213,728 2,206,183 7545 2,031,082 14350 168296 SOVEREIGN BANCORP IN COM 84590510 80,436,732 4,336,212 4,309,438 19780 6994 4,150,937 7794 177481 ENERGIZER HLDGS INC COM 29266R10 80,105,982 2,178,569 2,171,455 6814 300 2,026,103 3800 148666 NORDSTROM INC COM 65566410 79,767,176 3,215,122 3,206,792 4250 4080 2,920,673 27580 266869 COACH INC COM 18975410 79,672,047 1,459,195 1,442,321 11094 5780 1,389,939 9180 60076 INTERNATIONAL FLAVOR COM 45950610 79,462,328 2,402,126 2,392,481 4045 5600 2,174,137 35402 192587 SABRE HLDGS CORP CL A 78590510 79,387,691 3,694,169 3,675,742 17497 930 3,388,504 26041 279624 AFFILIATED COMPUTER CL A 00819010 78,503,519 1,612,313 1,608,483 3270 560 1,577,208 560 34545 DONNELLEY R R & SONS COM 25786710 77,657,644 3,122,543 3,112,103 5080 5360 2,805,365 25060 292118 NVIDIA CORP COM 67066G10 77,451,737 4,849,827 4,836,727 12520 580 4,313,200 157480 379147 NCR CORP NEW COM 62886E10 77,396,106 2,442,288 2,397,699 44268 321 2,240,332 17071 184885 SANDISK CORP COM 80004C10 76,778,904 1,204,942 1,195,842 8640 460 1,192,132 460 12350 Page Total 4,703,779,129 Page 9 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ ALBERTO CULVER CO CL B CONV 01306810 76,636,754 1,302,903 1,301,133 1770 1,196,187 10200 96516 TELLABS INC COM 87966410 76,299,679 11,200,775 11,174,645 25270 860 10,169,621 72460 958694 ARCHSTONE SMITH TR COM 03958310 75,798,893 2,873,347 2,872,868 479 2,697,311 400 175636 REYNOLDS R J TOB HLD COM 76182K10 75,630,846 1,912,768 1,898,520 13968 280 1,832,241 14080 66447 NATIONAL COMMERCE FI COM 63545P10 75,291,880 3,026,201 3,019,071 6340 790 2,886,342 8790 131069 MANOR CARE INC NEW COM 56405510 75,142,020 2,504,734 2,499,129 5355 250 2,216,913 15850 271971 PRECISION CASTPARTS COM 74018910 74,990,448 2,136,480 2,126,300 9880 300 1,875,166 89050 172264 HEALTH NET INC COM 42222G10 74,780,122 2,361,229 2,353,494 7470 265 2,172,238 77065 111926 LENNAR CORP CL A 52605710 74,683,611 960067 957339 2628 100 900447 200 59420 ASHLAND INC COM 04420410 74,581,588 2,270,368 2,267,160 2670 538 2,143,631 12538 114199 COMCAST CORP NEW CL A SPL 20030N20 73,960,188 2,495,283 2,185,388 266869 43026 1,748,168 43026 704089 PUBLIC STORAGE INC COM 74460D10 73,704,539 1,878,780 1,878,630 150 1,779,409 6950 92421 LEGG MASON INC COM 52490110 73,544,869 1,018,627 1,011,492 4290 2845 968264 2945 47418 CBRL GROUP INC COM 12489V10 73,174,905 2,057,787 2,053,377 4210 200 1,855,787 71400 130600 BOISE CASCADE CORP COM 09738310 73,047,208 2,646,638 1,409,905 1,236,400 333 1,303,797 1,244,703 98138 COMVERSE TECHNOLOGY COM PAR $0 20586240 72,981,055 4,875,154 4,831,369 40225 3560 4,445,431 36660 393063 TECO ENERGY INC COM 87237510 72,756,274 5,264,564 5,200,762 26538 37264 4,890,761 68364 305439 MICROCHIP TECHNOLOGY COM 59501710 72,432,469 3,023,058 3,005,943 12090 5025 2,890,646 5225 127187 IDEC PHARMACEUTICALS COM 44937010 72,152,779 2,167,401 2,141,549 10479 15373 2,053,933 15373 98095 MURPHY OIL CORP COM 62671710 71,847,783 1,222,941 1,195,784 15740 11417 1,182,739 11417 28785 LEAR CORP COM 52186510 71,768,902 1,363,391 1,351,905 7766 3720 1,259,171 9120 95100 CIENA CORP COM 17177910 71,441,627 12,191,404 12,163,203 27221 980 11,160,735 83730 946939 SYNOPSYS INC COM 87160710 71,178,342 2,302,761 2,279,925 12016 10820 2,194,848 10820 97093 SYMBOL TECHNOLOGIES COM 87150810 70,822,690 5,926,585 5,907,615 15220 3750 5,504,060 44150 378375 FEDERATED INVS INC P CL B 31421110 70,652,506 2,550,632 2,550,382 250 2,335,401 34100 181131 BAUSCH & LOMB INC COM 07170710 70,446,137 1,595,609 1,593,219 1890 500 1,379,026 52350 164233 PALL CORP COM 69642930 70,374,465 3,136,117 3,130,007 6110 2,906,533 21500 208084 WASHINGTON POST CO CL B 93964010 69,820,345 104993 95889 2438 6666 94012 7866 3115 STANLEY WKS COM 85461610 69,139,293 2,342,117 2,319,113 22244 760 2,117,908 15560 208649 MONSTER WORLDWIDE IN COM 61174210 69,021,238 2,736,766 2,730,104 3862 2800 2,550,796 37900 148070 CIT GROUP INC COM 12558110 67,986,281 2,363,918 2,357,598 6320 2,220,329 143589 BOSTON PROPERTIES IN COM 10112110 67,837,934 1,560,569 1,559,319 1250 1,438,269 122300 SPX CORP COM 78463510 67,777,684 1,496,857 1,429,139 38280 29438 1,357,343 56238 83276 STORAGE TECHNOLOGY C COM PAR $0 86211120 67,750,165 2,806,552 2,791,052 15100 400 2,555,158 60900 190494 EASTMAN CHEM CO COM 27743210 67,221,435 2,006,610 2,002,760 2344 1506 1,853,033 15106 138471 MILLENNIUM PHARMACEU COM 59990210 67,096,445 4,342,812 4,303,114 34230 5468 4,108,394 5968 228450 TOYS R US INC COM 89233510 66,936,808 5,564,157 5,550,197 13820 140 5,022,758 37540 503859 UNIONBANCAL CORP COM 90890610 66,682,736 1,344,410 1,338,540 5870 1,216,737 62200 65473 VALERO ENERGY CORP N COM 91913Y10 66,373,344 1,734,344 1,728,354 5661 329 1,661,223 329 72792 WILEY JOHN & SONS IN CL A 96822320 66,154,712 2,545,391 487568 228560 1,829,263 711528 1,829,263 4600 XTO ENERGY INC COM 98385X10 65,906,207 3,139,886 3,131,267 5311 3308 3,025,280 3308 111298 ALLIED WASTE INDS IN COM PAR$.0 01958930 65,696,810 6,083,038 6,038,498 39990 4550 5,683,037 41150 358851 FOX ENTMT GROUP INC CL A 35138T10 65,572,005 2,342,694 2,336,104 6490 100 2,254,906 6100 81688 ROWAN COS INC COM 77938210 65,551,173 2,666,850 2,627,330 33860 5660 2,490,828 22060 153962 C D W CORP COM 12512N10 65,143,872 1,130,970 1,127,735 1810 1425 1,086,865 1425 42680 NAVISTAR INTL CORP N COM 63934E10 64,914,955 1,741,281 1,738,861 2320 100 1,627,801 21325 92155 COMPASS BANCSHARES I COM 20449H10 64,342,683 1,854,256 1,847,946 5910 400 1,775,436 400 78420 BARNES & NOBLE INC COM 06777410 63,890,802 2,514,396 2,508,766 2930 2700 2,257,948 70700 185748 BRUNSWICK CORP COM 11704310 63,745,232 2,482,291 2,469,191 13100 2,265,136 15950 201205 DUKE REALTY CORP COM NEW 26441150 63,633,370 2,179,225 2,178,930 295 2,070,153 500 108572 RADIAN GROUP INC COM 75023610 63,389,613 1,427,694 1,423,564 3730 400 1,358,053 400 69241 POPULAR INC COM 73317410 63,165,027 1,587,061 1,586,811 250 1,503,426 83635 Page Total 3,634,872,748 Page 10 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ JUNIPER NETWORKS INC COM 48203R10 62,772,510 4,184,834 4,171,454 13200 180 3,906,856 430 277548 BEMIS INC COM 08143710 62,218,641 1,404,484 1,387,699 6985 9800 1,285,228 19000 100256 BARR LABS INC COM 06830610 61,935,703 908015 904443 1335 2237 885712 2237 20066 KIMCO REALTY CORP COM 49446R10 61,636,824 1,504,438 1,504,438 1,418,487 85951 NEW YORK CMNTY BANCO COM 64944510 61,137,970 1,940,272 1,935,340 1332 3600 1,898,466 3600 38206 MINERALS TECHNOLOGIE COM 60315810 61,058,469 1,199,577 1,199,577 500295 660887 38395 DST SYS INC DEL COM 23332610 60,956,932 1,621,195 1,567,048 4700 49447 1,508,393 54247 58555 ENSCO INTL INC COM 26874Q10 60,579,540 2,258,745 2,249,795 8650 300 2,143,267 300 115178 VARIAN MED SYS INC COM 92220P10 60,532,302 1,053,102 1,048,332 2610 2160 985363 5060 62679 DELUXE CORP COM 24801910 59,934,117 1,493,127 1,472,737 8800 11590 1,336,799 30097 126231 SMITH INTL INC COM 83211010 59,909,218 1,665,070 1,649,470 12455 3145 1,598,690 3145 63235 FLEXTRONICS INTL LTD ORD Y2573F10 59,894,042 4,211,958 3,808,834 403124 3,758,392 453566 MICHAELS STORES INC COM 59408710 59,036,661 1,448,397 967277 479464 1656 950307 479590 18500 LAUDER ESTEE COS INC CL A 51843910 59,010,288 1,730,507 1,579,651 138256 12600 1,640,155 12600 77752 DOLLAR TREE STORES I COM 25674710 58,992,005 1,758,331 1,738,003 19028 1300 1,722,788 1450 34093 OXFORD HEALTH PLANS COM 69147110 58,865,056 1,424,959 1,420,604 4055 300 1,329,946 300 94713 ANDREW CORP COM 03442510 58,828,198 4,869,884 4,855,742 13892 250 4,366,538 30850 472496 CAREER EDUCATION COR COM 14166510 58,672,054 1,294,903 1,289,623 4280 1000 1,264,703 1000 29200 TYSON FOODS INC CL A 90249410 58,612,073 4,148,059 4,136,794 9966 1299 3,950,970 1499 195590 MILLIPORE CORP COM 60107310 58,534,752 1,270,837 1,266,697 1980 2160 1,157,395 16949 96493 MAYTAG CORP COM 57859210 58,515,372 2,343,427 2,334,947 2040 6440 2,137,557 31189 174681 COVENTRY HEALTH CARE COM 22286210 58,425,741 1,107,807 1,100,583 5409 1815 1,087,616 1815 18376 DANA CORP COM 23581110 58,425,401 3,786,481 3,777,765 6250 2466 3,376,926 28566 380989 REPUBLIC SVCS INC COM 76075910 58,279,208 2,574,170 2,563,920 9850 400 2,457,826 11650 104694 HILLENBRAND INDS INC COM 43157310 58,128,115 1,030,275 1,026,005 3220 1050 964028 15750 50497 D R HORTON INC COM 23331A10 57,390,560 1,755,063 1,747,538 5429 2096 1,669,317 2096 83650 AVALONBAY CMNTYS INC COM 05348410 57,081,960 1,219,700 1,218,630 1070 1,141,285 78415 ROUSE CO COM 77927310 56,997,936 1,366,857 1,363,617 3240 1,246,130 350 120377 TEKTRONIX INC COM 87913110 56,828,747 2,296,111 2,294,161 1850 100 2,086,928 15000 194183 MEREDITH CORP COM 58943310 56,303,668 1,219,486 1,216,692 990 1804 1,097,835 17240 104411 CABOT CORP COM 12705510 56,178,869 1,970,497 854128 39230 1,077,139 851007 1,077,139 42351 CADENCE DESIGN SYSTE COM 12738710 56,113,826 4,187,599 4,169,709 16310 1580 3,959,342 1680 226577 PMC-SIERRA INC COM 69344F10 55,994,781 4,245,245 4,239,085 6040 120 3,965,185 51477 228583 BEA SYS INC COM 07332510 55,895,182 4,642,457 4,610,572 21395 10490 4,306,135 10490 325832 COMPUWARE CORP COM 20563810 55,684,364 10,388,874 10,359,574 29060 240 9,378,423 67640 942811 HIBERNIA CORP CL A 42865610 55,302,810 2,729,655 2,679,615 13340 36700 2,618,675 36700 74280 PEOPLES ENERGY CORP COM 71103010 54,941,757 1,327,737 1,323,630 4107 1,215,360 6500 105877 GENTEX CORP COM 37190110 54,454,162 1,563,427 1,228,241 211258 123928 1,418,667 123928 20832 WISCONSIN ENERGY COR COM 97665710 54,451,131 1,781,195 1,752,213 10670 18312 1,706,830 18312 56053 ROSS STORES INC COM 77829610 54,356,972 1,171,739 1,168,479 2860 400 1,149,216 550 21973 MOHAWK INDS INC COM 60819010 53,624,152 751881 749300 2381 200 733331 200 18350 GATEWAY INC COM 36762610 53,621,074 9,473,688 9,468,955 3255 1478 8,620,682 58578 794428 LINCARE HLDGS INC COM 53279110 53,615,015 1,464,491 1,456,486 4605 3400 1,397,900 3400 63191 DELTA AIR LINES INC COM 24736110 52,933,401 3,979,955 3,968,435 11420 100 3,580,852 22300 376803 LIBERTY PPTY TR SH BEN INT 53117210 52,914,571 1,430,897 1,430,497 400 1,367,031 63866 UNITED STATES STL CO COM 91290910 52,739,682 2,869,406 2,864,506 4800 100 2,508,194 18600 342612 RAYONIER INC COM 75490710 52,561,166 1,294,610 1,292,545 1765 300 1,222,448 31300 40862 ALLMERICA FINL CORP COM 01975410 52,514,812 2,205,578 1,260,886 941954 2738 1,192,866 939912 72800 EXPEDITORS INTL WASH COM 30213010 52,058,827 1,513,338 1,507,088 5890 360 1,444,811 360 68167 PERKINELMER INC COM 71404610 51,859,731 3,387,311 3,378,041 9150 120 3,141,587 22370 223354 BRINKER INTL INC COM 10964110 51,726,348 1,550,550 1,509,047 30543 10960 1,492,350 15160 43040 LABORATORY CORP AMER COM NEW 50540R40 51,569,996 1,796,864 1,791,024 5760 80 1,707,542 80 89242 Page Total 2,964,606,692 Page 11 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ RYDER SYS INC COM 78354910 51,480,701 1,755,822 1,753,952 1870 1,645,204 11250 99368 CONSTELLATION BRANDS CL A 21036P10 51,280,124 1,681,867 1,647,106 25736 9025 1,657,482 9025 15360 DIAL CORP NEW COM 25247D10 51,106,493 2,372,632 2,370,302 2030 300 2,120,392 15300 236940 CALPINE CORP COM 13134710 50,895,780 10,408,135 10,369,965 27970 10200 9,852,623 76300 479212 AUTODESK INC COM 05276910 50,842,977 2,987,249 2,967,799 16750 2700 2,780,428 22400 184421 DIEBOLD INC COM 25365110 50,702,118 1,001,029 987685 5025 8319 970505 8469 22055 LOUISIANA PAC CORP COM 54634710 50,671,030 3,677,143 3,670,305 4180 2658 3,344,337 20858 311948 PIONEER NAT RES CO COM 72378710 50,543,344 1,985,206 1,980,297 4130 779 1,911,143 779 73284 SCANA CORP NEW COM 80589M10 50,491,966 1,474,218 1,467,032 6586 600 1,442,821 600 30797 CARMAX INC COM 14313010 50,241,073 1,538,306 1,534,272 3644 390 1,498,529 390 39387 HOST MARRIOTT CORP N COM 44107P10 49,832,609 4,644,232 4,644,232 4,256,663 49700 337869 DENTSPLY INTL INC NE COM 24903010 49,540,935 1,104,838 1,100,168 4510 160 1,081,828 160 22850 JETBLUE AWYS CORP COM 47714310 49,088,578 806317 805500 817 782467 23850 L-3 COMMUNICATIONS H COM 50242410 48,962,633 1,132,084 1,129,704 2180 200 1,085,084 400 46600 MANPOWER INC COM 56418H10 48,958,273 1,319,630 1,315,710 3720 200 1,271,381 200 48049 PATTERSON DENTAL CO COM 70341210 48,712,219 845992 842852 2780 360 827158 360 18474 EDWARDS LIFESCIENCES COM 28176E10 48,665,549 1,797,103 829592 967111 400 828355 965548 3200 DUN & BRADSTREET COR COM 26483E10 48,505,759 1,167,688 1,163,116 3847 725 1,123,286 2325 42077 GTECH HLDGS CORP COM 40051810 48,484,089 1,131,484 1,130,964 280 240 1,074,714 54440 2330 RENT A CTR INC NEW COM 76009N10 48,338,763 1,500,272 1,488,797 11225 250 1,339,305 45300 115667 CIRCUIT CITY STORE I COM 17273710 48,212,717 5,059,047 5,048,297 10590 160 4,647,866 36660 374521 TRAVELERS PPTY CAS C CL A 89420G10 48,079,479 3,027,675 901084 2,124,821 1770 533757 2,112,452 381466 NOVELL INC COM 67000610 48,033,057 9,062,841 9,021,718 40883 240 8,424,315 64940 573586 TCF FINL CORP COM 87227510 47,982,893 1,000,686 994759 3835 2092 976194 2092 22400 A D C TELECOMMUNICAT COM 00088610 47,793,589 20,494,678 20,466,628 27320 730 18,805,381 141656 1,547,641 UNITED DOMINION REAL COM 91019710 47,746,474 2,607,672 2,606,257 1415 2,541,015 66657 OMNICARE INC COM 68190410 47,524,303 1,317,923 1,314,483 3040 400 1,289,317 400 28206 COMMERCE BANCORP INC COM 20051910 47,491,362 991262 984300 3207 3755 969179 3755 18328 MERCANTILE BANKSHARE COM 58740510 47,408,600 1,185,215 1,178,018 6897 300 1,162,058 300 22857 PACIFICARE HEALTH SY COM 69511210 47,402,124 971355 963205 7500 650 866176 12050 93129 ADVANCEPCS COM 00790K10 47,381,817 1,039,759 1,037,889 1650 220 1,036,169 220 3370 MID ATLANTIC MED SVC COM 59523C10 47,094,399 915699 913016 680 2003 860901 46503 8295 MARTIN MARIETTA MATL COM 57328410 46,837,411 1,284,977 1,283,317 1560 100 645680 637229 2068 NICOR INC COM 65408610 46,694,137 1,328,803 1,327,303 1300 200 1,248,660 7950 72193 SMURFIT-STONE CONTAI COM 83272710 46,487,169 3,111,591 3,098,799 12192 600 2,900,415 1150 210026 ZALE CORP NEW COM 98885810 46,375,675 1,044,262 1,043,462 600 200 676981 315681 51600 ENERGY EAST CORP COM 29266M10 46,321,112 2,065,141 2,049,735 8406 7000 2,016,511 7000 41630 TELEPHONE & DATA SYS COM 87943310 46,308,182 819034 810384 8420 230 790154 330 28550 REEBOK INTL LTD COM 75811010 46,188,024 1,381,634 1,376,294 1890 3450 1,273,572 13850 94212 WESTWOOD ONE INC COM 96181510 45,904,196 1,520,510 1,508,843 9906 1761 1,485,579 1761 33170 CUMMINS INC COM 23102110 45,883,527 1,032,715 1,030,945 1770 956733 7300 68682 ADVANCED AUTO PARTS COM 00751Y10 45,668,249 644122 643022 400 700 594978 700 48444 AGERE SYS INC CL B 00845V20 45,567,514 15,767,306 15,599,953 163286 4067 15,135,345 4067 627894 AMB PROPERTY CORP COM 00163T10 45,439,820 1,474,840 1,474,760 80 1,410,431 100 64309 E TRADE GROUP INC COM 26924610 45,303,012 4,892,334 4,881,294 8300 2740 4,866,590 2740 23004 DEVELOPERS DIVERSIFI COM 25159110 45,157,256 1,511,793 1,510,878 915 1,463,223 48570 PMI GROUP INC COM 69344M10 45,000,765 1,333,356 1,328,176 4980 200 1,278,454 200 54702 COORS ADOLPH CO CL B 21701610 44,899,921 835192 831272 3720 200 780985 6600 47607 CHOICEPOINT INC COM 17038810 44,662,200 1,333,200 1,328,998 1887 2315 1,276,357 2315 54528 RYLAND GROUP INC COM 78376410 44,550,894 609368 608268 1100 571541 20450 17377 INTERSIL CORP CL A 46069S10 44,177,964 1,856,217 1,849,987 5950 280 1,848,263 530 7424 PHARMACEUTICAL RES I COM 71712510 44,130,153 646880 644740 2040 100 623433 7700 15747 Page Total 2,481,053,008 Page 12 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ BIG LOTS INC COM 08930210 44,093,362 2,788,954 2,784,594 4260 100 2,622,370 20700 145884 PETSMART INC COM 71676810 43,944,507 1,930,778 1,919,098 11500 180 1,890,468 180 40130 EDWARDS AG INC COM 28176010 43,465,370 1,131,616 1,126,886 4230 500 1,033,130 500 97986 UNITED ONLINE INC COM 91126810 43,219,025 1,242,283 1,242,083 200 1,187,833 54450 BERKLEY W R CORP COM 08442310 43,145,536 1,259,356 1,259,056 300 1,150,908 10950 97498 ALLEGHENY ENERGY INC COM 01736110 43,104,495 4,716,028 4,689,760 25680 588 4,325,116 23238 367674 WHOLE FOODS MKT INC COM 96683710 43,051,142 779912 774017 4530 1365 746813 1365 31734 SERVICEMASTER CO COM 81760N10 43,012,597 4,192,261 4,175,485 16556 220 3,722,297 220 469744 POGO PRODUCING CO COM 73044810 42,840,721 946129 939129 1760 5240 912951 5240 27938 ARAMARK CORP CL B 03852110 42,754,719 1,708,139 1,706,959 1180 1,618,102 28700 61337 PARK PL ENTMT CORP COM 70069010 42,463,661 4,712,948 4,701,248 11700 4,412,776 750 299422 SCHEIN HENRY INC COM 80640710 42,329,251 746416 745476 840 100 721342 100 24974 DORAL FINL CORP COM 25811P10 42,325,521 900543 900243 300 872193 28350 IVAX CORP COM 46582310 42,219,870 2,154,075 2,144,618 7032 2425 2,068,211 2525 83339 PEPCO HOLDINGS INC COM 71329110 42,147,388 2,439,085 2,429,496 8203 1386 2,257,129 1386 180570 MACK CALI RLTY CORP COM 55448910 42,033,768 1,072,290 1,072,010 280 1,040,246 32044 FISHER SCIENTIFIC IN COM NEW 33803220 41,557,216 1,047,045 1,045,785 1160 100 1,015,678 5300 26067 FOUNDRY NETWORKS INC COM 35063R10 41,151,043 1,914,002 1,905,222 8680 100 1,848,624 28600 36778 OUTBACK STEAKHOUSE I COM 68989910 41,107,165 1,085,481 1,063,971 16685 4825 1,059,856 4825 20800 VISHAY INTERTECHNOLO COM 92829810 41,002,879 2,340,347 2,250,068 73600 16679 2,304,618 17029 18700 SEI INVESTMENTS CO COM 78411710 40,762,853 1,252,315 1,237,783 13647 885 1,226,920 885 24510 WESTERN DIGITAL CORP COM 95810210 40,252,041 3,122,734 3,112,234 10500 3,110,674 12060 LAM RESEARCH CORP COM 51280710 40,216,537 1,809,111 1,803,831 4780 500 1,790,201 850 18060 FAIR ISAAC CORP COM 30325010 40,158,422 681113 677088 1950 2075 663885 2075 15153 UNITED STATIONERS IN COM 91300410 40,074,231 1,063,259 1,058,039 5220 956609 8500 98150 AMERICAN GREETINGS C CL A 02637510 39,990,359 2,058,176 2,053,916 4260 1,835,527 11500 211149 NEW PLAN EXCEL RLTY COM 64805310 39,960,432 1,715,040 1,714,990 50 1,659,323 55717 ARROW ELECTRS INC COM 04273510 39,920,515 2,170,773 2,148,153 22320 300 1,973,709 300 196764 WINN DIXIE STORES IN COM 97428010 39,813,477 4,125,749 4,122,659 2990 100 3,557,773 42200 525776 UBS AG NAMEN AKT H8920M85 39,708,782 706185 147625 558560 169160 533175 3850 BENCHMARK ELECTRS IN COM 08160H10 39,682,653 938790 900515 38275 871640 9500 57650 ISTAR FINL INC COM 45031U10 39,536,664 1,015,062 1,015,062 993888 21174 CHICOS FAS INC COM 16861510 39,375,004 1,285,085 1,237,649 42541 4895 1,275,553 4895 4637 SNAP ON INC COM 83303410 39,229,128 1,418,775 1,415,465 3310 1,320,323 10200 88252 HOSPITALITY PPTYS TR COM SH BEN 44106M10 39,127,635 1,115,383 1,115,283 100 1,080,716 34667 VERISIGN INC COM 92343E10 38,836,555 2,885,331 2,869,313 15785 233 2,596,440 16333 272558 HERCULES INC COM 42705610 38,798,395 3,424,395 3,417,255 7140 3,097,303 34400 292692 CERIDIAN CORP NEW COM 15677910 38,796,687 2,083,603 2,079,233 4070 300 1,931,209 300 152094 ABERCROMBIE & FITCH CL A 00289620 38,691,583 1,396,304 1,384,293 9861 2150 1,367,090 2150 27064 C H ROBINSON WORLDWI COM 12541W10 38,495,230 1,033,429 1,029,619 3510 300 1,010,331 300 22798 CHELSEA PPTY GROUP I COM 16342110 38,491,577 803582 802997 585 780034 23548 FASTENAL CO COM 31190010 38,489,896 1,019,060 994434 10351 14275 964135 14275 40650 AVNET INC COM 05380710 38,452,546 2,327,636 2,318,000 7964 1672 2,282,564 1972 43100 ONEOK INC NEW COM 68268010 38,096,309 1,888,761 1,874,591 13970 200 1,848,940 200 39621 QUESTAR CORP COM 74835610 38,041,784 1,234,722 1,126,598 102024 6100 1,181,612 6350 46760 JEFFERIES GROUP INC COM 47231910 37,509,147 1,304,666 1,301,786 2880 1,216,266 34200 54200 UTSTARCOM INC COM 91807610 37,420,395 1,176,742 1,173,882 1610 1250 1,146,538 11850 18354 EQUITABLE RES INC COM 29454910 37,274,124 906913 899169 3820 3924 869495 3924 33494 DPL INC COM 23329310 37,155,955 2,166,528 2,157,084 8720 724 2,158,140 724 7664 ITT EDUCATIONAL SERV COM 45068B10 37,038,230 772918 772418 100 400 758254 400 14264 CABOT MICROELECTRONI COM 12709P10 36,964,577 664472 413061 22456 228955 397577 228955 37940 FIRST HEALTH GROUP C COM 32096010 36,935,740 1,406,540 1,401,290 4770 480 1,378,360 480 27700 Page Total 2,094,266,699 Page 13 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ YORK INTL CORP NEW COM 98667010 36,846,271 1,065,229 1,061,939 3090 200 1,013,129 200 51900 DYNEGY INC NEW CL A 26816Q10 36,671,076 10,186,410 10,168,615 17635 160 9,663,248 64760 458402 ALLIANT ENERGY CORP COM 01880210 36,476,858 1,658,039 1,640,189 13250 4600 1,646,574 4600 6865 CELGENE CORP COM 15102010 36,459,033 842010 838490 3420 100 837877 100 4033 WILLIAMS SONOMA INC COM 96990410 36,350,666 1,347,319 1,341,749 1940 3630 1,290,165 24830 32324 ASSOCIATED BANC CORP COM 04548710 36,344,088 959200 956580 2422 198 937242 508 21450 CRANE CO COM 22439910 36,232,967 1,547,756 1,545,206 2550 1,452,550 10400 84806 PROTECTIVE LIFE CORP COM 74367410 36,092,649 1,209,134 1,206,109 1100 1925 1,200,743 1925 6466 ADTRAN INC COM 00738A10 35,954,145 586432 585332 1000 100 567832 9700 8900 PATINA OIL & GAS COR COM 70322410 35,944,390 991843 991443 400 947094 44749 CMS ENERGY CORP COM 12589610 35,908,622 4,872,269 4,871,349 920 4,492,470 25300 354499 BOWATER INC COM 10218310 35,873,352 852909 849369 540 3000 826516 3000 23393 APPLIED MICRO CIRCUI COM 03822W10 35,840,240 7,374,535 7,348,487 15868 10180 6,919,732 62980 391823 UNIVERSAL HLTH SVCS CL B 91390310 35,635,944 720646 718836 1490 320 703930 320 16396 NSTAR COM 67019E10 35,430,867 745913 724962 10581 10370 720743 10370 14800 DILLARDS INC CL A 25406710 35,324,566 2,526,793 2,523,383 3310 100 2,262,283 15000 249510 GALLAGHER ARTHUR J & COM 36357610 34,793,336 1,230,316 1,211,316 3400 15600 1,188,616 15600 26100 OVERTURE SVCS INC COM 69039R10 34,764,078 1,320,322 1,319,602 720 1,222,172 98150 COOPER CAMERON CORP COM 21664010 34,746,130 751918 751078 840 704376 47542 COOPER TIRE & RUBR C COM 21683110 34,743,111 2,189,232 2,181,087 7345 800 1,971,468 13700 204064 JACOBS ENGR GROUP IN COM 46981410 34,729,164 770048 767558 2290 200 754640 200 15208 SCRIPPS E W CO OHIO CL A 81105420 34,703,524 407797 406137 1660 387866 19931 NORTHEAST UTILS COM 66439710 34,645,596 1,933,348 1,921,496 10292 1560 1,877,781 1560 54007 CYTYC CORP COM 23294610 34,638,531 2,307,697 2,297,947 9650 100 2,138,316 100 169281 BELO CORP COM SER A 08055510 34,277,205 1,413,493 1,410,143 2950 400 1,399,193 4100 10200 ASTORIA FINL CORP COM 04626510 34,269,614 1,109,049 1,101,449 7000 600 1,082,057 600 26392 COMMERCE BANCSHARES COM 20052510 34,110,562 779670 734877 42538 2255 759263 2255 18152 GOODYEAR TIRE & RUBR COM 38255010 34,105,704 5,191,127 5,173,297 17830 4,585,312 31600 574215 COMMERCIAL FEDERAL C COM 20164710 34,077,094 1,399,470 1,399,270 100 100 1,323,422 100 75948 AVID TECHNOLOGY INC COM 05367P10 33,980,579 641143 641043 100 591943 100 49100 FLAGSTAR BANCORP INC COM 33793010 33,921,867 1,478,077 1,473,127 4950 1,246,477 16100 215500 TITAN CORP COM 88826610 33,792,372 1,621,515 1,619,715 1700 100 1,504,715 100 116700 DAVITA INC COM 23918K10 33,780,606 1,061,282 1,055,021 1760 4501 1,040,617 4501 16164 ALLETE INC COM 01852210 33,635,809 1,228,481 1,220,181 6020 2280 1,183,071 42080 3330 CNF INC COM 12612W10 33,447,187 1,043,594 1,042,494 1000 100 1,041,222 100 2272 MDU RES GROUP INC COM 55269010 33,444,969 990082 961652 14880 13550 972432 13550 4100 CORINTHIAN COLLEGES COM 21886810 33,354,410 584038 581929 1709 400 581281 400 2357 NEUBERGER BERMAN INC COM 64123410 33,156,308 791887 789067 2820 777515 14372 OGE ENERGY CORP COM 67083710 33,069,071 1,463,881 1,454,803 7478 1600 1,438,076 1600 24205 HARRIS CORP DEL COM 41387510 32,908,403 919486 913426 5760 300 885450 300 33736 INTERNATIONAL RECTIF COM 46025410 32,803,467 876161 871436 4165 560 872029 560 3572 BRIGGS & STRATTON CO COM 10904310 32,743,069 557234 556634 600 524084 33150 BJS WHOLESALE CLUB I COM 05548J10 32,684,976 1,687,402 1,681,384 5918 100 1,587,352 100 99950 RF MICRODEVICES INC COM 74994110 32,673,674 3,536,112 3,526,572 9440 100 3,282,712 100 253300 VARIAN INC COM 92220610 32,643,716 1,040,603 1,040,503 100 994853 45750 CARLISLE COS INC COM 14233910 32,561,326 746477 745877 600 694177 5900 46400 HARTE-HANKS INC COM 41619610 32,530,335 1,764,118 1,761,768 2050 300 1,528,578 129000 106540 AFFILIATED MANAGERS COM 00825210 32,506,661 517622 495307 17550 4765 472557 4765 40300 HARMAN INTL INDS INC COM 41308610 32,397,375 329409 327168 1260 981 318368 981 10060 HORMEL FOODS CORP COM 44045210 32,324,196 1,406,623 1,402,988 3510 125 1,398,872 125 7626 AUTOLIV INC COM 05280010 32,280,874 1,069,966 1,042,212 22989 4765 1,055,851 5015 9100 WEINGARTEN RLTY INVS SH BEN INT 94874110 32,231,475 716255 716255 688103 28152 Page Total 1,784,862,108 Page 14 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ OFFICEMAX INC COM 67622M10 32,186,128 3,435,019 3,435,019 3,252,019 183000 ANNTAYLOR STORES COR COM 03611510 32,185,349 1,001,411 1,000,471 790 150 933216 150 68045 P F CHANGS CHINA BIS COM 69333Y10 32,132,606 708547 692767 13240 2540 669607 2540 36400 SL GREEN RLTY CORP COM 78440X10 31,880,652 882876 882021 855 817889 64987 PUGET ENERGY INC NEW COM 74531010 31,880,005 1,421,311 1,411,556 9380 375 1,365,552 375 55384 ENERGEN CORP COM 29265N10 31,850,773 880342 878342 500 1500 818792 1500 60050 AMR CORP COM 00176510 31,840,022 2,780,788 2,777,538 3110 140 2,489,688 140 290960 BLOCKBUSTER INC CL A 09367910 31,813,845 1,514,945 1,514,845 100 1,338,417 15800 160728 VALSPAR CORP COM 92035510 31,703,013 679593 677553 1540 500 662953 800 15840 MILLS CORP COM 60114810 31,661,285 804607 803792 815 780433 24174 SYBASE INC COM 87113010 31,645,063 1,860,380 1,855,375 4905 100 1,730,280 100 130000 GEN-PROBE INC NEW COM 36866T10 31,641,509 584115 583915 200 538579 45536 GREAT PLAINS ENERGY COM 39116410 31,497,810 1,038,846 1,035,746 2400 700 1,034,047 700 4099 INAMED CORP COM 45323510 31,476,039 428362 428342 20 399162 29200 LANDAMERICA FINL GRO COM 51493610 31,417,681 685377 685277 100 638327 47050 MGM MIRAGE COM 55295310 31,314,431 856756 852306 2900 1550 806324 1550 48882 EATON VANCE CORP COM NON VT 27826510 31,301,054 934918 932038 2840 40 932876 40 2002 CORN PRODS INTL INC COM 21902310 31,093,403 976245 970313 1640 4292 908803 4292 63150 PAN PACIFIC RETAIL P COM 69806L10 30,922,762 719134 714083 5051 697351 21783 WEBSTER FINL CORP CO COM 94789010 30,904,048 774926 766017 8655 254 772594 554 1778 COVANCE INC COM 22281610 30,831,963 1,377,657 1,324,742 44075 8840 1,271,417 8840 97400 SEPRACOR INC COM 81731510 30,780,943 1,114,444 1,081,164 3380 29900 1,079,771 29900 4773 NBTY INC COM 62878210 30,758,931 1,317,299 1,317,139 160 1,237,439 160 79700 WORTHINGTON INDS INC COM 98181110 30,694,303 2,443,814 2,429,839 11975 2000 2,298,800 17100 127914 WASHINGTON FED INC COM 93882410 30,621,981 1,215,158 1,206,606 3412 5140 1,206,469 5470 3219 HON INDS INC COM 43809210 30,599,553 827910 824070 3640 200 806154 200 21556 3COM CORP COM 88553510 30,493,714 5,159,681 5,134,888 14308 10485 4,827,784 77453 254444 AMERITRADE HLDG CORP COM 03074K10 30,493,274 2,665,496 2,664,816 680 2,557,529 107967 MANDALAY RESORT GROU COM 56256710 30,370,452 766737 736332 26475 3930 746740 3930 16067 TRIAD HOSPITALS INC COM 89579K10 30,345,132 1,002,151 997506 4543 102 980149 102 21900 MERCURY GENL CORP NE COM 