-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, HFea5bYQATR48/uYYzvi+aO9xcovn4B4776vG7B/MeHuqx+c67DToaQ/A252hKXl J7BkAGhCPr3GXGrHqha6xA== 0001193125-09-175675.txt : 20090814 0001193125-09-175675.hdr.sgml : 20090814 20090814131249 ACCESSION NUMBER: 0001193125-09-175675 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20090630 FILED AS OF DATE: 20090814 DATE AS OF CHANGE: 20090814 EFFECTIVENESS DATE: 20090814 FILER: COMPANY DATA: COMPANY CONFORMED NAME: RUSSELL FRANK CO/ CENTRAL INDEX KEY: 0000721204 IRS NUMBER: 91175091 STATE OF INCORPORATION: WA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-01190 FILM NUMBER: 091014048 BUSINESS ADDRESS: BUSINESS PHONE: 2065729500 MAIL ADDRESS: STREET 1: 909 A STREET CITY: TACOMA STATE: WA ZIP: 98402 13F-HR 1 d13fhr.txt FORM 13F-HR UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 Form 13F Form 13F Cover Page Report for the Calendar Year or Quarter Ended: June 30, 2009 Check here if Amendment [_]; Amendment Number: -------------- This Amendment (Check only one): [_] is a restatement. [_] adds new holdings entries Institutional Investment Manager Filing this Report: Name: Frank Russell Company Address: 909 A Street Tacoma, WA 98402 Form 13F File Number: 28-01190 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: Greg Lyons Title: US General Counsel Phone: (253) 439-2406 /s/ Greg Lyons - -------------------------- Tacoma, WA August 14, 2009 [Signature] [City, State] [Date] Report Type (Check only one.): [X] 13F HOLDINGS REPORT [_] 13F NOTICE [_] 13F COMBINATION REPORT Form 13F Summary Page Report Summary: Number of Other Included Managers: 109 Form 13F Information Table Entry Total: 11,312 Form 13F Information Table Value Total: ($000) $37,460,312 List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. No. Form 13F File Number Name - ---- -------------------- -------------------------------------------------- 1 28-05990 Acadian Asset Management, LLC 2 28-06536 AEW Capital Management, L.P. 3 28-03570 AllianceBernstein Investment Management Australia Limited 4 28-03570 AllianceBernstein L.P. 5 28-03570 AllianceBernstein Limited 6 28-10104 Altrinsic Global Advisors, LLC 7 28-10120 AQR Capital Management, LLC 8 28-06126 Armstrong Shaw Associates Inc. 9 28-11953 Arnhold and S. Bleichroeder Advisers, LLC 10 28-05508 Aronson+Johnson+Ortiz, LP 11 28-10005 Arrowstreet Capital, Limited Partnership 12 28-12481 Ashfield Capital Partners, LLC 13 28-01734 AXA Rosenberg Investment Management Limited 14 28-05615 Axiom International Investors LLC 15 28-00399 Barclays Global Investors Australia Ltd. 16 28-03946 Barclays Global Investors, N.A. 17 28-01006 Barrow, Hanley, Mewhinney & Strauss, Inc. 18 28-10210 BlackRock Capital Management, Inc. 19 28-10210 BlackRock International Limited 20 28-05620 Brandes Investment Partners, L.P. 21 28-06333 Buckhead Capital Management, LLC 22 28-06462 Chartwell Investment Partners 23 28-12126 ClariVest Asset Management LLC 24 28-02989 Clay Finlay LLC 25 28-02405 Cohen & Steers Capital Management, Inc. 26 28-10449 Columbus Circle Investors 27 28-05923 Cornerstone Capital Management, Inc. 28 28-05267 Delaware Investment Advisers 29 28-05267 Delaware Management Company, a Series of Delaware Management Business Trust 30 28-01488 Delphi Management, Inc. 31 28-05268 DePrince, Race & Zollo, Inc. 32 28-00400 Dodge & Cox Incorporated 33 28-11912 Dwight Asset Management Co. 34 28-11858 Foyston, Gordon & Payne Inc. 35 28-12592 Franklin Portfolio Associates, LLC 36 28-04007 Fuller & Thaler Asset Management, Inc. 37 28-12052 Gartmore Global Partners 38 28-12052 Gartmore Investment Limited 39 28-12114 Generation Investment Management LLP 40 28-10957 Genesis Asset Managers, LLP 41 28-13247 Global Currents Investment Management, LLC 42 28-10312 Goldman Sachs Asset Management, L.P. 43 28-11685 Goodman & Company, Investment Counsel Ltd. 44 28-12096 Gould Investment Partners LLC 45 28-06508 Hansberger Global Investors, Inc. 46 28-04434 Harding Loevner LLC 47 28-02013 Harris Associates L.P. 48 28-04321 Heitman LLC 49 28-13410 Impax Asset Management Ltd 50 28-00016 Institutional Capital LLC 51 28-04211 INTECH Investment Management LLC 52 28-11119 Integrity Asset Management, LLC 53 28-11246 INVESCO Asset Management Limited 54 28-11246 Invesco Institutional (N.A.), Inc. 55 28-06008 Iridian Asset Management LLC 56 28-00694 J.P. Morgan Investment Management Inc. 57 28-03059 Jacobs Levy Equity Management, Inc. 58 28-00694 JPMorgan Asset Management (UK) Limited 59 28-12350 JS Asset Management, LLC 60 28-01701 Legg Mason Capital Management, Inc. 61 28-06251 Legg Mason International Equities Limited 62 28-12154 Levin Capital Strategies, LP 63 28-00413 Lord, Abbett & Co. LLC 64 28-06748 Marsico Capital Management, LLC 65 28-04632 Martingale Asset Management, L.P. 66 28-04034 McKinley Capital Management, LLC 67 28-12592 Mellon Capital Management Corporation 68 28-04968 MFS Institutional Advisors, Inc. 69 28-04968 MFS International Ltd. 70 28-04968 MFS International U.K. Limited 71 28-11450 Mondrian Investment Partners Limited 72 28-00288 Montag & Caldwell, Inc. 73 28-12202 Netols Asset Management, Inc. 74 28-06277 Next Century Growth Investors, LLC 75 28-11946 Numeric Investors LLC 76 28-04383 Old Mutual Asset Managers (SA) Pty Ltd 77 28-11411 Opus Capital Management Inc. 78 28-10952 Pacific Investment Management Company LLC 79 28-12995 Palisades Investment Partners, LLC 80 28-03042 PanAgora Asset Management, Inc. 81 28-04558 Parametric Portfolio Associates LLC 82 28-12453 Perennial Investment Partners Limited 83 28-01549 Principal Global Investors LLC 84 28-03791 Pzena Investment Management, LLC 85 28-11311 Ranger Investment Management, L.P. 86 28-11328 Rexiter Capital Management, Limited 87 28-04760 RREEF America L.L.C. 88 28-01096 Russell Trust Company 89 28-05734 Sands Capital Management, Inc. 90 28-03570 Sanford C. Bernstein & Co., LLC 91 28-06282 Schneider Capital Management Corporation 92 28-12115 Signia Capital Management, LLC 93 28-03697 Sound Shore Management, Inc. 94 28-03426 Suffolk Capital Management, LLC 95 28-11507 Summit Creek Advisors LLC 96 28-11076 Sustainable Growth Advisers, LP 97 28-05015 Systematic Financial Management, L.P. 98 28-00115 T. Rowe Price Global Investment Services Limited 99 28-00115 T. Rowe Price International, Inc. 100 28-12572 Tradewinds Global Investors, LLC 101 28-00621 Transamerica Investment Management, LLC 102 28-02924 Turner Investment Partners, Inc. 103 28-10976 Tygh Capital Management, Inc. 104 28-02682 UBS Global Asset Management (Americas) Inc. 105 28-04557 Wellington Management Company, LLP 106 28-04413 Wells Capital Management Inc. 107 28-10245 Western Asset Management Company 108 28-10245 Western Asset Management Company Limited 109 28-04871 William Blair & Company, LLC FORM 13F Information Table
Voting Authority Value SH/ Investment Other ------------------------ Name of Issuer Title of Class CUSIP (x1000) Shares PRN Discretion Managers Sole Shared None - ---------------------------- -------------- --------- ---------- --------- --- ---------- -------- --------- ------ ------- AAON INC COM PAR $0.004 Common Stocks 000360206 $29 1,450 SH Defined 57 1,450 AAON INC COM PAR $0.004 Common Stocks 000360206 $112 5,600 SH Defined 65 5,600 AAON INC COM PAR $0.004 Common Stocks 000360206 $110 5,538 SH Defined 81 5,538 AAR CORP COM Common Stocks 000361105 $1,478 92,100 SH Defined 30 92,100 AAR CORP COM Common Stocks 000361105 $1,181 73,600 SH Sole 88 73,600 ABB LTD SPONSORED ADR Common Stocks 000375204 $4,120 261,110 SH Defined 8 261,110 ABB LTD SPONSORED ADR Common Stocks 000375204 $2,730 172,985 SH Defined 12 172,985 ABB LTD SPONSORED ADR Common Stocks 000375204 $4,399 278,795 SH Defined 27 278,795 ABB LTD SPONSORED ADR Common Stocks 000375204 $1,745 110,600 SH Defined 43 110,600 ABB LTD SPONSORED ADR Common Stocks 000375204 $1,002 63,470 SH Sole 88 63,470 A D C TELECOMMUNICATIONS C Common Stocks 000886309 $282 35,373 SH Defined 42 35,373 A D C TELECOMMUNICATIONS C Common Stocks 000886309 $1,033 129,778 SH Defined 52 129,778 A D C TELECOMMUNICATIONS C Common Stocks 000886309 $53 6,700 SH Defined 65 6,700 A D C TELECOMMUNICATIONS C Common Stocks 000886309 $1,600 201,049 SH Sole 88 201,049 A D C TELECOMMUNICATIONS C Common Stocks 000886309 $120 15,020 SH Defined 15,020 AEP INDS INC COM Common Stocks 001031103 $16 600 SH Defined 1 600 AEP INDS INC COM Common Stocks 001031103 $29 1,100 SH Defined 65 1,100 AFC ENTERPRISES INC COM Common Stocks 00104Q107 $20 3,000 SH Defined 65 3,000 AFLAC INC COM Common Stocks 001055102 $10,913 351,000 SH Defined 10 351,000 AFLAC INC COM Common Stocks 001055102 $4,589 147,600 SH Defined 35 147,600 AFLAC INC COM Common Stocks 001055102 $1,004 32,218 SH Defined 39 32,218 AFLAC INC COM Common Stocks 001055102 $608 19,556 SH Defined 42 19,556 AFLAC INC COM Common Stocks 001055102 $637 20,500 SH Defined 51 20,500 AFLAC INC COM Common Stocks 001055102 $109 3,500 SH Defined 56 3,500 AFLAC INC COM Common Stocks 001055102 $132 4,250 SH Defined 58 4,250 AFLAC INC COM Common Stocks 001055102 $572 18,400 SH Defined 67 18,400 AFLAC INC COM Common Stocks 001055102 $545 17,544 SH Defined 76 17,544 AFLAC INC COM Common Stocks 001055102 $389 12,500 SH Defined 80 12,500 AFLAC INC COM Common Stocks 001055102 $11,607 373,335 SH Sole 88 373,335 AFLAC INC COM Common Stocks 001055102 $2,504 80,530 SH Defined 91 80,530 AFLAC INC COM Common Stocks 001055102 $457 14,700 SH Defined 97 14,700 AGCO CORP COM Common Stocks 001084102 $4,011 137,992 SH Defined 1 137,992 AGCO CORP COM Common Stocks 001084102 $1,728 59,440 SH Defined 12 59,440 AGCO CORP COM Common Stocks 001084102 $1,212 41,692 SH Defined 42 41,692 AGCO CORP COM Common Stocks 001084102 $5,689 195,700 SH Defined 57 195,700 AGCO CORP COM Common Stocks 001084102 $4,591 157,944 SH Sole 88 157,944 AGCO CORP COM Common Stocks 001084102 $13,323 458,300 SH Defined 100 458,300 AGCO CORP COM Common Stocks 001084102 $62 2,130 SH Defined 102 2,130 AGCO CORP COM Common Stocks 001084102 $1,235 42,498 SH Defined 42,498 AGL RES INC COM Common Stocks 001204106 $200 6,300 SH Defined 51 6,300 AGL RES INC COM Common Stocks 001204106 $1,399 44,000 SH Defined 57 44,000 AGL RES INC COM Common Stocks 001204106 $852 26,800 SH Sole 88 26,800 AES CORP COM Common Stocks 00130H105 $5,757 495,900 SH Defined 10 495,900 AES CORP COM Common Stocks 00130H105 $206 17,700 SH Defined 80 17,700 AES CORP COM Common Stocks 00130H105 $5,072 436,900 SH Sole 88 436,900 AES CORP COM Common Stocks 00130H105 $1,026 90,000 SH Defined 93 90,000 AES CORP COM Common Stocks 00130H105 $2,595 223,500 SH Defined 93 223,500 AES CORP COM Common Stocks 00130H105 $1,110 95,600 SH Defined 97 95,600 AK STL HLDG CORP COM Common Stocks 001547108 $144 7,500 SH Defined 51 7,500 AK STL HLDG CORP COM Common Stocks 001547108 $3,792 197,600 SH Defined 57 197,600 AK STL HLDG CORP COM Common Stocks 001547108 $58 3,000 SH Defined 80 3,000 AK STL HLDG CORP COM Common Stocks 