58940010 30,333,972 677400 306960 361840 8600 297726 378120 1554 NETWORKS ASSOCS INC COM 64093810 30,259,684 2,199,105 2,193,585 5020 500 2,152,005 500 46600 NEW CENTURY FINANCIA COM 64352D10 30,201,737 1,064,566 1,048,196 13370 3000 904916 18450 141200 NOBLE ENERGY INC COM 65504410 30,201,120 788541 764425 5735 18381 752670 18531 17340 CERTEGY INC COM 15688010 30,080,391 936792 934207 2325 260 874858 260 61674 CITY NATL CORP COM 17856610 30,053,354 589744 589444 300 576617 13127 CENTERPOINT PPTYS TR COM 15189510 30,008,312 440586 440041 545 427858 12728 VIAD CORP COM 92552R10 29,999,727 1,256,270 1,233,330 1740 21200 1,193,354 22000 40916 TAKE-TWO INTERACTIVE COM 87405410 29,930,103 876174 874614 1560 813974 62200 STANCORP FINL GROUP COM 85289110 29,870,438 519938 519548 390 476193 42500 1245 PATTERSON UTI ENERGY COM 70348110 29,847,950 1,102,621 1,098,394 2825 1402 1,074,795 1402 26424 ALLIED CAP CORP NEW COM 01903Q10 29,830,301 1,213,107 1,193,370 8960 10777 1,139,461 10777 62869 KRISPY KREME DOUGHNU COM 50101410 29,813,437 774375 771320 2030 1025 769080 1025 4270 DEVRY INC DEL COM 25189310 29,792,175 1,259,179 1,257,089 1790 300 1,238,145 300 20734 PRIDE INTL INC DEL COM 74153Q10 29,766,352 1,756,127 1,750,697 4870 560 1,717,271 810 38046 LEVEL 3 COMMUNICATIO COM 52729N10 29,642,017 5,469,007 5,455,827 10460 2720 5,161,810 3520 303677 PACIFIC SUNWEAR CALI COM 69487310 29,554,315 1,430,509 1,423,659 5625 1225 1,324,435 1225 104849 WEBMD CORP COM 94769M10 29,529,084 3,299,339 3,283,296 12000 4043 3,209,800 4593 84946 ESSEX PPTY TR INC COM 29717810 29,397,570 468786 468366 420 428146 40640 NATIONAL FUEL GAS CO COM 63618010 29,359,393 1,284,875 1,267,715 16360 800 1,258,751 1250 24874 DONALDSON INC COM 25765110 29,322,785 544022 538647 5375 530486 13536 CYPRESS SEMICONDUCTO COM 23280610 29,268,249 1,655,444 1,645,724 9500 220 1,648,353 220 6871 Page Total 1,594,400,190 Page 15 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ MACERICH CO COM 55438210 29,182,939 773058 772958 100 740756 32302 LEE ENTERPRISES INC COM 52376810 29,035,872 750863 748403 2460 728163 22700 GRACO INC COM 38410910 29,032,158 773160 767868 4682 610 756738 610 15812 IDEXX LABS INC COM 45168D10 29,018,546 681987 673324 700 7963 658527 7963 15497 CEPHALON INC COM 15670810 28,775,508 627054 619238 6011 1805 610405 1805 14844 HEALTH CARE PPTY INV COM 42191510 28,742,729 615476 615476 599552 15924 AMKOR TECHNOLOGY INC COM 03165210 28,732,719 2,022,007 2,018,537 220 3250 1,909,757 3250 109000 AGL RES INC COM 00120410 28,662,693 1,017,490 1,016,840 650 998370 19120 GREAT LAKES CHEM COR COM 39056810 28,510,590 1,417,732 1,416,632 1100 1,291,690 8800 117242 FIRSTMERIT CORP COM 33791510 28,450,455 1,149,978 1,112,158 37420 400 1,144,664 400 4914 PENTAIR INC COM 70963110 28,410,405 712576 710876 1700 692426 20150 FIRST AMERN CORP CAL COM 31852230 28,336,473 1,138,011 1,136,911 940 160 1,119,212 160 18639 HIGHWOODS PPTYS INC COM 43128410 28,317,787 1,186,831 1,186,831 1,096,108 90723 PRENTISS PPTYS TR SH BEN INT 74070610 28,281,858 912318 911838 480 848395 63923 SMUCKER J M CO COM NEW 83269640 28,247,579 670009 658321 2426 9262 645561 9285 15163 BORDERS GROUP INC COM 09970910 28,227,031 1,491,915 1,488,771 2844 300 1,458,195 300 33420 BANTA CORP COM 06682110 28,196,136 783226 777906 4420 900 739485 900 42841 HILB ROGAL & HAMILTO COM 43129410 28,148,127 906834 889614 14010 3210 850624 3210 53000 DYCOM INDS INC COM 26747510 28,125,415 1,379,373 1,378,453 920 1,306,623 72750 INVESTORS FINL SERVI COM 46191510 28,049,278 889324 889004 320 860004 29320 ADVANCED FIBRE COMMU COM 00754A10 28,010,757 1,337,029 1,331,859 2420 2750 1,303,753 2750 30526 CYMER INC COM 23257210 28,009,174 680495 679295 1100 100 617966 100 62429 VISTEON CORP COM 92839U10 27,935,100 4,232,591 4,226,439 6152 3,766,256 23037 443298 WILEY JOHN & SONS IN CL B 96822330 27,919,112 1,077,958 4000 1,073,958 4000 1,073,958 AIRGAS INC COM 00936310 27,908,495 1,567,893 1,567,843 50 1,546,543 21350 KILROY RLTY CORP COM 49427F10 27,886,526 976761 976461 300 925569 51192 WEATHERFORD INTERNAT COM G9508910 27,772,418 735109 728024 6135 950 659170 950 74989 ACTIVISION INC NEW COM NEW 00493020 27,761,985 2,319,297 2,318,997 300 2,173,497 145800 VALLEY NATL BANCORP COM 91979410 27,711,407 995381 988610 6660 111 967800 111 27470 THOMAS & BETTS CORP COM 88431510 27,590,522 1,740,727 1,737,663 2064 1000 1,577,479 11200 152048 CACI INTL INC CL A 12719030 27,580,359 643649 643549 100 600849 42800 AMERUS GROUP CO COM 03072M10 27,572,980 810970 808910 2060 744380 66590 WESTAR ENERGY INC COM 95709T10 27,509,706 1,491,041 1,482,021 8820 200 1,383,320 200 107521 FIRST INDUSTRIAL REA COM 32054K10 27,489,858 857183 857003 180 788187 68996 SEMTECH CORP COM 81685010 27,444,795 1,482,701 1,481,191 1410 100 1,397,601 100 85000 CYTEC INDS INC COM 23282010 27,442,196 751841 750511 1030 300 735337 300 16204 SMITHFIELD FOODS INC COM 83224810 27,421,324 1,428,194 1,425,184 2810 200 1,423,902 200 4092 BANK HAWAII CORP COM 06254010 27,367,061 814981 808581 6400 811537 3444 VENTAS INC COM 92276F10 27,339,219 1,596,917 1,596,797 120 1,488,967 107950 CONEXANT SYSTEMS INC COM 20714210 27,230,695 4,811,077 4,788,372 9500 13205 4,395,982 13205 401890 AMYLIN PHARMACEUTICA COM 03234610 27,222,950 962622 959736 1900 986 957051 986 4585 VECTREN CORP COM 92240G10 27,207,689 1,151,892 1,146,592 3000 2300 1,115,660 32500 3732 PNM RES INC COM 69349H10 27,083,920 965903 965661 40 202 911401 202 54300 ELECTRONICS FOR IMAG COM 28608210 27,073,578 1,160,462 1,154,039 2000 4423 1,072,637 4423 83402 PEDIATRIX MED GROUP COM 70532410 26,901,212 584174 584174 547424 36750 READERS DIGEST ASSN COM 75526710 26,875,881 1,921,078 1,911,678 7500 1900 1,873,008 1900 46170 APTARGROUP INC COM 03833610 26,857,263 732005 548585 98550 84870 645035 84870 2100 ALEXANDRIA REAL ESTA COM 01527110 26,796,513 557912 556422 1490 518117 39795 SILICON LABORATORIES COM 82691910 26,669,318 593707 592907 800 593107 600 KRONOS INC COM 50105210 26,641,031 503516 502556 960 470466 33050 TETRA TECH INC NEW COM 88162G10 26,468,864 1,324,768 1,324,768 1,243,418 81350 REYNOLDS & REYNOLDS CL A 76169510 26,451,829 960139 958319 1620 200 955939 200 4000 Page Total 1,445,638,035 Page 16 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ CAMDEN PPTY TR SH BEN INT 13313110 26,334,234 685252 684822 430 663592 21660 OSHKOSH TRUCK CORP COM 68823920 26,303,812 664070 621920 36210 5940 613130 5940 45000 BRITISH AMERN TOB PL SPON- SORED 11044810 26,293,615 1,213,925 31395 1,182,530 31395 1,182,530 COLONIAL BANCGROUP I COM 19549330 26,289,752 1,820,620 1,817,810 2810 1,813,191 7429 GATX CORP COM 36144810 26,256,075 1,241,422 1,212,612 23035 5775 1,166,647 5775 69000 WILMINGTON TRUST COR COM 97180710 26,232,466 852811 841191 7020 4600 844111 4600 4100 POWER-ONE INC COM 73930810 26,161,475 2,513,110 2,474,245 38765 100 2,305,668 14500 192942 ENGINEERED SUPPORT S COM 29286610 26,122,359 431418 431318 100 398383 33035 EMULEX CORP COM NEW 29247520 26,088,768 1,024,294 954995 60184 9115 1,011,315 9115 3864 HUBBELL INC CL B 44351020 26,074,294 714560 702992 6640 4928 695172 5078 14310 IMPAC MTG HLDGS INC COM 45254P10 26,067,179 1,610,079 1,610,079 1,534,129 75950 ARDEN RLTY INC COM 03979310 26,024,985 932127 931887 240 898218 33909 CHEESECAKE FACTORY I COM 16307210 25,913,916 713882 708672 5060 150 711132 150 2600 ENTERCOM COMMUNICATI CL A 29363910 25,894,665 577748 573818 1685 2245 571103 2245 4400 MAXTOR CORP COM NEW 57772920 25,847,583 2,123,877 2,115,203 8332 342 2,113,689 342 9846 GREATER BAY BANCORP COM 39164810 25,841,617 1,241,192 1,174,743 43059 23390 1,130,082 23390 87720 CAPITAL AUTOMOTIVE R COM SH BEN 13973310 25,773,797 849779 849379 400 812729 37050 ROPER INDS INC NEW COM 77669610 25,636,622 588671 566796 17935 3940 539381 3940 45350 INDEPENDENCE CMNTY B COM 45341410 25,616,466 729606 729456 150 724806 4800 RECKSON ASSOCS RLTY COM 75621K10 25,609,161 1,108,142 1,108,142 1,024,135 84007 KENNAMETAL INC COM 48917010 25,607,480 684692 684132 560 633342 51350 APPLEBEES INTL INC COM 03789910 25,594,184 813030 787230 25800 795368 350 17312 INTEGRATED CIRCUIT S COM 45811K20 25,575,425 851379 847259 2120 2000 846919 2000 2460 CHITTENDEN CORP COM 17022810 25,546,830 858717 806546 15910 36261 755617 36261 66839 REGIS CORP MINN COM 75893210 25,481,140 793805 793705 100 791400 2405 BROWN & BROWN INC COM 11523610 25,446,010 826706 826706 824306 2400 MEDIA GEN INC CL A 58440410 25,406,479 415818 415348 370 100 367768 2100 45950 HUDSON CITY BANCORP COM 44368310 25,400,611 824160 820340 3820 808424 15736 APOGENT TECHNOLOGIES COM 03760A10 25,367,303 1,216,074 1,214,244 730 1100 1,210,510 1100 4464 TECH DATA CORP COM 87823710 25,351,943 821781 816906 4575 300 814147 300 7334 EDUCATION MGMT CORP COM 28139T10 25,291,855 437424 434329 520 2575 432854 2575 1995 CULLEN FROST BANKERS COM 22989910 25,277,122 678945 677245 1600 100 676567 100 2278 IRON MTN INC PA COM 46284610 25,216,698 702415 698185 4080 150 678897 150 23368 ZEBRA TECHNOLOGIES C CL A 98920710 25,207,954 489665 488180 1185 300 486965 300 2400 CARRAMERICA RLTY COR COM 14441810 25,200,564 844240 844240 811832 32408 WADDELL & REED FINL CL A 93005910 25,135,896 1,066,436 1,060,370 2890 3176 1,058,526 3176 4734 NEIMAN MARCUS GROUP CL A 64020420 25,130,880 602659 599237 3122 300 601061 300 1298 RITE AID CORP COM 76775410 25,122,760 4,868,752 4,849,332 19200 220 4,845,958 220 22574 PARAMETRIC TECHNOLOG COM 69917310 25,112,688 7,972,282 7,936,081 36021 180 7,196,799 46380 729103 PANERA BREAD CO CL A 69840W10 25,078,230 611515 611515 571337 40178 TECHNE CORP COM 87837710 25,013,611 786839 785979 700 160 722129 160 64550 FOOT LOCKER INC COM 34484910 24,954,528 1,540,403 1,532,893 5230 2280 1,485,723 2630 52050 COOPER COS INC COM NEW 21664840 24,858,722 610030 606830 1200 2000 561108 2000 46922 MACROMEDIA INC COM 55610010 24,842,555 1,015,225 1,013,965 1100 160 927265 9960 78000 PLANTRONICS INC NEW COM 72749310 24,773,407 1,037,847 1,036,447 1000 400 968897 400 68550 HUNT J B TRANS SVCS COM 44565810 24,743,997 944788 944708 80 937606 7182 SAKS INC COM 79377W10 24,743,875 2,146,043 2,140,373 4470 1200 2,044,284 1550 100209 BORG WARNER INC COM 09972410 24,740,756 364639 361299 3140 200 362739 200 1700 TIDEWATER INC COM 88642310 24,668,430 871676 866346 5030 300 869224 300 2152 HOME PPTYS N Y INC COM 43730610 24,540,454 626032 625732 300 567348 58684 SILICON VY BANCSHARE COM 82706410 24,539,712 889120 887950 1170 842870 46250 SICOR INC COM 82584610 24,513,195 1,269,456 1,267,136 2320 1,265,845 100 3511 Page Total 1,323,868,135 Page 17 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ ACCREDO HEALTH INC COM 00437V10 24,475,463 874436 873536 900 802435 72001 FEDERAL REALTY INVT SH BEN INT 31374720 24,461,917 663644 663644 638077 25567 ICOS CORP COM 44929510 24,356,736 635117 600402 29970 4745 626045 4845 4227 TELEFLEX INC COM 87936910 24,355,457 560798 559848 750 200 558930 200 1668 HCC INS HLDGS INC COM 40413210 24,353,133 837453 831247 6206 835631 1822 99 CENTS ONLY STORES COM 65440K10 24,316,187 751892 750472 1300 120 749122 120 2650 ATMEL CORP COM 04951310 24,302,789 6,049,985 6,048,105 1580 300 5,763,642 244703 41640 MENTOR GRAPHICS CORP COM 58720010 24,301,921 1,381,576 1,377,776 3400 400 1,278,226 400 102950 PIER 1 IMPORTS INC COM 72027910 24,193,203 1,257,443 1,251,318 4200 1925 1,241,942 1925 13576 NATIONAL INSTRS CORP COM 63651810 24,144,632 602411 581966 20105 340 600373 340 1698 SONUS NETWORKS INC COM 83591610 24,127,754 3,482,141 3,481,321 600 220 3,180,521 220 301400 MARVEL ENTERPRISES I COM 57383M10 23,993,821 1,078,374 1,076,374 2000 1,065,374 13000 AMERICREDIT CORP COM 03060R10 23,965,813 2,326,778 2,314,118 12200 460 2,318,622 1510 6646 SKYWORKS SOLUTIONS I COM 83088M10 23,930,861 2,629,765 2,616,100 9155 4510 2,400,201 4510 225054 MILLER HERMAN INC COM 60054410 23,910,754 1,050,099 1,049,379 420 300 987679 300 62120 FREDS INC CL A 35610810 23,891,517 724864 724639 225 667264 225 57375 RENAL CARE GROUP INC COM 75993010 23,875,016 699122 695552 1950 1620 694702 1620 2800 TUPPERWARE CORP COM 89989610 23,859,282 1,783,205 1,782,135 70 1000 1,603,257 18825 161123 RPM INTL INC COM 74968510 23,832,658 1,824,859 1,814,327 7320 3212 1,816,847 3212 4800 STERICYCLE INC COM 85891210 23,820,993 504148 502308 40 1800 500401 1800 1947 ALEXANDER & BALDWIN COM 01448210 23,796,478 839086 838986 100 775965 63121 OSI PHARMACEUTICALS COM 67104010 23,752,972 727503 707903 19600 658803 68700 WASHINGTON REAL ESTA SH BEN INT 93965310 23,673,483 816327 816107 220 748205 68122 UNITRIN INC COM 91327510 23,630,258 775780 774120 660 1000 753260 1000 21520 UCBH HOLDINGS INC COM 90262T30 23,586,468 780492 771092 9400 718074 62418 LANDSTAR SYS INC COM 51509810 23,497,185 382628 382528 100 358678 23950 SHURGARD STORAGE CTR COM 82567D10 23,419,361 663438 663338 100 639970 23468 DIGITAL RIV INC COM 25388B10 23,393,330 854707 854357 350 816007 38700 VITESSE SEMICONDUCTO COM 92849710 23,309,035 3,636,355 3,634,975 1240 140 3,306,635 140 329580 BRANDYWINE RLTY TR SH BEN INT 10536820 23,280,740 906218 906198 20 834693 71525 MARKEL CORP COM 57053510 23,270,652 87156 86296 860 86782 374 POLYCOM INC COM 73172K10 23,268,533 1,400,875 1,391,723 5577 3575 1,368,162 3575 29138 BRE PROPERTIES INC CL A 05564E10 23,237,246 704586 704586 677850 26736 PACKAGING CORP AMER COM 69515610 23,208,531 1,195,084 1,194,644 440 1,192,850 2234 LAMAR ADVERTISING CO CL A 51281510 23,207,380 787759 785621 950 1188 758821 1188 27750 LYONDELL CHEMICAL CO COM 55207810 23,161,475 1,812,322 1,805,822 6200 300 1,805,760 300 6262 PHILADELPHIA SUBN CO COM PAR $0 71800960 23,155,520 961608 959458 1032 1118 956885 1118 3605 ROSLYN BANCORP INC COM 77816210 23,116,198 983668 979838 3830 980578 3090 EXTENDED STAY AMER I COM 30224P10 22,939,959 1,536,501 1,535,211 1210 80 1,439,621 80 96800 TOLL BROTHERS INC COM 88947810 22,861,694 751535 750795 440 300 747730 300 3505 RUBY TUESDAY INC COM 78118210 22,858,715 948101 905242 42859 927301 20800 PERFORMANCE FOOD GRO COM 71375510 22,820,448 560286 557526 2580 180 557406 180 2700 CRESCENT REAL ESTATE COM 22575610 22,750,123 1,568,974 1,568,974 1,486,472 82502 COGNIZANT TECHNOLOGY CL A 19244610 22,746,956 623888 623388 500 621180 2708 AIRTRAN HLDGS INC COM 00949P10 22,734,808 1,357,302 1,357,052 250 1,250,452 106850 LEUCADIA NATL CORP COM 52728810 22,651,143 598445 598245 200 596453 1992 HYPERION SOLUTIONS C COM 44914M10 22,636,473 780299 780099 200 725999 200 54100 INVESTMENT TECHNOLOG COM 46145F10 22,561,280 1,176,292 1,176,042 100 150 1,107,142 150 69000 LAFARGE NORTH AMERIC COM 50586210 22,558,230 648225 646305 1920 643049 5176 NORTHWEST AIRLS CORP CL A 66728010 22,490,293 2,318,587 1,094,564 1,224,023 946121 1,219,596 152870 KEMET CORP COM 48836010 22,324,798 1,752,339 1,748,629 3610 100 1,621,539 100 130700 STANDARD PAC CORP NE COM 85375C10 22,313,587 588749 588109 640 539809 48940 Page Total 1,220,683,259 Page 18 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ ABGENIX INC COM 00339B10 22,279,171 1,537,555 1,532,655 800 4100 1,402,205 4100 131250 ALPHARMA INC CL A 02081310 22,246,902 1,196,070 1,195,060 1010 1,140,920 55150 FULTON FINL CORP PA COM 36027110 22,232,423 1,100,615 1,097,256 3359 1,094,637 5978 BRINKS CO COM 10969610 22,198,041 1,278,689 1,277,349 1340 1,201,989 76700 INTERSTATE BAKERIES COM 46072H10 22,194,345 1,479,623 1,479,023 600 1,407,779 71844 ASCENTIAL SOFTWARE C COM NEW 04362P20 22,174,313 1,196,671 1,193,651 2970 50 1,101,571 50 95050 O REILLY AUTOMOTIVE COM 68609110 22,164,566 602298 599838 2100 360 599738 360 2200 F M C CORP COM NEW 30249130 22,156,117 879211 878681 530 830611 48600 INTERNATIONAL SPEEDW CL A 46033520 22,153,301 504746 497360 1560 5826 497184 5826 1736 FAIRCHILD SEMICONDUC COM 30372610 22,105,052 1,333,236 1,324,776 4510 3950 1,322,586 3950 6700 SOUTHWEST BANCORPORA COM 84476R10 22,089,695 605363 578398 22240 4725 557788 4725 42850 HAWAIIAN ELEC INDUST COM 41987010 22,046,943 506477 503157 3220 100 504177 100 2200 IMCLONE SYS INC COM 45245W10 21,931,918 563397 561089 2230 78 559118 78 4201 SOUTH FINL GROUP INC COM 83784110 21,920,197 875757 874440 1317 804307 71450 KEANE INC COM 48666510 21,887,756 1,712,657 1,708,957 2900 800 1,625,007 800 86850 STERIS CORP COM 85915210 21,887,554 950806 949206 1600 921186 29620 FMC TECHNOLOGIES INC COM 30249U10 21,872,904 1,021,144 1,019,239 1820 85 988220 85 32839 PROTEIN DESIGN LABS COM 74369L10 21,864,188 1,556,170 1,555,370 800 1,529,933 26237 APPLERA CORP COM CE GEN 03802020 21,838,065 1,868,098 1,864,998 2900 200 1,719,048 200 148850 ATMOS ENERGY CORP COM 04956010 21,822,339 911543 911093 300 150 838443 150 72950 INTERGRAPH CORP COM 45868310 21,818,556 929636 928936 700 851186 78450 WESTAMERICA BANCORPO COM 95709010 21,817,795 490508 489478 1030 488658 1850 LINENS N THINGS INC COM 53567910 21,815,890 917405 872160 35425 9820 843313 9820 64272 FREMONT GEN CORP COM 35728810 21,759,189 1,711,974 1,711,974 1,622,424 89550 NEWFIELD EXPL CO COM 65129010 21,605,101 560153 558918 1160 75 558050 75 2028 IDEX CORP COM 45167R10 21,571,058 591961 560641 27050 4270 545333 4270 42358 CATELLUS DEV CORP COM 14911110 21,571,036 882251 874901 7350 878819 3432 CABLEVISION SYS CORP CL A NY CA 12686C10 21,565,118 1,191,443 1,177,938 9954 3551 1,088,037 3851 99555 FLOWSERVE CORP COM 34354P10 21,554,905 1,061,818 1,059,063 2755 995218 66600 CORPORATE EXECUTIVE COM 21988R10 21,537,385 457658 455358 2300 446745 10913 MARTEK BIOSCIENCES C COM 57290110 21,536,564 409207 409007 200 368507 40700 BANKATLANTIC BANCORP CL A 06590850 21,500,385 1,508,799 1,508,799 1,428,549 80250 TRANSATLANTIC HLDGS COM 89352110 21,436,065 301407 298907 2500 284271 17136 LEGATO SYS INC COM 52465110 21,424,314 1,895,957 1,871,448 24409 100 1,757,716 100 138141 IDACORP INC COM 45110710 21,408,652 839555 834827 1610 3118 775187 3368 61000 VARIAN SEMICONDUCTOR COM 92220710 21,392,900 571239 569599 1640 521039 50200 REGENCY CTRS CORP COM 75884910 21,304,569 578143 578143 545790 32353 ALLIANT TECHSYSTEMS COM 01880410 21,296,721 443220 441340 1210 670 432000 670 10550 CINCINNATI BELL INC COM 17187110 21,265,200 4,177,839 4,167,483 8120 2236 3,872,403 2236 303200 COPART INC COM 21720410 21,231,897 1,955,055 1,954,965 90 1,859,605 95450 WEIGHT WATCHERS INTL COM 94862610 21,204,851 509732 507467 1040 1225 496681 1225 11826 MGI PHARMA INC COM 55288010 21,174,341 548416 548116 200 100 498516 100 49800 CHECKFREE CORP NEW COM 16281310 21,162,497 1,052,337 1,047,032 5045 260 1,048,300 260 3777 PROVIDENT FINL GROUP COM 74386610 21,129,796 755445 753865 1580 699587 55858 ARCH COAL INC COM 03938010 21,124,108 951108 950842 159 107 884051 107 66950 CONTINENTAL AIRLS IN CL B 21079530 21,117,017 1,273,644 1,265,934 7710 1,177,694 95950 TRIZEC PROPERTIES IN COM 89687P10 21,040,121 1,716,160 1,716,160 1,605,740 110420 SKY FINL GROUP INC COM 83080P10 21,027,513 934141 930431 3710 931715 2426 LANCASTER COLONY COR COM 51384710 21,022,512 526880 526370 510 525080 1800 PS BUSINESS PKS INC COM 69360J10 21,013,707 556802 556422 380 514335 42467 HEALTH CARE REIT INC COM 42217K10 20,999,595 680700 680700 627223 53477 CLAIRES STORES INC COM 17958410 20,958,273 626368 625388 780 200 612468 200 13700 Page Total 1,124,453,421 Page 19 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ POST PPTYS INC COM 73746410 20,954,084 769522 769522 702333 67189 KELLWOOD CO COM 48804410 20,935,752 625882 625522 360 584960 40922 NTL INC DEL COM 62940M10 20,865,502 450951 450151 800 449249 1702 TORO CO COM 89109210 20,800,530 462234 461234 1000 420434 41800 BLACK HILLS CORP COM 09211310 20,771,310 673082 668492 4490 100 624646 100 48336 VARCO INTL INC DEL COM 92212210 20,723,543 1,225,520 1,219,799 5661 60 1,221,252 60 4208 AMERICAN EAGLE OUTFI COM 02553E10 20,717,743 1,389,520 1,388,780 700 40 1,312,580 40 76900 COMMUNITY HEALTH SYS COM 20366810 20,717,250 954712 909927 37245 7540 927094 7540 20078 WOLVERINE WORLD WIDE COM 97809710 20,693,456 1,066,673 1,062,167 4506 1,005,323 61350 CHESAPEAKE ENERGY CO COM 16516710 20,692,673 1,919,543 1,912,163 7380 1,911,604 7939 SYBRON DENTAL SPECIA COM 87114210 20,676,607 824755 823786 816 153 768962 153 55640 LIFEPOINT HOSPITALS COM 53219L10 20,618,152 852342 852199 43 100 796342 100 55900 HARSCO CORP COM 41586410 20,607,224 535670 535030 440 200 532970 200 2500 INSIGHT ENTERPRISES COM 45765U10 20,600,817 1,353,536 1,351,436 2100 1,284,696 68840 AMERICAN TOWER CORP CL A 02991220 20,574,293 2,027,024 1,957,474 53230 16320 2,007,713 16320 2991 YELLOW CORP COM 98550910 20,506,557 687678 549928 137310 440 633888 440 53350 HSBC HLDGS PLC SPON ADR N 40428040 20,446,734 309799 286801 22998 303292 267 6240 EAST WEST BANCORP IN COM 27579R10 20,415,690 477560 477360 200 437252 40308 ETHAN ALLEN INTERIOR COM 29760210 20,402,316 566731 565795 836 100 565159 100 1472 INVACARE CORP COM 46120310 20,357,724 541717 541257 460 492701 49016 VISX INC DEL COM 92844S10 20,327,321 1,067,051 1,066,351 700 995051 72000 FOREST OIL CORP COM PAR $0 34609170 20,316,880 848304 847924 280 100 791104 100 57100 NATIONAL-OILWELL INC COM 63707110 20,308,437 1,119,539 1,093,396 14450 11693 1,104,084 11693 3762 CALLAWAY GOLF CO COM 13119310 20,258,005 1,419,622 1,418,252 1370 1,329,122 90500 POLARIS INDS INC COM 73106810 20,246,583 273049 271329 1640 80 269069 80 3900 WESTERN WIRELESS COR CL A 95988E20 20,241,939 1,084,196 1,079,796 4300 100 957546 100 126550 PHOENIX COS INC NEW COM 71902E10 20,206,644 1,749,493 1,739,815 8903 775 1,611,318 775 137400 CITIZENS BKG CORP MI COM 17442010 20,147,634 762879 760319 2560 704229 58650 STATEN IS BANCORP IN COM 85755010 20,093,814 1,033,101 1,033,101 924821 108280 CLARCOR INC COM 17989510 20,069,283 514597 513357 800 440 471957 440 42200 OMNIVISION TECHNOLOG COM 68212810 20,058,192 475200 475200 433100 42100 HUMAN GENOME SCIENCE COM 44490310 20,033,346 1,459,093 1,454,368 4625 100 1,329,835 117700 11558 PLEXUS CORP COM 72913210 20,015,209 1,287,980 1,217,550 70330 100 1,222,130 100 65750 CHURCH & DWIGHT INC COM 17134010 19,966,133 570624 569984 640 543894 26730 HENRY JACK & ASSOC I COM 42628110 19,936,782 1,146,451 1,145,351 900 200 1,142,857 200 3394 IMATION CORP COM 45245A10 19,926,588 610309 608079 1430 800 599309 800 10200 APRIA HEALTHCARE GRO COM 03793310 19,877,250 725977 725647 330 723242 2735 ICN PHARMACEUTICALS COM 44892410 19,872,584 1,158,076 1,151,684 6292 100 1,151,604 350 6122 CHARLES RIV LABS INT COM 15986410 19,863,028 647215 644225 2790 200 645015 200 2000 BISYS GROUP INC COM 05547210 19,858,669 1,510,165 1,508,145 1820 200 1,504,665 200 5300 INGRAM MICRO INC CL A 45715310 19,831,315 1,519,641 1,518,631 1010 1,446,895 72746 AMERICAN AXLE & MFG COM 02406110 19,802,360 669451 661951 7300 200 635551 11000 22900 PEPSIAMERICAS INC COM 71343P20 19,800,048 1,366,463 1,363,643 2420 400 1,199,113 97700 69650 PIXAR COM 72581110 19,788,984 296909 295129 1720 60 276351 60 20498 FIRSTFED FINL CORP COM 33790710 19,739,098 499724 499024 700 470134 29590 EMMIS COMMUNICATIONS CL A 29152510 19,729,850 974795 974395 400 898645 150 76000 SWIFT TRANSN CO COM 87075610 19,720,491 869127 866497 2430 200 864678 200 4249 RALCORP HLDGS INC NE COM 75102810 19,717,746 711832 711532 300 651982 59850 SYLVAN LEARNING SYS COM 87139910 19,690,987 718387 718087 300 669287 49100 CBL & ASSOC PPTYS IN COM 12483010 19,649,422 393776 393756 20 373863 19913 GABLES RESIDENTIAL T SH BEN INT 36241810 19,642,415 607748 607648 100 540127 67621 TRINITY INDS INC COM 89652210 19,612,136 758690 758390 300 706390 300 52000 Page Total 1,051,427,130 Page 20 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ COMMONWEALTH TEL ENT COM 20334910 19,591,719 488328 486428 1900 457728 30600 COMMUNITY FIRST BANK COM 20390210 19,575,655 735374 735374 678924 56450 ENDO PHARMACEUTICALS COM 29264F20 19,536,130 955312 954752 560 937212 100 18000 HOT TOPIC INC COM 44133910 19,520,090 866020 865930 90 794395 71625 FIRST MIDWEST BANCOR COM 32086710 19,486,937 655905 653500 1745 660 652720 660 2525 BOB EVANS FARMS INC COM 09676110 19,451,130 728234 726234 2000 657886 70348 BEAZER HOMES USA INC COM 07556Q10 19,436,898 230295 230195 100 207225 23070 VERTEX PHARMACEUTICA COM 92532F10 19,387,604 1,576,228 1,575,028 820 380 1,462,348 380 113500 MEDICIS PHARMACEUTIC CL A NEW 58469030 19,346,907 330152 325752 4150 250 328282 250 1620 NATIONWIDE FINL SVCS CL A 63861210 19,292,653 615592 613882 520 1190 613970 1190 432 THOR INDS INC COM 88516010 19,199,410 355413 355413 328413 27000 SOUTHERN UN CO NEW COM 84403010 19,183,021 1,128,413 1,121,342 7071 1,044,341 7071 77001 SUSQUEHANNA BANCSHAR COM 86909910 19,148,658 745084 744424 660 686975 660 57449 UNITED RENTALS INC COM 91136310 19,124,059 1,188,568 1,187,487 1081 1,112,918 75650 EVEREST RE GROUP LTD COM G3223R10 19,083,349 253903 253903 245293 8610 CROWN HOLDINGS INC COM 22836810 18,909,531 2,801,412 2,799,712 1700 2,505,612 295800 EVERGREEN RES INC COM NO PAR 29990030 18,904,698 700174 700174 638044 62130 MONY GROUP INC COM 61533710 18,881,408 580074 579081 993 578086 1988 CLECO CORP NEW COM 12561W10 18,835,019 1,152,694 1,150,394 2100 200 1,059,044 200 93450 DADE BEHRING HLDGS I COM 23342J20 18,826,591 666428 666428 606928 59500 MCDATA CORP CL A 58003120 18,793,388 1,575,305 1,571,523 3280 502 1,568,956 502 5847 SKYWEST INC COM 83087910 18,758,477 1,083,053 1,079,453 2950 650 988753 1050 93250 IRWIN FINL CORP COM 46411910 18,743,051 771319 771319 743809 27510 HUDSON UNITED BANCOR COM 44416510 18,737,134 532759 531116 1643 529959 300 2500 ARBITRON INC COM 03875Q10 18,682,595 529252 527433 1819 479348 49904 CEC ENTMT INC COM 12513710 18,661,512 476059 475799 260 444459 31600 MEDICINES CO COM 58468810 18,648,811 718644 718644 656894 61750 IGEN INC COM 44953610 18,581,699 322711 322311 400 289961 32750 PETCO ANIMAL SUPPLIE COM NEW 71601620 18,565,518 594858 594858 527528 67330 MPS GROUP INC COM 55340910 18,552,087 2,061,343 2,051,783 9260 300 1,914,493 300 146550 SENSIENT TECHNOLOGIE COM 81725T10 18,533,004 882524 876724 5800 816371 66153 ALLIANCE GAMING CORP COM NEW 01859P60 18,456,746 910096 909296 800 836346 800 72950 SUPERIOR INDS INTL I COM 86816810 18,433,421 454585 454585 422835 31750 WASTE CONNECTIONS IN COM 94105310 18,429,338 525202 525102 100 482582 100 42520 VODAFONE GROUP PLC N SPON- SORED 92857W10 18,416,727 909468 823114 86354 886563 22905 ALBEMARLE CORP COM 01265310 18,355,128 668675 667675 1000 627075 41600 STRAYER ED INC COM 86323610 18,354,917 189813 189413 300 100 169363 100 20350 CABOT OIL & GAS CORP COM 12709710 18,271,084 702734 677381 6985 18368 607546 18368 76820 SONIC CORP COM 83545110 18,261,054 724645 724645 669874 54771 WGL HLDGS INC COM 92924F10 18,230,986 661022 657302 3400 320 646752 320 13950 COMMERCE GROUP INC M COM 20064110 18,203,414 479542 443042 36500 443266 36276 CREE INC COM 22544710 18,197,326 982577 978817 3660 100 977852 100 4625 ANNALY MTG MGMT INC COM 03571040 18,191,882 1,107,910 1,106,450 1460 1,046,610 48400 12900 FIRST NIAGARA FINL G COM 33582V10 18,170,789 1,204,161 1,204,161 1,102,899 101262 NEW JERSEY RES COM 64602510 18,028,577 500238 494033 2436 3769 455443 3769 41026 BANCORPSOUTH INC COM 05969210 18,007,494 822260 821370 890 818910 3350 CORPORATE OFFICE PPT SH BEN INT 22002T10 18,005,824 972762 971867 895 915036 57726 TRACTOR SUPPLY CO COM 89235610 17,989,591 548296 543276 5020 504396 43900 POTLATCH CORP COM 73762810 17,972,991 604744 604644 100 524000 80744 AXCELIS TECHNOLOGIES COM 05454010 17,968,777 2,164,913 2,023,261 141552 100 2,005,252 100 159561 CHARTER COMMUNICATIO CL A 16117M10 17,893,946 4,343,191 4,340,896 2295 3,961,241 950 381000 ALLEGHENY TECHNOLOGI COM 01741R10 17,879,305 2,729,665 2,727,045 2620 2,487,760 14100 227805 Page Total 971,698,060 Page 21 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ NATIONWIDE HEALTH PP COM 63862010 17,860,490 1,021,183 1,021,183 948983 72200 ODYSSEY HEALTHCARE I COM 67611V10 17,855,798 598786 598786 551724 47062 CHATEAU CMNTYS INC COM 16172610 17,838,858 599424 599424 540420 59004 MENTOR CORP MINN COM 58718810 17,800,416 780720 780640 80 721720 59000 AMETEK INC NEW COM 03110010 17,793,114 415145 413045 2100 413662 1483 UGI CORP NEW COM 90268110 17,742,855 613303 611443 1860 610628 2675 PAYLESS SHOESOURCE I COM 70437910 17,720,048 1,369,401 1,367,346 1755 300 1,265,661 300 103440 DIAMOND OFFSHORE DRI COM 25271C10 17,706,807 927058 925578 1340 140 897333 140 29585 EARTHLINK INC COM 27032110 17,645,440 2,144,039 2,138,789 5150 100 1,953,439 100 190500 RSA SEC INC COM 74971910 17,636,408 1,226,454 1,226,434 20 1,155,304 71150 PACIFIC CAP BANCORP COM 69404P10 17,619,256 577870 577517 353 529169 48701 AMERIGROUP CORP COM 03073T10 17,554,317 393330 393330 361830 31500 BROOKS AUTOMATION IN COM 11434010 17,552,551 839835 776455 54830 8550 766835 8550 64450 HRPT PPTYS TR COM SH BEN 40426W10 17,550,838 1,920,223 1,920,223 1,906,023 14200 OLIN CORP COM PAR $1 68066520 17,515,097 1,107,149 1,106,849 100 200 1,032,599 200 74350 CHOICE HOTELS INTL I COM 16990510 17,500,133 603037 601087 1800 150 557687 150 45200 PETROLEO BRASILEIRO SPON- SORED 71654V10 17,499,545 823508 823508 494713 236236 92559 HELMERICH & PAYNE IN COM 42345210 17,497,305 669369 667329 1440 600 653939 600 14830 COGNEX CORP COM 19242210 17,476,383 665007 650327 2420 12260 595597 12260 57150 DEL MONTE FOODS CO COM 24522P10 17,442,210 2,002,550 1,976,150 15923 10477 1,901,191 10477 90882 PHOTRONICS INC COM 71940510 17,435,590 815891 811691 4200 770041 45850 METRO GOLDWYN MAYER COM 59161010 17,425,718 1,135,966 1,108,706 5060 22200 982866 22200 130900 INDYMAC BANCORP INC COM 45660710 17,408,709 751347 751347 748347 3000 UNIVERSAL CORP VA COM 91345610 17,405,714 413143 411793 1350 412693 450 HOVNANIAN ENTERPRISE CL A 44248720 17,287,464 268564 268264 300 268514 50 MAF BANCORP INC COM 55261R10 17,272,053 452148 450968 500 680 414468 680 37000 NPS PHARMACEUTICALS COM 62936P10 17,269,216 619857 583002 33195 3660 567497 3660 48700 AVOCENT CORP COM 05389310 17,256,213 569700 567400 2100 200 565100 200 4400 WPS RESOURCES CORP COM 92931B10 17,245,702 418585 415725 2740 120 416754 120 1711 COUSINS PPTYS INC COM 22279510 17,207,553 620092 619942 150 593197 26895 RESPIRONICS INC COM 76123010 17,118,551 409241 407694 1347 200 407191 200 1850 FURNITURE BRANDS INT COM 36092110 17,094,877 709331 706871 2460 706852 2479 J2 GLOBAL COMMUNICAT COM NEW 46626E20 17,087,584 451694 451694 407634 44060 INTEGRATED DEVICE TE COM 45811810 17,042,127 1,372,152 1,367,312 4000 840 1,365,326 1190 5636 DOCUMENTUM INC COM 25615910 16,998,357 796176 795976 200 721326 74850 AGCO CORP COM 00108410 16,972,387 990221 987841 2380 985784 4437 SUN COMMUNITIES INC COM 86667410 16,955,514 430343 430093 250 393395 36948 MENS WEARHOUSE INC COM 58711810 16,945,775 660654 660554 100 600604 100 59950 TRUSTCO BK CORP N Y COM 89834910 16,828,535 1,361,532 1,355,517 6015 1,247,832 113700 PANAMSAT CORP NEW COM 69793310 16,784,926 1,159,180 1,159,080 100 1,081,612 47200 30368 HEARST-ARGYLE TELEVI COM 42231710 16,751,699 692219 691959 260 691819 400 PERRIGO CO COM 71429010 16,696,909 1,311,619 1,308,719 2900 1,210,493 101126 RESMED INC COM 76115210 16,696,039 379628 378828 700 100 377727 100 1801 CERNER CORP COM 15678210 16,671,806 540065 539815 250 497115 42950 NETIQ CORP COM 64115P10 16,594,414 1,389,817 1,389,417 300 100 1,303,917 100 85800 CSG SYS INTL INC COM 12634910 16,530,477 1,116,170 1,116,070 100 1,039,170 100 76900 MACROVISION CORP COM 55590410 16,521,665 893063 892723 300 40 824873 40 68150 HUTCHINSON TECHNOLOG COM 44840710 16,503,388 501318 499798 1520 457668 43650 FNB CORP PA COM 30252010 16,501,695 478310 476325 1985 475027 3283 VALASSIS COMMUNICATI COM 91886610 16,456,387 623348 622048 1100 200 589982 200 33166 RELIANT RES INC COM 75952B10 16,444,753 3,211,866 3,154,919 53461 3486 3,189,165 3959 18742 THORNBURG MTG INC COM 88521810 16,401,073 647496 647096 400 642675 4821 Page Total 894,620,739 Page 22 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ CHRISTOPHER & BANKS COM 17104610 16,399,049 687303 687303 632928 54375 SIRIUS SATELLITE RAD COM 82966U10 16,391,522 9,006,331 8,986,131 15100 5100 8,985,031 5100 16200 RAYMOND JAMES FINANC COM 75473010 16,374,875 450478 449408 670 400 447878 400 2200 KAYDON CORP COM 48658710 16,372,955 689678 688758 920 647878 41800 POWER INTEGRATIONS I COM 73927610 16,357,703 492109 487889 4220 451959 40150 OHIO CAS CORP COM 67724010 16,345,934 1,129,643 1,125,193 4450 1,052,059 77584 COLONIAL PPTYS TR COM SH BEN 19587210 16,342,703 453586 453586 411594 41992 FIRST BANCORP P R COM 31867210 16,295,716 529942 529592 350 529392 550 ARVINMERITOR INC COM 04335310 16,295,473 914962 911303 3260 399 910463 399 4100 DELPHI FINL GROUP IN CL A 24713110 16,281,953 349999 335663 300 14036 301802 14036 34161 AMPHENOL CORP NEW CL A 03209510 16,212,481 311479 308346 500 2633 299064 2633 9782 REALTY INCOME CORP COM 75610910 16,170,459 407830 407730 100 407830 METTLER TOLEDO INTER COM 59268810 16,166,750 449701 448381 1220 100 448419 100 1182 SIERRA HEALTH SVCS I COM 82632210 16,161,568 786451 786451 743751 42700 KNIGHT TRADING GROUP COM 49906310 16,145,320 1,412,539 1,408,239 4200 100 1,277,040 100 135399 BROCADE COMMUNICATIO COM 11162110 16,139,963 3,091,947 2,940,327 129200 22420 2,966,647 22820 102480 FERRO CORP COM 31540510 16,106,016 754027 753447 580 696852 57175 HERITAGE PPTY INVT T COM 42725M10 16,102,072 557551 557151 400 515451 42100 QUIKSILVER INC COM 74838C10 16,092,449 1,008,931 1,004,331 4600 929931 79000 BROWN TOM INC COM NEW 11566020 16,067,768 625205 625105 100 573030 100 52075 FACTSET RESH SYS INC COM 30307510 16,052,216 361944 346844 15100 344344 15100 2500 MASSEY ENERGY CORP COM 57620610 16,033,150 1,205,500 1,204,800 700 1,106,650 98850 CUMULUS MEDIA INC CL A 23108210 16,008,839 931830 862425 58220 11185 858495 11185 62150 SCP POOL CORP COM 78402810 15,994,652 574727 570745 3427 555 527641 555 46531 ACXIOM CORP COM 00512510 15,982,706 1,014,775 1,010,775 3900 100 1,010,577 100 4098 MUELLER INDS INC COM 62475610 15,975,423 627718 627118 500 100 579227 100 48391 LEXAR MEDIA INC COM 52886P10 15,974,898 936395 936395 855370 81025 TOTAL SYS SVCS INC COM 89190610 15,956,664 605566 603516 2050 602152 3414 LA QUINTA CORP PAIRED CTF 50419U20 15,939,722 2,558,543 2,558,543 2,293,293 265250 REPUBLIC BANCORP INC COM 76028210 15,920,663 1,195,245 1,194,772 473 1,121,605 73640 USF CORP COM 91729Q10 15,915,547 503816 503616 100 100 462659 100 41057 BROOKLINE BANCORP IN COM 11373M10 15,898,103 1,076,378 1,076,378 993245 83133 HEALTHCARE RLTY TR COM 42194610 15,895,882 497057 497057 497057 HOLLYWOOD ENTMT CORP COM 43614110 15,895,595 935035 935035 854280 80755 ANSYS INC COM 03662Q10 15,892,386 447169 425339 21830 426219 20950 TEXAS REGL BANCSHARE CL A VTG 88267310 15,844,502 468911 468597 314 431759 37152 GLOBALSANTAFE CORP SHS G3930E10 15,843,643 661530 638759 8022 14749 483146 14749 163635 R & G FINANCIAL CORP CL B 74913610 15,824,356 541930 541930 515830 26100 MICREL INC COM 59479310 15,818,865 1,297,692 1,285,582 10870 1240 1,217,952 1240 78500 DELTA & PINE LD CO COM 24735710 15,799,563 686639 686159 480 630439 56200 ALBANY INTL CORP CL A 01234810 15,771,853 511409 511205 100 104 474455 104 36850 TAUBMAN CTRS INC COM 87666410 15,762,202 804194 804194 729310 74884 PEABODY ENERGY CORP COM 70454910 15,759,597 502378 502378 500828 150 1400 SILICON STORAGE TECH COM 82705710 15,665,562 1,790,350 1,790,350 1,662,900 127450 ADAPTEC INC COM 00651F10 15,641,209 2,068,943 2,065,503 3140 300 1,889,893 300 178750 UNOVA INC COM 91529B10 15,611,801 1,065,652 1,063,092 2560 1,001,502 64150 DOWNEY FINL CORP COM 26101810 15,572,024 333234 332084 1150 328894 4340 WERNER ENTERPRISES I COM 95075510 15,516,643 675812 675086 126 600 671087 600 4125 CORRECTIONS CORP AME COM NEW 22025Y40 15,492,513 627990 627990 585440 42550 SIERRA PAC RES NEW COM 82642810 15,488,533 3,193,512 3,182,312 11200 2,988,062 205450 DSP GROUP INC COM 23332B10 15,485,736 621418 620618 600 200 577168 200 44050 LATTICE SEMICONDUCTO COM 51841510 15,475,901 2,155,418 2,142,838 8280 4300 2,005,318 4300 145800 Page Total 830,533,678 Page 23 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ ADVO INC COM 00758510 15,424,123 370505 370405 100 340355 30150 INTER TEL INC COM 45837210 15,421,843 628181 628081 100 590831 37350 TIMBERLAND CO CL A 88710010 15,410,242 361234 360234 780 220 343136 220 17878 GLOBAL PMTS INC COM 37940X10 15,395,760 427660 426253 460 947 424713 947 2000 WHITNEY HLDG CORP COM 96661210 15,386,054 452531 449857 406 2268 448913 2268 1350 FLIR SYS INC COM 30244510 15,372,643 604746 604746 555646 49100 PROVINCE HEALTHCARE COM 74397710 15,331,958 1,183,935 1,132,035 44305 7595 1,102,090 7595 74250 XM SATELLITE RADIO H CL A 98375910 15,317,038 988196 987376 820 988196 TRANSACTION SYS ARCH CL A 89341610 15,258,549 921410 921410 859560 61850 COMPANHIA VALE DO RI SPON ADR P 20441210 15,244,275 413124 413124 243955 121667 47502 ALKERMES INC COM 01642T10 15,189,370 1,107,097 1,105,397 1600 100 1,020,497 100 86500 STONE ENERGY CORP COM 86164210 15,172,128 430049 428969 600 480 395487 480 34082 PHARMACEUTICAL PROD COM 71712410 15,128,094 630600 629920 680 629056 1544 IMAGISTICS INTERNATI COM 45247T10 15,111,505 521446 519472 1892 82 490378 82 30986 TRIQUINT SEMICONDUCT COM 89674K10 15,105,664 2,673,569 2,662,348 11120 101 2,459,618 101 213850 ADVANCED DIGITAL INF COM 00752510 15,080,370 1,073,336 1,069,736 3500 100 975036 100 98200 GLIMCHER RLTY TR SH BEN INT 37930210 15,072,129 715336 715316 20 649367 65969 GRANT PRIDECO INC COM 38821G10 15,036,343 1,475,598 1,472,378 3120 100 1,469,737 350 5511 OLD NATL BANCORP IND COM 68003310 15,030,799 672519 667188 5331 668765 3754 SCOTTS CO CL A 81018610 15,005,468 274323 272603 1620 100 273323 100 900 ENTERASYS NETWORKS I COM 29363710 14,995,728 3,748,932 3,601,681 147131 120 3,355,092 120 393720 R H DONNELLEY CORP COM NEW 74955W30 14,970,126 370456 369887 569 324956 45500 OCEANEERING INTL INC COM 67523210 14,956,838 635920 635920 600190 35730 CREDENCE SYS CORP COM 22530210 14,940,765 1,299,197 1,299,097 100 1,200,797 100 98300 CIMAREX ENERGY CO COM 17179810 14,897,058 760054 758722 1014 318 701311 318 58425 NORDSON CORP COM 65566310 14,894,517 575300 575000 300 528150 47150 TEKELEC COM 87910110 14,894,438 949295 946195 3100 871270 78025 COST PLUS INC CALIF COM 22148510 14,892,167 402491 402451 40 357231 45260 IKON OFFICE SOLUTION COM 45171310 14,828,481 2,028,520 2,023,700 4620 200 1,873,420 93000 62100 SELECTIVE INS GROUP COM 81630010 14,790,320 496153 495953 100 100 450954 100 45099 THORATEC CORP COM NEW 88517530 14,773,671 869551 869351 200 791601 77950 UMB FINL CORP COM 90278810 14,750,625 312712 312607 105 289307 105 23300 EGL INC COM 26848410 14,722,931 809397 807267 2130 736807 72590 RAMBUS INC DEL COM 75091710 14,721,898 874222 871042 3100 80 868299 80 5843 FLOWERS FOODS INC COM 34349810 14,720,637 645642 644696 811 135 597657 135 47850 SOUTHWEST GAS CORP COM 84489510 14,690,917 647177 645277 1900 593177 54000 PSS WORLD MED INC COM 69366A10 14,644,390 1,667,926 1,667,666 260 1,562,876 105050 NEUROCRINE BIOSCIENC COM 64125C10 14,635,727 295731 294791 940 293330 2401 MODINE MFG CO COM 60782810 14,635,611 611601 611501 100 554451 100 57050 FEDERAL SIGNAL CORP COM 31385510 14,549,149 976453 971003 5250 200 903253 200 73000 WILSON GREATBATCH TE COM 97223210 14,545,814 403490 389060 14430 373940 29550 DIAGNOSTIC PRODS COR COM 25245010 14,533,743 400048 396748 3300 372048 28000 PROVIDENT FINL SVCS COM 74386T10 14,520,137 757836 757836 692036 65800 ANIXTER INTL INC COM 03529010 14,474,046 635663 635343 320 582213 53450 AFFYMETRIX INC COM 00826T10 14,465,762 689174 687374 1700 100 678962 100 10112 MANUFACTURED HOME CM COM 56468210 14,440,572 368570 368370 200 327628 40942 HARLAND JOHN H CO COM 41269310 14,432,317 545233 545113 120 495883 49350 TEREX CORP NEW COM 88077910 14,422,603 778338 778318 20 712238 66100 ENTEGRIS INC COM 29362U10 14,420,495 1,276,150 1,276,150 1,201,550 74600 NORTHWEST NAT GAS CO COM 66765510 14,417,901 497169 495569 1000 600 451619 600 44950 INTEGRA LIFESCIENCES COM NEW 45798520 14,393,131 508771 508671 100 478921 29850 WINTRUST FINANCIAL C COM 97650W10 14,328,014 379048 352628 22470 3950 351448 3950 23650 Page Total 773,794,884 Page 24 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ OWENS & MINOR INC NE COM 69073210 14,323,401 594332 594052 280 545932 48400 TOOTSIE ROLL INDS IN COM 89051610 14,282,909 460739 458471 2156 112 449412 112 11215 AMERICAN CAPITAL STR COM 02493710 14,273,791 574167 572267 1900 572138 2029 ZORAN CORP COM 98975F10 14,226,176 726938 725368 1570 658517 68421 HUGHES SUPPLY INC COM 44448210 14,211,023 437936 437915 21 401359 36577 AVISTA CORP COM 05379B10 14,206,280 911828 911628 200 831078 200 80550 GLOBESPANVIRATA INC COM 37957V10 14,186,859 1,964,939 1,959,171 5768 1,786,689 178250 PROVIDENT BANKSHARES COM 74385910 14,153,421 499415 499415 454565 44850 CV THERAPEUTICS INC COM 12666710 14,142,146 642241 612201 26375 3665 543226 3665 95350 ALASKA AIR GROUP INC COM 01165910 14,138,179 508202 508202 462250 45952 HEARTLAND EXPRESS IN COM 42234710 14,130,437 588278 588278 543178 45100 PHILADELPHIA CONS HL COM 71752810 14,097,296 308205 308205 279755 28450 IMC GLOBAL INC COM 44966910 14,089,109 2,197,989 2,195,422 845 1722 2,040,467 1722 155800 LA Z BOY INC COM 50533610 14,071,869 633868 631248 2620 629444 4424 SYCAMORE NETWORKS IN COM 87120610 14,069,624 2,871,352 2,867,902 3350 100 2,598,452 100 272800 ANDRX CORP DEL ANDRX GROU 03455310 14,056,391 753290 747304 3160 2826 745506 2926 4858 PEP BOYS MANNY MOE & COM 71327810 14,044,466 917939 909031 8908 827289 90650 UNIT CORP COM 90921810 14,043,109 745388 744830 558 676838 68550 NDCHEALTH CORP COM 63948010 14,020,619 669242 668942 300 617842 51400 JDA SOFTWARE GROUP I COM 46612K10 14,019,427 946619 944019 2600 901519 45100 AMERICAN FINL GROUP COM 02593210 14,018,701 644538 643238 1300 626152 18386 YANKEE CANDLE INC COM 98475710 14,001,234 549499 548733 600 166 505183 166 44150 QUANTA SVCS INC COM 74762E10 13,960,967 1,688,146 1,683,046 5100 1,576,546 5100 106500 APOGEE ENTERPRISES I COM 03759810 13,950,211 1,349,150 1,349,050 100 431811 869639 47700 PARK NATL CORP COM 70065810 13,927,074 124460 124160 300 123590 870 W HLDG CO INC COM 92925110 13,924,750 777919 777739 180 716594 61325 EXTREME NETWORKS INC COM 30226D10 13,893,224 2,198,295 2,031,610 142095 24590 2,005,155 24590 168550 ARIBA INC COM 04033V10 13,872,036 4,563,170 4,558,250 4800 120 4,144,430 120 418620 GARTNER INC COM 36665110 13,835,433 1,255,484 1,247,005 5879 2600 1,124,134 2600 128750 RUDDICK CORP COM 78125810 13,817,810 889177 888977 100 100 828427 100 60650 PIEDMONT NAT GAS INC COM 72018610 13,807,482 354038 353208 630 200 353038 200 800 SERVICE CORP INTL COM 81756510 13,807,318 3,021,295 3,017,975 3100 220 3,000,245 220 20830 COMMUNITY BK SYS INC COM 20360710 13,791,691 314090 313490 600 290770 23320 ST MARY LD & EXPL CO COM 79222810 13,781,245 544283 540978 3305 493283 51000 TRUSTMARK CORP COM 89840210 13,779,950 507923 504073 3850 505421 2502 PRIORITY HEALTHCARE CL B 74264T10 13,760,882 668004 667284 720 619416 48588 SOUTHWESTERN ENERGY COM 84546710 13,752,995 759834 759834 703684 56150 TECHNITROL INC COM 87855510 13,745,716 746644 744644 1500 500 685394 500 60750 AEROFLEX INC COM 00776810 13,735,876 1,560,895 1,560,495 300 100 1,465,445 100 95350 CH ENERGY GROUP INC COM 12541M10 13,710,224 311596 310000 1486 110 284780 110 26706 MATTHEWS INTL CORP CL A 57712810 13,709,760 518916 518916 469966 48950 DENDRITE INTL INC COM 24823910 13,699,661 902481 898004 1977 2500 841181 2500 58800 RARE HOSPITALITY INT COM 75382010 13,691,457 549637 544701 4936 507712 41925 FOREST CITY ENTERPRI CL A 34555010 13,686,443 312833 310243 2590 310533 2300 COMMSCOPE INC COM 20337210 13,653,801 1,132,156 1,132,056 100 1,049,106 100 82950 ACUITY BRANDS INC COM 00508Y10 13,639,616 755239 755239 696339 58900 SIMPSON MANUFACTURIN COM 82907310 13,637,346 333513 333513 307613 25900 ACCENTURE LTD BERMUD CL A G1150G11 13,632,716 610238 610238 494159 116079 KANSAS CITY SOUTHERN COM NEW 48517030 13,622,531 1,230,581 1,179,374 2180 49027 1,070,754 49027 110800 DOUBLECLICK INC COM 25860930 13,537,524 1,255,800 1,251,260 4440 100 1,240,329 400 15071 TRIMBLE NAVIGATION L COM 89623910 13,529,589 586967 586567 400 540167 46800 VICURON PHARMACEUTIC COM 92647110 13,523,968 764066 763866 100 100 706705 100 57261 Page Total 723,225,763 Page 25 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ CROMPTON CORP COM 22711610 13,487,334 2,321,400 2,317,013 3140 1247 2,136,803 1247 183350 WATSON WYATT & CO HL CL A 94271210 13,487,001 599156 599156 551006 48150 MACDERMID INC COM 55427310 13,384,572 506033 505833 200 465183 40850 MCCLATCHY CO CL A 57948910 13,349,988 224445 221425 2920 100 221668 100 2677 ST JOE CO COM 79014810 13,321,187 415249 413989 1260 400391 14858 COHERENT INC COM 19247910 13,305,544 540217 539717 500 485167 55050 ADVENT SOFTWARE INC COM 00797410 13,295,683 826846 823249 3597 772346 54500 DIME CMNTY BANCSHARE COM 25392210 13,287,997 577739 577739 537139 40600 CNET NETWORKS INC COM 12613R10 13,275,546 1,885,731 1,885,531 100 100 1,688,431 100 197200 KEY ENERGY SVCS INC COM 49291410 13,252,219 1,373,287 1,372,137 1150 1,367,387 5900 JOY GLOBAL INC COM 48116510 13,236,910 830421 830421 763371 67050 FIRST COMWLTH FINL C COM 31982910 13,212,929 1,004,022 1,004,022 919522 84500 JARDEN CORP COM 47110910 13,187,924 349349 348849 500 328199 21150 BLACK BOX CORP DEL COM 09182610 13,181,767 331117 330917 200 300217 30900 FEI CO COM 30241L10 13,162,382 563941 563241 600 100 523041 100 40800 RED HAT INC COM 75657710 13,154,870 1,315,487 1,310,587 4600 300 1,309,687 300 5500 LENNOX INTL INC COM 52610710 13,144,996 899726 899526 200 840126 59600 DIONEX CORP COM 25454610 13,128,409 333547 333407 40 100 297947 100 35500 TRUST CO NJ JERSEY C COM 89830410 13,120,690 410278 316304 93974 289804 93674 26800 LONGS DRUG STORES CO COM 54316210 13,087,459 650147 648347 1800 589360 60787 DIGITAL INSIGHT CORP COM 25385P10 13,084,269 657501 657251 250 614451 43050 CSK AUTO CORP COM 12596510 13,082,975 848442 848362 80 799442 49000 GRANITE CONSTR INC COM 38732810 13,073,141 699847 699847 644122 55725 BLYTH INC COM 09643P10 13,044,587 483491 482585 906 483391 100 UNITED BANKSHARES IN COM 90990710 13,013,933 434522 433422 500 600 432322 600 1600 FULLER H B CO COM 35969410 13,000,201 535649 534849 600 200 486949 200 48500 CHIQUITA BRANDS INTL COM 17003280 12,985,127 733623 733623 675023 58600 INTERNATIONAL BANCSH COM 45904410 12,975,165 311978 311075 903 311378 600 ADVANCED MEDICAL OPT COM 00763M10 12,963,474 721797 720372 1359 66 678298 66 43433 EQUITY ONE COM 29475210 12,938,207 761071 760371 700 678244 82827 S & T BANCORP INC COM 78385910 12,912,694 453077 452277 800 415477 37600 ESS TECHNOLOGY INC COM 26915110 12,907,562 1,197,362 1,197,262 100 1,139,412 57950 URBAN OUTFITTERS INC COM 91704710 12,893,914 494778 494778 459978 34800 CAL DIVE INTL INC COM 12791410 12,893,339 660858 659858 1000 601908 58950 WEBSENSE INC COM 94768410 12,853,891 601211 600711 500 566961 34250 OPENWAVE SYS INC COM 68371810 12,853,555 3,053,101 3,052,641 300 160 2,746,541 160 306400 ATMI INC COM 00207R10 12,829,381 506090 501950 4140 464840 41250 KROLL INC COM 50104910 12,824,569 689493 689493 637293 52200 CATALINA MARKETING C COM 14886710 12,821,423 844070 843970 100 789170 54900 PEROT SYS CORP CL A 71426510 12,812,190 1,281,219 1,277,969 3250 1,177,319 103900 BORLAND SOFTWARE COR COM 09984910 12,799,652 1,389,756 1,389,756 1,262,756 127000 GETTY IMAGES INC COM 37427610 12,784,527 363610 362710 100 800 360829 800 1981 POLO RALPH LAUREN CO CL A 73157210 12,774,500 476305 475485 720 100 473399 100 2806 AQUILA INC COM 03840P10 12,749,755 3,772,117 3,767,067 4570 480 3,536,937 480 234700 ADOLOR CORP COM 00724X10 12,744,056 694499 649415 45084 640799 53700 WELLCHOICE INC COM 94947510 12,673,943 420642 419477 40 1125 405917 1125 13600 CRAY INC COM 22522310 12,668,328 1,156,925 1,156,925 1,060,725 96200 FLORIDA ROCK INDS IN COM 34114010 12,666,649 255376 254596 630 150 252626 150 2600 LIGAND PHARMACEUTICA CL B 53220K20 12,628,725 978971 978963 8 895163 8 83800 BEARINGPOINT INC COM 07400210 12,618,909 1,581,317 1,573,757 7460 100 1,572,417 100 8800 LINCOLN ELEC HLDGS I COM 53390010 12,617,027 567823 567743 80 509073 58750 PENNSYLVANIA RL ESTA SH BEN INT 70910210 12,606,134 376865 376765 100 343303 33562 Page Total 676,161,209 Page 26 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ CHARTER MUN MTG ACCE SH BEN INT 16090810 12,596,733 685350 685330 20 623280 20 62050 GEORGIA GULF CORP COM PAR $0 37320020 12,558,797 537850 537750 100 489900 47950 ADVANCED NEUROMODULA COM 00757T10 12,538,934 314259 313809 450 287559 26700 FILENET CORP COM 31686910 12,474,769 621563 621163 400 569263 400 51900 FTI CONSULTING INC COM 30294110 12,466,582 718535 718385 150 657610 60925 CATHAY BANCORP INC COM 14915010 12,465,446 281705 273705 8000 243405 8000 30300 GREY GLOBAL GROUP IN COM 39787M10 12,442,462 16348 16348 15148 1200 SCHOLASTIC CORP COM 80706610 12,426,771 431635 430935 600 100 419635 100 11900 VCA ANTECH INC COM 91819410 12,420,811 527423 527323 100 483523 43900 SELECT MEDICAL CORP COM 81619610 12,403,785 430687 430687 394187 36500 IHOP CORP COM 44962310 12,392,761 377253 374753 2500 345403 31850 KNIGHT TRANSN INC COM 49906410 12,363,387 490416 490216 200 437766 52650 MANHATTAN ASSOCS INC COM 56275010 12,347,062 476169 476069 100 444019 32150 PROQUEST COMPANY COM 74346P10 12,342,590 469300 407800 61500 373650 61500 34150 LTX CORP COM 50239210 12,317,201 1,091,370 1,041,640 49630 100 1,017,520 100 73750 TELEFONOS DE MEXICO SPON ADR O 87940378 12,300,835 402646 402646 191041 174731 36874 PROGRESS SOFTWARE CO COM 74331210 12,291,442 568259 564177 4082 520459 47800 CHEMICAL FINL CORP COM 16373110 12,249,050 395769 395369 400 358862 36907 BROWN SHOE INC NEW COM 11573610 12,232,079 385870 385710 60 100 359770 100 26000 PETROLEO BRASILEIRO SPON- SORED 71654V40 12,193,348 531764 531764 308731 179775 43258 TELEDYNE TECHNOLOGIE COM 87936010 12,183,980 837387 837060 327 794187 43200 LIBERTY CORP S C COM 53037010 12,154,634 289741 288141 1600 260241 29500 SPORTS AUTH INC NEW COM 84917U10 12,134,373 385708 385338 370 355601 30107 MID-AMER APT CMNTYS COM 59522J10 12,127,682 401845 401845 363124 38721 STATION CASINOS INC COM 85768910 12,100,341 395436 395436 389322 6114 EL PASO ELEC CO COM NEW 28367785 12,069,010 1,044,936 1,044,436 400 100 970286 100 74550 SUMMIT PPTYS INC COM 86623910 12,057,731 530710 530710 482963 47747 TOWN & CTRY TR SH BEN INT 89208110 12,046,823 512849 512349 500 480463 32386 WAYPOINT FINL CORP COM 94675610 12,040,746 600536 599906 630 540529 60007 TECUMSEH PRODS CO CL A 87889520 12,011,208 321930 321600 230 100 299630 100 22200 K V PHARMACEUTICAL C CL A 48274020 11,993,692 533053 532303 750 483778 49275 AEROPOSTALE COM 00786510 11,976,766 442764 442764 415314 27450 G & K SVCS INC CL A 36126810 11,961,346 342732 342537 75 120 308362 120 34250 COMMERCIAL NET LEASE COM 20221810 11,959,760 702276 701656 620 638226 64050 WESCO FINL CORP COM 95081710 11,955,724 35167 34367 100 700 32367 700 2100 FOSSIL INC COM 34988210 11,951,493 491831 491831 452989 38842 TESORO PETE CORP COM 88160910 11,938,125 1,411,126 1,406,426 4700 1,310,626 100500 THQ INC COM NEW 87244340 11,906,408 727331 726831 500 665381 61950 CURTISS WRIGHT CORP COM 23156110 11,902,082 168537 166837 1700 152336 16201 FELCOR LODGING TR IN COM 31430F10 11,901,785 1,148,821 1,148,821 1,021,316 127505 SCHOOL SPECIALTY INC COM 80786310 11,893,618 421610 421370 240 397710 23900 EFUNDS CORP COM 28224R10 11,891,293 961301 956307 1471 3523 884778 3523 73000 UICI COM 90273710 11,860,520 945815 945815 887265 58550 SOVRAN SELF STORAGE COM 84610H10 11,847,677 357396 356696 700 320866 36530 MAVERICK TUBE CORP COM 57791410 11,840,021 762888 762588 200 100 701588 100 61200 TOTAL S A SPON- SORED 89151E10 11,827,907 156041 147811 8230 154141 1900 REGENERON PHARMACEUT COM 75886F10 11,801,492 667883 667283 400 200 608933 200 58750 LASALLE HOTEL PPTYS COM SH BEN 51794210 11,784,018 679978 679438 540 635019 44959 CNA FINL CORP COM 12611710 11,779,292 560385 560185 200 469885 70100 20400 CASEYS GEN STORES IN COM 14752810 11,762,191 838958 837498 720 740 774168 740 64050 UNITED NAT FOODS INC COM 91116310 11,736,448 353614 352814 800 320764 32850 WRIGHT MED GROUP INC COM 98235T10 11,714,817 464137 462847 1100 190 442947 190 21000 Page Total 629,937,848 Page 27 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ M D C HLDGS INC COM 55267610 11,713,410 216915 216563 242 110 216050 110 755 BALDOR ELEC CO COM 05774110 11,710,392 554732 554452 20 260 498122 260 56350 FRIEDMAN BILLINGS RA CL A 35843410 11,691,739 677782 677782 674934 2848 PENN NATL GAMING INC COM 70756910 11,685,705 548110 548110 503610 44500 AMERICAN NATL INS CO COM 02859110 11,682,893 137365 136595 770 136540 825 ROADWAY CORP COM 76974210 11,668,905 239264 239264 216414 22850 CARPENTER TECHNOLOGY COM 14428510 11,665,675 544108 542008 2100 503008 41100 HEADWATERS INC COM 42210P10 11,656,323 723097 723097 684147 38950 HARLEYSVILLE GROUP I COM 41282410 11,648,287 500356 499956 400 456106 400 43850 NETSCREEN TECHNOLOGI COM 64117V10 11,622,599 522834 522094 740 519331 3503 NOKIA CORP SPON- SORED 65490220 11,619,894 744865 651625 93240 729865 15000 JACK IN THE BOX INC COM 46636710 11,543,246 648497 647897 600 591955 56542 ULTRATECH INC COM 90403410 11,521,266 408266 408266 365016 43250 HORACE MANN EDUCATOR COM 44032710 11,514,439 793552 793466 86 739402 54150 TELIK INC COM 87959M10 11,512,352 573610 571910 1700 492310 81300 U S G CORP COM NEW 90329340 11,490,115 666480 666348 132 605648 132 60700 PALM INC COM NEW 69664220 11,483,759 594090 586366 7203 521 472050 6089 115951 NEKTAR THERAPEUTICS COM 64026810 11,483,072 897115 892815 4100 200 810465 200 86450 SEACOR SMIT INC COM 81190410 11,468,675 317077 316727 350 290227 26850 FIRST CTZNS BANCSHAR CL A 31946M10 11,454,920 108372 108372 100442 7930 AMSURG CORP COM 03232P40 11,453,776 346979 346979 316429 30550 EXAR CORP COM 30064510 11,430,357 814128 810128 4000 755278 58850 CONMED CORP COM 20741010 11,418,130 553204 552664 540 505904 47300 VINTAGE PETE INC COM 92746010 11,413,957 1,049,077 1,049,077 977477 71600 MICROS SYS INC COM 59490110 11,393,388 335890 322650 11175 2065 309875 2065 23950 ASK JEEVES INC COM 04517410 11,384,102 654635 654535 100 600835 53800 WESTERN GAS RES INC COM 95825910 11,380,506 299487 299487 298387 1100 ERIE INDTY CO CL A 29530P10 11,366,035 292186 291386 800 290186 2000 NII HLDGS INC CL B NEW 62913F20 11,364,456 191482 191482 