001547108 $103 5,349 SH Defined 81 5,349 AK STL HLDG CORP COM Common Stocks 001547108 $3,036 158,200 SH Sole 88 158,200 AMB PROPERTY CORP COM Common Stocks 00163T109 $13,646 725,300 SH Defined 2 725,300 AMB PROPERTY CORP COM Common Stocks 00163T109 $2,046 109,459 SH Defined 25 109,459 AMB PROPERTY CORP COM Common Stocks 00163T109 $2,212 117,555 SH Defined 25 117,555 AMB PROPERTY CORP COM Common Stocks 00163T109 $201 10,700 SH Defined 51 10,700 AMB PROPERTY CORP COM Common Stocks 00163T109 $748 40,000 SH Defined 54 40,000 AMB PROPERTY CORP COM Common Stocks 00163T109 $7,467 396,900 SH Defined 54 396,900 AMB PROPERTY CORP COM Common Stocks 00163T109 $11,248 598,000 SH Defined 87 598,000 AMB PROPERTY CORP COM Common Stocks 00163T109 $1,552 82,500 SH Sole 88 82,500 AMN HEALTHCARE SERVICES IN Common Stocks 001744101 $15 2,400 SH Defined 57 2,400 AMR CORP COM Common Stocks 001765106 $525 130,558 SH Defined 76 130,558 AMR CORP COM Common Stocks 001765106 $78 19,292 SH Defined 81 19,292 APAC CUSTOMER SERVICES INC Common Stocks 00185E106 $44 8,565 SH Defined 1 8,565 APAC CUSTOMER SERVICES INC Common Stocks 00185E106 $1,021 198,997 SH Defined 23 198,997 APAC CUSTOMER SERVICES INC Common Stocks 00185E106 $956 186,291 SH Sole 88 186,291 AT&T INC COM Common Stocks 00206R102 $8,809 354,637 SH Defined 1 354,637 AT&T INC COM Common Stocks 00206R102 $14,060 566,004 SH Defined 4 566,004 AT&T INC COM Common Stocks 00206R102 $3,654 147,100 SH Defined 8 147,100 AT&T INC COM Common Stocks 00206R102 $23,966 964,800 SH Defined 10 964,800 AT&T INC COM Common Stocks 00206R102 $7,714 310,562 SH Defined 17 310,562 AT&T INC COM Common Stocks 00206R102 $9,930 399,654 SH Defined 23 399,654 AT&T INC COM Common Stocks 00206R102 $9,392 378,086 SH Defined 35 378,086 AT&T INC COM Common Stocks 00206R102 $4,180 168,286 SH Defined 42 168,286 AT&T INC COM Common Stocks 00206R102 $21,469 864,300 SH Defined 51 864,300 AT&T INC COM Common Stocks 00206R102 $883 35,530 SH Defined 55 35,530 AT&T INC COM Common Stocks 00206R102 $1,509 60,756 SH Defined 56 60,756 AT&T INC COM Common Stocks 00206R102 $12,462 501,700 SH Defined 57 501,700 AT&T INC COM Common Stocks 00206R102 $3,769 151,730 SH Defined 58 151,730 AT&T INC COM Common Stocks 00206R102 $1,159 46,642 SH Defined 67 46,642 AT&T INC COM Common Stocks 00206R102 $15,978 643,242 SH Defined 68 643,242 AT&T INC COM Common Stocks 00206R102 $3,014 121,330 SH Defined 69 121,330 AT&T INC COM Common Stocks 00206R102 $8,557 344,500 SH Defined 76 344,500 AT&T INC COM Common Stocks 00206R102 $314 12,500 SH Defined 79 12,500 AT&T INC COM Common Stocks 00206R102 $637 25,650 SH Defined 79 25,650 AT&T INC COM Common Stocks 00206R102 $3,903 157,123 SH Defined 80 157,123 AT&T INC COM Common Stocks 00206R102 $78,937 3,177,811 SH Sole 88 3,177,811 AT&T INC COM Common Stocks 00206R102 $2,378 95,742 SH Defined 97 95,742 AT&T INC COM Common Stocks 00206R102 $63 2,515 SH Defined 2,515 ATP OIL & GAS CORP COM Common Stocks 00208J108 $165 23,700 SH Defined 57 23,700 ATP OIL & GAS CORP COM Common Stocks 00208J108 $118 17,000 SH Sole 88 17,000 ATC TECHNOLOGY CORP COM Common Stocks 00211W104 $122 8,400 SH Defined 23 8,400 ATC TECHNOLOGY CORP COM Common Stocks 00211W104 $199 13,700 SH Defined 57 13,700 ATC TECHNOLOGY CORP COM Common Stocks 00211W104 $160 11,000 SH Defined 65 11,000 ATC TECHNOLOGY CORP COM Common Stocks 00211W104 $1,434 98,918 SH Sole 88 98,918 AU OPTRONICS CORP SPONSORE Common Stocks 002255107 $4,323 446,614 SH Defined 4 446,614 AU OPTRONICS CORP SPONSORE Common Stocks 002255107 $1,990 207,400 SH Defined 11 207,400 AU OPTRONICS CORP SPONSORE Common Stocks 002255107 $2,093 216,193 SH Defined 11 216,193 AU OPTRONICS CORP SPONSORE Common Stocks 002255107 $4,938 510,158 SH Sole 88 510,158 AU OPTRONICS CORP SPONSORE Common Stocks 002255107 $942 97,317 SH Defined 90 97,317 AU OPTRONICS CORP SPONSORE Common Stocks 002255107 $4,943 510,600 SH Defined 104 510,600 AVX CORP NEW COM Common Stocks 002444107 $3,070 309,210 SH Defined 31 309,210 AVX CORP NEW COM Common Stocks 002444107 $3,459 348,300 SH Sole 88 348,300 AARONS INC COM Common Stocks 002535201 $253 8,500 SH Defined 1 8,500 AARONS INC COM Common Stocks 002535201 $2,974 99,716 SH Defined 23 99,716 AARONS INC COM Common Stocks 002535201 $690 23,150 SH Defined 44 23,150 AARONS INC COM Common Stocks 002535201 $121 4,065 SH Defined 81 4,065 AARONS INC COM Common Stocks 002535201 $3,266 109,525 SH Sole 88 109,525 ABAXIS INC COM Common Stocks 002567105 $3,605 175,500 SH Sole 88 175,500 ABAXIS INC COM Common Stocks 002567105 $493 24,000 SH Defined 95 24,000 ABBOTT LABS COM Common Stocks 002824100 $612 13,000 SH Defined 4 13,000 ABBOTT LABS COM Common Stocks 002824100 $4,309 91,600 SH Defined 8 91,600 ABBOTT LABS COM Common Stocks 002824100 $5,035 107,035 SH Defined 12 107,035 ABBOTT LABS COM Common Stocks 002824100 $677 14,244 SH Defined 18 14,244 ABBOTT LABS COM Common Stocks 002824100 $1,740 37,000 SH Defined 18 37,000 ABBOTT LABS COM Common Stocks 002824100 $8,625 183,352 SH Defined 27 183,352 ABBOTT LABS COM Common Stocks 002824100 $5,720 121,600 SH Defined 31 121,600 ABBOTT LABS COM Common Stocks 002824100 $8,185 174,000 SH Defined 35 174,000 ABBOTT LABS COM Common Stocks 002824100 $7,277 154,700 SH Defined 51 154,700 ABBOTT LABS COM Common Stocks 002824100 $331 7,040 SH Defined 55 7,040 ABBOTT LABS COM Common Stocks 002824100 $1,947 41,400 SH Defined 56 41,400 ABBOTT LABS COM Common Stocks 002824100 $5,216 110,890 SH Defined 58 110,890 ABBOTT LABS COM Common Stocks 002824100 $2,586 54,970 SH Defined 60 54,970 ABBOTT LABS COM Common Stocks 002824100 $6,262 133,123 SH Defined 62 133,123 ABBOTT LABS COM Common Stocks 002824100 $5,299 112,640 SH Defined 64 112,640 ABBOTT LABS COM Common Stocks 002824100 $558 11,750 SH Defined 66 11,750 ABBOTT LABS COM Common Stocks 002824100 $952 20,225 SH Defined 66 20,225 ABBOTT LABS COM Common Stocks 002824100 $1,016 21,600 SH Defined 67 21,600 ABBOTT LABS COM Common Stocks 002824100 $5,765 122,547 SH Defined 68 122,547 ABBOTT LABS COM Common Stocks 002824100 $1,081 22,990 SH Defined 69 22,990 ABBOTT LABS COM Common Stocks 002824100 $23,268 494,649 SH Defined 72 494,649 ABBOTT LABS COM Common Stocks 002824100 $1,439 30,600 SH Defined 76 30,600 ABBOTT LABS COM Common Stocks 002824100 $1,938 41,200 SH Defined 80 41,200 ABBOTT LABS COM Common Stocks 002824100 $62,697 1,332,837 SH Sole 88 1,332,837 ABBOTT LABS COM Common Stocks 002824100 $1,012 21,300 SH Defined 93 21,300 ABBOTT LABS COM Common Stocks 002824100 $2,474 52,600 SH Defined 93 52,600 ABBOTT LABS COM Common Stocks 002824100 $16,921 359,722 SH Defined 94 359,722 ABBOTT LABS COM Common Stocks 002824100 $11,509 244,660 SH Defined 102 244,660 ABBOTT LABS COM Common Stocks 002824100 $887 18,851 SH Defined 106 18,851 ABERCROMBIE & FITCH CO CL Common Stocks 002896207 $107 4,200 SH Defined 57 4,200 ABERCROMBIE & FITCH CO CL Common Stocks 002896207 $335 13,200 SH Defined 65 13,200 ABERCROMBIE & FITCH CO CL Common Stocks 002896207 $523 20,585 SH Defined 73 20,585 ABERCROMBIE & FITCH CO CL Common Stocks 002896207 $375 14,500 SH Defined 79 14,500 ABERCROMBIE & FITCH CO CL Common Stocks 002896207 $703 27,700 SH Defined 79 27,700 ABERCROMBIE & FITCH CO CL Common Stocks 002896207 $58 2,300 SH Defined 80 2,300 ABERCROMBIE & FITCH CO CL Common Stocks 002896207 $2,203 86,773 SH Sole 88 86,773 ABERCROMBIE & FITCH CO CL Common Stocks 002896207 $127 5,010 SH Defined 102 5,010 ABINGTON BANCORP INC COM Common Stocks 00350L109 $158 19,800 SH Defined 52 19,800 ABINGTON BANCORP INC COM Common Stocks 00350L109 $207 25,980 SH Sole 88 25,980 ABIOMED INC COM Common Stocks 003654100 $331 37,500 SH Defined 28 37,500 ABOVENET INC COM ADDED Common Stocks 00374N107 $95 1,175 SH Defined 44 1,175 ABRAXIS BIOSCIENCE INC NEW C Common Stocks 00383Y102 $258 7,000 SH Defined 89 7,000 ACADIA RLTY TR COM SH BEN Common Stocks 004239109 $602 46,371 SH Defined 54 46,371 ACADIA RLTY TR COM SH BEN Common Stocks 004239109 $5,716 437,935 SH Defined 54 437,935 ACADIA RLTY TR COM SH BEN Common Stocks 004239109 $216 16,525 SH Sole 88 16,525 ACETO CORP COM Common Stocks 004446100 $82 12,300 SH Defined 31 12,300 ACI WORLDWIDE INC COM Common Stocks 004498101 $1,774 127,069 SH Defined 23 127,069 ACI WORLDWIDE INC COM Common Stocks 004498101 $1,603 114,800 SH Sole 88 114,800 ACME PACKET INC COM Common Stocks 004764106 $121 12,000 SH Defined 23 12,000 ACME PACKET INC COM Common Stocks 004764106 $183 18,100 SH Sole 88 18,100 ACORDA THERAPEUTICS INC CO Common Stocks 00484M106 $368 13,070 SH Defined 102 13,070 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $557 44,100 SH Defined 4 44,100 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $686 54,300 SH Defined 18 54,300 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $1,579 125,000 SH Defined 18 125,000 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $8,824 698,500 SH Defined 23 698,500 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $518 41,000 SH Defined 26 41,000 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $19,267 1,525,208 SH Defined 26 1,525,208 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $857 67,880 SH Defined 60 67,880 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $14,480 1,146,503 SH Sole 88 1,146,503 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $4,458 352,960 SH Defined 102 352,960 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $528 41,838 SH Defined 106 41,838 ACTIVISION BLIZZARD INC CO Common Stocks 00507V109 $173 13,637 SH Defined 13,637 ACTUATE CORP COM Common Stocks 00508B102 $19 3,900 SH Defined 1 3,900 ACTUATE CORP COM Common Stocks 00508B102 $16 3,300 SH Defined 57 3,300 ACTUANT CORP CL A NEW Common Stocks 00508X203 $345 28,311 SH Defined 52 28,311 ACTUANT CORP CL A NEW Common Stocks 00508X203 $92 7,500 SH Defined 57 7,500 ACTUANT CORP CL A NEW Common Stocks 00508X203 $117 9,600 SH Sole 88 9,600 ACUITY BRANDS INC COM Common Stocks 00508Y102 $3,051 108,781 SH Defined 62 108,781 ACXIOM CORP COM Common Stocks 005125109 $364 41,168 SH Defined 1 41,168 ACXIOM CORP COM Common Stocks 005125109 $1,634 184,998 SH Defined 23 184,998 ACXIOM CORP COM Common Stocks 005125109 $223 25,300 SH Defined 65 25,300 ACXIOM CORP COM Common Stocks 005125109 $1,565 177,276 SH Sole 88 177,276 ADAMS RES & ENERGY INC COM N Common Stocks 006351308 $47 2,750 SH Defined 31 2,750 ADAPTEC INC COM Common Stocks 00651F108 $57 21,446 SH Defined 1 21,446 ADAPTEC INC COM Common Stocks 00651F108 $2,825 1,065,882 SH Defined 23 1,065,882 ADAPTEC INC COM Common Stocks 00651F108 $77 29,100 SH Defined 57 29,100 ADAPTEC INC COM Common Stocks 00651F108 $2,575 971,691 SH Sole 88 971,691 ADMINISTAFF INC COM Common Stocks 007094105 $1,366 58,700 SH Defined 31 58,700 ADMINISTAFF INC COM Common Stocks 007094105 $221 9,500 SH Defined 57 9,500 ADMINISTAFF INC COM Common Stocks 007094105 $1,548 66,505 SH Sole 88 66,505 ADOBE SYS INC COM Common Stocks 00724F101 $255 9,000 SH Defined 4 9,000 ADOBE SYS INC COM Common Stocks 00724F101 $4,033 142,500 SH Defined 10 142,500 ADOBE SYS INC COM Common Stocks 00724F101 $15,651 553,029 SH Defined 27 553,029 ADOBE SYS INC COM Common Stocks 00724F101 $543 19,200 SH Defined 28 19,200 ADOBE SYS INC COM Common Stocks 00724F101 $603 21,300 SH Defined 29 21,300 ADOBE SYS INC COM Common Stocks 00724F101 $71 2,500 SH Defined 32 2,500 ADOBE SYS INC COM Common Stocks 00724F101 $7,644 270,100 SH Defined 35 270,100 ADOBE SYS INC COM Common Stocks 00724F101 $1,276 45,095 SH Defined 42 45,095 ADOBE SYS INC COM Common Stocks 00724F101 $857 30,300 SH Defined 51 30,300 ADOBE SYS INC COM Common Stocks 00724F101 $260 9,200 SH Defined 56 9,200 ADOBE SYS INC COM Common Stocks 00724F101 $207 7,320 SH Defined 58 7,320 ADOBE SYS INC COM Common Stocks 00724F101 $985 34,820 SH Defined 60 34,820 ADOBE SYS INC COM Common Stocks 00724F101 $3,462 121,764 SH Defined 64 121,764 ADOBE SYS INC COM Common Stocks 00724F101 $13,908 491,256 SH Defined 64 491,256 ADOBE SYS INC COM Common Stocks 00724F101 $954 33,700 SH Defined 67 33,700 ADOBE SYS INC COM Common Stocks 00724F101 $1,596 56,408 SH Defined 76 56,408 ADOBE SYS INC COM Common Stocks 00724F101 $393 13,900 SH Defined 80 13,900 ADOBE SYS INC COM Common Stocks 00724F101 $35,037 1,238,053 SH Sole 88 1,238,053 ADOBE SYS INC COM Common Stocks 00724F101 $4,133 146,025 SH Defined 102 146,025 ADOBE SYS INC COM Common Stocks 00724F101 $1,718 60,700 SH Defined 105 60,700 ADOBE SYS INC COM Common Stocks 00724F101 $16,988 600,255 SH Defined 600,255 ADTRAN INC COM Common Stocks 00738A106 $137 6,400 SH Defined 57 6,400 ADTRAN INC COM Common Stocks 00738A106 $1,635 76,130 SH Defined 76 76,130 ADVANCE AMER CASH ADVANCE Common Stocks 00739W107 $141 31,800 SH Defined 1 31,800 ADVANCE AMER CASH ADVANCE Common Stocks 00739W107 $1,387 313,194 SH Defined 23 313,194 ADVANCE AMER CASH ADVANCE Common Stocks 00739W107 $268 60,600 SH Defined 57 60,600 ADVANCE AMER CASH ADVANCE Common Stocks 00739W107 $1,495 337,400 SH Sole 88 337,400 ADVANCE AUTO PARTS INC COM Common Stocks 00751Y106 $5,944 143,236 SH Defined 23 143,236 ADVANCE AUTO PARTS INC COM Common Stocks 00751Y106 $527 12,700 SH Defined 51 12,700 ADVANCE AUTO PARTS INC COM Common Stocks 00751Y106 $324 7,800 SH Defined 56 7,800 ADVANCE AUTO PARTS INC COM Common Stocks 00751Y106 $282 6,790 SH Defined 58 6,790 ADVANCE AUTO PARTS INC COM Common Stocks 00751Y106 $123 2,966 SH Defined 81 2,966 ADVANCE AUTO PARTS INC COM Common Stocks 00751Y106 $1,396 33,650 SH Defined 85 33,650 ADVANCE AUTO PARTS INC COM Common Stocks 00751Y106 $5,354 129,041 SH Sole 88 129,041 ADVANCE AUTO PARTS INC COM Common Stocks 00751Y106 $2,335 56,271 SH Defined 103 56,271 ADVANCE AUTO PARTS INC COM Common Stocks 00751Y106 $1,257 30,300 SH Defined 105 30,300 ADVANCE AUTO PARTS INC COM Common Stocks 00751Y106 $24 566 SH Defined 566 ADVANCED ANALOGIC TECHNOLO Common Stocks 00752J108 $1,579 344,105 SH Defined 23 344,105 ADVANCED ANALOGIC TECHNOLO Common Stocks 00752J108 $18 3,900 SH Defined 57 3,900 ADVANCED ANALOGIC TECHNOLO Common Stocks 00752J108 $105 22,881 SH Defined 81 22,881 ADVANCED ANALOGIC TECHNOLO Common Stocks 00752J108 $1,479 322,300 SH Sole 88 322,300 ADVANTAGE ENERGY INCOME FD Common Stocks 00762L101 $1,802 427,000 SH Defined 427,000 ADVISORY BRD CO COM Common Stocks 00762W107 $96 3,751 SH Defined 81 3,751 AECOM TECHNOLOGY CORP DELA Common Stocks 00766T100 $2,737 85,530 SH Defined 12 85,530 AECOM TECHNOLOGY CORP DELA Common Stocks 00766T100 $1,334 41,700 SH Defined 51 41,700 AECOM TECHNOLOGY CORP DELA Common Stocks 00766T100 $1,171 36,813 SH Defined 64 36,813 AECOM TECHNOLOGY CORP DELA Common Stocks 00766T100 $4,609 143,957 SH Defined 64 143,957 AECOM TECHNOLOGY CORP DELA Common Stocks 00766T100 $148 4,617 SH Defined 81 4,617 AECOM TECHNOLOGY CORP DELA Common Stocks 00766T100 $848 26,500 SH Sole 88 26,500 AECOM TECHNOLOGY CORP DELA Common Stocks 00766T100 $1,434 44,800 SH Defined 105 44,800 AECOM TECHNOLOGY CORP DELA Common Stocks 00766T100 $40 1,237 SH Defined 1,237 AEROPOSTALE COM Common Stocks 007865108 $1,038 30,300 SH Defined 10 30,300 AEROPOSTALE COM Common Stocks 007865108 $7,613 222,118 SH Defined 23 222,118 AEROPOSTALE COM Common Stocks 007865108 $2,142 62,500 SH Defined 30 62,500 AEROPOSTALE COM Common Stocks 007865108 $201 5,875 SH Defined 42 5,875 AEROPOSTALE COM Common Stocks 007865108 $341 9,950 SH Defined 44 9,950 AEROPOSTALE COM Common Stocks 007865108 $27 800 SH Defined 65 800 AEROPOSTALE COM Common Stocks 007865108 $998 29,133 SH Defined 76 29,133 AEROPOSTALE COM Common Stocks 007865108 $147 4,292 SH Defined 81 4,292 AEROPOSTALE COM Common Stocks 007865108 $3,490 101,825 SH Sole 88 101,825 AEROPOSTALE COM Common Stocks 007865108 $984 28,700 SH Defined 105 28,700 AEROPOSTALE COM Common Stocks 007865108 $42 1,237 SH Defined 1,237 ADVANCED MICRO DEVICES INC Common Stocks 007903107 $449 115,900 SH Defined 51 115,900 ADVANCED MICRO DEVICES INC Common Stocks 007903107 $58 14,900 SH Defined 80 14,900 ADVANCED MICRO DEVICES INC Common Stocks 007903107 $141 36,363 SH Defined 81 36,363 ADVANCED MICRO DEVICES INC Common Stocks 007903107 $285 73,700 SH Sole 88 73,700 AEGON N V NY REGISTRY SH Common Stocks 007924103 $62 10,083 SH Defined 32 10,083 ADVANCED ENERGY INDS COM Common Stocks 007973100 $624 69,300 SH Defined 41 69,300 ADVANCED ENERGY INDS COM Common Stocks 007973100 $613 68,217 SH Defined 52 68,217 ADVANCED ENERGY INDS COM Common Stocks 007973100 $880 97,906 SH Sole 88 97,906 ADVENT SOFTWARE INC COM Common Stocks 007974108 $4,240 129,300 SH Sole 88 129,300 ADVENT SOFTWARE INC COM Common Stocks 007974108 $580 17,700 SH Defined 95 17,700 AEROVIRONMENT INC COM Common Stocks 008073108 $4,876 158,000 SH Sole 88 158,000 AEROVIRONMENT INC COM Common Stocks 008073108 $667 21,600 SH Defined 95 21,600 AETNA INC NEW COM Common Stocks 00817Y108 $0 2 SH Defined 1 2 AETNA INC NEW COM Common Stocks 00817Y108 $6,010 239,900 SH Defined 10 239,900 AETNA INC NEW COM Common Stocks 00817Y108 $4,820 192,388 SH Defined 23 192,388 AETNA INC NEW COM Common Stocks 00817Y108 $3,101 123,800 SH Defined 35 123,800 AETNA INC NEW COM Common Stocks 00817Y108 $398 15,900 SH Defined 56 15,900 AETNA INC NEW COM Common Stocks 00817Y108 $701 28,000 SH Defined 58 28,000 AETNA INC NEW COM Common Stocks 00817Y108 $381 15,200 SH Defined 67 15,200 AETNA INC NEW COM Common Stocks 00817Y108 $1,187 47,380 SH Defined 76 47,380 AETNA INC NEW COM Common Stocks 00817Y108 $298 11,896 SH Defined 80 11,896 AETNA INC NEW COM Common Stocks 00817Y108 $115 4,600 SH Defined 84 4,600 AETNA INC NEW COM Common Stocks 00817Y108 $6,378 254,600 SH Sole 88 254,600 AETNA INC NEW COM Common Stocks 00817Y108 $866 34,600 SH Defined 93 34,600 AETNA INC NEW COM Common Stocks 00817Y108 $2,154 86,000 SH Defined 93 86,000 AETNA INC NEW COM Common Stocks 00817Y108 $99 3,944 SH Defined 3,944 AFFILIATED COMPUTER SERVIC Common Stocks 008190100 $4,328 97,429 SH Defined 23 97,429 AFFILIATED COMPUTER SERVIC Common Stocks 008190100 $1,910 43,000 SH Defined 51 43,000 AFFILIATED COMPUTER SERVIC Common Stocks 008190100 $2,887 65,000 SH Defined 57 65,000 AFFILIATED COMPUTER SERVIC Common Stocks 008190100 $115 2,600 SH Defined 80 2,600 AFFILIATED COMPUTER SERVIC Common Stocks 008190100 $9,909 223,083 SH Sole 88 223,083 AFFILIATED COMPUTER SERVIC Common Stocks 008190100 $995 22,400 SH Defined 94 22,400 AFFILIATED COMPUTER SERVIC Common Stocks 008190100 $2,643 59,496 SH Defined 103 59,496 AFFILIATED MANAGERS GROUP Common Stocks 008252108 $623 10,700 SH Defined 28 10,700 AFFILIATED MANAGERS GROUP Common Stocks 008252108 $574 9,869 SH Defined 42 9,869 AFFILIATED MANAGERS GROUP Common Stocks 008252108 $530 9,100 SH Defined 51 9,100 AFFILIATED MANAGERS GROUP Common Stocks 008252108 $3,589 61,680 SH Defined 85 61,680 AFFILIATED MANAGERS GROUP Common Stocks 008252108 $6,722 115,519 SH Sole 88 115,519 AFFILIATED MANAGERS GROUP Common Stocks 008252108 $5,209 89,510 SH Defined 103 89,510 AFFYMAX INC COM Common Stocks 00826A109 $24 1,300 SH Defined 65 1,300 AFFYMETRIX INC COM Common Stocks 00826T108 $208 35,100 SH Defined 63 35,100 AFFYMETRIX INC COM Common Stocks 00826T108 $41 6,900 SH Defined 65 6,900 AGILENT TECHNOLOGIES INC C Common Stocks 00846U101 $10 500 SH Defined 51 500 AGILENT TECHNOLOGIES INC C Common Stocks 00846U101 $542 26,700 SH Defined 55 26,700 AGILENT TECHNOLOGIES INC C Common Stocks 00846U101 $31 1,522 SH Defined 62 1,522 AGILENT TECHNOLOGIES INC C Common Stocks 00846U101 $44 2,190 SH Defined 68 2,190 AGILENT TECHNOLOGIES INC C Common Stocks 00846U101 $185 9,119 SH Defined 80 9,119 AGILENT TECHNOLOGIES INC C Common Stocks 00846U101 $1,370 67,440 SH Sole 88 67,440 AGNICO EAGLE MINES LTD COM Common Stocks 008474108 $444 8,200 SH Defined 18 8,200 AGNICO EAGLE MINES LTD COM Common Stocks 008474108 $950 18,100 SH Defined 18 18,100 AGNICO EAGLE MINES LTD COM Common Stocks 008474108 $1,762 33,400 SH Defined 43 33,400 AGNICO EAGLE MINES LTD COM Common Stocks 008474108 $2,010 38,300 SH Sole 88 38,300 AGNICO EAGLE MINES LTD COM Common Stocks 008474108 $2,818 53,700 SH Defined 109 53,700 AGREE REALTY CORP COM Common Stocks 008492100 $79 4,300 SH Defined 65 4,300 AGRIUM INC COM Common Stocks 008916108 $2,142 53,700 SH Defined 8 53,700 AGRIUM INC COM Common Stocks 008916108 $1,189 29,800 SH Defined 30 29,800 AGRIUM INC COM Common Stocks 008916108 $22,490 562,300 SH Defined 34 562,300 AGRIUM INC COM Common Stocks 008916108 $228 5,700 SH Defined 41 5,700 AGRIUM INC COM Common Stocks 008916108 $1,052 26,300 SH Defined 43 26,300 AGRIUM INC COM Common Stocks 008916108 $1,073 26,900 SH Sole 88 26,900 AGRIUM INC COM Common Stocks 008916108 $10,167 254,200 SH Defined 254,200 AIR PRODS & CHEMS INC COM Common Stocks 009158106 $27 419 SH Defined 42 419 AIR PRODS & CHEMS INC COM Common Stocks 009158106 $575 8,900 SH Defined 56 8,900 AIR PRODS & CHEMS INC COM Common Stocks 009158106 $193 2,985 SH Defined 68 2,985 AIR PRODS & CHEMS INC COM Common Stocks 009158106 $355 5,500 SH Defined 80 5,500 AIR PRODS & CHEMS INC COM Common Stocks 009158106 $10,186 157,700 SH Sole 88 157,700 AIR PRODS & CHEMS INC COM Common Stocks 009158106 $15,999 247,701 SH Defined 94 247,701 AIR TRANSPORT SERVICES GRP I Common Stocks 00922R105 $6 2,380 SH Defined 1 2,380 AIRGAS INC COM Common Stocks 009363102 $251 6,200 SH Defined 51 6,200 AIRGAS INC COM Common Stocks 009363102 $138 3,415 SH Defined 81 3,415 AIRGAS INC COM Common Stocks 009363102 $2,416 59,620 SH Sole 88 59,620 AIRGAS INC COM Common Stocks 009363102 $295 7,280 SH Defined 102 7,280 AIRGAS INC COM Common Stocks 009363102 $4,523 111,589 SH Defined 103 111,589 AIRTRAN HLDGS INC COM Common Stocks 00949P108 $193 31,200 SH Defined 57 31,200 AIRVANA INC COM Common Stocks 00950V101 $56 8,800 SH Defined 23 8,800 AIRVANA INC COM Common Stocks 00950V101 $84 13,200 SH Sole 88 13,200 AKAMAI TECHNOLOGIES INC CO Common Stocks 00971T101 $1,584 82,600 SH Defined 23 82,600 AKAMAI TECHNOLOGIES INC CO Common Stocks 00971T101 $740 38,600 SH Defined 51 38,600 AKAMAI