171182 20300 BANKUNITED FINL CORP CL A 06652B10 11,345,434 535162 535162 493712 41450 PRICELINE COM INC COM NEW 74150340 11,328,562 390102 389786 300 16 349988 16 40098 NBT BANCORP INC COM 62877810 11,314,242 558728 558328 400 513146 45582 OTTER TAIL CORP COM 68964810 11,313,532 434134 431669 465 2000 391506 2000 40628 TEXAS INDS INC COM 88249110 11,312,408 459854 459854 428454 31400 CYBERONICS INC COM 23251P10 11,305,599 366470 366310 160 329270 37200 INVERESK RESH GROUP COM 46123810 11,304,376 569490 569490 551390 18100 GROUP 1 AUTOMOTIVE I COM 39890510 11,303,767 327266 327186 80 299416 27850 KIRBY CORP COM 49726610 11,290,092 393383 392863 520 365083 28300 HANCOCK HLDG CO COM 41012010 11,289,009 228754 228554 200 206454 22300 AMERICAN ITALIAN PAS CL A 02707010 11,260,917 291055 290935 120 264955 26100 ACTUANT CORP CL A NEW 00508X20 11,231,628 200029 199889 140 184229 15800 REINSURANCE GROUP AM COM 75935110 11,231,433 275618 275278 340 260866 14752 PRICE COMMUNICATIONS COM NEW 74143730 11,218,156 904690 904140 550 823740 80950 SENIOR HSG PPTYS TR SH BEN INT 81721M10 11,202,103 777384 777324 60 710167 67217 HARBOR FLA BANCSHARE COM 41190110 11,196,373 419969 419689 280 391470 28499 GENESIS HEALTH VENTU COM 37183F10 11,185,431 462017 461652 365 415152 365 46500 ESPERION THERAPEUTIC COM 29664R10 11,184,247 574140 573340 800 529190 44950 GEMSTAR-TV GUIDE INT COM 36866W10 11,175,296 2,362,642 2,351,642 11000 2,354,398 900 7344 CUNO INC COM 12658310 11,162,566 284832 284792 40 256282 28550 ARMOR HOLDINGS INC COM 04226010 11,152,719 665834 665834 629034 36800 WINNEBAGO INDS INC COM 97463710 11,117,761 249389 248889 500 230934 18455 HANOVER COMPRESSOR C COM 41076810 11,092,197 1,120,424 1,120,324 100 1,042,824 100 77500 Page Total 592,960,221 Page 28 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ BRADY CORP CL A 10467410 11,051,875 347434 343994 3340 100 313284 100 34050 UNISOURCE ENERGY COR COM 90920510 11,043,259 580613 580273 100 240 537673 240 42700 DOLLAR THRIFTY AUTOM COM 25674310 11,038,307 485841 485601 240 367911 117930 RELIANCE STEEL & ALU COM 75950910 11,029,872 497065 495265 1800 460865 36200 MANITOWOC INC COM 56357110 11,003,922 507327 506327 900 100 464877 100 42350 PAPA JOHNS INTL INC COM 69881310 10,973,587 442305 440961 1344 417606 24699 STEWART INFORMATION COM 86037210 10,957,317 388007 388007 361537 26470 MAXIMUS INC COM 57793310 10,956,856 318051 318051 289551 28500 SONIC AUTOMOTIVE INC CL A 83545G10 10,949,657 455098 455038 60 415298 39800 ILEX ONCOLOGY INC COM 45192310 10,930,904 651813 651813 601263 50550 GREY WOLF INC COM 39788810 10,912,319 3,135,724 3,010,434 125290 2,878,024 257700 MB FINANCIAL INC NEW COM 55264U10 10,909,124 245701 239801 5900 230201 15500 SOTHEBYS HLDGS INC CL A 83589810 10,887,603 1,006,248 1,003,248 3000 922948 83300 SELECT COMFORT CORP COM 81616X10 10,874,473 409739 408939 800 380539 29200 ERESEARCHTECHNOLOGY COM 29481V10 10,861,833 313292 312792 500 286242 27050 TAIWAN SEMICONDUCTOR SPON- SORED 87403910 10,855,829 1,002,385 937780 64605 924851 77534 NEWPORT CORP COM 65182410 10,853,390 769744 768924 800 20 701674 20 68050 ABM INDS INC COM 00095710 10,851,252 766873 766673 200 715923 50950 OVERSEAS SHIPHOLDING COM 69036810 10,841,179 419388 418788 600 378188 41200 MERCURY COMPUTER SYS COM 58937810 10,829,496 507712 507712 458272 49440 SPINNAKER EXPL CO COM 84855W10 10,825,464 451061 450661 400 407911 43150 ARGOSY GAMING CO COM 04022810 10,824,864 443642 443542 100 406842 36800 NETBANK INC COM 64093310 10,824,600 865968 861968 4000 781168 84800 ELECTRO SCIENTIFIC I COM 28522910 10,819,531 513992 513992 465142 48850 PROASSURANCE CORP COM 74267C10 10,808,718 418456 418456 381556 36900 AMCORE FINL INC COM 02391210 10,793,111 428979 428579 400 393129 35850 ARKANSAS BEST CORP D COM 04079010 10,766,893 391951 391951 359451 32500 BARRA INC COM 06831310 10,759,085 286756 286206 550 261006 25750 ARROW INTL INC COM 04276410 10,743,852 466921 462921 4000 431749 35172 CITY HLDG CO COM 17783510 10,740,777 323810 323510 300 299585 24225 CHARMING SHOPPES INC COM 16113310 10,695,149 1,873,056 1,873,056 1,653,106 219950 WABASH NATL CORP COM 92956610 10,691,380 670306 670306 624806 45500 EMCOR GROUP INC COM 29084Q10 10,676,858 250925 250925 225709 25216 WASHINGTON GROUP INT COM NEW 93886220 10,662,408 394904 394904 360104 34800 LEXINGTON CORP PPTYS COM 52904310 10,649,607 555825 555825 510275 45550 COMPANHIA DE BEBIDAS SPON ADR P 20441W20 10,645,802 491723 491723 276741 164105 50877 WAUSAU-MOSINEE PAPER COM 94331510 10,644,250 871765 870865 900 804065 67700 MILLENNIUM CHEMICALS COM 59990310 10,636,102 1,113,728 1,113,728 1,020,478 93250 CVB FINL CORP COM 12660010 10,625,354 558935 558935 512450 46485 BIO RAD LABS INC CL A 09057220 10,586,274 207574 207574 207474 100 KT CORP SPON- SORED 48268K10 10,548,669 529286 529286 423075 80188 26023 HOLLINGER INTL INC CL A 43556910 10,545,776 853909 853709 200 771459 82450 SPARTECH CORP COM NEW 84722020 10,522,157 493998 452498 36695 4805 457293 4805 31900 GENTA INC COM NEW 37245M20 10,517,202 830087 830087 761437 68650 KOPIN CORP COM 50060010 10,496,226 1,523,400 1,316,300 1000 206100 1,207,600 206100 109700 PACIFIC NORTHWEST BA COM 69466M10 10,474,576 293817 293817 261767 32050 WESTPORT RES CORP NE COM 96141810 10,470,144 444781 443921 860 398044 17200 29537 TALBOTS INC COM 87416110 10,454,895 299997 299417 180 400 298449 400 1148 IOMEGA CORP COM NEW 46203030 10,442,201 937361 935061 2300 856811 80550 STEEL DYNAMICS INC COM 85811910 10,413,815 684669 681599 3070 632919 51750 JO-ANN STORES INC CL A 47758P10 10,411,889 373186 373186 351286 21900 REMEC INC COM 75954310 10,399,552 1,019,564 1,015,064 4500 906864 112700 Page Total 558,729,235 Page 29 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ VIASYS HEALTHCARE IN COM NEW 92553Q20 10,397,889 514747 513483 1229 35 468766 129 45852 NATIONAL PENN BANCSH COM 63713810 10,358,381 374625 374310 315 338672 35953 KELLY SVCS INC CL A 48815220 10,355,780 415561 411638 3923 376486 39075 CORUS BANKSHARES INC COM 22087310 10,349,877 193528 193528 177778 15750 EASTGROUP PPTY INC COM 27727610 10,336,549 372086 372086 336284 35802 INTERNET SEC SYS INC COM 46060X10 10,325,375 826030 823450 2580 766931 59099 MOVIE GALLERY INC COM 62458110 10,324,625 521973 521973 486323 35650 COMMERCIAL METALS CO COM 20172310 10,293,684 560353 560353 513743 46610 AMERICAN MGMT SYS IN COM 02735210 10,291,374 803386 801386 2000 732486 70900 UNITED NATL BANCORP COM 91090910 10,287,660 309776 309476 300 278476 31300 LABRANCHE & CO INC COM 50544710 10,243,360 701600 701500 100 699802 100 1698 LONGVIEW FIBRE CO COM 54321310 10,218,726 1,045,929 1,045,929 968279 77650 MOOG INC CL A 61539420 10,213,011 260536 260536 237536 23000 ENZON PHARMACEUTICAL COM 29390410 10,208,093 876984 854604 22380 806484 70500 FRONTIER OIL CORP COM 35914P10 10,180,249 692534 692534 647084 45450 JONES LANG LASALLE I COM 48020Q10 10,172,391 549859 549859 501959 47900 CONNECTICUT BANCSHAR COM 20754010 10,169,178 198423 198323 100 181523 16900 COLUMBIA SPORTSWEAR COM 19851610 10,165,030 192702 191802 550 350 190952 350 1400 RYANS FAMILY STEAK H COM 78351910 10,102,258 789856 784336 4080 1440 720391 1440 68025 BEVERLY ENTERPRISES COM NEW 08785130 10,101,899 1,706,402 1,706,402 1,537,002 169400 HECLA MNG CO COM 42270410 10,091,197 1,925,801 1,925,801 1,726,601 199200 CHECKPOINT SYS INC COM 16282510 10,078,835 637901 636901 1000 586951 50950 AZTAR CORP COM 05480210 10,071,057 568665 567795 20 850 518215 850 49600 RADIO ONE INC CL D NON V 75040P40 10,037,410 698984 685624 12760 600 695882 600 2502 NOVASTAR FINL INC COM 66994740 10,028,285 174496 173846 650 160346 14150 MKS INSTRUMENT INC COM 55306N10 10,024,161 462796 462496 300 418896 43900 CENTENE CORP DEL COM 15135B10 9,998,310 329000 329000 306350 22650 MGE ENERGY INC COM 55277P10 9,998,290 330522 327272 2800 450 295023 450 35049 ECLIPSYS CORP COM 27885610 9,995,337 620867 618827 2040 546467 2040 72360 AMERICAN HEALTHWAYS COM 02649V10 9,981,830 238173 238173 219223 18950 ISLE OF CAPRI CASINO COM 46459210 9,966,331 503096 502716 380 473146 29950 ATHEROGENICS INC COM 04743910 9,953,786 597825 597825 544175 53650 KULICKE & SOFFA INDS COM 50124210 9,951,956 917231 917231 831881 85350 WMS INDS INC COM 92929710 9,951,614 439171 439171 397921 41250 WFS FINL INC COM 92923B10 9,944,776 268560 268560 251560 17000 ALIGN TECHNOLOGY INC COM 01625510 9,929,825 793751 760638 6600 26513 698038 26513 69200 TIMKEN CO COM 88738910 9,928,006 651444 650374 1070 622454 28990 ESPEED INC CL A 29664310 9,919,029 438701 438701 403001 35700 FINANCIAL FED CORP COM 31749210 9,914,621 324963 324963 302763 22200 FIRST CHARTER CORP COM 31943910 9,900,646 505135 505135 461585 43550 ANTEON INTL CORP COM 03674E10 9,887,869 323133 323133 297133 26000 SCHULMAN A INC COM 80819410 9,871,060 621995 621495 500 568095 53900 US ONCOLOGY INC COM 90338W10 9,868,697 1,350,027 1,349,927 100 1,235,777 100 114150 ENTERTAINMENT PPTYS COM SH BEN 29380T10 9,861,570 328719 328719 301069 27650 QUANEX CORP COM 74762010 9,858,374 293404 293404 268204 25200 LOEWS CORP CARO- LNA GP 54042420 9,846,852 428124 414304 13820 409795 18329 PFF BANCORP INC COM 69331W10 9,837,434 308577 308577 281417 27160 ACTEL CORP COM 00493410 9,834,795 410296 410296 375846 34450 KINDRED HEALTHCARE I COM 49458010 9,827,251 262480 261380 1100 243180 19300 HUDSON RIV BANCORP I COM 44412810 9,805,142 305076 302976 2100 280026 25050 SIX FLAGS INC COM 83001P10 9,803,509 1,863,785 1,858,565 5120 100 1,732,385 100 131300 ASYST TECHNOLOGY COR COM 04648X10 9,795,770 696712 696712 596982 99730 Page Total 522,859,014 Page 30 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ NATIONAL HEALTH INVS COM 63633D10 9,793,502 537219 537219 505969 31250 REDWOOD TR INC COM 75807540 9,768,875 230398 229598 800 212812 17586 IDT CORP COM 44894710 9,748,592 551391 547911 3480 547590 100 3701 ONYX PHARMACEUTICALS COM 68339910 9,745,627 451814 451814 417214 34600 SEACOAST FINL SVCS C COM 81170Q10 9,722,714 466765 461289 2876 2600 429865 2600 34300 LAWSON SOFTWARE INC COM 52078010 9,716,703 1,370,480 1,370,480 1,301,380 69100 GENLYTE GROUP INC COM 37230210 9,688,671 217381 217081 300 196031 21350 LACLEDE GROUP INC COM 50559710 9,674,441 358180 355080 3100 330280 27900 WD-40 CO COM 92923610 9,670,857 304115 303815 300 277065 27050 AVX CORP NEW COM 00244410 9,645,193 704543 698768 900 4875 698644 4875 1024 WESTELL TECHNOLOGIES CL A 95754110 9,636,881 1,286,633 1,286,633 1,218,933 67700 AMLI RESIDENTIAL PPT SH BEN INT 00173510 9,630,229 367566 367566 328400 39166 CMGI INC COM 12575010 9,625,479 6,218,010 6,215,980 1825 205 5,668,505 205 549300 DIGENE CORP COM 25375210 9,596,624 234866 234866 212366 22500 AMERICA MOVIL S A DE SPON ADR L 02364W10 9,560,352 413689 413689 213584 162992 37113 JOURNAL REGISTER CO COM 48113810 9,548,493 509253 506773 2480 467253 42000 KOMAG INC COM NEW 50045320 9,546,174 544873 544873 515373 29500 CROWN CASTLE INTL CO COM 22822710 9,542,436 1,014,074 1,008,758 5216 100 1,008,821 100 5153 WESBANCO INC COM 95081010 9,525,490 405340 401940 3400 375790 29550 DRS TECHNOLOGIES INC COM 23330X10 9,488,977 393244 392644 500 100 359244 100 33900 M/I SCHOTTENSTEIN HO COM 55305B10 9,484,501 239085 239085 189010 50075 VALUECLICK INC COM 92046N10 9,463,809 1,126,644 1,126,544 100 1,024,344 102300 TUESDAY MORNING CORP COM NEW 89903550 9,455,520 339516 339516 319366 20150 PEOPLES BK BRIDGEPOR COM 71019810 9,447,990 314933 303243 5440 6250 307743 6250 940 HARLEYSVILLE NATL CO COM 41285010 9,433,491 403313 403313 367942 35371 VEECO INSTRS INC DEL COM 92241710 9,429,786 472671 468456 4215 431272 41399 APOLLO GROUP INC COM UNV PH 03760420 9,428,804 141425 140692 733 139592 1833 INFOSPACE INC COM NEW 45678T20 9,423,766 461723 461705 18 422805 18 38900 LIN TV CORP CL A 53277410 9,420,624 443115 443115 406015 37100 PINNACLE SYS INC COM 72348110 9,377,321 1,120,349 1,120,249 100 1,021,549 98800 NEWCASTLE INVT CORP COM 65105M10 9,359,366 407106 407106 377506 29600 SMITH A O COM 83186520 9,357,244 334068 334048 20 304219 29849 ANCHOR BANCORP WIS I COM 03283910 9,346,965 398082 397962 120 356732 41350 TANOX INC COM 87588Q10 9,331,818 467526 465426 2100 417554 49972 CONNETICS CORP COM 20819210 9,326,940 516728 516628 100 474228 42500 POLYMEDICA CORP COM 73173810 9,326,410 351940 350540 1400 321340 30600 WEBEX COMMUNICATIONS COM 94767L10 9,319,545 493620 493620 453720 39900 TALK AMERICA HLDGS I COM NEW 87426R20 9,303,170 811795 811795 771529 40266 ALLIANCE DATA SYSTEM COM 01858110 9,285,355 351718 351418 300 335018 16700 GLOBAL IMAGING SYSTE COM 37934A10 9,277,157 376967 376467 500 357567 19400 QUANTUM CORP COM DSSG 74790620 9,272,497 3,010,551 3,010,551 2,769,201 241350 SCIENTIFIC GAMES COR CL A 80874P10 9,260,733 812345 812345 740945 71400 CAPITOL FED FINL COM 14057C10 9,249,151 315563 312063 3500 315563 BANDAG INC COM 05981510 9,247,956 274176 273976 200 250676 200 23300 WESTCORP INC COM 95790710 9,240,535 264393 264393 242583 21810 VENTANA MED SYS INC COM 92276H10 9,232,624 229325 229325 211375 17950 COX RADIO INC CL A 22405110 9,224,088 421769 417049 4720 418755 3014 AAIPHARMA INC COM 00252W10 9,218,553 537525 537525 503850 33675 BEDFORD PPTY INVS IN COM PAR $0 07644630 9,204,542 354703 354703 313005 41698 WABTEC CORP COM 92974010 9,199,815 580430 580430 529780 50650 CANON INC ADR 13800630 9,198,336 188800 163364 25436 183594 5206 USEC INC COM 90333E10 9,198,125 1,408,595 1,408,595 1,294,045 114550 Page Total 491,222,847 Page 31 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ BOWNE & CO INC COM 10304310 9,192,814 614904 614744 160 570404 44500 ESCO TECHNOLOGIES IN COM 29631510 9,177,496 202728 202727 1 183528 19200 UMPQUA HLDGS CORP COM 90421410 9,120,807 479790 479490 300 438205 41585 PLANAR SYS INC COM 72690010 9,113,493 428467 428267 200 406417 22050 SHOPKO STORES INC COM 82491110 9,110,040 607336 607336 561736 45600 BURLINGTON COAT FACT COM 12157910 9,109,555 487142 477176 9966 461892 25250 FIRST FINL BANKSHARE COM 32020R10 9,102,656 246284 246284 223559 22725 SOHU COM INC COM 83408W10 9,096,889 291754 291654 100 263054 28700 REGAL ENTMT GROUP CL A 75876610 9,081,877 488273 488273 428273 60000 WARNACO GROUP INC CL A NEW 93439040 9,057,536 581730 581730 534030 47700 LNR PPTY CORP COM 50194010 9,045,936 220902 220902 220802 100 CONSOLIDATED GRAPHIC COM 20934110 9,044,052 355645 209496 146149 187446 146149 22050 TOO INC COM 89033310 9,043,085 613923 613755 168 563073 50850 WOODWARD GOVERNOR CO COM 98074510 9,016,442 207800 207780 20 195600 12200 BOSTON PRIVATE FINL COM 10111910 9,012,807 382547 362897 150 19500 335197 19500 27850 UNITED DEFENSE INDS COM 91018B10 8,988,756 316617 316457 160 294167 22000 450 CORNERSTONE RLTY INC COM 21922V10 8,988,321 1,112,416 1,112,416 1,010,016 102400 CUBIC CORP COM 22966910 8,977,059 357367 356467 900 329667 27700 AARON RENTS INC COM 00253520 8,967,291 428033 427883 150 396758 31275 QUEST SOFTWARE INC COM 74834T10 8,965,835 737322 736422 900 677322 60000 PHOTON DYNAMICS INC COM 71936410 8,957,833 308147 306462 1685 277097 31050 ENZO BIOCHEM INC COM 29410010 8,956,124 459053 459053 424823 34230 SHUFFLE MASTER INC COM 82554910 8,948,473 329109 329109 299659 29450 PRIME HOSPITALITY CO COM 74191710 8,942,818 1,029,093 1,028,493 600 847693 181400 CAMBREX CORP COM 13201110 8,938,942 393786 391846 1840 100 355386 100 38300 JLG INDS INC COM 46621010 8,938,920 775948 775948 710748 65200 WIND RIVER SYSTEMS I COM 97314910 8,932,839 1,569,919 1,569,819 100 1,313,619 100 256200 ROGERS CORP COM 77513310 8,919,614 287544 287544 265194 22350 INDEPENDENT BANK COR COM 45383810 8,910,372 304316 304316 278326 25990 HOUSTON EXPL CO COM 44212010 8,904,027 253676 253476 200 235725 17951 BLACKROCK INC CL A 09247X10 8,898,792 181608 181408 200 180916 692 RAMCO-GERSHENSON PPT COM SH BEN 75145220 8,896,607 349572 349117 455 335872 13700 MICROSEMI CORP COM 59513710 8,896,142 587592 587592 534992 52600 EMPIRE DIST ELEC CO COM 29164110 8,891,146 404143 403923 120 100 357743 100 46300 GYMBOREE CORP COM 40377710 8,884,519 630555 630555 587755 42800 NCO GROUP INC COM 62885810 8,872,859 379994 379294 700 338294 41700 PAXAR CORP COM 70422710 8,851,558 691528 691468 60 644328 47200 GLENBOROUGH RLTY TR COM 37803P10 8,846,056 469038 468538 500 430457 38581 NAVIGANT CONSULTING COM 63935N10 8,832,806 717531 716231 1300 655381 62150 ELKCORP COM 28745610 8,813,960 374107 374107 341007 33100 REGAL BELOIT CORP COM 75875010 8,813,779 432048 431948 100 393598 38450 CARAUSTAR INDS INC COM 14090910 8,810,829 1,022,138 511494 510644 975888 46250 POWERWAVE TECHNOLOGI COM 73936310 8,807,920 1,326,494 1,326,494 1,220,094 106400 HAIN CELESTIAL GROUP COM 40521710 8,805,795 485703 481748 1955 2000 410423 2000 73280 FRONTIER AIRLINES IN COM 35906510 8,805,609 535621 535421 200 489821 45800 RUSSELL CORP COM 78235210 8,805,015 540185 540085 100 492805 47380 OM GROUP INC COM 67087210 8,794,687 600730 597590 2700 440 561490 440 38800 ROLLINS INC COM 77571110 8,789,072 492661 492601 60 457761 34900 BOYD GAMING CORP COM 10330410 8,782,954 575554 575554 529954 45600 INTERMUNE INC COM 45884X10 8,751,152 457457 457457 405487 51970 BRADLEY PHARMACEUTIC COM 10457610 8,738,775 320689 320689 307789 12900 COHU INC COM 19257610 8,735,143 446582 442462 4120 391422 55160 Page Total 464,687,884 Page 32 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ FIRST FINL BANCORP O COM 32020910 8,733,814 592123 588868 3255 541173 50950 ALLEGHANY CORP DEL COM 01717510 8,719,474 44658 42510 2148 43168 1326 164 KOGER EQUITY INC COM 50022810 8,715,905 463612 463612 402566 61046 PLAINS EXPL & PRODTN COM 72650510 8,709,085 698403 697818 400 185 630543 185 67675 SPS TECHNOLOGIES INC COM 78462610 8,699,085 193313 192413 300 600 175763 600 16950 MAGNUM HUNTER RES IN COM PAR $0 55972F20 8,671,666 1,085,315 1,085,315 1,009,916 75399 CROWN AMERN RLTY TR SH BEN INT 22818610 8,663,426 728019 728019 642563 85456 STERLING BANCSHARES COM 85890710 8,661,335 726013 726013 665863 60150 SUNRISE SENIOR LIVIN COM 86768K10 8,656,791 330034 329734 300 302784 27250 INTERDIGITAL COMMUNI COM 45866A10 8,649,855 575506 574706 700 100 572252 100 3154 VIGNETTE CORP COM 92673410 8,646,656 3,759,416 3,759,156 100 160 3,376,706 160 382550 SYMYX TECHNOLOGIES COM 87155S10 8,637,733 401009 401009 363909 37100 MID-STATE BANCSHARES COM 59544010 8,621,415 383174 383174 351674 31500 FLORIDA EAST COAST I CL A 34063210 8,613,960 299616 295073 543 4000 264016 4000 31600 ANWORTH MORTGAGE ASS COM 03734710 8,608,940 602867 600467 600 1800 564167 1800 36900 POSCO SPON- SORED 69348310 8,608,600 301000 301000 301000 BRIGHT HORIZON FAMIL COM 10919510 8,579,422 214754 205729 9025 192304 22450 BIOMARIN PHARMACEUTI COM 09061G10 8,572,528 1,119,129 1,119,129 1,025,329 93800 GRIFFON CORP COM 39843310 8,570,709 477211 477211 439261 37950 SOURCECORP COM 83616710 8,569,573 368267 368167 100 346017 100 22150 UNITED SURGICAL PART COM 91301630 8,560,887 302398 302398 277848 24550 MICROMUSE INC COM 59509410 8,557,891 1,046,197 1,041,207 4930 60 930597 60 115540 KOS PHARMACEUTICALS COM 50064810 8,551,439 247796 247796 227196 20600 LONE STAR STEAKHOUSE COM 54230710 8,508,787 407119 399619 7500 366353 7500 33266 CARBO CERAMICS INC COM 14078110 8,508,448 235300 234500 800 212050 23250 MFA MTG INVTS INC COM 55272X10 8,504,901 893372 893372 832422 60950 ADVISORY BRD CO COM 00762W10 8,498,104 186977 186977 172227 14750 COEUR D ALENE MINES COM 19210810 8,497,667 2,732,369 2,731,941 400 28 2,523,141 28 209200 MICROSTRATEGY INC CL A NEW 59497240 8,458,388 183918 183918 162218 21700 INSIGHT COMMUNICATIO CL A 45768V10 8,425,901 884145 881645 2500 816308 67837 TREDEGAR CORP COM 89465010 8,424,658 559778 559478 300 518778 41000 UIL HLDG CORP COM 90274810 8,415,444 240510 239710 700 100 217084 100 23326 PARKWAY PPTYS INC COM 70159Q10 8,409,802 192444 192444 173481 18963 C&D TECHNOLOGIES INC COM 12466110 8,392,722 443590 443590 404490 39100 K-SWISS INC CL A 48268610 8,382,934 232924 232824 100 215224 17700 URS CORP NEW COM 90323610 8,382,177 432071 432071 393421 38650 ALFA CORP COM 01538510 8,366,025 662918 662718 200 586218 76700 LANDRYS RESTAURANTS COM 51508L10 8,365,886 406111 405991 20 100 371511 100 34500 AMERICAN MED SYS HLD COM 02744M10 8,364,790 383706 382906 800 355506 28200 WATSCO INC COM 94262220 8,358,847 437407 437407 409307 28100 AKAMAI TECHNOLOGIES COM 00971T10 8,358,284 1,948,318 1,823,693 25 124600 1,629,768 124600 193950 LITTELFUSE INC COM 53700810 8,338,512 362544 362544 327995 34549 LEAPFROG ENTERPRISES CL A 52186N10 8,335,300 219350 219250 100 218650 700 PREMCOR INC COM 74045Q10 8,303,062 358354 356344 560 1450 356904 1450 LITHIA MTRS INC CL A 53679710 8,302,587 415753 214262 201491 196062 201491 18200 FORWARD AIR CORP COM 34985310 8,294,433 299222 262147 37075 279772 19450 SUPERIOR ENERGY SVCS COM 86815710 8,286,203 845531 845011 520 775811 520 69200 ITRON INC COM 46574110 8,234,208 410479 410479 378429 32050 SERENA SOFTWARE INC COM 81749210 8,234,161 446296 446196 100 413146 33150 INSPIRE PHARMACEUTIC COM 45773310 8,233,100 476177 476177 433377 42800 ALABAMA NATL BANCORP COM 01031710 8,230,847 173281 173081 200 155431 17850 UNITED CMNTY BKS BLA CAP STK 90984P10 8,220,254 296653 296653 272303 24350 Page Total 441,216,621 Page 33 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ SOUTH JERSEY INDS IN COM 83851810 8,218,635 217137 215637 1500 192109 25028 COMSTOCK RES INC COM NEW 20576820 8,217,228 615062 614962 100 576412 38650 TIBCO SOFTWARE INC COM 88632Q10 8,215,759 1,535,656 1,524,258 11298 100 1,407,756 100 127800 GLACIER BANCORP INC COM 37637Q10 8,199,457 298923 298923 271643 27280 IMMUCOR INC COM 45252610 8,198,216 304201 301601 2600 283851 2600 17750 FIRST CMNTY BANCORP COM 31983B10 8,135,910 242863 242863 224363 18500 TETRA TECHNOLOGIES I COM 88162F10 8,125,146 394042 394042 358342 35700 MERISTAR HOSPITALITY COM 58984Y10 8,115,329 1,146,233 1,145,903 330 1,026,850 119383 SUREWEST COMMUNICATI COM 86873310 8,108,478 243864 242764 1100 224364 19500 ASTRAZENECA PLC SPON- SORED 04635310 8,098,049 186591 185961 630 186591 LANDAUER INC COM 51476K10 8,061,742 227540 187003 40537 171595 40537 15408 GRAFTECH INTL LTD COM 38431310 8,061,584 1,007,698 1,007,598 100 910948 96750 MEDAREX INC COM 58391610 8,059,630 1,366,039 1,365,939 100 1,186,109 100 179830 BANK MUT CORP COM 06374810 8,049,241 189617 189117 500 173817 15800 SAXON CAPITAL INC COM 80556P30 8,047,504 469516 469516 428866 40650 METHODE ELECTRS INC CL A 59152020 8,036,987 682257 680657 1600 635107 47150 COMTECH TELECOMMUNIC COM NEW 20582620 8,028,368 335915 335615 300 318365 17550 ELECTRONICS BOUTIQUE COM 28604510 8,019,313 280690 280290 400 262090 18600 FINISH LINE INC CL A 31792310 8,016,134 304796 304796 278796 26000 CELL GENESYS INC COM 15092110 8,008,629 636616 636516 100 542866 100 93650 IDENTIX INC COM 45190610 8,006,426 1,519,246 1,519,246 1,319,780 199466 FUELCELL ENERGY INC COM 35952H10 8,001,349 683876 629676 200 54000 541456 54000 88420 MID-ATLANTIC RLTY TR SH BEN INT 59523210 7,993,524 380644 380644 342378 38266 AGERE SYS INC CL A 00845V10 7,990,313 2,602,708 2,571,731 5813 25164 2,384,382 25164 193162 MINDSPEED TECHNOLOGI COM 60268210 7,986,562 1,481,737 1,475,305 3032 3400 1,342,099 3400 136238 GERON CORP COM 37416310 7,986,417 583376 583376 541276 42100 SPEEDWAY MOTORSPORTS COM 84778810 7,978,618 270370 270270 100 250170 20200 NUVEEN INVTS INC CL A 67090F10 7,971,067 289857 289377 480 288327 150 1380 FRONTIER FINL CORP W COM 35907K10 7,965,449 266403 266403 242653 23750 MONACO COACH CORP COM 60886R10 7,958,961 480904 480894 10 443704 37200 SANDY SPRING BANCORP COM 80036310 7,951,557 242944 242944 221544 21400 STEWART & STEVENSON COM 86034210 7,949,965 529292 528082 1210 485842 43450 PACER INTL INC TENN COM 69373H10 7,948,140 397407 397407 366007 31400 F5 NETWORKS INC COM 31561610 7,942,483 412811 410586 100 2125 372486 2125 38200 HELIX TECHNOLOGY COR COM 42331910 7,933,683 484944 484844 100 444594 100 40250 GUITAR CTR MGMT INC COM 40204010 7,926,416 246315 246215 100 221515 24800 TULARIK INC COM 89916510 7,899,420 789942 783962 5900 80 716187 80 73675 BELDEN INC COM 07745910 7,897,488 452060 452060 414760 37300 SHAW GROUP INC COM 82028010 7,896,930 751373 751073 300 661783 89590 RIO TINTO PLC SPON- SORED 76720410 7,896,622 89990 82665 7325 88970 1020 MYKROLIS CORP COM 62852P10 7,863,697 647751 641505 5029 1217 581261 1217 65273 FRANKLIN ELEC INC COM 35351410 7,860,178 141167 141167 129817 11350 WILTEL COMMUNICATNS COM 97248710 7,855,399 489433 489433 419683 69750 RESOURCES CONNECTION COM 76122Q10 7,831,514 325094 325094 296144 28950 JACUZZI BRANDS INC COM 46986510 7,826,297 1,262,306 1,261,806 500 1,152,276 500 109530 PER-SE TECHNOLOGIES COM NEW 71356930 7,823,288 490181 478884 11297 446981 43200 PRIMUS TELECOMMUNICA COM 74192910 7,822,332 1,158,864 1,158,864 980944 177920 MAGMA DESIGN AUTOMAT COM 55918110 7,817,460 398850 398850 368600 30250 ARCH CHEMICALS INC COM 03937R10 7,811,835 375569 375469 100 346269 100 29200 ANTHRACITE CAP INC COM 03702310 7,810,082 809335 801835 7500 720568 88767 INFORMATICA CORP COM 45666Q10 7,799,143 1,048,272 1,048,172 100 954447 100 93725 ATLANTIC COAST AIRLI COM 04839610 7,788,828 915256 915256 849156 66100 Page Total 415,012,782 Page 34 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ RENAISSANCE LEARNING COM 75968L10 7,785,569 329897 329897 312997 16900 BOK FINL CORP COM NEW 05561Q20 7,782,254 205066 204739 327 205066 CASH AMER INTL INC COM 14754D10 7,779,504 474360 474360 438960 35400 TRIUMPH GROUP INC NE COM 89681810 7,757,476 260318 260118 200 236657 23661 NCI BUILDING SYS INC COM 62885210 7,750,731 389484 389384 100 363684 25800 RAYOVAC CORP COM 75508110 7,738,919 530063 530063 473513 56550 GLATFELTER COM 37731610 7,731,755 656346 655426 920 619347 36999 NETFLIX COM INC COM 64110L10 7,726,149 230219 230219 199449 30770 PHILLIPS VAN HEUSEN COM 71859210 7,726,127 514732 514732 459182 55550 TANGER FACTORY OUTLE COM 87546510 7,725,291 210212 210212 194018 16194 NACCO INDS INC CL A 62957910 7,724,359 108033 95536 12297 200 95693 200 12140 NU SKIN ENTERPRISES CL A 67018T10 7,721,578 605614 605614 541264 64350 IONICS INC COM 46221810 7,713,534 315353 313803 550 1000 284353 1000 30000 DICKS SPORTING GOODS COM 25339310 7,703,615 206310 206310 188810 17500 INVISION TECHNOLOGIE COM 46185110 7,691,147 315988 315888 100 292238 23750 INTERNATIONAL MULTIF COM 46004310 7,676,686 328766 328166 600 296116 32650 UNIZAN FINANCIAL COR COM 91528W10 7,671,313 384527 384527 355227 29300 DATASCOPE CORP COM 23811310 7,654,321 249002 249002 228102 20900 MERITAGE CORP COM 59001A10 7,649,869 161902 161902 147402 14500 TBC CORP COM 87218010 7,646,312 305242 305242 280442 24800 HANDLEMAN CO DEL COM 41025210 7,602,735 450399 450399 406199 44200 W-H ENERGY SVCS INC COM 92925E10 7,598,268 426869 419469 7400 393869 33000 GRAY TELEVISION INC COM 38937510 7,594,943 650252 640752 9500 594152 56100 CIBER INC COM 17163B10 7,579,115 997252 995752 500 1000 911852 1000 84400 RAIT INVT TR COM 74922710 7,578,476 330073 330073 300123 29950 CTS CORP COM 12650110 7,565,270 614563 614563 562263 52300 GOLD BANC CORP INC COM 37990710 7,559,614 622703 619403 3300 570300 52403 SOLUTIA INC COM 83437610 7,549,068 1,891,997 1,890,220 1377 400 1,693,497 400 198100 MERIT MED SYS INC COM 58988910 7,528,718 340666 340666 317200 