TECHNOLOGIES INC CO Common Stocks 00971T101 $86 4,500 SH Defined 80 4,500 AKAMAI TECHNOLOGIES INC CO Common Stocks 00971T101 $110 5,749 SH Defined 81 5,749 AKAMAI TECHNOLOGIES INC CO Common Stocks 00971T101 $1,953 101,800 SH Sole 88 101,800 ALAMO GROUP INC COM Common Stocks 011311107 $73 7,250 SH Defined 31 7,250 ALASKA AIR GROUP INC COM Common Stocks 011659109 $2,049 112,230 SH Defined 57 112,230 ALASKA AIR GROUP INC COM Common Stocks 011659109 $1,223 67,000 SH Sole 88 67,000 ALASKA COMMUNICATIONS SYS Common Stocks 01167P101 $296 40,420 SH Defined 22 40,420 ALASKA COMMUNICATIONS SYS Common Stocks 01167P101 $257 35,104 SH Defined 73 35,104 ALASKA COMMUNICATIONS SYS Common Stocks 01167P101 $97 13,196 SH Defined 81 13,196 ALASKA COMMUNICATIONS SYS Common Stocks 01167P101 $1,059 144,621 SH Sole 88 144,621 ALBANY INTL CORP CL A Common Stocks 012348108 $391 34,400 SH Defined 57 34,400 ALBANY INTL CORP CL A Common Stocks 012348108 $282 24,800 SH Sole 88 24,800 ALBANY MOLECULAR RESH INC Common Stocks 012423109 $29 3,400 SH Defined 65 3,400 ALBEMARLE CORP COM Common Stocks 012653101 $936 36,600 SH Defined 31 36,600 ALBEMARLE CORP COM Common Stocks 012653101 $608 23,770 SH Defined 52 23,770 ALBEMARLE CORP COM Common Stocks 012653101 $2,644 103,400 SH Sole 88 103,400 ALBEMARLE CORP COM Common Stocks 012653101 $2,409 94,224 SH Defined 103 94,224 ALBERTO CULVER CO NEW COM Common Stocks 013078100 $800 31,465 SH Sole 88 31,465 ALBERTO CULVER CO NEW COM Common Stocks 013078100 $164 6,430 SH Defined 102 6,430 ALBERTO CULVER CO NEW COM Common Stocks 013078100 $2,611 102,661 SH Defined 103 102,661 ALCOA INC COM Common Stocks 013817101 $2,997 290,100 SH Defined 10 290,100 ALCOA INC COM Common Stocks 013817101 $200 19,405 SH Defined 42 19,405 ALCOA INC COM Common Stocks 013817101 $773 74,860 SH Defined 60 74,860 ALCOA INC COM Common Stocks 013817101 $268 25,916 SH Defined 80 25,916 ALCOA INC COM Common Stocks 013817101 $5,059 489,691 SH Sole 88 489,691 ALCOA INC COM Common Stocks 013817101 $8,874 859,025 SH Defined 100 859,025 ALCOA INC COM Common Stocks 013817101 $5,175 500,980 SH Defined 102 500,980 ALCATEL-LUCENT SPONSORED A Common Stocks 013904305 $3,652 1,472,520 SH Defined 59 1,472,520 ALCATEL-LUCENT SPONSORED A Common Stocks 013904305 $643 259,260 SH Defined 84 259,260 ALCATEL-LUCENT SPONSORED A Common Stocks 013904305 $2,878 1,160,400 SH Sole 88 1,160,400 ALCATEL-LUCENT SPONSORED A Common Stocks 013904305 $2,998 1,209,060 SH Defined 102 1,209,060 ALEXANDER & BALDWIN INC CO Common Stocks 014482103 $3,030 129,250 SH Defined 31 129,250 ALEXANDER & BALDWIN INC CO Common Stocks 014482103 $366 15,605 SH Defined 73 15,605 ALEXANDER & BALDWIN INC CO Common Stocks 014482103 $4,950 211,165 SH Sole 88 211,165 ALEXANDER & BALDWIN INC CO Common Stocks 014482103 $1,658 70,739 SH Defined 92 70,739 ALEXANDRIA REAL ESTATE EQ Common Stocks 015271109 $1,137 32,000 SH Defined 54 32,000 ALEXANDRIA REAL ESTATE EQ Common Stocks 015271109 $10,889 304,200 SH Defined 54 304,200 ALEXANDRIA REAL ESTATE EQ Common Stocks 015271109 $161 4,500 SH Defined 56 4,500 ALEXANDRIA REAL ESTATE EQ Common Stocks 015271109 $1,027 28,905 SH Defined 82 28,905 ALEXANDRIA REAL ESTATE EQ Common Stocks 015271109 $3,855 107,645 SH Defined 82 107,645 ALEXANDRIA REAL ESTATE EQ Common Stocks 015271109 $408 11,400 SH Sole 88 11,400 ALEXANDRIA REAL ESTATE EQ Common Stocks 015271109 $81 2,260 SH Defined 102 2,260 ALEXION PHARMACEUTICALS IN Common Stocks 015351109 $271 6,600 SH Defined 56 6,600 ALEXION PHARMACEUTICALS IN Common Stocks 015351109 $127 3,100 SH Defined 58 3,100 ALEXION PHARMACEUTICALS IN Common Stocks 015351109 $972 23,640 SH Defined 60 23,640 ALEXION PHARMACEUTICALS IN Common Stocks 015351109 $4,929 119,860 SH Defined 74 119,860 ALEXION PHARMACEUTICALS IN Common Stocks 015351109 $125 3,031 SH Defined 81 3,031 ALEXION PHARMACEUTICALS IN Common Stocks 015351109 $12,121 294,768 SH Sole 88 294,768 ALEXION PHARMACEUTICALS IN Common Stocks 015351109 $6,809 165,580 SH Defined 102 165,580 ALIGN TECHNOLOGY INC COM Common Stocks 016255101 $100 9,402 SH Defined 81 9,402 ALKERMES INC COM Common Stocks 01642T108 $67 6,200 SH Defined 65 6,200 ALLEGHENY ENERGY INC COM Common Stocks 017361106 $1,344 52,400 SH Defined 59 52,400 ALLEGHENY ENERGY INC COM Common Stocks 017361106 $7,448 290,353 SH Defined 62 290,353 ALLEGHENY ENERGY INC COM Common Stocks 017361106 $115 4,500 SH Defined 80 4,500 ALLEGHENY ENERGY INC COM Common Stocks 017361106 $10,625 414,240 SH Sole 88 414,240 ALLEGHENY ENERGY INC COM Common Stocks 017361106 $10,815 421,650 SH Defined 91 421,650 ALLEGHENY TECHNOLOGIES INC Common Stocks 01741R102 $670 19,172 SH Defined 42 19,172 ALLEGHENY TECHNOLOGIES INC Common Stocks 01741R102 $178 5,100 SH Defined 51 5,100 ALLEGHENY TECHNOLOGIES INC Common Stocks 01741R102 $91 2,606 SH Defined 80 2,606 ALLEGHENY TECHNOLOGIES INC Common Stocks 01741R102 $489 14,005 SH Sole 88 14,005 ALLEGHENY TECHNOLOGIES INC Common Stocks 01741R102 $1,263 36,152 SH Defined 92 36,152 ALLERGAN INC COM Common Stocks 018490102 $5,134 107,900 SH Defined 28 107,900 ALLERGAN INC COM Common Stocks 018490102 $928 19,500 SH Defined 29 19,500 ALLERGAN INC COM Common Stocks 018490102 $195 4,100 SH Defined 51 4,100 ALLERGAN INC COM Common Stocks 018490102 $14,805 311,159 SH Defined 72 311,159 ALLERGAN INC COM Common Stocks 018490102 $385 8,100 SH Defined 80 8,100 ALLERGAN INC COM Common Stocks 018490102 $14,460 303,900 SH Sole 88 303,900 ALLERGAN INC COM Common Stocks 018490102 $2,446 51,400 SH Defined 89 51,400 ALLETE INC COM NEW Common Stocks 018522300 $382 13,302 SH Defined 52 13,302 ALLETE INC COM NEW Common Stocks 018522300 $506 17,600 SH Sole 88 17,600 ALLIANCE DATA SYSTEMS CORP Common Stocks 018581108 $1,919 46,600 SH Defined 51 46,600 ALLIANCE DATA SYSTEMS CORP Common Stocks 018581108 $519 12,608 SH Defined 76 12,608 ALLIANCE DATA SYSTEMS CORP Common Stocks 018581108 $1,297 31,500 SH Sole 88 31,500 ALLIANCE ONE INTL INC COM Common Stocks 018772103 $3,293 866,546 SH Defined 23 866,546 ALLIANCE ONE INTL INC COM Common Stocks 018772103 $162 42,700 SH Defined 57 42,700 ALLIANCE ONE INTL INC COM Common Stocks 018772103 $3,073 808,600 SH Sole 88 808,600 ALLIANT ENERGY CORP COM Common Stocks 018802108 $635 24,300 SH Defined 4 24,300 ALLIANT ENERGY CORP COM Common Stocks 018802108 $3 100 SH Defined 51 100 ALLIANT ENERGY CORP COM Common Stocks 018802108 $149 5,700 SH Defined 57 5,700 ALLIANT ENERGY CORP COM Common Stocks 018802108 $1,787 68,400 SH Sole 88 68,400 ALLIED CAP CORP NEW COM Common Stocks 01903Q108 $187 53,757 SH Defined 42 53,757 ALLIED CAP CORP NEW COM Common Stocks 01903Q108 $932 267,700 SH Defined 57 267,700 ALLIED CAP CORP NEW COM Common Stocks 01903Q108 $715 205,440 SH Sole 88 205,440 ALLIED NEVADA GOLD CORP CO Common Stocks 019344100 $77 9,600 SH Defined 65 9,600 ALLIED WASTE INDS INC SDCV 4 Common Stocks 019589AD2 $29 30,000 SH Defined 42 30,000 ALLIED WASTE INDS INC SDCV 4 Common Stocks 019589AD2 $388 400,000 SH Sole 88 400,000 ALLSCRIPT MISYS HEALTCAR S Common Stocks 01988P108 $872 54,950 SH Defined 44 54,950 ALLSCRIPT MISYS HEALTCAR S Common Stocks 01988P108 $1,676 105,645 SH Defined 92 105,645 ALLSTATE CORP COM Common Stocks 020002101 $2,528 103,600 SH Defined 4 103,600 ALLSTATE CORP COM Common Stocks 020002101 $10,834 444,000 SH Defined 10 444,000 ALLSTATE CORP COM Common Stocks 020002101 $653 26,705 SH Defined 11 26,705 ALLSTATE CORP COM Common Stocks 020002101 $5,443 222,993 SH Defined 11 222,993 ALLSTATE CORP COM Common Stocks 020002101 $2,960 121,300 SH Defined 17 121,300 ALLSTATE CORP COM Common Stocks 020002101 $300 12,300 SH Defined 51 12,300 ALLSTATE CORP COM Common Stocks 020002101 $120 4,900 SH Defined 56 4,900 ALLSTATE CORP COM Common Stocks 020002101 $8,191 335,700 SH Defined 57 335,700 ALLSTATE CORP COM Common Stocks 020002101 $8,760 359,019 SH Defined 68 359,019 ALLSTATE CORP COM Common Stocks 020002101 $1,656 67,860 SH Defined 69 67,860 ALLSTATE CORP COM Common Stocks 020002101 $1,620 66,402 SH Defined 76 66,402 ALLSTATE CORP COM Common Stocks 020002101 $350 14,328 SH Defined 80 14,328 ALLSTATE CORP COM Common Stocks 020002101 $1,745 71,510 SH Defined 84 71,510 ALLSTATE CORP COM Common Stocks 020002101 $33,947 1,391,276 SH Sole 88 1,391,276 ALLSTATE CORP COM Common Stocks 020002101 $10,740 440,160 SH Defined 91 440,160 ALLSTATE CORP COM Common Stocks 020002101 $7,240 296,701 SH Defined 296,701 ALNYLAM PHARMACEUTICALS IN Common Stocks 02043Q107 $7 300 SH Defined 65 300 ALON USA ENERGY INC COM Common Stocks 020520102 $740 71,500 SH Defined 57 71,500 ALON USA ENERGY INC COM Common Stocks 020520102 $265 25,600 SH Sole 88 25,600 ALPHA NATURAL RESOURCES IN Common Stocks 02076X102 $1,043 39,684 SH Defined 42 39,684 ALPHA NATURAL RESOURCES IN Common Stocks 02076X102 $1,111 42,300 SH Defined 51 42,300 ALPHA NATURAL RESOURCES IN Common Stocks 02076X102 $104 3,952 SH Defined 81 3,952 ALPHA NATURAL RESOURCES IN Common Stocks 02076X102 $2,707 103,034 SH Sole 88 103,034 ALPHA NATURAL RESOURCES IN Common Stocks 02076X102 $2,849 108,465 SH Defined 103 108,465 ALTERA CORP COM Common Stocks 021441100 $850 52,200 SH Defined 35 52,200 ALTERA CORP COM Common Stocks 021441100 $3,155 193,800 SH Defined 51 193,800 ALTERA CORP COM Common Stocks 021441100 $106 6,500 SH Defined 67 6,500 ALTERA CORP COM Common Stocks 021441100 $919 56,473 SH Defined 76 56,473 ALTERA CORP COM Common Stocks 021441100 $129 7,900 SH Defined 80 7,900 ALTERA CORP COM Common Stocks 021441100 $2,478 152,200 SH Sole 88 152,200 ALTRA HOLDINGS INC COM Common Stocks 02208R106 $1,286 171,725 SH Defined 30 171,725 ALTRA HOLDINGS INC COM Common Stocks 02208R106 $97 12,900 SH Defined 65 12,900 ALTRA HOLDINGS INC COM Common Stocks 02208R106 $1,036 138,355 SH Sole 88 138,355 ALTRIA GROUP INC COM Common Stocks 02209S103 $3,839 234,200 SH Defined 1 234,200 ALTRIA GROUP INC COM Common Stocks 02209S103 $3,663 223,510 SH Defined 4 223,510 ALTRIA GROUP INC COM Common Stocks 02209S103 $4,075 248,600 SH Defined 17 248,600 ALTRIA GROUP INC COM Common Stocks 02209S103 $12,295 749,956 SH Defined 23 749,956 ALTRIA GROUP INC COM Common Stocks 02209S103 $444 27,100 SH Defined 51 27,100 ALTRIA GROUP INC COM Common Stocks 02209S103 $960 58,600 SH Defined 56 58,600 ALTRIA GROUP INC COM Common Stocks 02209S103 $1,163 70,970 SH Defined 58 70,970 ALTRIA GROUP INC COM Common Stocks 02209S103 $5,348 326,326 SH Defined 68 326,326 ALTRIA GROUP INC COM Common Stocks 02209S103 $1,027 62,670 SH Defined 69 62,670 ALTRIA GROUP INC COM Common Stocks 02209S103 $6,022 367,411 SH Defined 76 367,411 ALTRIA GROUP INC COM Common Stocks 02209S103 $901 55,000 SH Defined 80 55,000 ALTRIA GROUP INC COM Common Stocks 02209S103 $8,136 496,370 SH Sole 88 496,370 ALTRIA GROUP INC COM Common Stocks 02209S103 $636 38,800 SH Defined 97 38,800 ALTRIA GROUP INC COM Common Stocks 02209S103 $88 5,337 SH Defined 5,337 ALUMINA LTD SPONSORED ADR Common Stocks 022205108 $3,313 720,275 SH Defined 100 720,275 AMAZON COM INC COM Common Stocks 023135106 $519 6,200 SH Defined 4 6,200 AMAZON COM INC COM Common Stocks 023135106 $726 8,800 SH Defined 18 8,800 AMAZON COM INC COM Common Stocks 023135106 $1,690 20,200 SH Defined 18 20,200 AMAZON COM INC COM Common Stocks 023135106 $773 9,367 SH Defined 26 9,367 AMAZON COM INC COM Common Stocks 023135106 $29,098 347,748 SH Defined 26 347,748 AMAZON COM INC COM Common Stocks 023135106 $2,100 25,106 SH Defined 27 25,106 AMAZON COM INC COM Common Stocks 023135106 $1,371 16,385 SH Defined 42 16,385 AMAZON COM INC COM Common Stocks 023135106 $2,543 30,400 SH Defined 51 30,400 AMAZON COM INC COM Common Stocks 023135106 $410 4,900 SH Defined 56 4,900 AMAZON COM INC COM Common Stocks 023135106 $7,421 88,700 SH Defined 57 88,700 AMAZON COM INC COM Common Stocks 023135106 $484 5,780 SH Defined 58 5,780 AMAZON COM INC COM Common Stocks 023135106 $2,381 28,460 SH Defined 60 28,460 AMAZON COM INC COM Common Stocks 023135106 $1,782 21,305 SH Defined 76 21,305 AMAZON COM INC COM Common Stocks 023135106 $719 8,600 SH Defined 80 8,600 AMAZON COM INC COM Common Stocks 023135106 $37,230 445,011 SH Sole 88 445,011 AMAZON COM INC COM Common Stocks 023135106 $3,422 40,900 SH Defined 89 40,900 AMAZON COM INC COM Common Stocks 023135106 $747 9,050 SH Defined 96 9,050 AMAZON COM INC COM Common Stocks 023135106 $2,292 27,400 SH Defined 96 27,400 AMAZON COM INC COM Common Stocks 023135106 $3,784 45,200 SH Defined 98 45,200 AMAZON COM INC COM Common Stocks 023135106 $22,320 266,800 SH Defined 99 266,800 AMAZON COM INC COM Common Stocks 023135106 $12,956 154,860 SH Defined 102 154,860 AMAZON COM INC COM Common Stocks 023135106 $723 8,646 SH Defined 106 8,646 AMAZON COM INC COM Common Stocks 023135106 $161 1,934 SH Defined 1,934 AMBAC FINL GROUP INC COM Common Stocks 023139108 $32 34,928 SH Defined 52 34,928 AMBAC FINL GROUP INC COM Common Stocks 023139108 $39 42,549 SH Sole 88 42,549 AMEDISYS INC COM Common Stocks 023436108 $212 6,420 SH Defined 21 6,420 AMEDISYS INC COM Common Stocks 023436108 $30 900 SH Defined 57 900 AMEDISYS INC COM Common Stocks 023436108 $85 2,572 SH Defined 81 2,572 AMEDISYS INC COM Common Stocks 023436108 $604 18,290 SH Sole 88 18,290 AMEREN CORP COM Common Stocks 023608102 $1,473 59,200 SH Defined 4 59,200 AMEREN CORP COM Common Stocks 023608102 $941 37,800 SH Defined 51 37,800 AMEREN CORP COM Common Stocks 023608102 $928 37,300 SH Defined 57 37,300 AMEREN CORP COM Common Stocks 023608102 $142 5,700 SH Defined 80 5,700 AMEREN CORP COM Common Stocks 023608102 $1,747 70,200 SH Sole 88 70,200 AMEREN CORP COM Common Stocks 023608102 $8,370 336,270 SH Defined 100 336,270 AMERICA SVC GROUP INC COM Common Stocks 02364L109 $63 3,900 SH Defined 23 3,900 AMERICA SVC GROUP INC COM Common Stocks 02364L109 $21 1,300 SH Defined 65 1,300 AMERICA SVC GROUP INC COM Common Stocks 02364L109 $92 5,700 SH Sole 88 5,700 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $186 4,800 SH Defined 4 4,800 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $3,718 96,000 SH Defined 14 96,000 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $551 14,210 SH Defined 39 14,210 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $19,555 505,028 SH Defined 40 505,028 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $8,975 231,800 SH Defined 46 231,800 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $1,355 35,000 SH Defined 61 35,000 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $6,496 167,780 SH Defined 68 167,780 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $2,524 65,130 SH Defined 70 65,130 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $635 16,403 SH Defined 83 16,403 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $13,454 347,465 SH Sole 88 347,465 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $1,657 42,800 SH Defined 89 42,800 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $8,505 219,500 SH Defined 98 219,500 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $74,551 1,925,400 SH Defined 99 1,925,400 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $4,495 116,100 SH Defined 104 116,100 AMERICA MOVIL SAB DE CV SP Common Stocks 02364W105 $1,661 42,900 SH Defined 42,900 AMERICAN AXLE & MFG HLDGS Common Stocks 024061103 $39 11,300 SH Defined 57 11,300 AMERICAN CAMPUS CMNTYS INC Common Stocks 024835100 $288 12,995 SH Defined 22 12,995 AMERICAN CAMPUS CMNTYS INC Common Stocks 024835100 $927 42,061 SH Defined 25 42,061 AMERICAN CAMPUS CMNTYS INC Common Stocks 024835100 $1,111 50,080 SH Defined 25 50,080 AMERICAN CAMPUS CMNTYS INC Common Stocks 024835100 $11,894 536,245 SH Defined 48 536,245 AMERICAN CAMPUS CMNTYS INC Common Stocks 024835100 $705 31,804 SH Defined 52 31,804 AMERICAN CAMPUS CMNTYS INC Common Stocks 024835100 $3,842 173,197 SH Defined 54 173,197 AMERICAN CAMPUS CMNTYS INC Common Stocks 024835100 $374 16,966 SH Defined 82 16,966 AMERICAN CAMPUS CMNTYS INC Common Stocks 024835100 $1,759 79,239 SH Defined 82 79,239 AMERICAN CAMPUS CMNTYS INC Common Stocks 024835100 $10,910 491,900 SH Defined 87 491,900 AMERICAN CAMPUS CMNTYS INC Common Stocks 024835100 $1,283 57,848 SH Sole 88 57,848 AMERICAN CAPITAL AGENCY CO Common Stocks 02503X105 $209 9,100 SH Defined 57 9,100 AMERICAN COMMERCIAL LINES Common Stocks 025195405 $151 9,749 SH Defined 57 9,749 AMERICAN COMMERCIAL LINES Common Stocks 025195405 $3 200 SH Defined 65 200 AMERICAN COMMERCIAL LINES Common Stocks 025195405 $105 6,800 SH Sole 88 6,800 AMERICAN DENTAL PARTNERS COM Common Stocks 025353103 $346 38,181 SH Defined 63 38,181 AMERICAN ELEC PWR INC COM Common Stocks 025537101 $2,513 87,000 SH Defined 4 87,000 AMERICAN ELEC PWR INC COM Common Stocks 025537101 $52 1,800 SH Defined 56 1,800 AMERICAN ELEC PWR INC COM Common Stocks 025537101 $8,641 299,100 SH Defined 57 299,100 AMERICAN ELEC PWR INC COM Common Stocks 025537101 $633 21,900 SH Defined 58 21,900 AMERICAN ELEC PWR INC COM Common Stocks 025537101 $13,305 460,541 SH Defined 62 460,541 AMERICAN ELEC PWR INC COM Common Stocks 025537101 $10,017 346,726 SH Sole 88 346,726 AMERICAN EAGLE OUTFITTERS Common Stocks 02553E106 $4,734 334,063 SH Defined 31 334,063 AMERICAN EAGLE OUTFITTERS Common Stocks 02553E106 $179 12,600 SH Defined 51 12,600 AMERICAN EAGLE OUTFITTERS Common Stocks 02553E106 $2,587 182,562 SH Defined 85 182,562 AMERICAN EAGLE OUTFITTERS Common Stocks 02553E106 $4,033 284,620 SH Sole 88 284,620 AMERICAN EQTY INVT LIFE HL Common Stocks 025676206 $178 31,923 SH Defined 1 31,923 AMERICAN EQTY INVT LIFE HL Common Stocks 025676206 $309 55,355 SH Defined 22 55,355 AMERICAN EQTY INVT LIFE HL Common Stocks 025676206 $1,951 349,700 SH Defined 23 349,700 AMERICAN EQTY INVT LIFE HL Common Stocks 025676206 $158 28,398 SH Defined 52 28,398 AMERICAN EQTY INVT LIFE HL Common Stocks 025676206 $2,061 369,438 SH Sole 88 369,438 AMERICAN EXPRESS CO COM Common Stocks 025816109 $3,348 144,054 SH Defined 1 144,054 AMERICAN EXPRESS CO COM Common Stocks 025816109 $19,347 832,503 SH Defined 9 832,503 AMERICAN EXPRESS CO COM Common Stocks 025816109 $6,345 273,000 SH Defined 17 273,000 AMERICAN EXPRESS CO COM Common Stocks 025816109 $1,618 69,600 SH Defined 35 69,600 AMERICAN EXPRESS CO COM Common Stocks 025816109 $665 28,620 SH Defined 42 28,620 AMERICAN EXPRESS CO COM Common Stocks 025816109 $541 23,300 SH Defined 51 23,300 AMERICAN EXPRESS CO COM Common Stocks 025816109 $244 10,500 SH Defined 56 10,500 AMERICAN EXPRESS CO COM Common Stocks 025816109 $2,561 110,183 SH Defined 64 110,183 AMERICAN EXPRESS CO COM Common Stocks 025816109 $198 8,500 SH Defined 67 8,500 AMERICAN EXPRESS CO COM Common Stocks 025816109 $4,617 198,590 SH Defined 68 198,590 AMERICAN EXPRESS CO COM Common Stocks 025816109 $2,027 84,980 SH Defined 70 84,980 AMERICAN EXPRESS CO COM Common Stocks 025816109 $1,937 83,301 SH Defined 70 83,301 AMERICAN EXPRESS CO COM Common Stocks 025816109 $470 20,204 SH Defined 76 20,204 AMERICAN EXPRESS CO COM Common Stocks 025816109 $734 31,600 SH Defined 80 31,600 AMERICAN EXPRESS CO COM Common Stocks 025816109 $19,945 858,224 SH Sole 88 858,224 AMERICAN EXPRESS CO COM Common Stocks 025816109 $527 22,100 SH Defined 96 22,100 AMERICAN EXPRESS CO COM Common Stocks 025816109 $1,624 69,900 SH Defined 96 69,900 AMERICAN EXPRESS CO COM Common Stocks 025816109 $201 8,392 SH Defined 8,392 AMERICAN FINL GROUP INC OH Common Stocks 025932104 $606 28,100 SH Defined 10 28,100 AMERICAN FINL GROUP INC OH Common Stocks 025932104 $729 33,800 SH Defined 51 33,800 AMERICAN FINL GROUP INC OH Common Stocks 025932104 $2,967 137,500 SH Defined 57 137,500 AMERICAN FINL GROUP INC OH Common Stocks 025932104 $149 6,900 SH Defined 65 6,900 AMERICAN FINL GROUP INC OH Common Stocks 025932104 $221 10,250 SH Defined 77 10,250 AMERICAN FINL GROUP INC OH Common Stocks 025932104 $1,580 73,200 SH Sole 88 73,200 AMERICAN INTL GROUP INC CO Common Stocks 026874107 $83 71,497 SH Defined 80 71,497 AMERICAN INTL GROUP INC UNIT Common Stocks 026874115 $308 32,300 SH Defined 78 32,300 AMERICAN INTL GROUP INC UNIT Common Stocks 026874115 $177 18,600 SH Sole 88 18,600 AMERICAN ITALIAN PASTA CO Common Stocks 027070101 $31 1,050 SH Defined 1 1,050 AMERICAN ITALIAN PASTA CO Common Stocks 027070101 $437 14,982 SH Defined 52 14,982 AMERICAN ITALIAN PASTA CO Common Stocks 027070101 $776 26,633 SH Sole 88 26,633 AMERICAN MED SYS HLDGS INC Common Stocks 02744M108 $167 10,600 SH Defined 65 10,600 AMERICAN MED SYS HLDGS INC Common Stocks 02744M108 $127 8,058 SH Defined 81 8,058 AMERICAN MED SYS HLDGS INC Common Stocks 02744M108 $918 58,090 SH Sole 88 58,090 AMERICAN ORIENTAL BIOENGR Common Stocks 028731107 $69 13,000 SH Defined 57 13,000 AMERICAN PHYSICIANS SVC GROU Common Stocks 028882108 $331 14,600 SH Defined 63 14,600 AMERICAN PUBLIC EDUCATION Common Stocks 02913V103 $28 700 SH Defined 57 700 AMERICAN PUBLIC EDUCATION Common Stocks 02913V103 $1,484 37,465 SH Defined 74 37,465 AMERICAN PUBLIC EDUCATION Common Stocks 02913V103 $109 2,749 SH Defined 81 2,749 AMERICAN PUBLIC EDUCATION Common Stocks 02913V103 $1,443 36,429 SH Sole 88 36,429 AMERICAN RAILCAR INDS INC Common Stocks 02916P103 $93 11,300 SH Defined 57 11,300 AMERICAN RAILCAR INDS INC Common Stocks 02916P103 $50 6,000 SH Sole 88 6,000 AMERICAN REPROGRAPHICS CO CO Common Stocks 029263100 $189 22,700 SH Defined 1 22,700 AMERICAN REPROGRAPHICS CO CO Common Stocks 029263100 $50 6,000 SH Defined 23 6,000 AMERICAN REPROGRAPHICS CO CO Common Stocks 029263100 $72 8,600 SH Sole 88 8,600 AMERICAN SCIENCE & ENGR IN Common Stocks 029429107 $35 500 SH Defined 57 500 AMERICAN SCIENCE & ENGR IN Common Stocks 029429107 $812 11,743 SH Defined 73 11,743 AMERICAN SCIENCE & ENGR IN Common Stocks 029429107 $3,388 49,010 SH Sole 88 49,010 AMERICAN SOFTWARE INC CL A Common Stocks 029683109 $79 13,800 SH Defined 31 13,800 AMERICAN TOWER CORP CL A Common Stocks 029912201 $3,348 106,200 SH Defined 10 106,200 AMERICAN TOWER CORP CL A Common Stocks 029912201 $826 25,800 SH Defined 18 25,800 AMERICAN TOWER CORP CL A Common Stocks 029912201 $1,892 