23466 TIERONE CORP COM 88650R10 7,525,989 356513 356513 325113 31400 CIMA LABS INC COM 17179610 7,510,696 268719 268599 100 20 243849 20 24850 CATO CORP NEW CL A 14920510 7,499,407 371810 371810 349010 22800 MYRIAD GENETICS INC COM 62855J10 7,490,692 658812 610252 48560 536522 122290 HAEMONETICS CORP COM 40502410 7,479,718 316803 316603 200 289103 27700 ANALOGIC CORP COM PAR $0 03265720 7,465,255 155332 154932 400 141582 13750 UNIVERSAL FST PRODS COM 91354310 7,458,101 304040 303290 750 282290 21750 STERLING FINL CORP W COM 85931910 7,453,866 264791 264791 243561 21230 DENBURY RES INC COM NEW 24791620 7,450,954 602828 602828 557128 45700 FIRST MERCHANTS CORP COM 32081710 7,448,839 291084 291084 266913 24171 ROYAL CARIBBEAN CRUI COM V7780T10 7,428,264 264257 264257 219257 45000 SPHERION CORP COM 84842010 7,424,141 1,066,687 1,065,487 1200 961537 105150 RETEK INC COM 76128Q10 7,423,940 1,099,843 1,099,743 100 1,014,393 100 85350 LABOR READY INC COM NEW 50540120 7,414,809 737792 737792 679102 58690 STRIDE RITE CORP COM 86331410 7,413,282 686415 686415 620715 65700 AMC ENTMT INC COM 00166910 7,385,316 551143 551143 508893 42250 OXFORD INDS INC COM 69149730 7,363,804 114701 114441 100 160 101191 160 13350 INSITUFORM TECHNOLOG CL A 45766710 7,326,951 412786 412786 378536 34250 HAVERTY FURNITURE IN COM 41959610 7,276,555 398061 398061 375011 23050 ARRIS GROUP INC COM 04269Q10 7,259,145 1,262,460 1,262,460 1,150,910 111550 SAFEGUARD SCIENTIFIC COM 78644910 7,246,906 2,131,443 2,131,343 100 1,929,594 100 201749 OFFSHORE LOGISTICS I COM 67625510 7,244,481 356871 355551 1320 326671 30200 TRIMERIS INC COM 89626310 7,227,079 288276 288176 100 235716 52560 Page Total 392,730,906 Page 35 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ FREEMARKETS INC COM 35660210 7,219,748 927869 724612 18189 185068 676301 185068 66500 AQUANTIVE INC COM 03839G10 7,215,850 783480 783480 718180 65300 ORTHODONTIC CTRS AME COM 68750P10 7,202,729 914052 909052 5000 850752 5000 58300 AGILE SOFTWARE CORP COM 00846X10 7,200,566 756362 753462 2900 689912 66450 SINCLAIR BROADCAST G CL A 82922610 7,184,150 702263 702263 642763 59500 ATRIX LABS INC COM 04962L10 7,183,240 348701 348701 316751 31950 ESTERLINE TECHNOLOGI COM 29742510 7,182,920 372365 372365 344065 28300 CENTRAL VT PUB SVC C COM 15577110 7,175,318 323504 322864 640 296664 640 26200 REMINGTON OIL & GAS COM 75959430 7,173,823 395252 395252 366950 28302 FIRST SENTINEL BANCO COM 33640T10 7,171,685 401101 401101 368301 32800 WEIS MKTS INC COM 94884910 7,162,097 210588 206928 360 3300 186627 3300 20661 STAGE STORES INC COM NEW 85254C30 7,157,466 281790 281790 252890 28900 ACTION PERFORMANCE C COM 00493310 7,155,909 292795 292595 200 268545 24250 ORBITAL SCIENCES COR COM 68556410 7,128,645 768173 766673 1500 698073 70100 PAREXEL INTL CORP COM 69946210 7,100,773 465930 465930 428230 37700 UNITED STATES CELLUL COM 91168410 7,099,905 243983 241973 1610 400 243273 500 210 CENTRAL PAC FINL COR COM 15476010 7,096,866 289668 289668 265168 24500 STERLING FINL CORP COM 85931710 7,090,079 279137 279137 255587 23550 HOOPER HOLMES INC COM 43910410 7,085,714 1,065,521 1,065,521 979671 85850 UNIVERSAL COMPRESSIO COM 91343110 7,083,781 329172 329172 295122 34050 C D I CORP COM 12507110 7,069,939 261559 261559 237459 24100 INSTINET GROUP INC COM 45775010 7,030,804 1,483,292 1,459,552 23740 1,480,742 1050 1500 VIASAT INC COM 92552V10 7,027,889 393940 393840 100 364490 29450 OCULAR SCIENCES INC COM 67574410 7,019,944 315645 315605 40 290245 25400 EXELIXIS INC COM 30161Q10 7,019,605 983138 979338 3700 100 798567 113121 71450 POLYONE CORP COM 73179P10 6,996,861 1,780,372 1,780,372 1,643,972 136400 PRIMEDIA INC COM 74157K10 6,989,157 2,452,336 2,449,916 2300 120 2,233,166 120 219050 LIBBEY INC COM 52989810 6,989,014 251313 250913 400 230740 20573 BOMBAY CO INC COM 09792410 6,987,649 709406 709406 651506 57900 FIRST FINL CORP IND COM 32021810 6,977,837 115279 115279 102979 12300 CENTRAL GARDEN & PET COM 15352710 6,969,547 267545 267345 200 242545 25000 PRACTICEWORKS INC COM 73941910 6,963,056 324618 324618 293818 30800 SEROLOGICALS CORP COM 81752310 6,958,559 529168 466078 63090 493368 35800 PARK ELECTROCHEMICAL COM 70041620 6,958,201 305855 305705 150 280205 25650 WEBMETHODS INC COM 94768C10 6,958,176 867603 867603 733043 134560 STANDARD MICROSYSTEM COM 85362610 6,954,202 257754 257754 234154 23600 IDX SYS CORP COM 44949110 6,939,537 300153 298153 2000 276803 23350 MINE SAFETY APPLIANC COM 60272010 6,937,996 127023 126923 100 115623 11400 HARMONIC INC COM 41316010 6,934,195 1,107,699 1,107,599 100 990824 116875 GETTY RLTY CORP NEW COM 37429710 6,930,756 282888 282888 257338 25550 VERITY INC COM 92343C10 6,920,611 527888 527888 490438 37450 ROCK-TENN CO CL A 77273920 6,912,480 474107 470807 3300 431857 42250 WEST COAST BANCORP O COM 95214510 6,911,534 354256 354256 332906 21350 VALMONT INDS INC COM 92025310 6,902,969 348811 348811 326161 22650 SURMODICS INC COM 86887310 6,895,041 256990 256790 200 236990 20000 NEXTEL PARTNERS INC CL A 65333F10 6,891,036 877839 871379 6460 874439 3400 TRIAD GTY INC COM 89592510 6,888,279 140348 140348 128648 11700 POZEN INC COM 73941U10 6,879,584 387364 387364 349273 38091 SAUL CTRS INC COM 80439510 6,877,777 259050 259050 232380 26670 SILICONIX INC COM NEW 82707920 6,864,492 136634 136634 128334 8300 21ST CENTY INS GROUP COM 90130N10 6,847,102 496887 496397 490 472587 24300 UNITED THERAPEUTICS COM 91307C10 6,826,788 302204 302204 276542 25662 Page Total 365,301,881 Page 36 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ UNITED AUTO GROUP IN COM 90944010 6,814,831 296297 295737 560 268747 27550 INTERMAGNETICS GEN C COM 45877110 6,809,961 304560 304560 281610 22950 TRAMMELL CROW CO COM 89288R10 6,805,431 546621 546621 503221 43400 ISHARES TR RUSSE- LL100 46428759 6,801,543 132300 132300 132300 PRE PAID LEGAL SVCS COM 74006510 6,801,074 290396 290396 269746 20650 RUSS BERRIE & CO COM 78223310 6,797,462 201765 200565 1200 180670 21095 STUDENT LN CORP COM 86390210 6,793,695 56932 56582 350 56832 100 CABLE DESIGN TECHNOL COM 12692410 6,791,640 848955 848955 775705 73250 CORVIS CORP COM 22100910 6,778,675 5,254,787 5,254,207 400 180 4,815,107 180 439500 GAYLORD ENTMT CO NEW COM 36790510 6,772,559 275868 275618 150 100 228968 100 46800 CONSECO INC COM NEW 20846488 6,746,313 373550 262316 111234 262316 111234 TIME WARNER TELECOM CL A 88731910 6,729,732 726753 726113 540 100 653453 100 73200 CALIFORNIA WTR SVC G COM 13078810 6,728,047 260676 257276 3400 231176 29500 MTS SYS CORP COM 55377710 6,726,448 441368 441368 411960 29408 PTEK HLDGS INC COM 69366M10 6,726,373 817200 722200 95000 750000 67200 CELL THERAPEUTICS IN COM 15093410 6,721,578 593779 593779 533129 60650 CORIXA CORP COM 21887F10 6,708,250 830229 830129 100 727829 100 102300 CIRRUS LOGIC INC COM 17275510 6,693,005 1,212,501 1,211,431 1070 1,069,324 1070 142107 FIDELITY BANKSHARES COM 31604Q10 6,675,473 251241 251241 225241 26000 K2 INC COM 48273210 6,634,504 446768 446768 413518 33250 WYNN RESORTS LTD COM 98313410 6,621,319 364209 364209 277889 86320 FIDELITY NATIONAL SO COM 31620P10 6,617,778 266309 266166 143 241105 25204 ALBANY MOLECULAR RES COM 01242310 6,614,146 446600 446500 100 408600 38000 ARTHROCARE CORP COM 04313610 6,597,343 371263 371263 333513 37750 AT RD INC COM 04648K10 6,596,849 494146 494146 452946 41200 LONE STAR TECHNOLOGI COM 54231210 6,596,583 488998 488798 100 100 446348 100 42550 ALDERWOODS GROUP INC COM 01438310 6,593,113 845271 845271 773521 71750 EQUITY INNS INC COM 29470310 6,590,873 875282 875282 795829 79453 PMA CAP CORP CL A 69341920 6,588,236 525797 525797 479547 46250 TALX CORP COM 87491810 6,587,903 265963 265963 242263 23700 GENERAL COMMUNICATIO CL A 36938510 6,570,220 789690 789690 725240 64450 SOLA INTL INC COM 83409210 6,566,528 410408 410408 376858 33550 APPLIED INDL TECHNOL COM 03820C10 6,563,378 330316 327516 2800 305166 25150 BERRY PETE CO CL A 08578910 6,556,652 358679 358479 200 329329 29350 NAUTILUS GROUP INC COM 63910B10 6,544,971 518619 517936 683 472269 46350 VISTACARE INC CL A 92839Y10 6,517,364 206311 206311 189911 16400 PRESIDENTIAL LIFE CO COM 74088410 6,507,613 427851 426791 620 440 389162 440 38249 DOT HILL SYS CORP COM 25848T10 6,507,509 472586 472586 433786 38800 ADVANCED ENERGY INDS COM 00797310 6,506,206 344791 344791 316191 28600 KYPHON INC COM 50157710 6,506,134 334162 333912 250 309862 24300 FIRST FINL HLDGS INC COM 32023910 6,502,709 215179 215179 198829 16350 7-ELEVEN INC COM NEW 81782620 6,490,322 472711 472711 420961 51750 IMPAX LABORATORIES I COM 45256B10 6,490,037 518788 518788 463473 55315 SCANSOURCE INC COM 80603710 6,475,194 177354 177354 161054 16300 WIRELESS FACILITIES COM 97653A10 6,467,553 542580 539400 3180 499080 43500 STEWART ENTERPRISES CL A 86037010 6,451,727 1,697,823 1,697,823 1,536,733 161090 WEST PHARMACEUTICAL COM 95530610 6,442,001 205749 205729 20 179671 26078 KRAMONT RLTY TR COM SH BEN 50075Q10 6,438,389 379846 379846 334046 45800 MEDIACOM COMMUNICATI CL A 58446K10 6,438,151 959486 959486 829056 130430 INTERACTIVE DATA COR COM 45840J10 6,420,282 406347 403897 450 2000 403347 2000 1000 BAY VIEW CAP CORP DE COM 07262L10 6,417,683 1,057,279 1,057,079 200 976029 81250 COLUMBIA LABS INC COM 19777910 6,409,358 530576 530576 477576 53000 Page Total 343,850,718 Page 37 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ MCG CAPITAL CORP COM 58047P10 6,408,760 410818 410818 377918 32900 KIMBALL INTL INC CL B 49427410 6,407,653 435007 435007 382457 52550 TERAYON COMMUNICATIO COM 88077510 6,407,349 1,112,387 1,112,387 973487 138900 NUEVO ENERGY CO COM 67050910 6,396,330 352027 352027 325677 26350 SAFENET INC COM 78645R10 6,389,554 176849 176849 160949 15900 AMERICAN STS WTR CO COM 02989910 6,386,998 270980 270980 250780 20200 SECURE COMPUTING COR COM 81370510 6,380,760 546298 546298 489748 56550 MULTIMEDIA GAMES INC COM 62545310 6,370,979 175075 175075 157975 17100 THOMAS INDS INC COM 88442510 6,367,175 223253 223253 191953 31300 OAKLEY INC COM 67366210 6,363,560 636356 636356 594356 42000 DUANE READE INC COM 26357810 6,347,956 397991 396491 1400 100 362791 100 35100 SWIFT ENERGY CO COM 87073810 6,335,742 449025 449025 409375 39650 BIOSITE INC COM 09094510 6,333,964 223815 222815 1000 204515 19300 CROSS CTRY HEALTHCAR COM 22748310 6,318,116 451294 451294 392044 59250 POPE & TALBOT INC COM 73282710 6,317,287 417810 417810 386910 30900 BARNES GROUP INC COM 06780610 6,316,872 243331 242331 1000 224381 18950 POSSIS MEDICAL INC COM 73740710 6,312,614 405695 405695 382095 23600 CTI MOLECULAR IMAGIN COM 22943D10 6,307,631 427057 427057 393257 33800 IDINE REWARDS NETWOR COM 45168A10 6,291,138 387147 387147 352497 34650 STERLING BANCORP COM 85915810 6,285,826 233587 233587 206937 26650 REALNETWORKS INC COM 75605L10 6,274,344 968263 963763 4400 100 967163 100 1000 SILGAN HOLDINGS INC COM 82704810 6,257,760 195555 195555 180205 15350 FIRST FED CAP CORP COM 31996010 6,257,536 304503 304503 275353 29150 REHABCARE GROUP INC COM 75914810 6,236,821 365796 365496 300 340796 25000 ROYAL DUTCH PETE CO NY REG EUR 78025780 6,235,957 141085 131753 9332 139275 1810 MESA AIR GROUP INC COM 59047910 6,229,524 560209 560209 507759 52450 GBC BANCORP CALIF COM 36147510 6,212,278 162540 153940 100 8500 143290 8500 10750 PEGASUS SOLUTIONS IN COM 70590610 6,202,305 449117 449077 40 411867 37250 STARTEK INC COM 85569C10 6,201,920 193810 193760 50 178260 15550 ROTO ROOTER INC NEW COM 77878710 6,196,258 174297 172797 1500 155797 18500 OPSWARE INC COM 68383A10 6,171,806 845453 845153 300 768553 76900 CHAMPION ENTERPRISES COM 15849610 6,167,354 971237 971137 100 844837 100 126300 COMPUCREDIT CORP COM 20478N10 6,162,765 352158 352158 316058 36100 SUFFOLK BANCORP COM 86473910 6,141,817 188979 188979 173979 15000 FIRST REP BK SAN FRA COM 33615810 6,129,959 198831 197971 800 60 182321 60 16450 MEMBERWORKS INC COM 58600210 6,119,529 193106 193106 176556 16550 CHESAPEAKE CORP COM 16515910 6,100,631 270658 269978 600 80 250978 80 19600 STATE AUTO FINL CORP COM 85570710 6,099,154 241838 241738 100 222013 19825 PENN VA CORP COM 70788210 6,092,483 137839 137439 400 121842 15997 INFINITY PPTY & CAS COM 45665Q10 6,087,023 216543 216543 199943 16600 IBERIABANK CORP COM 45082810 6,085,818 115656 115556 100 101706 13950 COSTAR GROUP INC COM 22160N10 6,078,720 232367 232217 150 208467 23900 RADISYS CORP COM 75045910 6,054,221 335786 335786 294036 41750 SPECTRALINK CORP COM 84758010 6,050,607 323735 323585 150 289585 34150 COMMUNITY TR BANCORP COM 20414910 6,046,647 208003 208003 191283 16720 UNIFIRST CORP MASS COM 90470810 6,040,823 255534 216434 39100 233134 22400 FIRST ESSEX BANCORP COM 32010310 6,037,827 118668 115568 3100 105518 13150 APPLIED FILMS CORP COM 03819710 6,037,390 202597 202497 100 184447 18150 VERITAS DGC INC COM 92343P10 6,036,925 756507 756482 25 704657 51850 GENESCO INC COM 37153210 6,035,540 375812 375812 343512 32300 S1 CORPORATION COM 78463B10 6,033,770 1,194,806 1,189,099 5607 100 1,084,006 100 110700 INTRADO INC COM 46117A10 6,029,387 264679 264679 240129 24550 Page Total 323,191,163 Page 38 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ TOMPKINSTRUSTCO INC COM 89011010 6,026,418 131725 131725 120665 11060 INVESTORS REAL ESTAT SH BEN INT 46173010 6,025,598 614857 607157 7700 545307 69550 SYSTEMS & COMPUTER T COM 87187310 6,018,472 576482 576482 522082 54400 STEAK N SHAKE CO COM 85787310 5,988,727 401928 401928 362478 39450 PRAECIS PHARMACEUTIC COM 73942110 5,969,465 883057 875757 7200 100 789557 100 93400 RANGE RES CORP COM 75281A10 5,967,523 872445 868445 4000 796095 4000 72350 MANUGISTICS GROUP IN COM 56501110 5,961,235 1,083,861 1,083,801 60 973401 60 110400 ROYAL GOLD INC COM 78028710 5,954,357 325909 325309 600 248749 77160 AMERICAN PHARMACEUTI COM 02886P10 5,948,396 189681 188816 865 189681 INCYTE CORP COM 45337C10 5,939,146 1,282,753 1,282,463 190 100 1,155,403 100 127250 NABI BIOPHARMACEUTIC COM 62951910 5,936,456 704206 704206 631706 72500 FLEETWOOD ENTERPRISE COM 33909910 5,910,440 637588 637588 564538 73050 HANGER ORTHOPEDIC GR COM NEW 41043F20 5,910,149 385026 385026 355876 29150 ASPECT COMMUNICATION COM 04523Q10 5,901,163 708423 708423 599498 108925 LIFELINE SYS INC COM 53219210 5,899,935 187062 72753 114309 63153 114309 9600 AMN HEALTHCARE SERVI COM 00174410 5,896,922 363111 362011 1100 342211 20900 GRUPO TELEVISA SA DE SP ADR REP 40049J20 5,883,452 160794 160794 94447 49327 17020 KEYSTONE PPTY TR COR COM 49359610 5,879,978 290226 290226 268326 21900 CUBIST PHARMACEUTICA COM 22967810 5,867,148 540751 540751 453381 87370 NOVARTIS A G SPON- SORED 66987V10 5,853,265 150702 122820 27882 145222 5480 GARDNER DENVER INC COM 36555810 5,844,330 278169 278094 75 257269 20900 OLD DOMINION FGHT LI COM 67958010 5,812,675 197912 197912 181112 16800 INTEGRATED ELECTRICA COM 45811E10 5,810,172 842054 838454 3600 785654 56400 WALTER INDS INC COM 93317Q10 5,810,134 541485 541485 466195 75290 GREIF INC CL A 39762410 5,798,442 223017 222917 100 204467 18550 GOLDEN TELECOM INC COM 38122G10 5,790,311 211789 211789 186789 25000 KORN FERRY INTL COM NEW 50064320 5,779,941 700599 700589 10 646449 54150 ECHELON CORP COM 27874N10 5,776,914 485455 484785 670 440205 45250 NUI CORP COM 62943110 5,776,381 386380 386380 350681 35699 ORIENTAL FINL GROUP COM 68618W10 5,751,851 237092 237092 211380 25712 GLOBAL INDS LTD COM 37933610 5,750,324 1,261,036 1,256,611 4425 1,148,436 112600 MSC INDL DIRECT INC CL A 55353010 5,744,925 275536 273436 2100 274336 1200 MARCUS CORP COM 56633010 5,739,438 376110 376110 344260 31850 PALM HARBOR HOMES COM 69663910 5,739,294 334848 334848 307998 26850 TOPPS INC COM 89078610 5,737,728 588485 587385 1100 540185 48300 GAMESTOP CORP CL A 36466R10 5,725,081 360068 360068 330368 29700 NORTH PITTSBURGH SYS COM 66156210 5,724,549 333793 331833 1960 309844 23949 SCHWEITZER-MAUDUIT I COM 80854110 5,722,079 226617 226477 100 40 226577 40 FIRSTFED AMER BANCOR COM 33792910 5,717,270 258700 258700 235100 23600 WEST CORP COM 95235510 5,714,107 239084 238934 150 238830 254 AVIALL INC NEW COM 05366B10 5,712,169 461403 461403 426353 35050 TRIARC COS INC CL B SER 1 89592730 5,697,744 547860 545260 1600 1000 496298 1000 50562 INDEPENDENT BANK COR COM 45383610 5,690,193 222013 218592 3421 204413 17600 EXULT INC DEL COM 30228410 5,678,692 706305 706105 100 100 625006 100 81199 GENESIS MICROCHIP IN COM 37184C10 5,674,199 504822 504822 455372 49450 EPICOR SOFTWARE CORP COM 29426L10 5,673,506 629690 629690 570590 59100 COMPANHIA VALE DO RI SPON- SORED 20441220 5,650,263 138419 138419 135500 2919 CASCADE CORP COM 14719510 5,646,012 256055 255755 300 241355 14700 PULITZER INC COM 74576910 5,636,438 108185 107085 1000 100 91935 100 16150 SIMMONS 1ST NATL COR CL A $5 PA 82873020 5,635,575 245025 245025 219025 26000 CHICAGO MERCANTILE H CL A 16776010 5,631,754 81845 81695 150 79779 2066 TRANSKARYOTIC THERAP COM 89373510 5,627,225 536949 532249 4700 462899 74050 Page Total 301,957,961 Page 39 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ LOCAL FINL CORP COM 53955310 5,621,789 314242 314242 288692 25550 RIGHT MGMT CONSULTAN COM 76657310 5,611,417 310366 310366 288266 22100 COMPUTER NETWORK TEC COM 20492510 5,609,632 646271 641931 4340 596671 49600 NEW ENGLAND BUSINESS COM 64387210 5,604,894 210552 206032 4520 185182 4520 20850 SWS GROUP INC COM 78503N10 5,603,710 284308 284308 256758 27550 DRESS BARN INC COM 26157010 5,602,121 408914 408834 80 369164 39750 NATIONAL WESTN LIFE CL A 63852210 5,601,419 41006 41006 38156 2850 AMERICA WEST HLDG CO CL B 02365720 5,600,763 575618 575618 475928 99690 TENNANT CO COM 88034510 5,566,560 151101 151101 130701 20400 KADANT INC COM 48282T10 5,563,604 290376 289909 453 14 260772 53 29551 VERSO TECHNOLOGIES I COM 92531710 5,560,023 1,502,709 1,502,709 1,404,409 98300 BOCA RESORTS INC CL A 09688T10 5,559,308 428959 428459 500 390759 38200 INTUITIVE SURGICAL I COM NEW 46120E60 5,558,094 333419 330838 81 2500 306744 2500 24175 CAPITAL CITY BK GROU COM 13967410 5,557,240 145630 145630 130943 14687 NEWPARK RES INC COM PAR $. 65171850 5,553,187 1,291,439 1,291,439 1,167,139 124300 MANTECH INTL CORP CL A 56456310 5,547,551 223062 223062 204562 18500 TOYOTA MOTOR CORP SP ADR REP 89233130 5,541,306 93053 82274 10779 90423 2630 PIXELWORKS INC COM 72581M10 5,526,668 636713 636713 586563 50150 TOLLGRADE COMMUNICAT COM 88954210 5,521,844 343612 343612 322012 21600 ORASURE TECHNOLOGIES COM 68554V10 5,500,498 579610 579610 530710 48900 IMMUNOMEDICS INC COM 45290710 5,493,967 744440 744440 672890 71550 SRA INTL INC CL A 78464R10 5,478,217 146359 146259 100 132709 13650 ARCTIC CAT INC COM 03967010 5,472,448 287132 287112 20 256033 31099 MAXYGEN INC COM 57777610 5,462,906 533487 533180 307 470037 63450 HEIDRICK & STRUGGLES COM 42281910 5,455,878 320934 319934 1000 288334 32600 EDO CORP COM 28134710 5,448,586 269066 269066 246166 22900 STRATEX NETWORKS INC COM 86279T10 5,444,047 1,413,671 1,413,571 100 1,263,004 100 150567 U S RESTAURANT PPTYS COM 90297110 5,437,705 334628 334628 301228 33400 ALEXION PHARMACEUTIC COM 01535110 5,434,225 320982 318382 2600 279852 41130 MAIN STR BKS INC NEW COM 56034R10 5,430,916 217063 217063 197213 19850 COINSTAR INC COM 19259P30 5,424,487 403008 402968 40 366658 36350 E PIPHANY INC COM 26881V10 5,422,433 1,086,660 1,086,560 100 947825 100 138735 D & K HEALTHCARE RES COM 23286110 5,419,497 385455 385255 200 363055 22400 CLEVELAND CLIFFS INC COM 18589610 5,412,403 211422 210822 600 186822 24600 SAVIENT PHARMACEUTIC COM 80517Q10 5,411,080 1,071,501 1,071,501 978801 92700 WORLD FUEL SVCS CORP COM 98147510 5,396,176 192240 191790 300 150 173640 150 18450 THERASENSE INC COM 88338110 5,389,232 430794 430794 392094 38700 OIL STS INTL INC COM 67802610 5,378,174 423812 423812 390962 32850 VALHI INC NEW COM 91890510 5,370,085 476917 476917 446017 30900 FIRST ST BANCORPORAT COM 33645310 5,367,019 181257 181257 170357 10900 JAKKS PAC INC COM 47012E10 5,365,703 436591 436591 394841 41750 INTEGRA BK CORP COM 45814P10 5,361,146 279081 279081 258231 20850 TEVA PHARMACEUTICAL ADR 88162420 5,353,634 93595 93595 58326 29028 6241 STEELCASE INC CL A 85815520 5,349,168 454089 453789 300 440579 13510 FOOTSTAR INC COM 34491210 5,344,199 790562 787862 2700 745862 44700 EON LABS INC COM 29412E10 5,343,599 139374 139354 20 139374 UNION BANKSHARES COR COM 90539910 5,343,388 175943 175943 164543 11400 ANTIGENICS INC DEL COM 03703210 5,338,731 441948 441498 450 371198 70750 FINISAR COM 31787A10 5,327,295 2,326,330 2,321,230 5100 2,137,030 5100 184200 SALIX PHARMACEUTICAL COM 79543510 5,323,059 276379 270579 5300 500 246229 500 29650 ICU MED INC COM 44930G10 5,323,022 196132 196032 100 181282 14850 J & J SNACK FOODS CO COM 46603210 5,321,380 148725 148725 139825 8900 Page Total 284,055,433 Page 40 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ RIGGS NATL CORP WASH COM 76657010 5,293,580 331678 331558 120 304408 120 27150 CENTEX CONSTRUCTION COM 15231R10 5,288,481 118390 118090 300 107790 10600 TELE NORTE LESTE PAR SPON ADR P 87924610 5,285,601 379168 379168 235780 107077 36311 SONICWALL INC COM 83547010 5,277,394 913044 909244 3800 824594 88450 TRANSMETA CORP DEL COM 89376R10 5,269,337 1,836,006 1,836,006 1,597,456 238550 SILICON IMAGE INC COM 82705T10 5,268,375 1,170,750 1,170,730 20 1,068,850 101900 HYDRIL CO COM 44877410 5,256,761 257306 257106 200 237006 20300 SCICLONE PHARMACEUTI COM 80862K10 5,249,320 656165 655965 200 599565 56600 CHIPPAC INC CL A 16965710 5,243,248 890195 890195 798795 91400 OLD SECOND BANCORP I COM 68027710 5,239,335 121845 121845 109845 12000 PLAINS RES INC COM PAR $0 72654050 5,238,312 420748 420248 400 100 371998 100 48650 CENTURY BUSINESS SVC COM 15649010 5,223,383 1,231,930 1,181,930 50000 1,127,980 103950 CURAGEN CORP COM 23126R10 5,219,188 1,037,612 712901 324411 300 640351 324711 72550 FIRST CMNTY BANCSHAR COM 31983A10 5,205,239 147499 147499 129789 17710 PENWEST PHARMACEUTIC COM 70975410 5,199,856 238964 238964 215565 23399 EPIQ SYS INC COM 26882D10 5,195,915 305822 305822 287822 18000 ISIS PHARMACEUTICALS COM 46433010 5,192,254 796358 796358 696208 100150 VALUEVISION MEDIA IN CL A 92047K10 5,181,382 326695 326695 289395 37300 VECTOR GROUP LTD COM 92240M10 5,177,678 359561 338834 20726 1 358143 1 1417 WSFS FINL CORP COM 92932810 5,176,463 122898 122898 112798 10100 AUTOBYTEL INC COM 05275N10 5,175,243 543618 543618 498118 45500 HAWTHORNE FINL CORP COM 42054210 5,166,142 128511 123031 5480 111731 5480 11300 ALARIS MEDICAL SYSTE COM 01163710 5,161,504 310934 310934 288334 22600 STANDARD REGISTER CO COM 85388710 5,159,512 310814 310764 50 270164 40650 UNIVERSAL HEALTH RLT SH BEN INT 91359E10 5,148,535 189633 188733 900 171483 18150 PEOPLES HLDG CO COM 71114810 5,142,149 112915 112915 104915 8000 SEQUA CORPORATION CL A 81732010 5,135,830 119968 119948 20 109018 10950 CENTILLIUM COMMUNICA COM 15231910 5,135,061 726317 726317 673117 53200 GENCORP INC COM 36868210 5,134,838 573725 573625 100 516725 57000 SPANISH BROADCASTING CL A 84642588 5,120,582 603131 602931 200 544431 58700 WASHINGTON TR BANCOR COM 94061010 5,117,683 213148 213148 188648 24500 MEDQUIST INC COM 58494910 5,114,871 264882 263973 909 252732 12150 ZENITH NATL INS CORP COM 98939010 5,112,231 183761 183661 100 163392 20369 FBL FINL GROUP INC CL A 30239F10 5,087,716 206482 206482 180332 26150 VAIL RESORTS INC COM 91879Q10 5,083,206 355469 355469 331169 24300 AVANEX CORP COM 05348W10 5,073,822 1,046,149 1,045,961 188 962149 84000 O CHARLEYS INC COM 67082310 5,071,168 343808 343808 316335 27473 ARTISAN COMPONENTS I COM 04292310 5,052,448 300741 300241 500 273891 26850 HARRIS INTERACTIVE I COM 41454910 5,047,778 717014 717014 643764 73250 CKE RESTAURANTS INC COM 12561E10 5,039,443 781309 781309 702909 78400 BROOKFIELD HOMES COR COM 11272310 5,038,807 271927 271927 251527 20400 SCANSOFT INC COM 80603P10 5,037,643 1,199,439 1,196,409 3030 1,071,843 127596 DELTIC TIMBER CORP COM 24785010 5,033,699 174056 173556 500 158406 500 15150 UNITED CMNTY FINL CO COM 90983910 5,019,715 507042 507042 462342 44700 QUICKSILVER RESOURCE COM 74837R10 5,016,065 205324 205324 170084 35240 SAPIENT CORP COM 80306210 5,012,910 1,396,354 1,353,408 37846 5100 1,194,914 5100 196340 STANDEX INTL CORP COM 85423110 5,004,196 205934 205934 185634 20300 PACKETEER INC COM 69521010 5,003,135 415198 412913 2285 377048 38150 ALLIANCE CAP MGMT HL UNIT LTD P 01855A10 4,999,320 149278 132188 10400 6690 142088 6690 500 ODYSSEY RE HLDGS COR COM 67612W10 4,989,538 242446 242446 242446 COLE KENNETH PRODTNS CL A 19329410 4,988,733 191066 190966 100 176666 14400 KAMAN CORP CL A 48354810 4,986,748 384780 384780 347683 37097 Page Total 267,091,373 Page 41 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ WCI CMNTYS INC COM 92923C10 4,979,914 301813 301813 279713 22100 DUPONT PHOTOMASKS IN COM 26613X10 4,979,008 219243 219143 100 199643 19600 HANMI FINL CORP COM 41049510 4,965,552 249902 233902 16000 222102 16000 11800 CONSOL ENERGY INC COM 20854P10 4,961,956 267059 267059 266859 200 SEACHANGE INTL INC COM 81169910 4,959,803 397102 397102 361702 35400 INTERVOICE INC NEW COM 46114210 4,959,418 557238 557238 505338 51900 ROBBINS & MYERS INC COM 77019610 4,951,535 222641 222641 202491 20150 MONDAVI ROBERT CORP CL A 60920010 4,948,094 159719 159719 144519 15200 U S I HLDGS COM 90333H10 4,946,167 380182 380182 351182 29000 BALLY TOTAL FITNESS COM 05873K10 4,945,334 571715 571715 517915 53800 PORTFOLIO RECOVERY A COM 73640Q10 4,942,054 194416 194416 178916 15500 BANNER CORP COM 06652V10 4,936,897 237009 237009 220409 16600 INVERNESS MED INNOVA COM 46126P10 4,930,165 194101 192052 2049 175201 18900 TENNECO AUTOMOTIVE I COM 88034910 4,918,182 781905 781835 20 50 615945 50 165910 GENTIVA HEALTH SERVI COM 37247A10 4,898,540 425960 425960 381743 44217 HONDA MOTOR LTD AMERN SHS 43812830 4,895,049 242810 216544 26266 238710 4100 NETEGRITY INC COM 64110P10 4,892,315 490212 490192 20 425602 20 64590 UNITEDGLOBALCOM CL A 91324750 4,879,800 798658 798458 100 100 797658 100 900 SYNAPTICS INC COM 87157D10 4,858,462 451530 451530 429330 22200 ACTIVCARD CORP COM 00506J10 4,853,756 594095 594095 543195 50900 AKSYS LTD COM 01019610 4,853,530 485353 485353 439415 45938 PHARMACOPEIA INC COM 71713B10 4,850,447 381925 381925 345275 36650 INNKEEPERS USA TR COM 4576J010 4,836,121 555876 555876 532367 23509 CIPHERGEN BIOSYSTEMS COM 17252Y10 4,828,220 390949 390419 530 355549 35400 SONOSITE INC COM 83568G10 4,825,131 241136 241036 100 218286 100 22750 STILLWATER MNG CO COM 86074Q10 4,817,484 764680 764580 100 658945 100 105635 1ST SOURCE CORP COM 33690110 4,809,685 251816 251816 234466 17350 IXIA COM 45071R10 4,809,338 444486 444486 391336 53150 INFORMATION HLDGS IN COM 45672710 4,794,100 239346 239246 100 222646 16700 SAGA COMMUNICATIONS CL A 78659810 4,779,295 246992 246892 100 220692 26300 MRV COMMUNICATIONS I COM 55347710 4,772,267 1,735,370 1,735,270 100 1,537,170 100 198100 INTERPORE INTL COM 46062W10 4,769,064 310486 310086 400 278086 32400 BEI TECHNOLOGIES INC COM 05538P10 4,759,107 305071 305071 282071 23000 ARGONAUT GROUP INC COM 04015710 4,756,089 365853 365853 326653 39200 WHITE ELECTR DESIGNS COM 96380110 4,754,832 442310 442310 414810 27500 CALIFORNIA PIZZA KIT COM 13054D10 4,752,514 273133 273033 100 248683 100 24350 CASCADE NAT GAS CORP COM 14733910 4,750,922 242394 241594 100 700 223094 700 18600 MRO SOFTWARE