60,000 SH Defined 18 60,000 AMERICAN TOWER CORP CL A Common Stocks 029912201 $392 12,430 SH Defined 60 12,430 AMERICAN TOWER CORP CL A Common Stocks 029912201 $331 10,500 SH Defined 80 10,500 AMERICAN TOWER CORP CL A Common Stocks 029912201 $3,234 102,569 SH Sole 88 102,569 AMERICAN TOWER CORP CL A Common Stocks 029912201 $608 19,280 SH Defined 102 19,280 AMERICAN TOWER CORP CL A Common Stocks 029912201 $1,545 48,995 SH Defined 106 48,995 AMERICAN SUPERCONDUCTOR CO Common Stocks 030111108 $106 4,047 SH Defined 81 4,047 AMERICAN SUPERCONDUCTOR CO Common Stocks 030111108 $122 4,650 SH Defined 102 4,650 AMERICAN WTR WKS CO INC NE Common Stocks 030420103 $2,995 156,700 SH Defined 31 156,700 AMERICAN WTR WKS CO INC NE Common Stocks 030420103 $1,861 97,200 SH Defined 49 97,200 AMERICAN WTR WKS CO INC NE Common Stocks 030420103 $1,016 53,150 SH Defined 76 53,150 AMERICAN WTR WKS CO INC NE Common Stocks 030420103 $757 39,600 SH Sole 88 39,600 AMERICAN WOODMARK CORP COM Common Stocks 030506109 $26 1,100 SH Defined 1 1,100 AMERICAN WOODMARK CORP COM Common Stocks 030506109 $43 1,800 SH Defined 31 1,800 AMERICAN WOODMARK CORP COM Common Stocks 030506109 $55 2,309 SH Defined 57 2,309 AMERICAN WOODMARK CORP COM Common Stocks 030506109 $24 1,000 SH Sole 88 1,000 AMERICREDIT CORP COM Common Stocks 03060R101 $305 22,500 SH Defined 51 22,500 AMERICREDIT CORP COM Common Stocks 03060R101 $23 1,700 SH Defined 65 1,700 AMERICREDIT CORP COM Common Stocks 03060R101 $121 8,951 SH Defined 81 8,951 AMERICREDIT CORP COM Common Stocks 03060R101 $194 14,300 SH Sole 88 14,300 AMERICAS CAR MART INC COM Common Stocks 03062T105 $205 10,000 SH Defined 63 10,000 AMERICAS CAR MART INC COM Common Stocks 03062T105 $145 7,096 SH Defined 85 7,096 AMERIGON INC COM Common Stocks 03070L300 $278 45,500 SH Defined 63 45,500 AMERISTAR CASINOS INC COM Common Stocks 03070Q101 $440 23,100 SH Defined 52 23,100 AMERISTAR CASINOS INC COM Common Stocks 03070Q101 $198 10,400 SH Defined 65 10,400 AMERISTAR CASINOS INC COM Common Stocks 03070Q101 $610 32,050 SH Sole 88 32,050 AMERON INTL INC COM Common Stocks 030710107 $865 12,878 SH Defined 11 12,878 AMERON INTL INC COM Common Stocks 030710107 $20 300 SH Defined 65 300 AMERON INTL INC COM Common Stocks 030710107 $1,039 15,500 SH Sole 88 15,500 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $8,071 454,958 SH Defined 1 454,958 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $8,804 496,300 SH Defined 10 496,300 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $1,009 56,900 SH Defined 35 56,900 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $7,309 411,986 SH Defined 57 411,986 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $101 5,700 SH Defined 67 5,700 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $387 21,788 SH Defined 76 21,788 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $142 8,000 SH Defined 80 8,000 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $428 24,110 SH Defined 84 24,110 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $22,550 1,271,140 SH Sole 88 1,271,140 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $211 11,920 SH Defined 102 11,920 AMERISOURCEBERGEN CORP COM Common Stocks 03073E105 $17,516 987,372 SH Defined 987,372 AMERIGROUP CORP COM Common Stocks 03073T102 $488 18,175 SH Defined 22 18,175 AMERIGROUP CORP COM Common Stocks 03073T102 $266 9,917 SH Defined 52 9,917 AMERIGROUP CORP COM Common Stocks 03073T102 $3,329 124,000 SH Defined 57 124,000 AMERIGROUP CORP COM Common Stocks 03073T102 $2,291 85,312 SH Defined 76 85,312 AMERIGROUP CORP COM Common Stocks 03073T102 $626 23,300 SH Defined 77 23,300 AMERIGROUP CORP COM Common Stocks 03073T102 $3,054 113,741 SH Sole 88 113,741 AMERIGROUP CORP COM Common Stocks 03073T102 $126 4,700 SH Defined 102 4,700 AMERIPRISE FINL INC COM Common Stocks 03076C106 $7,514 309,600 SH Defined 10 309,600 AMERIPRISE FINL INC COM Common Stocks 03076C106 $7 296 SH Defined 42 296 AMERIPRISE FINL INC COM Common Stocks 03076C106 $738 30,400 SH Defined 51 30,400 AMERIPRISE FINL INC COM Common Stocks 03076C106 $158 6,500 SH Defined 58 6,500 AMERIPRISE FINL INC COM Common Stocks 03076C106 $339 13,960 SH Defined 76 13,960 AMERIPRISE FINL INC COM Common Stocks 03076C106 $4,944 203,700 SH Sole 88 203,700 AMERIPRISE FINL INC COM Common Stocks 03076C106 $2,074 85,444 SH Defined 92 85,444 AMETEK INC NEW COM Common Stocks 031100100 $1,176 34,000 SH Defined 30 34,000 AMETEK INC NEW COM Common Stocks 031100100 $155 4,483 SH Defined 81 4,483 AMETEK INC NEW COM Common Stocks 031100100 $1,210 35,000 SH Sole 88 35,000 AMETEK INC NEW COM Common Stocks 031100100 $199 5,750 SH Defined 102 5,750 AMGEN INC COM Common Stocks 031162100 $6,805 128,534 SH Defined 1 128,534 AMGEN INC COM Common Stocks 031162100 $6,326 119,500 SH Defined 4 119,500 AMGEN INC COM Common Stocks 031162100 $3,582 67,670 SH Defined 8 67,670 AMGEN INC COM Common Stocks 031162100 $15,845 299,300 SH Defined 10 299,300 AMGEN INC COM Common Stocks 031162100 $1,086 20,512 SH Defined 11 20,512 AMGEN INC COM Common Stocks 031162100 $5,413 102,250 SH Defined 12 102,250 AMGEN INC COM Common Stocks 031162100 $797 15,100 SH Defined 18 15,100 AMGEN INC COM Common Stocks 031162100 $1,959 37,000 SH Defined 18 37,000 AMGEN INC COM Common Stocks 031162100 $23,054 435,366 SH Defined 23 435,366 AMGEN INC COM Common Stocks 031162100 $549 10,410 SH Defined 26 10,410 AMGEN INC COM Common Stocks 031162100 $20,618 389,391 SH Defined 26 389,391 AMGEN INC COM Common Stocks 031162100 $752 14,200 SH Defined 32 14,200 AMGEN INC COM Common Stocks 031162100 $9,905 187,100 SH Defined 35 187,100 AMGEN INC COM Common Stocks 031162100 $466 8,800 SH Defined 41 8,800 AMGEN INC COM Common Stocks 031162100 $2,892 54,630 SH Defined 42 54,630 AMGEN INC COM Common Stocks 031162100 $6,067 114,600 SH Defined 51 114,600 AMGEN INC COM Common Stocks 031162100 $1,139 21,520 SH Defined 55 21,520 AMGEN INC COM Common Stocks 031162100 $7,041 133,000 SH Defined 57 133,000 AMGEN INC COM Common Stocks 031162100 $1,010 19,070 SH Defined 58 19,070 AMGEN INC COM Common Stocks 031162100 $2,192 41,520 SH Defined 66 41,520 AMGEN INC COM Common Stocks 031162100 $2,783 52,550 SH Defined 66 52,550 AMGEN INC COM Common Stocks 031162100 $1,244 23,500 SH Defined 67 23,500 AMGEN INC COM Common Stocks 031162100 $3,714 70,164 SH Defined 76 70,164 AMGEN INC COM Common Stocks 031162100 $1,427 26,960 SH Defined 80 26,960 AMGEN INC COM Common Stocks 031162100 $67,089 1,267,270 SH Sole 88 1,267,270 AMGEN INC COM Common Stocks 031162100 $12,688 239,672 SH Defined 94 239,672 AMGEN INC COM Common Stocks 031162100 $2,937 55,487 SH Defined 97 55,487 AMGEN INC COM Common Stocks 031162100 $1,514 28,600 SH Defined 105 28,600 AMGEN INC COM Common Stocks 031162100 $18,085 341,601 SH Defined 341,601 AMKOR TECHNOLOGY INC COM Common Stocks 031652100 $1,044 220,778 SH Defined 23 220,778 AMKOR TECHNOLOGY INC COM Common Stocks 031652100 $59 12,500 SH Defined 57 12,500 AMKOR TECHNOLOGY INC COM Common Stocks 031652100 $923 195,200 SH Sole 88 195,200 AMPCO-PITTSBURGH CORP COM Common Stocks 032037103 $157 6,700 SH Defined 65 6,700 AMPHENOL CORP NEW CL A Common Stocks 032095101 $22,011 695,685 SH Defined 9 695,685 AMPHENOL CORP NEW CL A Common Stocks 032095101 $422 13,496 SH Defined 26 13,496 AMPHENOL CORP NEW CL A Common Stocks 032095101 $15,893 502,216 SH Defined 26 502,216 AMPHENOL CORP NEW CL A Common Stocks 032095101 $282 8,900 SH Defined 51 8,900 AMPHENOL CORP NEW CL A Common Stocks 032095101 $16 500 SH Defined 57 500 AMPHENOL CORP NEW CL A Common Stocks 032095101 $149 4,700 SH Defined 80 4,700 AMPHENOL CORP NEW CL A Common Stocks 032095101 $26,499 837,512 SH Sole 88 837,512 AMPHENOL CORP NEW CL A Common Stocks 032095101 $6,598 208,535 SH Defined 103 208,535 AMPHENOL CORP NEW CL A Common Stocks 032095101 $552 17,439 SH Defined 106 17,439 AMPHENOL CORP NEW CL A Common Stocks 032095101 $77 2,451 SH Defined 2,451 AMSURG CORP COM Common Stocks 03232P405 $670 31,266 SH Defined 52 31,266 AMSURG CORP COM Common Stocks 03232P405 $39 1,800 SH Defined 57 1,800 AMSURG CORP COM Common Stocks 03232P405 $118 5,498 SH Defined 81 5,498 AMSURG CORP COM Common Stocks 03232P405 $874 40,747 SH Sole 88 40,747 AMTECH SYS INC COM PAR $0.01 Common Stocks 032332504 $73 15,077 SH Sole 88 15,077 AMYLIN PHARMACEUTICALS INC Common Stocks 032346108 $301 22,300 SH Defined 51 22,300 AMYLIN PHARMACEUTICALS INC Common Stocks 032346108 $196 14,500 SH Sole 88 14,500 AMTRUST FINANCIAL SERVICES Common Stocks 032359309 $458 40,191 SH Defined 52 40,191 AMTRUST FINANCIAL SERVICES Common Stocks 032359309 $622 54,578 SH Sole 88 54,578 ANADARKO PETE CORP COM Common Stocks 032511107 $8,293 182,700 SH Defined 35 182,700 ANADARKO PETE CORP COM Common Stocks 032511107 $667 14,700 SH Defined 51 14,700 ANADARKO PETE CORP COM Common Stocks 032511107 $99 2,180 SH Defined 56 2,180 ANADARKO PETE CORP COM Common Stocks 032511107 $785 17,300 SH Defined 58 17,300 ANADARKO PETE CORP COM Common Stocks 032511107 $8,233 181,392 SH Defined 62 181,392 ANADARKO PETE CORP COM Common Stocks 032511107 $1,035 22,800 SH Defined 67 22,800 ANADARKO PETE CORP COM Common Stocks 032511107 $3,032 66,793 SH Defined 76 66,793 ANADARKO PETE CORP COM Common Stocks 032511107 $604 13,316 SH Defined 80 13,316 ANADARKO PETE CORP COM Common Stocks 032511107 $16,209 357,100 SH Sole 88 357,100 ANADARKO PETE CORP COM Common Stocks 032511107 $15,757 347,140 SH Defined 94 347,140 ANADIGICS INC COM Common Stocks 032515108 $40 9,500 SH Defined 57 9,500 ANALOG DEVICES INC COM Common Stocks 032654105 $1,085 43,800 SH Defined 4 43,800 ANALOG DEVICES INC COM Common Stocks 032654105 $5,315 214,500 SH Defined 10 214,500 ANALOG DEVICES INC COM Common Stocks 032654105 $823 33,200 SH Defined 51 33,200 ANALOG DEVICES INC COM Common Stocks 032654105 $1,320 53,276 SH Defined 76 53,276 ANALOG DEVICES INC COM Common Stocks 032654105 $193 7,800 SH Defined 80 7,800 ANALOG DEVICES INC COM Common Stocks 032654105 $5,300 213,900 SH Sole 88 213,900 ANALOG DEVICES INC COM Common Stocks 032654105 $949 38,300 SH Defined 97 38,300 ANALOG DEVICES INC COM Common Stocks 032654105 $144 5,800 SH Defined 102 5,800 ANALOGIC CORP COM PAR $0.0 Common Stocks 032657207 $1,856 50,222 SH Defined 92 50,222 ANAREN INC COM Common Stocks 032744104 $214 12,100 SH Defined 63 12,100 ANDERSONS INC COM Common Stocks 034164103 $2,234 74,600 SH Defined 23 74,600 ANDERSONS INC COM Common Stocks 034164103 $254 8,500 SH Defined 57 8,500 ANDERSONS INC COM Common Stocks 034164103 $84 2,800 SH Defined 65 2,800 ANDERSONS INC COM Common Stocks 034164103 $2,266 75,700 SH Sole 88 75,700 ANGIODYNAMICS INC COM Common Stocks 03475V101 $88 6,600 SH Defined 57 6,600 ANGIODYNAMICS INC COM Common Stocks 03475V101 $84 6,300 SH Sole 88 6,300 ANIXTER INTL INC COM Common Stocks 035290105 $324 8,625 SH Defined 22 8,625 ANNALY CAP MGMT INC COM Common Stocks 035710409 $533 35,175 SH Defined 21 35,175 ANNALY CAP MGMT INC COM Common Stocks 035710409 $13,405 885,215 