INC COM 55347W10 4,745,777 347676 347676 311876 35800 ANAREN INC COM 03274410 4,730,493 370438 370438 334488 35950 TRC COS INC COM 87262510 4,730,455 287391 287391 270641 16750 A C MOORE ARTS & CRA COM 00086T10 4,723,238 212185 212185 187885 24300 GREAT LAKES REIT INC COM 39075210 4,713,163 296053 296053 267555 28498 CT COMMUNICATIONS IN COM NEW 12642640 4,703,512 418462 418062 400 394662 23800 TYLER TECHNOLOGIES I COM 90225210 4,693,416 662912 662912 605025 57887 TEXAS GENCO HLDGS IN COM 88244310 4,692,765 197175 195432 1547 196 150552 196 46427 MAXWELL SHOE INC CL A 57776610 4,691,112 326884 326884 305984 20900 WILD OATS MARKETS IN COM 96808B10 4,688,106 428921 428751 170 388121 40800 UNITED FIRE & CAS CO COM 91033110 4,686,459 129068 123131 5937 118368 10700 ENCYSIVE PHARMACEUTI COM 29256X10 4,683,418 768908 768908 706808 62100 SUPPORTSOFT INC COM 86858710 4,677,129 417974 417974 378974 39000 YOUNG BROADCASTING I CL A 98743410 4,671,944 238608 238608 215408 23200 UNIFI INC COM 90467710 4,670,726 973068 972368 700 888118 84950 Page Total 250,621,860 Page 42 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ OSHKOSH B GOSH INC CL A 68822220 4,669,828 181423 181423 159077 22346 RAINBOW TECHNOLOGIES COM 75086210 4,667,706 510690 510690 475690 35000 FOMENTO ECONOMICO ME SPON ADR U 34441910 4,667,042 122334 122334 65300 41100 15934 WHITE MTNS INS GROUP COM G9618E10 4,656,367 11728 11708 20 9528 2200 CONCUR TECHNOLOGIES COM 20670810 4,655,403 396542 396542 361642 34900 FARMER BROS CO COM 30767510 4,653,760 14543 14443 100 13143 1400 URSTADT BIDDLE PPTYS CL A 91728620 4,652,883 344658 340358 4300 309808 34850 SCHNITZER STL INDS CL A 80688210 4,651,082 154521 153621 900 134121 20400 CONCORD CAMERA CORP COM 20615610 4,647,649 436399 436399 397749 38650 ANGELICA CORP COM 03466310 4,639,002 244158 243578 580 223828 580 19750 NEW FOCUS INC COM 64438310 4,638,511 1,033,076 1,033,076 912726 120350 USANA HEALTH SCIENCE COM 90328M10 4,632,464 94598 94598 85798 8800 GENERAL CABLE CORP D COM 36930010 4,621,329 580569 580569 518719 61850 WPP GROUP PLC SPON ADR N 92930930 4,610,370 109458 107223 2235 109450 8 STRATTEC SEC CORP COM 86311110 4,609,685 97046 97046 89446 7600 MOLECULAR DEVICES CO COM 60851C10 4,604,492 264474 264474 241974 22500 AMERISTAR CASINOS IN COM 03070Q10 4,598,361 183714 183714 167564 16150 HOLOGIC INC COM 43644010 4,594,882 337859 337859 309459 28400 ZOLL MED CORP COM 98992210 4,590,329 143224 143124 100 131124 12100 SCS TRANSN INC COM 81111T10 4,587,636 303817 235042 68555 220 280322 220 23275 FLUSHING FINL CORP COM 34387310 4,561,396 218877 218877 198427 20450 TOWER AUTOMOTIVE INC COM 89170710 4,556,673 1,012,594 1,012,394 200 912444 100150 ABLE LABORATORIES IN COM NEW 00371N40 4,542,931 240494 240494 220594 19900 HIBBETT SPORTING GOO COM 42856510 4,538,256 189094 189094 168769 20325 TELETECH HOLDINGS IN COM 87993910 4,515,679 720204 720204 650304 69900 MADDEN STEVEN LTD COM 55626910 4,513,683 237938 237938 222988 14950 LANCE INC COM 51460610 4,505,951 453315 451855 740 720 410170 720 42425 OMEGA FINL CORP COM 68209210 4,500,474 136378 136378 119328 17050 MOBILE MINI INC COM 60740F10 4,493,052 230768 230468 300 207768 23000 AAR CORP COM 00036110 4,481,584 558801 558201 600 497001 61800 ALLEGIANT BANCORP IN COM 01747610 4,474,098 221490 221490 201390 20100 COCA COLA BOTTLING C COM 19109810 4,472,602 89327 89127 200 82667 200 6460 4 KIDS ENTMT INC COM 35086510 4,471,490 211919 211919 194819 17100 WATTS INDS INC CL A 94274910 4,469,806 253678 253403 275 236628 17050 ARTESYN TECHNOLOGIES COM 04312710 4,466,530 589252 589252 514811 74441 BUCKEYE TECHNOLOGIES COM 11825510 4,461,390 490802 490802 436952 53850 GORMAN RUPP CO COM 38308210 4,459,935 197255 197255 179205 18050 STRATASYS INC COM 86268510 4,457,284 104582 104582 94582 10000 MEMC ELECTR MATLS IN COM 55271510 4,456,069 408439 405589 2850 405289 2850 300 INTERWOVEN INC COM 46114T10 4,448,192 1,653,603 1,652,603 900 100 1,458,653 100 194850 WET SEAL INC CL A 96184010 4,445,225 442311 442311 401211 41100 KVH INDS INC COM 48273810 4,431,296 175358 175358 160458 14900 CB BANCSHARES INC HA COM 12478510 4,423,903 72227 72127 100 65197 7030 WELLMAN INC COM 94970210 4,420,528 588619 588619 532719 55900 PEOPLES BANCORP INC COM 70978910 4,417,139 165065 165065 150365 14700 COMMUNITY BKS INC MI COM 20362810 4,406,974 133101 133101 118036 15065 HANCOCK FABRICS INC COM 40990010 4,405,665 279193 279193 257543 21650 ZYGO CORP COM 98985510 4,400,422 269139 269139 231689 37450 GENESEE & WYO INC CL A 37155910 4,395,312 185378 185378 169878 15500 OPLINK COMMUNICATION COM 68375Q10 4,394,572 1,736,985 1,736,985 1,606,085 130900 MATRIXONE INC COM 57685P30 4,383,993 887448 731473 155975 805448 82000 CENTRAL PKG CORP COM 15478510 4,382,278 357737 356937 800 330287 27450 Page Total 235,403,163 Page 43 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ CHILDRENS PL RETAIL COM 16890510 4,367,803 253206 253206 232106 21100 PC-TEL INC COM 69325Q10 4,364,245 408255 408255 373682 34573 INTERFACE INC CL A 45866510 4,363,804 811116 811116 725966 85150 AMERICAN MED SEC GRO COM 02744P10 4,357,226 214536 180579 33957 164479 33957 16100 HEWITT ASSOCS INC COM 42822Q10 4,347,449 178540 178540 178540 TIVO INC COM 88870610 4,347,298 586680 582880 3800 540680 46000 MCGRATH RENTCORP COM 58058910 4,339,356 154977 154977 136127 18850 PROSPERITY BANCSHARE COM 74360610 4,337,799 203557 203557 186057 17500 SYMMETRICOM INC COM 87154310 4,323,598 683033 683033 630433 52600 TREX INC COM 89531P10 4,308,808 138770 138670 100 124270 14500 PRG-SCHULTZ INTERNAT COM 69357C10 4,298,283 756740 756740 698240 58500 FIRST PL FINL CORP COM 33610T10 4,292,393 241825 241825 216975 24850 CCBT FINL COS INC COM 12500Q10 4,285,292 170654 154594 10060 6000 147054 6000 17600 PRIMA ENERGY CORP COM PAR $0 74190120 4,276,796 168047 168047 153197 14850 GULFMARK OFFSHORE IN COM 40262910 4,273,114 301348 301348 277948 23400 SOUTHWEST BANCORP IN COM 84476710 4,270,213 254786 254386 400 238586 16200 BROOKSTONE INC COM 11453710 4,267,288 216944 216944 192419 24525 SJW CORP COM 78430510 4,262,011 50438 50438 47938 2500 LYON WILLIAM HOMES COM 55207410 4,261,797 84981 84981 76381 8600 ENTRAVISION COMMUNIC CL A 29382R10 4,226,208 444864 444864 444328 536 RUDOLPH TECHNOLOGIES COM 78127010 4,221,535 218280 218280 200430 17850 ATWOOD OCEANICS INC COM 05009510 4,206,022 175324 175224 100 158724 16600 NOVEN PHARMACEUTICAL COM 67000910 4,204,340 365913 365913 331863 34050 BANK OF GRANITE CORP COM 06240110 4,203,375 224180 224180 198455 25725 ALTIRIS INC COM 02148M10 4,180,307 159432 159032 400 144432 15000 HARDINGE INC COM 41232430 4,166,247 508079 508079 7700 500379 HOMESTORE INC COM 43785210 4,160,266 1,507,343 1,507,143 100 100 1,381,543 100 125700 ROFIN SINAR TECHNOLO COM 77504310 4,159,605 197888 197888 181888 16000 TROY FINL CORP COM 89732910 4,155,492 118559 118559 108259 10300 LIGHTBRIDGE INC COM 53222610 4,145,541 440032 440032 393832 46200 AMERICAN WOODMARK CO COM 03050610 4,140,120 92496 92396 100 82546 100 9850 RED ROBIN GOURMET BU COM 75689M10 4,139,414 162585 162585 151185 11400 ECOLLEGE COM COM 27887E10 4,131,931 205876 205876 183676 22200 CORRECTIONAL PPTYS T COM 22025E10 4,129,948 165529 165529 153629 11900 VANS INC COM 92193010 4,129,673 379217 378017 1200 354717 24500 MAGUIRE PPTYS INC COM 55977510 4,127,265 201330 201330 179030 22300 INTEGRATED SILICON S COM 45812P10 4,120,344 414105 413890 215 414105 AMERICAN PHYSICIANS COM 02888410 4,114,335 148693 148693 131443 17250 RAILAMERICA INC COM 75075310 4,110,834 478004 478004 437154 40850 BSB BANCORP COM 05565210 4,107,937 148194 147974 220 129094 19100 DRUGSTORE COM INC COM 26224110 4,103,544 536411 536411 488911 47500 ALEXANDERS INC COM 01475210 4,102,578 38887 38887 33027 5860 HOLLY CORP COM PAR $0 43575830 4,102,452 165555 165555 148505 17050 TELEFONICA S A SPON- SORED 87938220 4,101,813 115707 87303 28404 108693 7014 ALLSTREAM INC CL B LT VT 02004C20 4,097,282 104924 104924 104924 ENERGY PARTNERS LTD COM 29270U10 4,091,859 367973 367973 340773 27200 CITY BK LYNNWOOD WAS COM 17770A10 4,083,854 126006 126006 114806 11200 ENTERPRISE PRODS PAR COM 29379210 4,083,526 180687 180687 178287 2400 KEITHLEY INSTRS INC COM 48758410 4,079,586 288310 288310 271710 16600 STEPAN CO COM 85858610 4,070,011 178666 178666 169366 9300 DISCOVERY LABORATORI COM 25466810 4,069,555 565216 565216 522316 42900 REGENT COMMUNICATION COM 75886510 4,067,071 666733 666733 617633 49100 Page Total 218,278,443 Page 44 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ NATIONAL PROCESSING COM 63722910 4,066,802 210497 208797 1700 210497 NEOWARE SYS INC COM 64065P10 4,066,210 238208 232208 6000 217608 20600 INFOUSA INC NEW COM 45681830 4,062,391 540931 540931 490456 50475 AMCOL INTL CORP COM 02341W10 4,061,607 328609 328609 294809 33800 ELECTRO RENT CORP COM 28521810 4,052,937 323175 323175 323175 WEST BANCORPORATION CAP STK 95123P10 4,049,739 235040 235040 210940 24100 GABELLI ASSET MGMT I CL A 36239Y10 4,047,909 113514 113114 400 97314 16200 CONCEPTUS INC COM 20601610 4,044,677 308754 308754 273637 35117 PERICOM SEMICONDUCTO COM 71383110 4,042,508 406691 406691 331441 75250 RC2 CORP COM 74938810 4,041,759 209320 209320 190420 18900 OCEANFIRST FINL CORP COM 67523410 4,040,915 161572 161572 140372 21200 BEL FUSE INC CL B 07734730 4,040,630 158394 158394 145094 13300 TEJON RANCH CO DEL COM 87908010 4,038,457 121275 121275 107575 13700 CAPITOL BANCORP LTD COM 14056D10 4,033,712 150793 150793 136743 14050 PRESSTEK INC COM 74111310 4,033,320 547262 547262 483212 64050 CHURCHILL DOWNS INC COM 17148410 4,029,227 107018 106118 900 95768 11250 AUDIOVOX CORP CL A 05075710 4,026,936 320616 320616 296603 24013 DIMON INC COM 25439410 4,014,613 581828 580628 1200 580428 1400 STONERIDGE INC COM 86183P10 4,007,106 272407 272307 100 252857 19550 ENTRUST INC COM 29384810 3,996,636 813979 813879 100 735779 100 78100 PEREGRINE PHARMACEUT COM 71366110 3,994,869 1,858,079 1,858,079 1,700,879 157200 CORVEL CORP COM 22100610 3,989,761 112356 112356 100756 11600 LABONE INC NEW COM 50540L10 3,983,125 170803 170303 500 159603 11200 LINDSAY MFG CO COM 53555510 3,974,754 197749 197749 177049 20700 BLAIR CORP COM 09282810 3,968,515 190794 190794 177544 13250 LOOKSMART LTD COM 54344210 3,959,577 1,261,012 1,261,012 1,126,062 134950 KEYNOTE SYS INC COM 49330810 3,944,721 352522 352522 319622 32900 PEETS COFFEE & TEA I COM 70556010 3,940,314 200321 186431 890 13000 170521 13000 16800 TTM TECHNOLOGIES IN COM 87305R10 3,930,665 273914 273914 273914 COLUMBIA BKG SYS INC COM 19723610 3,930,421 222813 222813 196713 26100 INTERCEPT INC COM 45845L10 3,929,501 288298 284698 3500 100 260348 100 27850 MOVADO GROUP INC COM 62458010 3,920,231 179006 179006 160506 18500 NAVIGATORS GROUP INC COM 63890410 3,915,892 120489 120489 120489 ROXIO INC COM 78000810 3,908,656 450306 450223 34 49 396749 49 53508 VICOR CORP COM 92581510 3,907,564 409598 409498 100 376948 100 32550 AMERON INTL INC COM 03071010 3,901,418 118189 118089 100 103469 14720 KEYSTONE AUTOMOTIVE COM 49338N10 3,881,717 178881 178881 162831 16050 SPSS INC COM 78462K10 3,872,204 229532 229532 210432 19100 CHARLES RIVER ASSOCI COM 15985210 3,867,783 135569 135569 122069 13500 CASUAL MALE RETAIL G COM 14871110 3,865,332 523049 523049 477549 45500 X-RITE INC COM 98385710 3,857,194 338945 338945 309845 29100 STURM RUGER & CO INC COM 86415910 3,856,645 373706 369786 3920 342306 31400 RTI INTL METALS INC COM 74973W10 3,856,316 366570 365850 720 330770 35800 CONCORD COMMUNICATIO COM 20618610 3,841,688 294608 291608 3000 263158 31450 EXCEL TECHNOLOGY INC COM 30067T10 3,839,925 153597 153497 100 141147 12450 EMBRAER-EMPRESA BRAS SP ADR PFD 29081M10 3,837,646 181879 181879 106696 57214 17969 BRYN MAWR BK CORP COM 11766510 3,836,117 91445 91045 400 86145 5300 MBT FINL CORP COM 57887710 3,829,176 245460 245460 221260 24200 HEALTHCARE SVCS GRP COM 42190610 3,828,528 232032 232032 215732 16300 BARCLAYS PLC ADR 06738E20 3,825,617 123407 110586 12821 119807 3600 REPUBLIC BANCSHARES COM 75992910 3,821,949 134718 134718 124718 10000 PLAYBOY ENTERPRISES CL B 72811730 3,813,511 262097 262097 226147 35950 Page Total 205,429,423 Page 45 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ SUPERGEN INC COM 86805910 3,813,184 509784 509784 459884 49900 CONCURRENT COMPUTER COM 20671020 3,810,356 1,005,371 1,005,371 864021 141350 SKYLINE CORP COM 83083010 3,807,338 118905 118905 109705 9200 BIOLASE TECHNOLOGY I COM 09091110 3,805,371 333512 333512 304112 29400 FIRST BUSEY CORP COM 31938310 3,789,529 146881 146881 128281 18600 FRIEDMANS INC CL A 35843810 3,788,959 271610 271610 245110 26500 FISHER COMMUNICATION COM 33775620 3,778,186 80524 80524 74024 6500 OMNICELL INC COM 68213N10 3,767,946 231731 231731 231731 FINDWHAT COM COM 31779410 3,754,592 217154 217154 198854 18300 MATTSON TECHNOLOGY I COM 57722310 3,753,115 421651 421651 421651 FIRST IND CORP COM 32054R10 3,745,461 202348 202348 178648 23700 BUNGE LIMITED COM G1696210 3,743,932 136143 136143 110683 25460 CAMDEN NATL CORP COM 13303410 3,740,362 126749 126749 110249 16500 CIRCOR INTL INC COM 17273K10 3,728,294 194182 194182 177632 16550 ST FRANCIS CAP CORP COM 78937410 3,727,987 126630 126330 300 117680 8950 SECOND BANCORP INC COM 81311410 3,722,618 136660 136660 123210 13450 NORTHWEST BANCORP IN COM 66732810 3,717,096 203565 203565 190465 13100 ALCAN INC COM 01371610 3,716,920 97149 97149 97019 130 II VI INC COM 90210410 3,716,520 185919 185919 165519 20400 LEXICON GENETICS INC COM 52887210 3,715,788 720114 718414 1700 560924 159190 EPIX MEDICAL INC COM 26881Q10 3,715,592 216779 216779 198279 18500 MIDWEST BANC HOLDING COM 59825110 3,708,404 166595 166595 151903 14692 DAKTRONICS INC COM 23426410 3,705,312 231582 231082 500 208982 22600 U S B HLDG INC COM 90291010 3,698,908 210764 210764 192704 18060 I-STAT CORP COM 45031210 3,696,136 276450 266450 10000 252750 23700 CENTURY BANCORP INC CL A NON V 15643210 3,694,346 110279 56279 54000 49079 54000 7200 FALCONSTOR SOFTWARE COM 30613710 3,684,154 591357 591357 528557 62800 GOODYS FAMILY CLOTHI COM 38258810 3,682,493 373478 373478 325428 48050 PRIVATEBANCORP INC COM 74296210 3,681,236 111182 111182 102132 9050 J JILL GROUP INC COM 46618910 3,666,174 316869 316679 40 150 286344 150 30375 BENTLEY PHARMACEUTIC COM 08265710 3,662,912 225410 225410 201510 23900 WEST MARINE INC COM 95423510 3,658,114 192027 191527 500 173177 500 18350 CORNELL COMPANIES IN COM 21914110 3,657,180 222321 222021 300 194721 27600 UNIVERSAL AMERN FINL COM 91337710 3,645,412 411911 411911 373261 38650 PEC SOLUTIONS INC COM 70510710 3,638,133 246486 246386 100 232886 13600 REGENERATION TECH IN COM 75886N10 3,633,660 403740 403740 368540 35200 ACCREDITED HOME LEND COM 00437P10 3,633,472 167364 167364 153464 13900 POWELL INDS INC COM 73912810 3,628,206 216351 216351 202951 13400 VITAL SIGNS INC COM 92846910 3,624,215 124672 124572 100 115772 8900 MYERS INDS INC COM 62846410 3,620,206 361659 361659 337897 23762 STAMPS COM INC COM 85285710 3,612,279 619602 619402 200 560502 59100 AFTERMARKET TECHNOLO COM 00831810 3,608,378 316247 316247 316247 C COR NET CORP COM 12501010 3,595,693 544802 544802 489052 55750 TRIZETTO GROUP INC COM 89688210 3,595,213 536599 536599 486787 49812 LIONBRIDGE TECHNOLOG COM 53625210 3,592,338 479618 479618 436718 42900 CARDIAC SCIENCE INC COM NEW 14141020 3,583,263 863437 863437 752587 110850 CCC INFORMATION SVCS COM 12487Q10 3,570,181 213018 213018 190018 23000 SHARPER IMAGE CORP COM 82001310 3,568,711 154156 154156 139806 14350 DITECH COMMUNICATION COM 25500M10 3,561,132 406522 403913 2609 406522 ARIAD PHARMACEUTICAL COM 04033A10 3,556,862 590841 590841 541041 49800 EXACT SCIENCES CORP COM 30063P10 3,556,021 263409 263209 200 213429 49980 ASBURY AUTOMOTIVE GR COM 04343610 3,552,061 213337 213337 196937 16400 Page Total 191,429,951 Page 46 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ REED ELSEVIER P L C SPON- SORED 75820510 3,549,406 112323 105404 6919 24270 86003 2050 XICOR INC COM 98490310 3,549,095 382034 381934 100 336884 100 45050 ELIZABETH ARDEN INC COM 28660G10 3,544,089 215054 215054 189054 26000 OCWEN FINL CORP COM 67574610 3,540,828 778204 734604 1000 42600 665104 42600 70500 CASELLA WASTE SYS IN CL A 14744810 3,534,625 282770 282750 20 248650 20 34100 BANK OF THE OZARKS I COM 06390410 3,529,910 79306 79306 71706 7600 INTERCHANGE FINL SVC COM 45844710 3,529,517 171920 171920 156920 15000 PACIFIC UN BK CALIF COM 69502510 3,526,229 186573 186573 170173 16400 OSI SYSTEMS INC COM 67104410 3,512,003 203006 203006 185706 17300 ENPRO INDS INC COM 29355X10 3,503,712 363079 361314 1653 112 333627 202 29250 CLOSURE MED CORP COM 18909310 3,503,089 143805 143805 128805 15000 ITLA CAP CORP COM 45056510 3,499,976 82082 82082 74882 7200 GARTNER INC CL B 36665120 3,490,996 320569 320259 310 320569 NATIONAL PRESTO INDS COM 63721510 3,490,351 101641 100921 400 320 90421 320 10900 INDEVUS PHARMACEUTIC COM 45407210 3,486,150 651617 651117 400 100 589817 100 61700 ARROW FINL CORP COM 04274410 3,478,863 133751 133751 120322 13429 ROYAL BK CDA MONTREA COM 78008710 3,473,761 79147 79147 55947 23200 SYNOVIS LIFE TECHNOL COM 87162G10 3,473,318 142058 142058 126558 15500 FORRESTER RESH INC COM 34656310 3,470,268 243016 243016 215466 27550 INET TECHNOLOGIES IN COM 45662V10 3,469,155 270394 270394 249594 20800 ENNIS BUSINESS FORMS COM 29338910 3,466,324 258488 252988 5500 235088 23400 WINSTON HOTELS INC COM 97563A10 3,454,123 379574 379574 341331 38243 GREAT SOUTHN BANCORP COM 39090510 3,451,075 88671 88671 80921 7750 QUAKER CITY BANCORP COM 74731K10 3,448,880 86222 86222 78722 7500 VIRGINIA FINL CORP COM 92781010 3,448,096 114669 114669 104269 10400 TRANSMONTAIGNE INC COM 89393410 3,446,852 578331 574831 3500 530351 47980 ADVANTA CORP CL B 00794220 3,446,605 322414 322414 288464 33950 BIOVAIL CORP COM 09067J10 3,436,635 92507 92507 90408 2099 KCS ENERGY INC COM 48243420 3,428,770 504231 504231 453831 50400 GIBRALTAR STL CORP COM 37476F10 3,420,310 157618 157618 145968 11650 SANDERSON FARMS INC COM 80001310 3,417,468 108629 108629 101229 7400 COVENANT TRANS INC CL A 22284P10 3,415,328 186732 186732 174632 12100 FIRST BANCORP N C COM 31891010 3,412,766 121841 120941 900 110141 11700 BIOPURE CORP CL A 09065H10 3,410,595 527140 519270 5870 2000 477040 2000 48100 BANCFIRST CORP COM 05945F10 3,405,939 64263 64263 58906 5357 U S PHYSICAL THERAPY COM 90337L10 3,403,684 278762 278662 100 261112 17650 GEVITY HR INC COM 37439310 3,401,859 230791 230791 209291 21500 PILGRIMS PRIDE CORP CL B 72146710 3,401,462 272117 271717 400 240167 31950 PATHMARK STORES INC COM 70322A10 3,401,262 487986 485086 2900 437536 50450 PENNROCK FINL SVCS C COM 70835210 3,398,523 120515 120515 108927 11588 HARVEST NATURAL RESO COM 41754V10 3,396,860 552335 552335 501485 50850 NASH FINCH CO COM 63115810 3,392,066 218843 218843 202643 16200 MIDAS GROUP INC COM 59562610 3,389,529 257563 253663 3900 238063 19500 BIORELIANCE CORP COM 09095110 3,381,931 132210 132210 132210 CONNECTICUT WTR SVC COM 20779710 3,379,332 125766 125766 114516 11250 NEOPHARM INC COM 64091910 3,375,735 225049 225049 197852 27197 DIAGEO P L C SPON ADR N 25243Q20 3,362,464 76160 61441 14719 69940 6220 SUPERTEX INC COM 86853210 3,354,241 186970 186970 170520 16450 NETWORK EQUIP TECHNO COM 64120810 3,349,769 366095 366095 333895 32200 INFOCUS CORP COM 45665B10 3,347,140 690132 690032 100 622532 100 67500 CASCADE BANCORP COM 14715410 3,345,617 196801 196801 177901 18900 BOYKIN LODGING CO COM 10343010 3,337,438 405029 404929 100 360622 44407 Page Total 179,084,019 Page 47 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ FEDERAL AGRIC MTG CO CL C 31314830 3,335,283 123529 123429 100 112529 100 10900 ADMINISTAFF INC COM 00709410 3,329,153 374483 374483 330783 43700 VOLT INFORMATION SCI COM 92870310 3,329,023 201759 201759 183309 18450 ASIAINFO HLDGS INC COM 04518A10 3,311,207 492007 491807 200 434157 57850 ENCORE ACQUISITION C COM 29255W10 3,308,248 153515 153315 200 142115 11400 PEAPACK-GLADSTONE FI COM 70469910 3,287,299 105803 105803 95683 10120 CEMEX S A SPON ADR 5 15129088 3,286,239 131713 131713 84459 33182 14072 TRIPATH IMAGING INC COM 89694210 3,283,243 380005 380005 329805 50200 LA JOLLA PHARMACEUTI COM 50345910 3,279,724 826127 826127 765227 60900 SOUTHERN FINL BANCOR COM 84287010 3,279,259 83548 83548 75448 8100 GREAT ATLANTIC & PAC COM 39006410 3,267,664 402918 397118 5800 364368 38550 DIVERSA CORP COM 25506410 3,266,795 421522 421515 7 377122 44400 CERADYNE INC COM 15671010 3,264,250 126179 126179 126179 EURONET WORLDWIDE IN COM 29873610 3,258,807 267994 265994 2000 231294 2000 34700 COURIER CORP COM 22266010 3,247,650 63792 63792 57442 6350 CITIZENS INC CL A 17474010 3,245,929 403221 403221 363721 39500 DOV PHARMACEUTICAL I COM 25985810 3,243,309 181698 181698 166498 15200 GRACE W R & CO DEL N COM 38388F10 3,235,466 1,043,699 1,030,500 12999 200 909439 200 134060 CHATTEM INC COM 16245610 3,231,911 233351 232451 900 212951 20400 LEARNING TREE INTL I COM 52201510 3,230,421 192631 192631 170881 21750 MACATAWA BK CORP COM 55422510 3,227,438 139354 139354 125482 13872 CREDIT ACCEP CORP MI COM 22531010 3,221,313 285072 285072 259472 25600 AMERICAN HOME MTG HL COM 02660M10 3,219,386 183232 183232 165132 18100 SOUTHERN PERU COPPER COM 84361110 3,215,672 145374 145374 142779 2595 MAPICS INC COM 56491010 3,204,030 326276 326276 298776 27500 PALATIN TECHNOLOGIES COM NEW 69607730 3,198,974 666453 666453 608653 57800 S Y BANCORP INC COM 78506010 3,191,287 170202 170202 156402 13800 GENENCOR INTL INC COM 36870910 3,189,090 204560 204560 204560 SEACOAST BKG CORP FL COM 81170730 3,187,279 183177 183177 167997 15180 CALGON CARBON CORP COM 12960310 3,183,950 565533 565533 504334 61199 RYERSON TULL INC NEW COM 78375P10 3,174,896 407038 406738 300 372588 300 34150 JOS A BANK CLOTHIERS COM 48083810 3,169,101 72222 72222 65722 6500 BOSTON COMMUNICATION COM 10058210 3,163,230 316323 316123 200 292073 24250 DECODE GENETICS INC COM 24358610 3,159,885 672316 672316 576366 95950 CLARK INC COM 18145710 3,159,805 236867 236867 213517 23350 CURATIVE HEALTH SRVC COM 23126W10 3,158,845 177563 177563 162013 15550 PENN ENGR & MFG CORP COM NON VT 70738930 3,152,778 204593 204593 175143 29450 PARKER DRILLING CO COM 70108110 3,152,023 1,335,603 1,334,603 1000 1,209,753 125850 QUAKER CHEM CORP COM 74731610 3,144,565 135192 134652 540 118652 540 16000 AETHER SYS INC COM 00808V10 3,143,049 687757 679657 8100 558267 129490 STAAR SURGICAL CO COM PAR $0 85231230 3,115,180 293608 293608 267908 25700 SYKES ENTERPRISES IN COM 87123710 3,112,485 470164 470164 403414 66750 CRH PLC ADR 12626K20 3,111,120 172840 31709 141131 73211 92129 7500 METRIS COS INC COM 59159810 3,106,962 754117 754017 100 664917 100 89100 BERKSHIRE HILLS BANC COM 08468010 3,106,925 92221 92221 80621 11600 QUIDEL CORP COM 74838J10 3,096,106 463489 463489 406839 56650 AK STL HLDG CORP COM 00154710 3,095,898 1,547,949 1,547,769 100 80 1,421,169 80 126700 SOUND FED BANCORP IN COM 83607V10 3,093,513 206924 206924 183824 23100 PDI INC COM 69329V10 3,089,093 126034 126034 122734 3300 WORLD ACCEP CORP DEL COM 98141910 3,086,953 228494 228494 208894 19600 INTERTAN INC COM 46112010 3,081,198 336743 336743 286193 50550 LODGENET ENTMT CORP COM 54021110 3,080,702 198755 198755 172405 26350 Page Total 166,313,611 Page 48 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ LANNET INC COM 51601210 3,077,382 175951 175951 166651 9300 INPUT/OUTPUT INC COM 45765210 3,076,083 786722 786722 703872 82850 MONRO MUFFLER BRAKE COM 61023610 3,075,640 104259 104259 95659 8600 SHELL TRANS & TRADIN ADR NY SHS 82270360 3,074,117 81412 81412 81412 BALDWIN & LYONS INC CL B 05775520 3,072,860 131600 131600 113877 17723 VITALWORKS INC COM 92848310 3,067,737 584331 584331 527481 56850 LSI INDS INC COM 50216C10 3,066,195 217615 217015 600 197865 19750 LAWSON PRODS INC COM 52077610 3,066,093 113559 113559 96160 17399 BIG 5 SPORTING GOODS COM 08915P10 3,062,570 200430 200430 180430 20000 FARMERS CAP BK CORP COM 30956210 3,057,667 94140 94140 85390 8750 CENTRAL EUROPEAN DIS COM 15343510 3,056,854 111768 111468 300 102468 9300 MASTEC INC COM 57632310 3,056,256 315078 315078 301778 13300 KENSEY NASH CORP COM 49005710 3,055,327 129793 129793 118493 11300 MISSION WEST PPTYS I COM 60520310 3,053,859 247076 247076 223676 23400 SILICON GRAPHICS INC COM 82705610 3,052,031 3,179,199 3,178,799 400 2,850,749 328450 RIVIANA FOODS INC COM 76953610 3,042,378 107126 107126 98726 8400 HERLEY INDS INC DEL COM 42739810 3,038,542 173631 173631 155881 17750 MIDDLESEX WATER CO COM 59668010 3,034,999 123827 123827 111827 12000 MERIDIAN BIOSCIENCE COM 58958410 3,032,570 302350 301950 400 288150 14200 STMICROELECTRONICS N NY RE- GISTR 86101210 3,031,358 126044 126044 126044 SALEM COMMUNICATIONS CL A 79409310 3,029,765 156254 156254 142204 14050 CITIZENS FIRST BANCO COM 17461R10 3,025,739 146171 146171 125934 20237 BASSETT FURNITURE IN COM 07020310 3,023,484 217846 217206 640 198306 640 18900 OCTEL CORP COM 67572710 3,022,119 173685 173685 157735 15950 SAP AKTIENGESELLSCHA SPON- SORED 80305420 3,007,670 98904 72259 26645 93654 5250 LYDALL INC DEL COM 55081910 3,005,286 250232 250232 229132 21100 PLAYTEX PRODS INC COM 72813P10 3,005,139 504218 504118 100 460568 100 43550 FIRST NATL CORP ORAN COM 32094210 2,989,915 112827 112827 100012 12815 NTT DOCOMO INC SPONS ADR 62942M20 2,989,034 122351 102987 19364 113651 8700 NL INDS INC COM NEW 62915640 2,987,757 183636 182748 888 170548 888 12200 ZYMOGENETICS INC COM 98985T10 2,983,501 203652 203652 187252 16400 STANLEY FURNITURE IN COM NEW 85430520 2,982,322 96235 96235 87835 8400 ALLOY INC COM 01985510 2,978,410 531859 531859 481059 50800 THERAGENICS CORP COM 88337510 2,977,092 522297 522297 476547 45750 UNIVERSAL DISPLAY CO COM 91347P10 2,975,664 286397 286397 258397 28000 PINNACLE ENTMT INC COM 72345610 2,973,523 424789 424569 220 383369 220 41200 PUMATECH INC COM 74588710 2,966,265 623165 623165 565565 57600 MTR GAMING GROUP INC COM 55376910 2,962,374 341681 341681 309431 32250 CROWN MEDIA HLDGS IN CL A 22841110 2,961,127 361996 361916 80 314416 80 47500 PROXIM CORP CL A 74428310 2,957,397 1,971,598 1,971,598 1,802,898 168700 SHOE CARNIVAL INC COM 82488910 2,955,100 206506 206506 191806 14700 ENCORE WIRE CORP COM 29256210 2,938,704 221789 209489 12300 201489 20300 CENTURY ALUM CO COM 15643110 2,934,645 273882 273882 243932 29950 MONOLITHIC SYS TECHN COM 60984210 2,934,294 348491 348491 317291 31200 IMMUNOGEN INC COM 45253H10 2,932,932 659086 659086 587929 71157 UNIBANCO-UNIAO DE BA GDR REP PF 90458E10 2,930,221 147991 147991 84195 47528 16268 SOUNDVIEW TECHNOLOGY COM NEW 83611Q40 2,926,275 302270 302270 269996 32274 SYNTEL INC COM 87162H10 2,913,064 127766 127766 127766 D & E COMMUNICATIONS COM 23286010 2,908,856 205138 205138 186238 18900 WOODHEAD INDS INC COM 97943810 2,907,810 193210 193210 176310 16900 EMS TECHNOLOGIES INC COM 26873N10 2,907,468 171229 171229 154779 16450 NAVIGANT INTL INC COM 63935R10 2,900,448 207027 207027 185577 21450 Page Total 156,043,918 Page 49 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ FINANCIAL INSTNS INC COM 31758540 2,896,464 132138 132138 117438 14700 ASTEC INDS INC COM 04622410 2,895,154 281083 281023 60 257723 60 23300 COACHMEN INDS INC COM 18987310 2,895,063 247230 247230 227330 19900 ACADIA RLTY TR COM SH BEN 