SH Defined 23 885,215 ANNALY CAP MGMT INC COM Common Stocks 035710409 $5,802 383,224 SH Defined 31 383,224 ANNALY CAP MGMT INC COM Common Stocks 035710409 $3,623 239,300 SH Defined 35 239,300 ANNALY CAP MGMT INC COM Common Stocks 035710409 $244 16,100 SH Defined 51 16,100 ANNALY CAP MGMT INC COM Common Stocks 035710409 $4,709 311,000 SH Defined 57 311,000 ANNALY CAP MGMT INC COM Common Stocks 035710409 $451 29,800 SH Defined 67 29,800 ANNALY CAP MGMT INC COM Common Stocks 035710409 $27,969 1,847,334 SH Sole 88 1,847,334 ANNALY CAP MGMT INC COM Common Stocks 035710409 $18,687 1,234,290 SH Defined 91 1,234,290 ANNALY CAP MGMT INC COM Common Stocks 035710409 $84 5,559 SH Defined 5,559 ANNTAYLOR STORES CORP COM Common Stocks 036115103 $13 1,600 SH Defined 57 1,600 ANSYS INC COM Common Stocks 03662Q105 $3,331 106,900 SH Defined 14 106,900 ANSYS INC COM Common Stocks 03662Q105 $4,217 135,331 SH Defined 74 135,331 ANSYS INC COM Common Stocks 03662Q105 $156 5,007 SH Defined 81 5,007 ANSYS INC COM Common Stocks 03662Q105 $11,246 360,918 SH Sole 88 360,918 ANSYS INC COM Common Stocks 03662Q105 $573 18,400 SH Defined 95 18,400 ANSYS INC COM Common Stocks 03662Q105 $4,664 149,691 SH Defined 103 149,691 ANWORTH MORTGAGE ASSET CP Common Stocks 037347101 $2,244 311,231 SH Defined 23 311,231 ANWORTH MORTGAGE ASSET CP Common Stocks 037347101 $2,082 288,800 SH Defined 31 288,800 ANWORTH MORTGAGE ASSET CP Common Stocks 037347101 $1,127 156,318 SH Defined 52 156,318 ANWORTH MORTGAGE ASSET CP Common Stocks 037347101 $766 106,300 SH Defined 57 106,300 ANWORTH MORTGAGE ASSET CP Common Stocks 037347101 $301 41,800 SH Defined 65 41,800 ANWORTH MORTGAGE ASSET CP Common Stocks 037347101 $6,299 873,698 SH Sole 88 873,698 AON CORP COM Common Stocks 037389103 $5,920 156,288 SH Defined 23 156,288 AON CORP COM Common Stocks 037389103 $3,875 102,250 SH Defined 50 102,250 AON CORP COM Common Stocks 037389103 $776 20,500 SH Defined 51 20,500 AON CORP COM Common Stocks 037389103 $143 3,787 SH Defined 68 3,787 AON CORP COM Common Stocks 037389103 $280 7,400 SH Defined 80 7,400 AON CORP COM Common Stocks 037389103 $1,984 52,400 SH Sole 88 52,400 AON CORP COM Common Stocks 037389103 $798 21,300 SH Defined 93 21,300 AON CORP COM Common Stocks 037389103 $2,011 53,100 SH Defined 93 53,100 AON CORP COM Common Stocks 037389103 $1,410 37,200 SH Defined 98 37,200 AON CORP COM Common Stocks 037389103 $8,509 224,700 SH Defined 99 224,700 AON CORP COM Common Stocks 037389103 $54 1,442 SH Defined 1,442 APACHE CORP COM Common Stocks 037411105 $3,622 50,200 SH Defined 4 50,200 APACHE CORP COM Common Stocks 037411105 $167 2,321 SH Defined 11 2,321 APACHE CORP COM Common Stocks 037411105 $1,883 26,100 SH Defined 35 26,100 APACHE CORP COM Common Stocks 037411105 $729 10,100 SH Defined 51 10,100 APACHE CORP COM Common Stocks 037411105 $758 10,500 SH Defined 56 10,500 APACHE CORP COM Common Stocks 037411105 $6,335 87,800 SH Defined 57 87,800 APACHE CORP COM Common Stocks 037411105 $2,678 37,120 SH Defined 58 37,120 APACHE CORP COM Common Stocks 037411105 $260 3,600 SH Defined 67 3,600 APACHE CORP COM Common Stocks 037411105 $8,104 112,315 SH Defined 68 112,315 APACHE CORP COM Common Stocks 037411105 $1,543 21,380 SH Defined 69 21,380 APACHE CORP COM Common Stocks 037411105 $2,468 34,200 SH Defined 76 34,200 APACHE CORP COM Common Stocks 037411105 $641 8,890 SH Defined 80 8,890 APACHE CORP COM Common Stocks 037411105 $597 8,275 SH Defined 84 8,275 APACHE CORP COM Common Stocks 037411105 $12,567 174,180 SH Sole 88 174,180 APACHE CORP COM Common Stocks 037411105 $1,914 26,522 SH Defined 26,522 APARTMENT INVT & MGMT CO C Common Stocks 03748R101 $1 72 SH Defined 16 72 APARTMENT INVT & MGMT CO C Common Stocks 03748R101 $1,278 145,095 SH Defined 25 145,095 APARTMENT INVT & MGMT CO C Common Stocks 03748R101 $1,694 191,297 SH Defined 25 191,297 APARTMENT INVT & MGMT CO C Common Stocks 03748R101 $2,896 327,248 SH Defined 57 327,248 APARTMENT INVT & MGMT CO C Common Stocks 03748R101 $27 3,093 SH Defined 80 3,093 APARTMENT INVT & MGMT CO C Common Stocks 03748R101 $2,602 294,050 SH Defined 87 294,050 APARTMENT INVT & MGMT CO C Common Stocks 03748R101 $2,796 315,956 SH Sole 88 315,956 APOGEE ENTERPRISES INC COM Common Stocks 037598109 $585 47,443 SH Defined 11 47,443 APOGEE ENTERPRISES INC COM Common Stocks 037598109 $1,587 129,000 SH Defined 30 129,000 APOGEE ENTERPRISES INC COM Common Stocks 037598109 $71 5,800 SH Defined 65 5,800 APOGEE ENTERPRISES INC COM Common Stocks 037598109 $296 24,100 SH Defined 77 24,100 APOGEE ENTERPRISES INC COM Common Stocks 037598109 $1,242 100,998 SH Sole 88 100,998 APOLLO GROUP INC CL A Common Stocks 037604105 $590 8,300 SH Defined 4 8,300 APOLLO GROUP INC CL A Common Stocks 037604105 $5,675 79,800 SH Defined 10 79,800 APOLLO GROUP INC CL A Common Stocks 037604105 $4,505 63,326 SH Defined 23 63,326 APOLLO GROUP INC CL A Common Stocks 037604105 $315 4,800 SH Defined 26 4,800 APOLLO GROUP INC CL A Common Stocks 037604105 $12,740 179,101 SH Defined 26 179,101 APOLLO GROUP INC CL A Common Stocks 037604105 $7,590 106,722 SH Defined 27 106,722 APOLLO GROUP INC CL A Common Stocks 037604105 $4,950 69,600 SH Defined 35 69,600 APOLLO GROUP INC CL A Common Stocks 037604105 $356 5,000 SH Defined 51 5,000 APOLLO GROUP INC CL A Common Stocks 037604105 $4,374 61,500 SH Defined 57 61,500 APOLLO GROUP INC CL A Common Stocks 037604105 $626 8,800 SH Defined 67 8,800 APOLLO GROUP INC CL A Common Stocks 037604105 $52 730 SH Defined 68 730 APOLLO GROUP INC CL A Common Stocks 037604105 $3,166 44,518 SH Defined 76 44,518 APOLLO GROUP INC CL A Common Stocks 037604105 $206 2,900 SH Defined 80 2,900 APOLLO GROUP INC CL A Common Stocks 037604105 $38,296 538,473 SH Sole 88 538,473 APOLLO GROUP INC CL A Common Stocks 037604105 $1,358 19,100 SH Defined 105 19,100 APOLLO GROUP INC CL A Common Stocks 037604105 $19,547 274,968 SH Defined 274,968 APOLLO INVT CORP COM Common Stocks 03761U106 $542 90,400 SH Defined 23 90,400 APOLLO INVT CORP COM Common Stocks 03761U106 $2,027 337,868 SH Defined 57 337,868 APOLLO INVT CORP COM Common Stocks 03761U106 $94 15,708 SH Defined 81 15,708 APOLLO INVT CORP COM Common Stocks 03761U106 $1,494 249,000 SH Sole 88 249,000 APPLE INC COM Common Stocks 037833100 $641 4,500 SH Defined 4 4,500 APPLE INC COM Common Stocks 037833100 $7,093 49,800 SH Defined 10 49,800 APPLE INC COM Common Stocks 037833100 $2,615 18,551 SH Defined 11 18,551 APPLE INC COM Common Stocks 037833100 $11,791 82,757 SH Defined 11 82,757 APPLE INC COM Common Stocks 037833100 $6,967 48,915 SH Defined 12 48,915 APPLE INC COM Common Stocks 037833100 $7,436 52,200 SH Defined 14 52,200 APPLE INC COM Common Stocks 037833100 $1,546 10,968 SH Defined 18 10,968 APPLE INC COM Common Stocks 037833100 $3,928 27,579 SH Defined 18 27,579 APPLE INC COM Common Stocks 037833100 $1,373 9,740 SH Defined 26 9,740 APPLE INC COM Common Stocks 037833100 $51,875 364,145 SH Defined 26 364,145 APPLE INC COM Common Stocks 037833100 $15,788 110,848 SH Defined 27 110,848 APPLE INC COM Common Stocks 037833100 $5,526 38,800 SH Defined 28 38,800 APPLE INC COM Common Stocks 037833100 $1,082 7,600 SH Defined 29 7,600 APPLE INC COM Common Stocks 037833100 $13,218 92,800 SH Defined 35 92,800 APPLE INC COM Common Stocks 037833100 $3,034 21,300 SH Defined 37 21,300 APPLE INC COM Common Stocks 037833100 $21,758 152,765 SH Defined 38 152,765 APPLE INC COM Common Stocks 037833100 $3,827 26,871 SH Defined 42 26,871 APPLE INC COM Common Stocks 037833100 $5,925 41,600 SH Defined 51 41,600 APPLE INC COM Common Stocks 037833100 $1,424 10,000 SH Defined 56 10,000 APPLE INC COM Common Stocks 037833100 $1,609 11,300 SH Defined 57 11,300 APPLE INC COM Common Stocks 037833100 $3,710 26,049 SH Defined 58 26,049 APPLE INC COM Common Stocks 037833100 $3,316 23,280 SH Defined 60 23,280 APPLE INC COM Common Stocks 037833100 $7,425 52,664 SH Defined 64 52,664 APPLE INC COM Common Stocks 037833100 $46,285 324,877 SH Defined 64 324,877 APPLE INC COM Common Stocks 037833100 $2,483 17,610 SH Defined 66 17,610 APPLE INC COM Common Stocks 037833100 $3,068 21,531 SH Defined 66 21,531 APPLE INC COM Common Stocks 037833100 $1,666 11,700 SH Defined 67 11,700 APPLE INC COM Common Stocks 037833100 $30,338 213,006 SH Defined 72 213,006 APPLE INC COM Common Stocks 037833100 $5,503 38,637 SH Defined 76 38,637 APPLE INC COM Common Stocks 037833100 $3,390 23,800 SH Defined 80 23,800 APPLE INC COM Common Stocks 037833100 $129,397 908,496 SH Sole 88 908,496 APPLE INC COM Common Stocks 037833100 $4,501 31,600 SH Defined 89 31,600 APPLE INC COM Common Stocks 037833100 $18,172 127,584 SH Defined 94 127,584 APPLE INC COM Common Stocks 037833100 $620 4,400 SH Defined 96 4,400 APPLE INC COM Common Stocks 037833100 $1,795 12,600 SH Defined 96 12,600 APPLE INC COM Common Stocks 037833100 $5,245 36,800 SH Defined 98 36,800 APPLE INC COM Common Stocks 037833100 $31,249 219,400 SH Defined 99 219,400 APPLE INC COM Common Stocks 037833100 $18,116 127,192 SH Defined 102 127,192 APPLE INC COM Common Stocks 037833100 $2,008 14,100 SH Defined 105 14,100 APPLE INC COM Common Stocks 037833100 $2,372 16,653 SH Defined 106 16,653 APPLE INC COM Common Stocks 037833100 $13,744 96,509 SH Defined 96,509 APPLIED INDL TECHNOLOGIES Common Stocks 03820C105 $208 10,550 SH Defined 77 10,550 APPLIED INDL TECHNOLOGIES Common Stocks 03820C105 $109 5,513 SH Defined 81 5,513 APPLIED MATLS INC COM Common Stocks 038222105 $3,388 308,800 SH Defined 17 308,800 APPLIED MATLS INC COM Common Stocks 038222105 $123 11,200 SH Defined 56 11,200 APPLIED MATLS INC COM Common Stocks 038222105 $1,895 172,760 SH Defined 60 172,760 APPLIED MATLS INC COM Common Stocks 038222105 $8,877 809,169 SH Defined 62 809,169 APPLIED MATLS INC COM Common Stocks 038222105 $391 35,600 SH Defined 80 35,600 APPLIED MATLS INC COM Common Stocks 038222105 $17,545 1,599,402 SH Sole 88 1,599,402 APPLIED MATLS INC COM Common Stocks 038222105 $17,438 1,589,563 SH Defined 94 1,589,563 APPLIED MATLS INC COM Common Stocks 038222105 $8,204 747,872 SH Defined 102 747,872 APPLIED MICRO CIRCUITS COR Common Stocks 03822W406 $69 8,500 SH Defined 57 8,500 APPLIED MICRO CIRCUITS COR Common Stocks 03822W406 $186 22,900 SH Defined 65 22,900 APPLIED MICRO CIRCUITS COR Common Stocks 03822W406 $109 13,404 SH Defined 81 13,404 APPLIED SIGNAL TECHNOLOGY Common Stocks 038237103 $112 4,400 SH Defined 1 4,400 APPLIED SIGNAL TECHNOLOGY Common Stocks 038237103 $54 2,100 SH Defined 57 2,100 APTARGROUP INC COM Common Stocks 038336103 $1 39 SH Defined 42 39 APTARGROUP INC COM Common Stocks 038336103 $344 10,175 SH Defined 66 10,175 APPROACH RESOURCES INC COM Common Stocks 03834A103 $132 19,100 SH Defined 63 19,100 AQUA AMERICA INC COM Common Stocks 03836W103 $564 31,500 SH Defined 51 31,500 AQUA AMERICA INC COM Common Stocks 03836W103 $362 20,200 SH Sole 88 20,200 ARBITRON INC COM Common Stocks 03875Q108 $361 22,741 SH Defined 73 22,741 ARBITRON INC COM Common Stocks 03875Q108 $1,554 97,768 SH Sole 88 