00423910 2,892,724 263454 263454 253654 9800 SONIC SOLUTIONS COM 83546010 2,891,504 207425 207425 200825 6600 SIPEX CORP COM 82990910 2,887,402 367822 367822 367822 SUN BANCORP INC COM 86663B10 2,879,844 130902 130902 115572 15330 SIEMENS A G SPON- SORED 82619750 2,871,938 48341 45231 3110 46841 1500 SUPERCONDUCTOR TECHN COM 86793110 2,868,916 745173 745173 745173 UNITED INDL CORP COM 91067110 2,848,771 179168 179168 156168 23000 ENERGY CONVERSION DE COM 29265910 2,847,149 269872 269872 244122 25750 HOLLIS-EDEN PHARMACE COM 43590210 2,843,036 117287 117287 117287 MSC SOFTWARE CORP COM 55353110 2,841,379 394636 394636 352986 41650 NATURES SUNSHINE PRO COM 63902710 2,837,238 341836 341336 500 332636 9200 KANSAS CITY LIFE INS COM 48483610 2,836,439 61931 61931 56631 5300 SEAGATE TECHNOLOGY SHS G7945J10 2,829,480 104025 104025 100825 3200 OPEN JT STK CO-VIMPE SPON- SORED 68370R10 2,828,285 46472 46472 28439 13669 4364 SHORE BANCSHARES INC COM 82510710 2,824,826 81666 81666 72966 8700 E-LOAN INC COM 26861P10 2,824,789 778179 778179 708879 69300 HYPERCOM CORP COM 44913M10 2,823,411 523824 523824 448424 75400 MIM CORP COM 55304410 2,818,425 375790 375790 344740 31050 INTEGRAL SYS INC MD COM 45810H10 2,817,275 155909 155809 100 141559 14350 RESOURCE AMERICA INC CL A 76119520 2,816,524 237481 237481 211431 26050 GSI COMMERCE INC COM 36238G10 2,814,860 282333 282333 249043 33290 WATCHGUARD TECHNOLOG COM 94110510 2,813,158 524843 524843 476943 47900 PAXSON COMMUNICATION COM 70423110 2,811,094 566753 566753 494653 72100 KIRKLANDS INC COM 49749810 2,802,586 174616 174616 158416 16200 FIRST OAK BROOK BANC COM 33584720 2,799,743 112984 112984 103834 9150 OPTION CARE INC COM 68394810 2,798,508 233209 233209 201759 31450 ORTHOLOGIC CORP COM 68750J10 2,779,790 511932 511632 300 460932 51000 HORIZON ORGANIC HOLD COM 44043T10 2,776,118 116107 116107 101807 14300 MIDLAND CO COM 59748610 2,771,708 130372 130372 120272 10100 QUIXOTE CORP COM 74905610 2,769,417 110116 110116 100216 9900 EXACTECH INC COM 30064E10 2,768,796 167400 167400 158100 9300 LAKELAND BANCORP INC COM 51163710 2,767,484 173510 173510 156147 17363 INTEGRATED DEFENSE T COM 45819B10 2,759,739 164466 161066 3400 150066 14400 MERIDIAN RESOURCE CO COM 58977Q10 2,759,568 640271 640271 593171 47100 ABC BANCORP COM 00040010 2,759,374 176883 176883 160683 16200 TORONTO DOMINION BK COM NEW 89116050 2,758,995 97491 97491 97491 SS&C TECHNOLOGIES IN COM 85227Q10 2,755,681 137853 137853 120053 17800 DEPARTMENT 56 INC COM 24950910 2,746,387 216251 216251 190051 26200 CNA SURETY CORP COM 12612L10 2,743,459 272981 272981 250281 22700 CONSOLIDATED TOMOKA COM 21022610 2,743,127 94558 94558 85558 9000 GROUP 1 SOFTWARE INC COM 39943Y10 2,742,884 152552 151952 600 137952 600 14000 COLDWATER CREEK INC COM 19306810 2,741,320 281739 281514 225 281739 DEB SHOPS INC COM 24272810 2,736,459 149943 149843 100 140643 9300 INNOVEX INC COM 45764710 2,736,409 275016 275016 252516 22500 VALENCE TECHNOLOGY I COM 91891410 2,734,669 801956 800196 1760 722996 1760 77200 ETHYL CORP COM NEW 29765960 2,733,332 217276 217276 194876 22400 UNIVERSAL ELECTRS IN COM 91348310 2,731,026 236248 235948 300 211448 24800 NBC CAP CORP COM 62872910 2,725,618 112443 112443 96911 15532 WILLOW GROVE BANCORP COM 97111W10 2,722,202 169186 168686 500 147986 21200 Page Total 145,719,547 Page 50 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ SBS TECHNOLOGIES INC COM 78387P10 2,721,532 250371 250371 225271 25100 ING GROUP N V SPON- SORED 45683710 2,721,202 147092 103946 43146 138092 9000 YARDVILLE NATL BANCO COM 98502110 2,714,763 129583 129583 115483 14100 HORIZON FINL CORP WA COM 44041F10 2,713,682 168134 168134 152434 15700 PDF SOLUTIONS INC COM 69328210 2,710,800 240960 240960 220160 20800 APPLIED SIGNAL TECHN COM 03823710 2,703,703 135524 135524 122924 12600 GLADSTONE CAPITAL CO COM 37653510 2,697,053 138666 138666 125866 12800 BUILDING MATLS HLDG COM 12011310 2,696,176 205815 205815 188665 17150 MAGNA ENTMT CORP CL A 55921110 2,695,198 655766 655766 577566 78200 REPUBLIC BANCORP KY CL A 76028120 2,687,889 140580 140580 124380 16200 BUCKLE INC COM 11844010 2,685,460 139432 139332 100 129233 10199 CSS INDS INC COM 12590610 2,685,081 104275 102325 1950 89875 14400 SANTANDER BANCORP COM 80280910 2,684,297 143010 143010 129810 13200 HUMBOLDT BANCORP COM 44506910 2,682,552 173628 173628 153928 19700 PETROLEUM DEV CORP COM 71657810 2,679,216 223268 223268 223268 COLLAGENEX PHARMACEU COM 19419B10 2,672,063 248564 247564 1000 248564 ALLIANCE SEMICONDUCT COM 01877H10 2,662,967 489516 489516 414766 74750 RAVEN INDS INC COM 75421210 2,662,728 108241 108241 97841 10400 HUDSON HIGHLAND GROU COM 44379210 2,662,238 138370 137969 394 7 122585 29 15756 DOVER DOWNS GAMING & COM 26009510 2,656,177 323136 322936 200 293536 29600 TWEETER HOME ENTMT G COM 90116710 2,653,939 345565 345165 400 312065 33500 AXA SPON- SORED 05453610 2,651,918 156087 110840 45247 144264 11823 LAKELAND FINL CORP COM 51165610 2,650,345 78459 78459 69959 8500 GREEN MTN COFFEE ROA COM 39312210 2,641,933 133431 133431 131631 1800 RADIO ONE INC CL A 75040P10 2,634,901 179245 176025 3120 100 173345 100 5800 CAPITAL CORP OF THE COM 14006510 2,634,492 82097 82097 74297 7800 KOSAN BIOSCIENCES IN COM 50064W10 2,632,260 330686 330686 290786 39900 DURA AUTOMOTIVE SYST CL A 26590310 2,632,118 276483 276483 251083 25400 COLUMBIA BANCORP COM 19722710 2,629,095 98064 98064 88864 9200 NARA BANCORP INC COM 63080P10 2,628,504 153355 153355 138955 14400 LTC PPTYS INC COM 50217510 2,626,332 226799 226799 222699 4100 CARDIODYNAMICS INTL COM 14159710 2,622,362 584045 584045 519845 64200 SAUER-DANFOSS INC COM 80413710 2,619,469 185778 185718 60 185778 ADVANCED MARKETING S COM 00753T10 2,616,074 255976 255976 232176 23800 TENARIS S A SPON- SORED 88031M10 2,615,628 99378 99378 58738 31860 8780 AMERICANWEST BANCORP COM 03058P10 2,599,569 142053 142053 127653 14400 FIRSTBANK CORP MICH COM 33761G10 2,599,241 81995 81995 72995 9000 SAFETY INS GROUP INC COM 78648T10 2,595,192 167216 167216 153116 14100 ABN AMRO HLDG NV SPON- SORED 00093710 2,594,831 140489 140489 140489 HICKORY TECH CORP COM 42906010 2,588,899 223181 222981 200 204181 19000 SIGMA DESIGNS INC COM 82656510 2,585,415 298892 298792 100 273492 25400 MATERIAL SCIENCES CO COM 57667410 2,573,283 251789 251789 251789 CPI CORP COM 12590210 2,572,780 139825 137225 2600 137725 2100 VASTERA INC COM 92239N10 2,565,188 499064 499064 430617 68447 DATASTREAM SYS INC COM 23812410 2,553,532 329488 329488 299388 30100 LASERSCOPE COM 51808110 2,551,630 217160 217160 196460 20700 BOSTON BEER INC CL A 10055710 2,539,446 159513 144943 14570 147013 12500 DOBSON COMMUNICATION CL A 25606910 2,536,517 312379 312379 288479 23900 GERBER SCIENTIFIC IN COM 37373010 2,532,144 356640 352622 2018 2000 318340 2000 36300 MATRIA HEALTHCARE IN COM NEW 57681720 2,531,179 146650 146650 133150 13500 UNILEVER N V N Y SHS NE 90478470 2,522,488 42624 42624 42354 270 CRAWFORD & CO CL B 22463310 2,516,915 358535 358535 318875 39660 Page Total 136,842,396 Page 51 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ IXYS CORP COM 46600W10 2,515,316 268186 267986 200 244086 24100 JNI CORP COM 46622G10 2,510,020 361154 361154 361154 NORTEL NETWORKS CORP NOTE 4.25 656568AB 2,502,500 2,750,000 2,750,000 2,750,000 CFS BANCORP INC COM 12525D10 2,499,948 179594 179594 154994 24600 NYFIX INC COM 67071210 2,499,128 446273 445253 1020 399253 1020 46000 GERMAN AMERN BANCORP COM 37386510 2,488,919 141738 141738 126690 15048 ENCANA CORP COM 29250510 2,483,626 68269 43339 24930 64797 3472 TRICO BANCSHARES COM 89609510 2,481,936 86781 86781 78881 7900 SM&A COM 78465D10 2,481,175 215193 215193 194993 20200 ARACRUZ CELULOSE S A SPON ADR P 03849620 2,479,822 90836 90836 53061 28039 9736 ASPEN TECHNOLOGY INC COM 04532710 2,478,874 609060 609060 529060 80000 WACKENHUT CORRECTION COM 92979810 2,477,382 145301 145301 145301 GUILFORD PHARMACEUTI COM 40182910 2,471,437 399263 399263 354113 45150 AAON INC COM PAR $0 00036020 2,466,381 149932 149932 138332 11600 L S B BANCSHARES N C COM 50215810 2,464,919 133963 133963 121113 12850 MAINSOURCE FINANCIAL COM 56062Y10 2,462,952 95058 95058 81498 13560 ENDESA S A SPON- SORED 29258N10 2,459,574 158172 131184 26988 154092 4080 HEICO CORP NEW COM 42280610 2,450,271 180167 180167 180167 STANDARD COML CORP COM 85325810 2,445,176 132890 132690 200 132190 700 VERINT SYS INC COM 92343X10 2,440,525 113990 113990 106490 7500 YOUNG INNOVATIONS IN COM 98752010 2,433,784 76032 75932 100 66832 9200 SFBC INTL INC COM 78412110 2,432,812 85566 85566 79266 6300 WAYNE BANCORP INC OH COM 94429310 2,423,013 85018 85018 77318 7700 AVATAR HLDGS INC COM 05349410 2,417,760 75555 75555 68555 7000 HEARTLAND FINL USA I COM 42234Q10 2,417,085 86883 86883 86883 RENT WAY INC COM 76009U10 2,415,839 449877 449877 383577 66300 PARTNERS TRUST FINCL COM 70213A10 2,412,458 109907 109907 99607 10300 INFONET SVCS CORP CL B 45666T10 2,408,762 1,158,059 1,157,259 800 1,034,059 124000 VITAL IMAGES INC COM 92846N10 2,407,672 128615 128615 116215 12400 MERCANTILE BANK CORP COM 58737610 2,403,680 72400 72400 64800 7600 E ON AG SPON- SORED 26878010 2,402,912 49240 38996 10244 47470 1770 CHESAPEAKE UTILS COR COM 16530310 2,400,938 104753 98253 6500 88353 16400 1 800 FLOWERS COM CL A 68243Q10 2,397,240 318782 318782 291082 27700 METROLOGIC INSTRS IN COM 59167610 2,397,132 66587 66587 62987 3600 APEX MORTGAGE CAPITA COM 03756410 2,387,692 443809 443809 405759 38050 PROVIDENT BANCORP IN COM 74383510 2,385,727 56776 56776 50576 6200 REED ELSEVIER N V SPON- SORED 75820410 2,382,036 104567 104567 22858 81709 FLORIDAFIRST BANCORP COM 34325810 2,378,871 90417 90417 80317 10100 AVANT IMMUNOTHERAPEU COM 05349110 2,376,057 985916 985916 895616 90300 DARLING INTL INC COM 23726610 2,372,595 895319 895319 793819 101500 RYANAIR HLDGS PLC SPON- SORED 78351310 2,370,046 58592 56318 2274 53131 5461 REPLIGEN CORP COM 75991610 2,369,918 439688 439688 393388 46300 MCMORAN EXPLORATION COM 58241110 2,368,626 226014 225440 574 208040 574 17400 QUALITY SYS INC COM 74758210 2,367,659 58897 58897 53197 5700 MATRIX SVC CO COM 57685310 2,359,550 132336 131936 400 119636 12700 CHARTER FINL CORP WE COM 16122M10 2,350,739 76199 76199 76199 OVERLAND STORAGE INC COM 69031010 2,350,332 158485 158485 147085 11400 FARGO ELECTRONICS IN COM 30744P10 2,350,216 187867 187867 170667 17200 TEEKAY SHIPPING MARS COM Y8564W10 2,348,073 55510 34000 18760 2750 52760 2750 C & F FINL CORP COM 12466Q10 2,344,838 52693 52693 46193 6500 ULTICOM INC COM 90384410 2,343,696 223018 223018 223018 F N B CORP VA COM 30293010 2,338,163 85647 85647 75597 10050 Page Total 125,875,802 Page 52 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ EXCHANGE NATL BANCSH COM 30130910 2,336,761 67439 67439 58889 8550 STEIN MART INC COM 85837510 2,335,348 432472 432472 396672 35800 DIGIMARC CORP COM 25380710 2,328,064 157408 157408 142308 15100 ASSOCIATED ESTATES R COM 04560410 2,324,836 356570 356070 500 343538 13032 SBA COMMUNICATIONS C COM 78388J10 2,320,960 736813 736713 100 674713 100 62000 PLUG POWER INC COM 72919P10 2,310,423 450375 450175 200 330295 120080 ARENA PHARMACEUTICAL COM 04004710 2,309,731 320796 320796 272546 48250 COMPANHIA SIDERURGIC SPON- SORED 20440W10 2,304,573 64881 64881 36793 21874 6214 TRADESTATION GROUP I COM 89267P10 2,302,182 308108 308108 279908 28200 SUMMIT BANCSHARES IN COM 86601110 2,296,188 85044 85044 74744 10300 STATE BANCORP INC N. COM 85571610 2,293,788 115150 115150 103600 11550 DRIL-QUIP INC COM 26203710 2,290,254 135518 135418 100 125518 10000 GENE LOGIC INC COM 36868910 2,289,097 493340 493240 100 442015 51325 KLAMATH FIRST BANCOR COM 49842P10 2,284,129 106288 106288 95188 11100 GULF ISLAND FABRICAT COM 40230710 2,281,128 151570 151220 350 139570 12000 HEALTHEXTRAS INC COM 42221110 2,277,982 264574 264574 235874 28700 OPNET TECHNOLOGIES I COM 68375710 2,275,028 182148 182148 182148 GLOBAL POWER EQUIPME COM 37941P10 2,272,302 431177 425477 5700 385627 45550 SHENANDOAH TELECOMMU COM 82312B10 2,265,120 58758 58758 52658 6100 NATIONAL BANKSHARES COM 63486510 2,260,709 52845 52845 46245 6600 MASSBANK CORP READ M COM 57615210 2,260,215 61469 61369 100 55069 6400 PENN-AMER GROUP INC COM 70724710 2,257,006 150668 150668 130768 19900 CHEROKEE INC DEL NEW COM 16444H10 2,255,934 106412 94612 11800 84012 11800 10600 CAMCO FINL CORP COM 13261810 2,240,226 131778 131778 117578 14200 MERCHANTS BANCSHARES COM 58844810 2,239,634 79195 60865 18330 60865 18330 SOUTHSIDE BANCSHARES COM 84470P10 2,236,958 133311 133311 117036 16275 CNB FINL CORP PA COM 12612810 2,222,561 52605 52605 45905 6700 STELLENT INC COM 85856W10 2,220,785 286553 286453 100 286453 100 FIRST LONG IS CORP COM 32073410 2,218,537 58707 58707 52857 5850 SOUTHWEST WTR CO COM 84533110 2,217,643 157615 157305 310 141715 15900 PENNFED FINL SVCS IN COM 70816710 2,214,451 76098 76098 68798 7300 CRIIMI MAE INC COM NEW 22660350 2,212,330 213134 213134 195034 18100 COASTAL FINL CORP DE COM 19046E10 2,212,084 158119 158119 141476 16643 OMNOVA SOLUTIONS INC COM 68212910 2,208,141 629100 629100 567200 61900 CEPHEID COM 15670R10 2,207,110 469598 469598 399498 70100 NEOSE TECHNOLOGIES I COM 64052210 2,205,029 235832 235732 100 204332 100 31400 RESOURCES BANKSHARES COM 76121R10 2,199,454 75453 75453 66303 9150 APPLICA INC COM 03815A10 2,195,853 362951 362951 316151 46800 OSTEOTECH INC COM 68858210 2,193,774 265912 265912 243612 22300 TEPPCO PARTNERS L P UT LTD PAR 87238410 2,188,606 61860 58660 800 2400 58760 2400 700 LLOYDS TSB GROUP PLC SPON- SORED 53943910 2,186,396 79074 78754 320 79074 BONE CARE INTL INC COM 09807210 2,182,802 171604 171604 152604 19000 BRUSH ENGINEERED MAT COM 11742110 2,179,119 212597 212597 212597 KMART HLDG CORPORATI COM 49878010 2,168,386 86979 86979 86979 COLE NATIONAL CORP N CL A 19329010 2,163,330 173622 173622 172922 700 PENNS WOODS BANCORP COM 70843010 2,162,837 49595 49595 44295 5300 REGISTER COM INC COM 75914G10 2,160,145 478968 478968 438469 40499 SKECHERS U S A INC CL A 83056610 2,160,051 291112 291112 264012 27100 FIRST UTD CORP COM 33741H10 2,157,584 95680 95680 85280 10400 GLAMIS GOLD LTD COM 37677510 2,155,652 163307 163307 156116 7191 MTC TECHNOLOGIES INC COM 55377A10 2,154,654 93803 93803 85203 8600 ON SEMICONDUCTOR COR COM 68218910 2,153,796 538449 538449 538449 Page Total 116,349,686 Page 53 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ SEMITOOL INC COM 81690910 2,146,886 269371 269371 236171 33200 WARWICK VALLEY TEL C COM 93675010 2,140,045 27440 27440 23990 3450 FIRST DEFIANCE FINL COM 32006W10 2,137,099 91721 91721 81521 10200 NET2PHONE COM 64108N10 2,135,840 338485 338485 338485 BEBE STORES INC COM 07557110 2,135,317 78794 78794 78794 LUFKIN INDS INC COM 54976410 2,130,432 88768 88768 80868 7900 SANFILIPPO JOHN B & COM 80042210 2,126,042 99955 99955 85655 14300 KINDER MORGAN MANAGE SHS 49455U10 2,123,282 55627 55627 55627 ICT GROUP INC COM 44929Y10 2,122,143 198146 198146 198146 DAVE & BUSTERS INC COM 23833N10 2,117,710 205603 205603 179953 25650 OMEGA HEALTHCARE INV COM 68193610 2,116,792 275624 275624 275624 NN INC COM 62933710 2,116,138 164552 164552 164552 AMDOCS LTD ORD G0260210 2,115,000 112500 110300 2200 21443 91057 STATE FINL SVCS CORP CL A 85685510 2,114,427 85328 85328 76328 9000 THREE FIVE SYS INC COM 88554L10 2,113,162 383514 383514 339614 43900 CENTRAL COAST BANCOR COM 15314510 2,107,584 124783 124783 113343 11440 IPAYMENT INC COM 46262E10 2,105,347 93571 93571 93571 SIZELER PPTY INVS IN COM 83013710 2,105,044 200863 200863 200863 B A S F A G SPON- SORED 05526250 2,104,943 48102 48102 48102 LUMINEX CORP DEL COM 55027E10 2,104,351 315495 315495 278495 37000 GREAT AMERN FINL RES COM 38991510 2,099,860 145018 145018 145018 KINDER MORGAN ENERGY UT LTD PAR 49455010 2,099,211 49047 19611 18836 10600 36747 10600 1700 NORTEL NETWORKS CORP COM 65656810 2,093,111 510515 510515 507635 2880 AO TATNEFT SPON ADR R 03737P30 2,090,799 96662 96662 59286 27738 9638 UNITED SEC BANCSHARE SHS 91145910 2,089,625 82366 82366 74366 8000 SEEBEYOND TECHNOLOGI COM 81570410 2,089,138 819270 819270 705870 113400 IBT BANCORP INC COM 44923F10 2,080,049 41676 41676 36176 5500 OVERSTOCK COM INC DE COM 69037010 2,079,742 139655 139655 125955 13700 INTERPOOL INC COM 46062R10 2,078,227 130624 124519 6105 130624 DUCOMMUN INC DEL COM 26414710 2,078,021 127486 127486 112686 14800 TIER TECHNOLOGIES IN CL B 88650Q10 2,076,858 233093 233093 208243 24850 MANULIFE FINL CORP COM 56501R10 2,073,806 71758 71758 52458 19300 CITIZENS SOUTH BKG C COM 17668210 2,070,758 140581 140581 124381 16200 WHITEHALL JEWELLERS COM 96506310 2,058,525 183633 183593 40 163033 20600 PATRIOT BANK CORP PA COM 70335P10 2,058,111 109474 109474 96274 13200 ULTIMATE ELECTRS INC COM 90384910 2,052,913 218395 218395 194945 23450 COASTAL BANCORP INC COM 19041P10 2,052,129 64634 64634 58234 6400 AMERICAN MTG ACCEP C SH BEN INT 02756810 2,051,869 124055 123455 600 105555 18500 GREENE CNTY BANCSHAR COM NEW 39436120 2,044,255 85713 85713 76413 9300 CHRONIMED INC COM 17116410 2,039,019 225306 225306 204306 21000 QAD INC COM 74727D10 2,028,468 187474 187474 187474 ACETO CORP COM 00444610 2,024,415 143984 143984 130184 13800 PROGENICS PHARMACEUT COM 74318710 2,020,671 117961 117961 117961 DREXLER TECHNOLOGY C COM 26187610 2,018,809 143995 143045 950 132395 11600 TRIARC COS INC CL A 89592710 2,014,735 200073 198773 800 500 174292 500 25281 ENERGYSOUTH INC COM 29297010 2,014,629 64283 64283 64283 FFLC BANCORP INC COM 30242W10 2,010,124 69243 69243 60943 8300 MATSUSHITA ELEC INDL ADR 57687920 2,004,328 167586 155116 12470 167586 WORLD WRESTLING ENTM CL A 98156Q10 1,995,723 199174 196774 2400 169324 29850 BROADVISION INC COM NEW 11141260 1,989,956 405865 405850 15 367050 15 38800 A S V INC COM 00196310 1,985,810 104242 104242 104242 PARTHUSCEVA INC COM 70212E10 1,985,612 231154 231088 66 231088 66 Page Total 107,966,890 Page 54 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ SAFLINK CORP COM NEW 78657830 1,980,838 430617 430517 100 385217 45400 INSURANCE AUTO AUCTI COM 45787510 1,977,997 175822 175722 100 155622 20200 NELSON THOMAS INC COM 64037610 1,976,059 143089 143049 40 143049 40 AMERICAN NATL BANKSH COM 02774510 1,973,953 79053 79053 71053 8000 HEXCEL CORP NEW COM 42829110 1,973,874 334555 334555 334555 COMMERCIAL CAP BANCO COM 20162L10 1,966,082 125789 125789 125789 WILSONS THE LEATHER COM 97246310 1,965,084 245943 245943 245943 NS GROUP INC COM 62891610 1,961,650 303661 303661 271411 32250 CAPSTEAD MTG CORP COM NO PAR 14067E50 1,956,034 157364 157314 50 142464 50 14850 BLUE RHINO CORP COM 09581110 1,951,254 176106 172706 3400 158306 3400 14400 RAINDANCE COMM COM 75086X10 1,950,000 706522 706522 630172 76350 CREDIT SUISSE GROUP SPON- SORED 22540110 1,938,117 60623 60623 60623 F N B CORP N C COM 30251910 1,935,047 77557 77557 68957 8600 CEDAR FAIR L P DEPO- SITRY 15018510 1,928,136 68862 53362 6300 9200 58662 9200 1000 CELESTICA INC SUB VTG SH 15101Q10 1,927,370 121524 121524 121524 ROYAL BANCSHARES PA CL A 78008110 1,922,540 71603 71603 70003 1600 VALUE LINE INC COM 92043710 1,919,079 39906 39906 32835 7071 CHICAGO PIZZA & BREW COM 16788910 1,915,156 162992 162992 162992 PARKVALE FINL CORP COM 70149210 1,912,056 75725 75225 500 75725 YADKIN VY BK&TR CO E COM 98430810 1,907,787 108397 108397 97497 10900 SPECIALTY LABORATORI COM 84749R10 1,907,166 146143 145748 395 125843 20300 RPC INC COM 74966010 1,906,390 190639 190639 172539 18100 1-800 CONTACTS INC COM 68197710 1,900,370 94171 94171 84171 10000 VIVUS INC COM 92855110 1,894,053 541158 541158 485333 55825 FIRST M & F CORP COM 32074410 1,892,729 53092 53092 47492 5600 RADIANT SYSTEMS INC COM 75025N10 1,891,597 310098 310098 282848 27250 DIGITAS INC COM 25388K10 1,890,162 260353 235429 23189 1735 258618 1735 CRYOLIFE INC COM 22890310 1,883,038 305688 300088 5600 279088 26600 CENTER BANCORP INC COM 15140810 1,879,595 116963 116963 102763 14200 NASB FINL INC COM 62896810 1,873,131 56065 56065 49165 6900 SONY CORP ADR NEW 83569930 1,872,170 53798 50188 3610 53798 COMPANHIA BRASILEIRA SPON ADR P 20440T20 1,868,893 98988 98988 53277 34720 10991 COMPUTER HORIZONS CO COM 20590810 1,867,841 504822 504822 444522 60300 COLLINS & AIKMAN COR COM NEW 19483020 1,867,777 552597 552595 2 487245 2 65350 AVENTIS SPON- SORED 05356110 1,867,266 35703 33234 2469 34203 1500 NATIONAL AUSTRALIA B SPON- SORED 63252540 1,863,438 17861 17861 17861 GA FINL INC COM 36143710 1,861,714 68622 68622 60722 7900 KFX INC COM 48245L10 1,861,079 370733 370733 370733 WESTERN SIERRA BANCO COM 95952210 1,860,219 52107 52107 45387 6720 AMERICAS CAR MART IN COM 03062T10 1,850,676 62020 62020 62020 HERITAGE COMMERCE CO COM 42692710 1,847,455 169336 169336 152336 17000 EVERTRUST FINL GROUP COM 30041210 1,846,885 65077 65077 54577 10500 TELLIUM INC COM 87967E10 1,846,728 1,347,977 1,335,977 2000 10000 1,334,427 10000 3550 NIC INC COM 62914B10 1,831,671 388066 388066 388066 POMEROY IT SOLUTIONS COM 73182210 1,831,467 144210 144210 144210 IGATE CORP COM 45169U10 1,829,507 310086 309286 800 310086 PRINCETON REVIEW INC COM 74235210 1,827,676 282922 275307 7615 240007 7615 35300 INTELIDATA TECHNOLOG COM 45814T10 1,827,267 774266 772578 1688 696266 78000 FRANKLIN FINL CORP T COM NEW 35352320 1,824,431 59024 59024 52824 6200 NEOFORMA COM INC COM NEW 64047550 1,815,302 129203 129203 129203 BANCO SANTANDER CENT ADR 05964H10 1,815,055 213285 210695 2590 213285 CHARLOTTE RUSSE HLDG COM 16104810 1,807,419 175819 175819 156969 18850 Page Total 98,448,280 Page 55 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ BHA GROUP HLDGS INC COM 05544610 1,806,757 76042 76042 76042 INFOSYS TECHNOLOGIES SPON- SORED 45678810 1,806,154 26533 26533 12572 13961 DEL LABS INC COM 24509110 1,804,892 63890 63890 63890 APHTON CORP COM 03759P10 1,801,079 321048 321048 321048 MOTHERS WK INC COM 61990310 1,794,544 58722 58722 57622 1100 KONINKLIJKE PHILIPS NY REG SH 50047230 1,794,360 78288 77406 882 78288 EASTERN VA BANKSHARE COM 27719610 1,793,551 64170 64170 64170 GRUPO AEROPORTUARIO SPON ADR S 40051E20 1,784,697 121408 121408 67779 41806 11823 EMBARCADERO TECHNOLO COM 29078710 1,784,417 177554 177554 177554 REX STORES CORP COM 76162410 1,783,543 136670 136670 119870 16800 OAK HILL FINL INC COM 67133710 1,780,797 61428 61428 61428 MARTHA STEWART LIVIN CL A 57308310 1,779,126 192338 191338 900 100 166388 100 25850 AMERICAN LD LEASE IN COM 02711810 1,776,458 96285 96285 79685 16600 CHECK POINT SOFTWARE ORD M2246510 1,773,470 105313 105313 71213 34100 PLAINS ALL AMERN PIP UNIT LTD P 72650310 1,772,619 58989 53989 3000 2000 56189 2000 800 CANDELA CORP COM 13690710 1,771,376 138497 138497 124297 14200 ENSTAR GROUP INC GA COM 29358R10 1,769,625 45086 45086 39386 5700 HERITAGE FINL CORP W COM 42722X10 1,767,555 81155 81155 72955 8200 GROUPE DANONE SPON- SORED 39944910 1,765,520 57848 57848 57848 SEATTLE GENETICS INC COM 81257810 1,764,791 290740 287885 2855 287885 2855 IMPAC MED SYS INC COM 45255A10 1,752,915 97983 97983 88783 9200 MITSUBISHI TOKYO FIN SPON- SORED 60681610 1,747,822 271401 266696 4705 271401 COBIZ INC COM 19089710 1,747,584 109224 109224 109224 MEDIS TECHNOLOGIES L COM 58500P10 1,745,434 168641 168641 168641 CENTER FINL CORP CAL COM 15146E10 1,745,380 85937 63937 22000 63937 22000 NATIONAL HEALTHCARE COM 63590610 1,742,045 121992 121992 110292 11700 MUTUALFIRST FINL INC COM 62845B10 1,739,865 68230 68230 68230 RCN CORP COM 74936110 1,739,670 945473 945473 945473 PERINI CORP COM 71383910 1,732,040 252484 252434 50 227334 50 25100 FIRST CTZNS BANC COR COM NO PAR 31945920 1,728,197 65215 65215 58215 7000 HI-TECH PHARMACAL IN COM 42840B10 1,715,242 72958 72858 100 62758 10200 TURNSTONE SYSTEMS IN COM 90042310 1,715,040 597575 597575 518122 79453 ASML HLDG NV N Y SHS N0705911 1,714,915 130710 80699 50011 122510 8200 DYNACQ INTL INC COM PAR $. 26791930 1,712,489 94665 94665 89165 5500 MARINEMAX INC COM 56790810 1,701,805 117285 117285 117285 WARWICK CMNTY BANCOR COM 93655910 1,693,552 60119 58319 1800 54119 6000 VIRAGE LOGIC CORP COM 92763R10 1,692,770 222733 222733 177493 45240 MERIDIAN GOLD INC COM 58997510 1,691,536 144206 144206 144206 CHOLESTECH CORP COM 17039310 1,690,162 218933 218833 100 192983 25950 BANCO BILBAO VIZCAYA SPON- SORED 05946K10 1,684,354 162897 162897 162897 COMMERCIAL BANKSHARE COM 20160710 1,680,118 56060 56060 50060 6000 SUN BANCORP INC COM 86663410 1,674,399 91899 87199 4700 81599 10300 INTERLAND INC COM NEW 45872720 1,670,875 217279 217279 179489 37790 MAIL-WELL INC COM 56032120 1,669,381 476966 476966 476966 PAIN THERAPEUTICS IN COM 69562K10 1,668,870 271361 271361 262961 8400 SOURCE INTERLINK COS COM NEW 83615120 1,664,758 177669 177669 177669 BRIGHTPOINT INC COM NEW 10947340 1,655,914 50516 50516 50516 MANUFACTURERS SVCS L COM 56500510 1,653,060 330612 328712 1900 330612 NEWS CORP LTD ADR NEW 65248770 1,650,102 50308 50308 50308 COMPUTER PROGRAMS & COM 20530610 1,648,723 91342 91342 82042 9300 WEYCO GROUP INC COM 96214910 1,647,769 33295 33295 29495 3800 FIRST SOUTH BANCORP COM 33646W10 1,646,401 51210 51210 45610 5600 Page Total 90,038,518 Page 56 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ SUMMIT AMER TELEVISI COM 86600T10 1,645,561 565485 565485 488585 76900 BRUKER BIOSCIENCES C COM 11679410 1,645,432 373962 368162 5800 373962 GALYANS TRADING INC COM 36458R10 1,634,193 160215 160215 140363 19852 ESB FINL CORP COM 26884F10 1,630,807 112006 112006 96806 15200 BUCKEYE PARTNERS L P UNIT LTD P 11823010 1,623,594 40600 30800 8800 1000 38900 1000 700 MEDICAL ACTION INDS COM 58449L10 1,620,038 125390 125390 113290 12100 VIRGINIA COMM BANCOR COM 92778Q10 1,619,938 74241 74241 74241 NUVELO INC COM 67072M10 1,609,007 611790 611790 611790 P A M TRANSN SVCS IN COM 69314910 1,608,111 78368 78368 78368 DREYERS GRAND ICE CR COM A CALL 26187710 1,607,921 20678 20478 100 100 19928 100 650 SUREBEAM CORP CL A 86866R10 1,597,978 1,125,337 1,124,268 1069 1,005,425 1069 118843 NATIONAL HEALTH REAL COM 63590510 1,597,503 105655 105655 103205 2450 WESCO INTL INC COM 95082P10 1,592,325 304460 304460 304460 TRITON PCS HLDGS INC CL A 89677M10 1,591,881 356924 356724 100 100 356124 100 700 DREW INDS INC COM NEW 26168L20 1,580,550 85389 85389 85389 NASSDA CORP COM 63172M10 1,575,495 200190 200190 200190 HORIZON OFFSHORE INC COM 44043J10 1,573,517 382851 382851 382851 FINANCIAL INDS CORP COM 31757410 1,572,621 110748 110748 96548 14200 PAB BANKSHARES INC COM 69313P10 1,570,048 116042 116042 100342 15700 KOREA ELECTRIC PWR SPON- SORED 50063110 1,561,862 148466 148466 59712 88754 AVI BIOPHARMA INC COM 00234610 1,561,071 301948 301948 301948 COLUMBIA BANCORP ORE COM 19723110 1,560,330 108507 108507 94707 13800 DAIMLERCHRYSLER AG ORD D1668R12 1,557,435 44422 44422 44422 COCA-COLA FEMSA S A SPON ADR R 19124110 1,554,638 73332 73332 39922 25760 7650 TAYLOR CAP GROUP INC COM 87685110 1,551,299 67214 67214 57614 9600 DEUTSCHE BANK AG NAM ORD D1819089 1,548,262 25511 25511 25511 NETRATINGS INC COM 64116M10 1,544,574 165496 161296 4200 161296 4200 G B & T BANCSHARES I COM 36146210 1,544,220 69372 69372 60672 8700 RESEARCH FRONTIERS I COM 76091110 1,529,976 133401 132901 500 133401 ARDEN GROUP INC CL A 03976210 1,525,492 24906 24906 23806 1100 FIRST CONSULTING GRO COM 31986R10 1,517,485 304716 304716 272016 32700 MIDWAY GAMES INC COM 59814810 1,516,872 512457 512457 455307 57150 MARITRANS INC COM 57036310 1,512,870 100858 100858 100858 UNITED MOBILE HOMES COM 91102410 1,509,004 100133 100133 83833 16300 CAVALRY BANCORP INC COM 14954710 1,498,689 89474 89474 89474 WESTFIELD FINANCIAL COM 96008D10 1,498,475 67136 67136 67136 RAYTECH CORP DEL COM 75510310 1,491,865 425033 425033 366983 58050 SEABULK INTL INC COM 81169P10 1,487,816 204090 204090 185490 18600 KANA SOFTWARE INC COM NEW 48360030 1,486,358 379173 379173 379173 FINLAY ENTERPRISES I COM NEW 31788420 1,471,819 101365 101365 85865 15500 FIRST ALBANY COS INC COM 31846510 1,464,043 115279 115279 115279 CYBERGUARD CORP COM 23191010 1,463,541 153895 153695 200 141795 12100 BANCTRUST FINANCIAL COM 05978R10 1,460,894 96748 96748 96748 ASPECT MED SYS INC COM 04523510 1,458,974 140421 140221 200 140221 200 GUNDLE/SLT ENVIRONME COM 40280910 1,457,144 94928 94928 94928 DIODES INC COM 25454310 1,456,927 70759 70759 70759 M & F WORLDWIDE CORP COM 55254110 1,456,287 151224 151183 41 151183 41 DEUTSCHE TELEKOM AG SPON- SORED 25156610 1,450,642 100460 100460 100460 TV AZTECA S A DE C V SPON- SORED 90114510 1,450,087 193345 193345 110945 65400 17000 PARTY CITY CORP COM 70214510 1,448,398 116995 116994 1 116995 LNB BANCORP INC COM 50210010 1,446,583 71684 71684 63084 8600 MOLDFLOW CORP COM 60850710 1,445,213 150700 150700 150700 Page Total 79,985,665 Page 57 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ FIRST HORIZON PHARMA COM 32051K10 1,443,923 225613 225613 225613 CERUS CORP COM 15708510 1,442,715 310930 310930 233130 77800 PROVIDENT FINL HLDGS COM 74386810 1,440,179 47974 47974 47974 DELTA FINANCIAL CORP COM 24791810 1,435,833 223650 25700 197950 223650 EMBREX INC COM 29081710 1,435,473 144705 143205 1500 144705 STANDARD MTR PRODS I COM 85366610 1,430,715 141655 141655 141655 ACME COMMUNICATION I COM 00463110 1,419,802 189307 186907 2400 189307 WESTMORELAND COAL CO COM 96087810 1,412,498 100677 100377 300 88777 11900 DOMINION HOMES INC COM 25738610 1,409,599 54278 54278 54278 VITRIA TECHNOLOGY COM NEW 92849Q40 1,409,470 279103 279103 279103 FRESH DEL MONTE PROD ORD G3673810 1,406,701 57183 56533 650 57183 COMPANHIA ENERGETICA SP ADR N-V 20440960 1,405,705 118926 118926 67359 36325 15242 RESTORATION HARDWARE COM 76098110 1,405,343 240641 240641 240641 MARINE PRODS CORP COM 56842710 1,403,080 95318 95318 95318 PEGASUS COMMUNICATIO CL A NEW 70590460 1,401,449 94057 94047 10 94047 10 MEDALLION FINL CORP COM 58392810 1,400,660 222327 222327 222327 SEMCO ENERGY INC COM 78412D10 1,399,798 304304 304304 274204 30100 CANTEL MEDICAL CORP COM 13809810 1,398,325 104822 104822 104822 ANSOFT CORP COM 03638410 1,398,264 136416 99977 2541 33898 102518 33898 COMPUCOM SYS INC COM 20478010 1,397,198 329528 329528 329528 TECHNICAL OLYMPIC US COM 87848310 1,394,030 50692 50692 50192 500 INGLES MKTS INC CL A 45703010 1,388,317 141665 141165 500 141165 500 ALLSCRIPTS HEALTHCAR COM 01988P10 1,388,179 340240 340240 340240 GREENBRIER COS INC COM 39365710 1,387,801 102724 102724 80624 22100 BRITISH SKY BROADCAS SPON- SORED 11101310 1,385,514 33629 19709 13920 30779 2850 ACLARA BIOSCIENCES I COM 00461P10 1,380,442 349479 349479 349379 100 VOTORANTIM CELULOSE SPON- SORED 92906P10 1,378,311 52288 52288 28514 18706 5068 STEINWAY MUSICAL INS COM ORD 85849510 1,372,323 77314 77114 200 77314 REDBACK NETWORKS INC COM 75720910 1,362,968 2,198,336 2,198,236 100 1,992,036 100 206200 DJ ORTHOPEDICS INC COM 23325G10 1,359,371 97446 97446 96846 600 MEDICAL STAFFING NET COM 58463F10 1,355,470 179295 179295 178695 600 SANDERS MORRIS HARRI COM 80000Q10 1,350,759 152284 152284 132784 19500 ALICO INC COM 01623010 1,343,580 47985 47985 47985 BOYDS COLLECTION LTD COM 10335410 1,343,132 297812 297812 297812 HOOKER FURNITURE COR COM 43903810 1,339,527 39340 39340 39340 FLAG FINL CORP COM 33832H10 1,337,334 100025 100025 100025 WILLIAMS CLAYTON ENE COM 96949010 1,329,586 70423 70423 61123 9300 MILLEA HOLDINGS INC ADR 60032R10 1,328,040 23800 23800 23800 SPORTS RESORTS INTL COM 84918U10 1,316,014 259058 259058 216358 42700 FOOTHILL INDPT BANCO COM 34490510 1,315,672 61914 61914 61914 MCLEODUSA INC CL A 58226670 1,312,278 944085 943658 409 18 944067 18 GUESS INC COM 40161710 1,310,240 147218 147218 145918 1300 FIRST FED FINL CORP COM 31996110 1,304,099 42562 42562 42562 PETROLEUM HELICOPTER COM VTG 71660410 1,299,592 44812 44812 44712 100 PICO HLDGS INC COM NEW 69336620 1,298,932 98404 98364 40 98404 ELLIS PERRY INTL INC COM 28885310 1,297,797 45457 45457 45457 MONARCH CASINO & RES COM 60902710 1,297,257 114700 114700 114700 DIGITALTHINK INC COM 25388M10 1,295,567 504112 504112 447012 57100 CARMIKE CINEMAS INC COM 14343640 1,294,899 49217 49217 49217 CAPITAL SOUTHWEST CO COM 14050110 1,291,620 22660 22660 22660 VIACOM INC CL A 92552410 1,289,856 33590 32790 800 9791 23799 AMBASSADORS GROUP IN COM 02317710 1,287,657 75700 75600 100 75600 100 Page Total 71,032,894 Page 58 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ SECURITY BANK CORP COM 81404710 1,273,928 43184 43184 43184 DURECT CORP COM 26660510 1,260,079 392548 392548 391548 1000 ULTRA PETROLEUM CORP COM 90391410 1,258,150 90190 90190 90190 SCHAWK INC CL A 80637310 1,255,879 105359 105359 105359 MILACRON INC COM 59870910 1,255,616 545920 545908 12 494708 12 51200 DENDREON CORP COM 24823Q10 1,253,080 141591 141491 100 141491 100 PEMSTAR INC COM 70655210 1,239,841 351230 351230 351230 ALAMO GROUP INC COM 01131110 1,232,563 86435 86435 86435 GERDAU S A SPON- SORED 37373710 1,223,091 84878 84878 45953 27068 11857 BRT RLTY TR SH BEN INT 05564530 1,218,162 63845 63845 43545 20300 GREAT NORTHN IRON OR CTFS BEN I 39106410 1,218,000 14000 14000 14000 METRO ONE TELECOMMUN COM 59163F10 1,217,790 348937 348337 600 309837 600 38500 BHP BILLITON LTD SPON- SORED 08860610 1,216,176 85767 85767 85767 UNILEVER PLC SPON ADR N 90476770 1,207,688 34864 34114 750 34764 100 NORTHERN STS FINL CO COM 66575110 1,204,258 41800 41800 41800 READING INTERNATIONA CL A 75540810 1,198,529 209900 209900 209900 DHB INDS INC COM 23321E10 1,191,604 273932 273932 273932 SMART & FINAL INC COM 83168310 1,191,006 190561 190351 210 190561 MODTECH HLDGS INC COM 60783C10 1,189,603 150013 150013 129213 20800 PETROCORP INC COM 71645N10 1,189,312 88359 88359 73959 14400 W P CAREY & CO LLC COM 92930Y10 1,186,402 37367 35218 2149 35218 2149 FTD INC CL A 30265Q10 1,170,994 51998 51998 51998 WESTPAC BKG CORP SPON- SORED 96121430 1,163,653 20997 20997 20997 MOLEX INC CL A 60855420 1,152,292 47090 42271 4569 250 16587 250 30253 U S XPRESS ENTERPRIS CL A 90338N10 1,147,031 94019 94019 93319 700 NORTHWEST PIPE CO COM 66774610 1,146,432 85300 85300 85300 BT GROUP PLC ADR 05577E10 1,144,824 37783 37688 95 37783 COMMUNITY BK NORTHN COM 20356610 1,142,512 69034 69034 69034 K V PHARMACEUTICAL C CL B CONV 48274010 1,125,476 49255 49255 49255 NOVOSTE CORP COM 67010C10 1,124,961 255673 255673 230773 24900 MAIR HOLDINGS INC COM 56063510 1,111,916 163277 163277 163277 TARAGON RLTY INVS IN COM 87628710 1,109,513 72755 72755 72755 CENTENNIAL COMMUNCTN CL A NEW 15133V20 1,102,147 217386 217386 217386 NETSCOUT SYS INC COM 64115T10 1,101,107 231325 231325 231325 UNITED SECURITY BANC COM 91146010 1,100,769 45713 45713 45713 NEWHALL LAND & FARMI DEPO- SITARY 65142610 1,090,476 27600 27600 27600 MOORE WALLACE INC COM 61585710 1,084,823 76396 76324 72 69644 6752 SYPRIS SOLUTIONS INC COM 87165510 1,080,509 78697 78697 78697 BAYER A G SPON- SORED 07273030 1,068,383 49531 49311 220 49531 MAUI LD & PINEAPPLE COM 57734510 1,066,776 41252 39252 2000 39252 2000 EMC INS GROUP INC COM 26866410 1,056,915 59848 59848 59848 AEGON N V ORD AMER R 00792410 1,056,463 90296 90296 90296 TRANS WORLD ENTMT CO COM 89336Q10 1,050,521 185933 167366 18567 184533 1400 BRASIL TELECOM PARTI SPON ADR P 10553010 1,048,692 27381 27381 17817 5962 3602 P C CONNECTION COM 69318J10 1,042,344 111136 111136 111136 ARCH CAP GROUP LTD ORD G0450A10 1,041,539 31495 31495 31495 CATAPULT COMMUNICATI COM 14901610 1,040,999 84841 84841 84841 GREATER COMMUNITY BA COM 39167M10 1,039,608 65798 65798 65798 HITACHI LIMITED ADR 10 COM 43357850 1,038,463 18919 18919 18919 BANKRATE INC COM 06646V10 1,029,769 73450 73450 73450 EDGAR ONLINE INC COM 27976510 1,024,815 621100 621100 621100 BKF CAP GROUP INC COM 05548G10 1,022,414 42336 42336 42086 250 Page Total 59,407,893 Page 59 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ SIERRA BANCORP COM 82620P10 1,016,819 66633 66633 66633 UNITED PANAM FINANCI COM 91130110 1,016,622 58393 58393 58393 HAMPSHIRE GROUP LTD COM 40885910 1,010,349 31782 31782 31632 150 THIRD WAVE TECHNOLOG COM 88428W10 1,008,851 312338 312338 312338 NOMURA HLDGS INC SPON- SORED 65535H20 1,004,825 62645 15500 47145 53645 9000 ALTEON INC COM 02144G10 999,852 526238 526238 475638 50600 HELEN OF TROY CORP L COM G4388N10 994,634 40881 40681 200 40881 GTC BIOTHERAPEUTICS COM 36238T10 990,068 319377 319377 319377 EMERSON RADIO CORP COM NEW 29108720 975,731 260195 259395 800 228295 31900 GENERAL BINDING CORP COM 36915410 951,776 91517 91517 91517 INDEPENDENCE HLDG CO COM NEW 45344030 949,844 43671 43671 43671 FUJI PHOTO FILM LTD ADR 35958630 944,386 32342 32342 32342 TELECOM ITALIA S P A SPON ADR O 87927Y10 943,306 37960 37960 37960 AMBASSADORS INTL INC COM 02317810 921,954 75632 75532 100 75532 100 APAC CUSTOMER SERVIC COM 00185E10 921,940 368776 368776 368776 NEC CORP ADR 62905020 912,239 121470 121470 121470 SUNCOR ENERGY INC COM 86722910 909,951 49054 49054 49054 NATIONAL BEVERAGE CO COM 63501710 904,912 59928 59928 59928 AMPCO-PITTSBURGH COR COM 03203710 902,835 75299 75299 59299 16000 PRICE LEGACY CORP COM 74144P10 895,793 255941 255941 255941 GREEN MOUNTAIN PWR C COM 39315410 894,896 39685 39405 280 39405 280 NUANCE COMMUNICATION COM 66996710 889,393 154141 149566 4475 100 154041 100 FMS FINL CORP COM 30250910 888,182 52154 52154 52154 MAGELLAN MIDSTREAM P COM UNIT R 55908010 887,751 19379 19379 18553 826 MAGNA INTL INC CL A 55922240 885,713 12276 12276 12276 VIRBAC CORP COM 92764910 883,738 121895 121895 121895 MESTEK INC COM 59082910 878,120 52238 43238 9000 43238 9000 PEGASYSTEMS INC COM 70557310 877,341 118881 113881 5000 118181 700 SANOFI-SYNTHELABO SPON- SORED 80105N10 874,869 28950 8300 20650 24050 4900 ICICI BK LTD ADR 45104G10 865,043 81917 81917 32953 48964 UNITED CAPITAL CORP COM 90991210 861,516 47862 47862 47862 PANTRY INC COM 69865710 861,124 71516 71516 71516 PRUDENTIAL PLC ADR 74435K20 855,514 61770 61770 61770 DURATEK INC COM 26658Q10 853,973 98954 98954 98954 BG PLC ADR FIN IN 05543420 851,283 39613 39613 39613 XOMA LTD ORD G9825R10 844,245 112867 112867 112867 THESTREET COM COM 88368Q10 833,293 192003 192003 179103 12900 BEASLEY BROADCAST GR CL A 07401410 833,111 60283 60283 60283 NYMAGIC INC COM 62948410 829,730 36992 36992 36992 HUGOTON RTY TR TEX UNIT BEN I 44471710 828,682 44220 44220 44220 SYSTEMAX INC COM 87185110 824,568 124182 124182 124182 DIGITAL GENERATION S COM 25392110 823,984 378148 378148 378148 ONEIDA LTD COM 68250510 821,211 266627 266627 225727 40900 SIRNA THERAPEUTICS I COM 82966910 817,771 142967 142967 142967 CDN IMPERIAL BK OF C COM 13606910 805,569 19605 19605 19605 ENI S P A SPON- SORED 26874R10 800,427 10459 10459 10459 PETRO-CDA COM 71644E10 799,306 20553 20553 20553 AUSTRALIA&NEW ZEALAN SPON- SORED 05252830 794,640 13059 13059 13059 OLD POINT FINL CORP COM 68019410 794,055 25353 25353 25353 PACIFIC ENERGY PARTN COM UNIT 69422R10 793,455 31300 31300 31300 TRI CONTL CORP COM 89543610 792,969 53006 53006 1324 51682 SANCHEZ COMPUTER ASS COM 79970210 791,391 202921 202801 120 202921 Page Total 46,113,550 Page 60 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ NORSK HYDRO A S SPON- SORED 65653160 790,944 15400 15400 15400 TALISMAN ENERGY INC COM 87425E10 787,456 16599 16599 16599 REPSOL YPF S A SPON- SORED 76026T20 786,327 47743 47743 47743 SYNGENTA AG SPON- SORED 87160A10 784,616 71720 71711 9 71720 VIVENDI UNIVERSAL SPON ADR N 92851S20 783,464 44114 44114 44114 AKZO NOBEL NV SPON- SORED 01019930 781,714 25063 25063 25063 INCO LTD COM 45325840 775,113 27932 27932 27932 IMPERIAL OIL LTD COM NEW 45303840 774,116 20804 20804 20804 EDP-ELECTRICIDADE DE SPON- SORED 26835310 773,598 33664 33664 33664 SELECT SECTOR SPDR T SBI INT-EN 81369Y50 772,846 32135 22300 9035 800 9035 800 22300 RICHARDSON ELECTRS L COM 76316510 754,720 71200 71200 71200 GALLAHER GROUP PLC SPON- SORED 36359510 753,913 20099 20099 20099 LIQUIDMETAL TECHNOLO COM 53634X10 740,284 241923 241923 241923 SK TELECOM LTD SPON- SORED 78440P10 737,006 41312 41312 41312 WILLIS GROUP HOLDING SHS G9665510 716,905 23314 23314 22297 1017 EASTERN AMERN NAT GA SPERS RCT 27621710 715,830 32100 32100 32100 NOVO-NORDISK A S ADR 67010020 714,817 19377 19377 19377 TELE2 AB SPON ADR R 87952P20 710,644 16151 16151 16151 AMERICAN FINL RLTY T COM 02607P30 709,230 50300 50300 50300 ADVANTA CORP CL A 00794210 708,396 64517 64517 64517 HANDSPRING INC COM 41029310 708,383 626888 626888 626888 MOBIUS MGMT SYSTEMS COM 60692510 702,720 87840 87840 87840 AMERSHAM PLC SPON- SORED 03071910 699,263 15626 15626 15626 ATARI INC COM 04651M10 698,899 172995 172995 172995 SYNPLICITY INC COM 87160Y10 696,406 118035 118035 118035 ENBRIDGE ENERGY MANA SHS UNITS 29250X10 696,379 15709 15709 15709 NISSAN MOTORS SPON- SORED 65474440 689,101 31712 31712 31712 DOVER MOTORSPORTS IN COM 26017410 685,459 182303 182303 179003 3300 ALCON INC COM SHS H0130110 685,086 12201 12101 100 12201 GENAERA CORP COM 36867G10 682,127 144213 144213 144213 ALLIANZ AKTIENGESELL SP ADR 1/1 01880510 677,621 76654 76274 380 76654 SIMPLETECH INC COM 82882310 673,096 93746 93746 93746 MICRO THERAPEUTICS I COM 59500W10 670,980 126600 126600 126600 KYOCERA CORP ADR 50155620 660,632 11133 11133 11133 OMI CORP NEW COM Y6476W10 656,756 99208 99208 99208 MARKETWATCH COM INC COM 57061910 652,740 78079 77979 100 78079 ALLIANCE IMAGING INC COM NEW 01860620 650,878 189209 189209 189209 UNITED MICROELECTRON SPON- SORED 91087320 648,957 143893 143893 143893 TELESP CELULAR PART SPON ADR P 87952L10 648,327 139126 139126 84537 35597 18992 FORMFACTOR INC COM 34637510 645,541 29900 29900 29900 TASTY BAKING CO COM 87655330 635,086 63892 23692 200 40000 23892 40000 SIGMATRON INTL INC COM 82661L10 634,748 31611 31611 31611 INTER PARFUMS INC COM 45833410 627,860 62975 62975 62975 ERICSSON L M TEL CO ADR B SEK 29482160 627,131 42662 39602 3060 42662 INNKEEPERS USA TR PFD CV A 8 4576J030 622,480 24800 400 24400 400 24400 UPM KYMMENE CORP SPON- SORED 91543610 622,474 36986 36986 36986 CANADIAN NATL RY CO COM 13637510 617,009 11861 11861 11861 INFINEON TECHNOLOGIE SPON- SORED 45662N10 613,564 47600 47600 47600 OMEGA PROTEIN CORP COM 68210P10 610,040 93136 93136 93136 CADBURY SCHWEPPES PL ADR 12720930 608,959 24271 24271 24271 ALLIED IRISH BKS P L SPON ADR O 01922840 608,121 20510 20510 20510 ALCATEL SPON- SORED 01390430 607,423 51346 50776 570 51346 Page Total 36,036,185 Page 61 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ KANEB SERVICES LLC COM 48417310 605,994 22739 22739 22739 KUBOTA CORP ADR 50117320 605,440 35200 35200 35200 IRELAND BK SPON- SORED 46267Q10 600,645 12326 12326 12326 SCOTTISH PWR PLC SPON ADR F 81013T70 596,031 25149 25149 25149 ENESCO GROUP INC COM 29297310 595,040 74380 74380 74380 ALLOS THERAPEUTICS I COM 01977710 594,658 193071 193071 193071 STORA ENSO CORP SPON ADR R 86210M10 593,382 48479 40944 7535 44679 3800 TC PIPELINES LP UT COM LTD 87233Q10 593,054 18673 18673 18673 CONVERA CORP CL A 21191910 590,674 136100 133600 2500 136100 VALASSIS COMMUNICATI NOTE 918866AH 580,000 1,000,000 1,000,000 1,000,000 INTERCONTINENTAL HOT SPON- SORED 45857310 568,609 69768 69768 69768 FRANCE TELECOM SPON- SORED 35177Q10 566,916 24394 24394 24394 NOLAND CO COM 65528610 562,706 16599 16599 16599 VALERO L P COM UT LTD 91913W10 559,360 12800 12700 100 12800 NATIONAL GRID TRANSC SPON- SORED 63627410 558,460 17094 17065 29 17094 SAN PAOLO-IMI S P A SPON- SORED 79917510 552,654 27702 27702 27702 PORTAL SOFTWARE INC COM 73612610 551,793 37820 37400 420 37820 STAR SCIENTIFIC INC COM 85517P10 549,578 301966 301966 301966 AMERCO COM 02358610 547,873 28790 28410 380 28790 FEDDERS CORP COM NEW 31313550 542,259 93493 93493 93493 RETRACTABLE TECHNOLO COM 76129W10 536,702 87840 87840 87840 CHECKERS DRIVE-IN RE COM NEW 16280930 532,680 57900 57900 57900 ENBRIDGE INC COM 29250N10 531,350 14913 14913 14913 AMERICAN RLTY INVS I COM 02917410 525,122 52303 52303 52303 PREFORMED LINE PRODS COM 74044410 520,416 27800 6800 21000 6800 21000 DESERT CMNTY BK VICT COM 25037Y10 515,733 26246 26246 26246 CELLTECH GROUP PLC SPON- SORED 15115810 515,695 44649 18542 26107 37849 6800 FAIRCHILD CORP CL A 30369810 514,265 103892 103892 103892 KONINKLIJKE AHOLD N SPON ADR N 50046730 508,567 53309 52889 420 53309 MCDERMOTT INTL INC COM 58003710 508,047 88975 88975 88875 100 BRASCAN CORP CL A LTD V 10549P60 494,242 19605 19605 19605 NORTHWAY FINL INC COM 66727010 491,865 16500 16500 16500 BARRICK GOLD CORP COM 06790110 490,559 26052 25745 307 23386 2666 PECHINEY SPON- SORED 70515120 490,522 17935 17935 17935 MUNICIPAL MTG & EQUI GROWTH SHS 62624B10 490,400 20000 4000 11000 5000 15000 5000 HILFIGER TOMMY CORP ORD G8915Z10 490,167 41156 41156 39156 2000 AMERICAN REAL ESTATE DEPO- SITRY 02916910 487,007 40925 40925 40925 DONEGAL GROUP INC CL A 25770120 486,176 31797 31797 31797 COLES MYER LTD SPON ADR N 19387040 485,275 11750 11750 11750 NEWTEK BUSINESS SVCS COM 65252610 481,156 97400 97400 97400 NEWS CORP LTD SP ADR PFD 65248780 477,875 17511 17511 17511 CANADIAN PAC RY LTD COM 13645T10 470,759 19939 19939 18639 1300 NATIONAL BK GREECE S SPON- SORED 63364340 470,456 120940 120940 120940 GENERAL MARITIME COR SHS Y2692M10 469,417 41033 41033 41033 DORCHESTER MINERALS COM UNIT 25820R10 466,155 27665 27665 27665 SUNOCO LOGISTICS PRT COM UNITS 86764L10 465,000 15000 15000 15000 RENAISSANCE RE HLDGS COM G7496G10 456,482 10004 10004 8361 1643 ONEIDA FINL CORP COM 68247810 455,938 19141 19141 19141 SUN LIFE FINL INC COM 86679610 455,710 21049 21049 21049 ADVANCED SEMICONDUCT SPON- SORED 00756M40 455,221 117933 117933 117933 SCHERING A G SPON- SORED 80658520 447,187 10292 10292 10292 VOLVO AKTIEBOLAGET ADR B 92885640 445,509 19137 19137 19137 Page Total 27,146,781 Page 62 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ SELECT SECTOR SPDR T SBI INT-UT 81369Y88 444,570 20300 20300 20300 MEDCATH CORP COM 58404W10 442,552 42800 31800 10000 1000 41800 1000 PEARSON PLC SPON- SORED 70501510 439,014 45874 45874 45874 FEDERAL SCREW WKS COM 31381910 434,730 12900 12900 12900 GARMIN LTD ORD G3726010 429,395 10253 10253 9311 942 NIPPON TELEG & TEL C SPON- SORED 65462410 429,367 18965 18200 765 18965 ORIX CORP SPON- SORED 68633010 429,066 10835 10835 10835 BP PRUDHOE BAY RTY T UNIT BEN I 05563010 424,368 21487 21487 21487 ORLEANS HOMEBUILDERS COM 68658810 421,974 35700 35700 35700 GOLDCORP INC NEW COM 38095640 418,702 29993 29993 27370 2623 INFORMATION RES INC COM 45690510 417,933 90855 90855 90855 MARVELL TECHNOLOGY G ORD G5876H10 409,157 10830 9180 1650 8002 1650 1178 IMPERIAL TOBACCO GRO SPON- SORED 45314210 408,853 12382 12382 12382 NORTH COAST ENERGY I COM NEW 65864970 408,423 32700 32600 100 32700 CADMUS COMMUNICATION COM 12758710 405,889 36015 36015 36015 QRS CORP COM 74726X10 401,773 47379 47379 43279 4100 CLEAN HARBORS INC COM 18449610 399,789 94068 94068 94068 SELECT SECTOR SPDR T SBI INT-IN 81369Y70 395,930 17000 17000 17000 BANCO BRADESCO S A SP ADR PFD 05946020 394,081 19538 19538 11699 7839 DR REDDYS LABS LTD ADR 25613520 392,623 16743 16743 1642 15101 MAINE & MARITIMES CO COM 56037710 392,400 10900 10600 300 10900 IMPERIAL CHEM INDS P ADR NEW 45270450 389,201 34906 34906 34906 AMVESCAP PLC SPON- SORED 03235E10 388,879 25601 25601 25601 NATURAL RESOURCE PAR COM UNIT L 63900P10 388,752 11200 11200 11200 DIGI INTL INC COM 25379810 383,531 57944 57582 362 57944 MITCHELLS & BUTLERS SPON- SORED 60668M10 383,298 100868 100868 100868 TREND MICRO INC SPONS ADR 89486M20 377,679 18697 18697 18697 MERIX CORP COM 59004910 375,196 22753 22253 500 19003 3750 CAPTARIS INC COM 14071N10 372,035 70328 70328 70328 NEXEN INC COM 65334H10 369,147 13512 13512 13512 CNS INC COM 12613610 367,965 33421 13421 20000 33421 EVOLVING SYS INC COM 30049R10 367,897 31154 31154 31154 MAPINFO CORP COM 56510510 359,577 37499 37499 37499 AMERICA SVC GROUP IN COM 02364L10 358,617 17077 17077 17077 MMO2 PLC ADR 55309W10 355,774 37688 37688 37688 OPTICAL COMMUNICATIO CL A 68382T10 354,472 150200 150200 150200 RANK GROUP PLC SPON- SORED 75303710 353,912 39280 39280 39280 COGNOS INC COM 19244C10 353,007 11380 11380 11380 REVLON INC CL A 76152550 352,888 132665 131415 1250 130865 1800 HUNGARIAN TEL & CABL COM 44554210 352,304 38087 38087 38087 META GROUP INC COM 59100210 345,690 71720 9672 13986 48062 23658 48062 FIRST BANCTRUST CORP COM 31868F10 341,754 14420 14420 14420 PLATINUM UNDERWRITER COM G7127P10 341,021 12136 12136 12136 VAXGEN INC COM NEW 92239020 339,806 28153 28153 28153 FPIC INS GROUP INC COM 30256310 334,207 22177 22177 22177 ALLIANCE RES PARTNER UT LTD PAR 01877R10 332,192 11200 11200 11200 ASHWORTH INC COM 04516H10 331,416 47413 47413 47413 CARREKER CORP COM 14443310 328,737 40837 40837 40837 P T TELEKOMUNIKASI I SPON- SORED 71568410 326,452 23951 23951 23951 BOC GROUP PLC SPON- SORED 05561760 322,720 11617 11617 11617 LAKES ENTMNT INC COM 51206P10 320,993 34112 34112 34112 WIPRO LTD SPON ADR 1 97651M10 320,973 11049 11049 11049 Page Total 19,730,681 Page 63 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ MOCON INC COM 60749410 320,840 40100 10400 29700 10400 29700 ALLIED DOMECQ PLC SPON ADR N 01912120 320,428 12439 12439 12439 DIGITAL THEATER SYS COM 25389G10 313,291 11000 11000 11000 AMERICAN SUPERCONDUC COM 03011110 312,740 30275 19750 10525 30275 SHAW COMMUNICATIONS CL B CONV 82028K20 312,293 25682 25682 25682 ABB LTD SPON- SORED 00037520 311,641 56253 56253 56253 ABITIBI-CONSOLIDATED COM 00392410 306,019 43717 43717 34273 9444 PORTUGAL TELECOM SGP SPON- SORED 73727310 304,671 38713 38713 38713 NOVA CHEMICALS CORP COM 66977W10 303,180 14935 14935 14935 PROGRESS FINL CORP COM 74326610 301,864 11025 11025 11025 NETWORK ENGINES INC COM 64121A10 300,987 46956 46956 46956 VERISITY LTD ORD M9738511 300,700 24056 24056 24056 ZIX CORP COM 98974P10 300,226 37065 37065 37065 HUFFY CORP COM 44435610 296,789 48654 39953 8701 48654 BELL MICROPRODUCTS I COM 07813710 295,651 45415 45415 45415 TPG N V SPON- SORED 89233910 295,598 15444 15444 15444 ON ASSIGNMENT INC COM 68215910 294,127 55706 55706 55706 PLACER DOME INC COM 72590610 290,015 21092 21092 20792 300 NOVAVAX INC COM 67000210 289,930 39500 19500 20000 39500 BROOKFIELD PPTYS COR COM 11290010 284,867 12122 12122 12122 ROGERS COMMUNICATION CL B 77510920 281,228 18345 18345 18345 TRANSCONTINENTAL RLT COM NEW 89361720 279,033 23667 23667 23667 SCO GROUP INC COM 78403A10 277,001 20029 20029 20029 EVERGREEN SOLAR INC COM 30033R10 276,701 133672 133672 133672 PHOENIX TECHNOLOGY L COM 71915310 275,798 43994 43994 43994 BUTLER MFG CO DEL COM 12365510 273,997 18038 18038 17038 1000 FRESENIUS MED CARE A SPON- SORED 35802910 273,581 14212 14212 14212 STEEL TECHNOLOGIES I COM 85814710 271,646 21784 21424 360 21424 360 ORBOTECH LTD ORD M7525310 270,802 13197 13197 13197 LAFARGE COPPEE S A SPON ADR N 50586140 269,791 16501 16501 16501 BLOUNT INTL INC NEW COM 09518010 268,864 55897 55897 55897 GRAY TELEVISION INC CL A 38937520 265,756 22910 22910 22610 300 CARLTON COMMUNICATIO ADR 14287220 264,937 19596 19596 19596 KINROSS GOLD CORP COM NEW 49690220 264,800 35496 35496 35496 SATYAM COMPUTER SERV ADR 80409810 262,953 20384 20384 20384 REUTERS GROUP PLC SPON- SORED 76132M10 261,228 12066 12066 12066 DOMTAR INC COM 25756110 260,812 23204 23204 23204 HELLENIC TELECOM ORG SPON- SORED 42332530 260,162 47912 47912 47912 TRIDENT MICROSYSTEMS COM 89591910 257,139 19629 19629 19629 INTROGEN THERAPEUTIC COM 46119F10 256,662 29100 29100 29100 TELSTRA CORP LTD SPON ADR F 87969N20 256,316 15871 15871 15871 AIRNET SYS INC COM 00941710 254,328 63582 9200 54382 9200 54382 SANYO ELEC LTD ADR 5 COM 80303830 254,150 11960 11960 11960 QUEBECOR WORLD INC COM NON-VT 74820310 253,932 13623 13623 9923 3700 MERGE TECHNOLOGIES I COM 58998110 252,900 15000 14000 1000 15000 COMARCO INC COM 20008010 250,521 33900 33900 33900 CABLE & WIRELESS PUB SPON- SORED 12683020 247,718 43844 43404 440 43844 CROSS A T CO CL A 22747810 246,114 41019 39379 1640 35579 1640 3800 CCF HLDG CO COM 12487X10 244,012 11250 11250 11250 ABAXIS INC COM 00256710 241,248 17356 17356 17356 STEWART W P & CO LTD COM G8492210 238,218 11398 11398 11398 HAGGAR CORP COM 40517310 238,053 15408 15408 15408 Page Total 14,406,258 Page 64 of 65 State Street Corporation (STT) SEC13F Report - September 30, 2003 ------------------------------------------------------------------------------------------------------------------------------------ Investment Discretion Voting Authority Title ------------------------------------------------------------------- of Cusip Fair Market Shares Shared as Shared Name of Issuer Class Number Value Prin Amt Sole Defined Other Sole Shared None ------------------------------------------------------------------------------------------------------------------------------------ SELECT SECTOR SPDR T SBI CONS S 81369Y30 236,971 11662 11662 11662 ALLIED DEFENSE GROUP COM 01911810 236,305 11194 11194 11194 SALTON INC COM 79575710 235,028 23621 23621 23621 FIRST CASH FINL SVCS COM 31942D10 234,900 11600 11600 11600 WELLSFORD REAL PPTYS COM NEW 95024020 233,044 13502 13502 13502 INKINE PHARMACEUTICA COM 45721410 232,159 55942 55942 55942 URSTADT BIDDLE PPTYS COM 91728610 230,619 17672 17672 17672 CARRINGTON LABS INC COM 14452510 230,120 52300 52300 52300 FRANKLIN BANCORP INC COM 35242V10 230,000 12500 12500 12500 ARQULE INC COM 04269E10 229,935 49986 47286 2700 49986 CALIFORNIA FIRST NTN COM 13022210 229,629 20020 20020 20020 BOTTOMLINE TECH DEL COM 10138810 229,600 28000 28000 28000 EMISPHERE TECHNOLOGI COM 29134510 227,593 31349 31349 31349 ADECCO SA SPON- SORED 00675410 226,323 18311 18311 18311 CROSS TIMBERS RTY TR TR UNIT 22757R10 225,435 10735 10735 10602 133 INTERVIDEO INC COM 46114Y10 225,225 10500 10500 10500 HARTMARX CORP COM 41711910 225,180 56295 56295 47795 8500 MAGNETEK INC COM 55942410 225,155 45486 45486 45486 INTERMET CORP COM 45881K10 225,066 52341 52341 52341 DYAX CORP COM 26746E10 224,103 36499 33254 3145 100 36399 100 COMPANHIA DE BEBIDAS SPON- SORED 20441W10 223,515 14901 14901 14901 NEORX CORP COM PAR $0 64052030 222,969 36021 36021 36021 UQM TECHNOLOGIES INC COM 90321310 221,775 61776 11776 50000 11776 50000 OXIGENE INC COM 69182810 221,482 18229 18229 18229 CP SHIPS LTD COM 22409V10 221,298 10513 10288 225 9863 650 SCM MICROSYSTEMS INC COM 78401810 217,582 29765 29765 29765 CONCERTO SOFTWARE IN COM 20602T10 216,131 24729 24729 24729 HEICO CORP NEW CL A 42280620 212,822 19002 19002 19002 AGRIUM INC COM 00891610 208,860 16629 16629 16629 UNITED UTILS PLC SPON- SORED 91311Q10 206,260 13071 13071 13071 SCPIE HLDGS INC COM 78402P10 205,990 20599 20599 20599 ADE CORP MASS COM 00089C10 205,814 11714 11714 11714 BANK SOUTH CAROLINA COM 06506610 203,597 14806 14806 14806 KFORCE INC COM 49373210 203,498 26123 26123 26123 P & F INDS INC CL A NEW 69283050 202,510 26300 26300 26300 Page Total 7,786,493 Grand Total 359,462,745,209 TOTAL MARKET VALUE 359,462,745,209 Page 65 of 65