97,768 ARCH CHEMICALS INC COM Common Stocks 03937R102 $15 600 SH Defined 31 600 ARCH CHEMICALS INC COM Common Stocks 03937R102 $389 15,800 SH Defined 41 15,800 ARCH CHEMICALS INC COM Common Stocks 03937R102 $107 4,364 SH Defined 81 4,364 ARCH CHEMICALS INC COM Common Stocks 03937R102 $64 2,600 SH Sole 88 2,600 ARCH COAL INC COM Common Stocks 039380100 $5,366 349,100 SH Defined 31 349,100 ARCH COAL INC COM Common Stocks 039380100 $373 24,300 SH Defined 51 24,300 ARCH COAL INC COM Common Stocks 039380100 $21,670 1,409,898 SH Sole 88 1,409,898 ARCH COAL INC COM Common Stocks 039380100 $20,390 1,326,586 SH Defined 91 1,326,586 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $3,178 118,700 SH Defined 4 118,700 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $10,804 403,600 SH Defined 10 403,600 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $988 36,477 SH Defined 11 36,477 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $6,630 247,425 SH Defined 11 247,425 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $0 16 SH Defined 23 16 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $4,891 182,700 SH Defined 35 182,700 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $2,684 100,253 SH Defined 42 100,253 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $190 7,100 SH Defined 51 7,100 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $616 23,000 SH Defined 57 23,000 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $1,355 50,630 SH Defined 60 50,630 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $610 22,800 SH Defined 67 22,800 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $459 17,143 SH Defined 80 17,143 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $32,972 1,231,692 SH Sole 88 1,231,692 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $7,311 273,110 SH Defined 102 273,110 ARCHER DANIELS MIDLAND CO Common Stocks 039483102 $15,836 591,546 SH Defined 591,546 ARCSIGHT INC COM Common Stocks 039666102 $600 33,750 SH Defined 44 33,750 ARCSIGHT INC COM Common Stocks 039666102 $336 18,890 SH Sole 88 18,890 ARCTIC CAT INC COM Common Stocks 039670104 $7 1,800 SH Defined 57 1,800 ARCTIC CAT INC COM Common Stocks 039670104 $46 11,300 SH Sole 88 11,300 ARENA RESOURCES INC COM Common Stocks 040049108 $181 5,675 SH Defined 44 5,675 ARENA RESOURCES INC COM Common Stocks 040049108 $303 9,500 SH Defined 57 9,500 ARENA RESOURCES INC COM Common Stocks 040049108 $1,477 46,389 SH Defined 74 46,389 ARENA RESOURCES INC COM Common Stocks 040049108 $97 3,049 SH Defined 81 3,049 ARENA RESOURCES INC COM Common Stocks 040049108 $3,615 113,510 SH Defined 85 113,510 ARENA RESOURCES INC COM Common Stocks 040049108 $6,017 188,922 SH Sole 88 188,922 ARENA RESOURCES INC COM Common Stocks 040049108 $200 6,270 SH Defined 102 6,270 ARES CAP CORP COM Common Stocks 04010L103 $1,167 144,800 SH Defined 30 144,800 ARES CAP CORP COM Common Stocks 04010L103 $122 15,123 SH Defined 81 15,123 ARES CAP CORP COM Common Stocks 04010L103 $932 115,577 SH Sole 88 115,577 ARES CAP CORP COM Common Stocks 04010L103 $4,229 524,741 SH Defined 92 524,741 ARGON ST INC COM Common Stocks 040149106 $905 44,018 SH Defined 23 44,018 ARGON ST INC COM Common Stocks 040149106 $821 39,900 SH Sole 88 39,900 ARIBA INC COM NEW Common Stocks 04033V203 $115 11,688 SH Defined 81 11,688 ARIBA INC COM NEW Common Stocks 04033V203 $2,406 244,550 SH Defined 85 244,550 ARIBA INC COM NEW Common Stocks 04033V203 $3,208 326,060 SH Sole 88 326,060 ARIBA INC COM NEW Common Stocks 04033V203 $150 15,290 SH Defined 102 15,290 ARIBA INC COM NEW Common Stocks 04033V203 $152 15,435 SH Defined 15,435 ARKANSAS BEST CORP DEL COM Common Stocks 040790107 $2,357 89,440 SH Defined 31 89,440 ARKANSAS BEST CORP DEL COM Common Stocks 040790107 $98 3,700 SH Defined 57 3,700 ARKANSAS BEST CORP DEL COM Common Stocks 040790107 $2,653 100,700 SH Sole 88 100,700 ARKANSAS BEST CORP DEL COM Common Stocks 040790107 $1,351 51,276 SH Defined 92 51,276 ARMSTRONG WORLD INDS INC N Common Stocks 04247X102 $230 13,920 SH Defined 1 13,920 ARMSTRONG WORLD INDS INC N Common Stocks 04247X102 $21 1,300 SH Defined 65 1,300 ARRIS GROUP INC COM Common Stocks 04269Q100 $454 37,300 SH Defined 23 37,300 ARRIS GROUP INC COM Common Stocks 04269Q100 $762 62,670 SH Defined 52 62,670 ARRIS GROUP INC COM Common Stocks 04269Q100 $2,149 176,700 SH Defined 57 176,700 ARRIS GROUP INC COM Common Stocks 04269Q100 $286 23,500 SH Defined 65 23,500 ARRIS GROUP INC COM Common Stocks 04269Q100 $2,302 189,321 SH Sole 88 189,321 ARROW ELECTRS INC COM Common Stocks 042735100 $387 18,198 SH Defined 11 18,198 ARROW ELECTRS INC COM Common Stocks 042735100 $1,534 72,200 SH Defined 30 72,200 ARROW ELECTRS INC COM Common Stocks 042735100 $431 20,287 SH Defined 42 20,287 ARROW ELECTRS INC COM Common Stocks 042735100 $171 8,036 SH Defined 52 8,036 ARROW ELECTRS INC COM Common Stocks 042735100 $2,882 135,700 SH Defined 57 135,700 ARROW ELECTRS INC COM Common Stocks 042735100 $2,215 104,300 SH Defined 59 104,300 ARROW ELECTRS INC COM Common Stocks 042735100 $153 7,200 SH Defined 65 7,200 ARROW ELECTRS INC COM Common Stocks 042735100 $3,978 187,309 SH Sole 88 187,309 ART TECHNOLOGY GROUP INC C Common Stocks 04289L107 $2,248 591,624 SH Defined 23 591,624 ART TECHNOLOGY GROUP INC C Common Stocks 04289L107 $46 12,200 SH Defined 57 12,200 ART TECHNOLOGY GROUP INC C Common Stocks 04289L107 $2,166 570,038 SH Sole 88 570,038 ASBURY AUTOMOTIVE GROUP IN Common Stocks 043436104 $162 15,800 SH Defined 23 15,800 ASBURY AUTOMOTIVE GROUP IN Common Stocks 043436104 $716 69,900 SH Defined 57 69,900 ASBURY AUTOMOTIVE GROUP IN Common Stocks 043436104 $163 15,900 SH Defined 65 15,900 ASBURY AUTOMOTIVE GROUP IN Common Stocks 043436104 $741 72,400 SH Sole 88 72,400 ASCENT MEDIA CORP COM SER A Common Stocks 043632108 $159 5,976 SH Defined 42 5,976 ASCENT MEDIA CORP COM SER A Common Stocks 043632108 $77 2,896 SH Sole 88 2,896 ASHFORD HOSPITALITY TR INC Common Stocks 044103109 $84 30,000 SH Defined 57 30,000 ASHFORD HOSPITALITY TR INC Common Stocks 044103109 $78 27,700 SH Sole 88 27,700 ASHLAND INC NEW COM Common Stocks 044209104 $471 16,800 SH Defined 1 16,800 ASHLAND INC NEW COM Common Stocks 044209104 $259 9,225 SH Defined 42 9,225 ASHLAND INC NEW COM Common Stocks 044209104 $1,947 69,400 SH Defined 57 69,400 ASHLAND INC NEW COM Common Stocks 044209104 $129 4,600 SH Defined 65 4,600 ASHLAND INC NEW COM Common Stocks 044209104 $1,752 62,451 SH Sole 88 62,451 ASHLAND INC NEW COM Common Stocks 044209104 $107 3,800 SH Defined 102 3,800 ASIAINFO HLDGS INC COM Common Stocks 04518A104 $143 8,300 SH Defined 23 8,300 ASIAINFO HLDGS INC COM Common Stocks 04518A104 $692 40,200 SH Defined 44 40,200 ASIAINFO HLDGS INC COM Common Stocks 04518A104 $208 12,100 SH Sole 88 12,100 ASSET ACCEP CAP CORP COM Common Stocks 04543P100 $2 200 SH Defined 57 200 ASSET ACCEP CAP CORP COM Common Stocks 04543P100 $2 200 SH Sole 88 200 ASSOCIATED BANC CORP COM Common Stocks 045487105 $348 27,800 SH Defined 51 27,800 ASSOCIATED BANC CORP COM Common Stocks 045487105 $221 17,700 SH Sole 88 17,700 ASSOCIATED ESTATES RLTY CORP Common Stocks 045604105 $129 21,580 SH Defined 52 21,580 ASSOCIATED ESTATES RLTY CORP Common Stocks 045604105 $12 2,000 SH Defined 57 2,000 ASSOCIATED ESTATES RLTY CORP Common Stocks 045604105 $179 30,060 SH Sole 88 30,060 ASSURANT INC COM Common Stocks 04621X108 $329 13,660 SH Defined 21 13,660 ASSURANT INC COM Common Stocks 04621X108 $17 698 SH Defined 42 698 ASSURANT INC COM Common Stocks 04621X108 $390 16,200 SH Defined 51 16,200 ASSURANT INC COM Common Stocks 04621X108 $394 16,345 SH Defined 76 16,345 ASSURANT INC COM Common Stocks 04621X108 $77 3,200 SH Defined 80 3,200 ASSURANT INC COM Common Stocks 04621X108 $1,465 60,800 SH Sole 88 60,800 ASTEC INDS INC COM Common Stocks 046224101 $1,284 43,246 SH Defined 92 43,246 ASTORIA FINL CORP COM Common Stocks 046265104 $83 9,700 SH Defined 65 9,700 ASTRAZENECA PLC SPONSORED Common Stocks 046353108 $8,113 183,806 SH Defined 100 183,806 ASTRO-MED INC NEW COM Common Stocks 04638F108 $23 4,287 SH Defined 31 4,287 ATHENAHEALTH INC COM Common Stocks 04685W103 $249 6,725 SH Defined 44 6,725 ATHENAHEALTH INC COM Common Stocks 04685W103 $5,938 160,455 SH Defined 74 160,455 ATHENAHEALTH INC COM Common Stocks 04685W103 $3,649 98,590 SH Defined 85 98,590 ATHENAHEALTH INC COM Common Stocks 04685W103 $10,481 283,181 SH Sole 88 283,181 ATHEROS COMMUNICATIONS INC Common Stocks 04743P108 $507 26,340 SH Defined 102 26,340 ATLANTIC TELE NETWORK INC CO Common Stocks 049079205 $83 2,106 SH Defined 81 2,106 ATLANTIC TELE NETWORK INC CO Common Stocks 049079205 $846 21,530 SH Sole 88 21,530 ATLAS AIR WORLDWIDE HLDGS Common Stocks 049164205 $299 12,900 SH Defined 57 12,900 ATLAS AIR WORLDWIDE HLDGS Common Stocks 049164205 $278 12,000 SH Sole 88 12,000 ATMEL CORP COM Common Stocks 049513104 $213 57,142 SH Defined 42 57,142 ATMEL CORP COM Common Stocks 049513104 $341 91,401 SH Defined 52 91,401 ATMEL CORP COM Common Stocks 049513104 $109 29,100 SH Defined 56 29,100 ATMEL CORP COM Common Stocks 049513104 $106 28,500 SH Defined 57 28,500 ATMEL CORP COM Common Stocks 049513104 $120 32,229 SH Defined 81 32,229 ATMEL CORP COM Common Stocks 049513104 $1,226 328,656 SH Sole 88 328,656 ATMOS ENERGY CORP COM Common Stocks 049560105 $3,802 151,846 SH Defined 23 151,846 ATMOS ENERGY CORP COM Common Stocks 049560105 $300 12,000 SH Defined 51 12,000 ATMOS ENERGY CORP COM Common Stocks 049560105 $2,574 102,800 SH Defined 57 102,800 ATMOS ENERGY CORP COM Common Stocks 049560105 $145 5,800 SH Defined 65 5,800 ATMOS ENERGY CORP COM Common Stocks 049560105 $617 24,650 SH Defined 77 24,650 ATMOS ENERGY CORP COM Common Stocks 049560105 $5,026 200,700 SH Sole 88 200,700 ATWOOD OCEANICS INC COM Common Stocks 050095108 $179 7,190 SH Defined 22 7,190 ATWOOD OCEANICS INC COM Common Stocks 050095108 $50 2,000 SH Defined 57 2,000 ATWOOD OCEANICS INC COM Common Stocks 050095108 $1,122 45,046 SH Sole 88 45,046 ATWOOD OCEANICS INC COM Common Stocks 050095108 $1,617 64,900 SH Defined 92 64,900 AUTODESK INC COM Common Stocks 052769106 $738 38,862 SH Defined 11 38,862 AUTODESK INC COM Common Stocks 052769106 $47 2,500 SH Defined 32 2,500 AUTODESK INC COM Common Stocks 052769106 $329 17,357 SH Defined 42 17,357 AUTODESK INC COM Common Stocks 052769106 $2,931 154,437 SH Defined 76 154,437 AUTODESK INC COM Common Stocks 052769106 $114 6,000 SH Defined 80 6,000 AUTODESK INC COM Common Stocks 052769106 $377 19,884 SH Sole 88 19,884 AUTODESK INC COM Common Stocks 052769106 $803 42,300 SH Defined 98 42,300 AUTODESK INC COM Common Stocks 052769106 $4,567 240,600 SH Defined 99 240,600 AUTOLIV INC COM Common Stocks 052800109 $636 22,100 SH Defined 4 22,100 AUTOLIV INC COM Common Stocks 052800109 $1,306 45,400 SH Sole 88 45,400 AUTOMATIC DATA PROCESSING Common Stocks 053015103 $2,701 76,200 SH Defined 1 76,200 AUTOMATIC DATA PROCESSING Common Stocks 053015103 $6,330 178,600 SH Defined 35 178,600 AUTOMATIC DATA PROCESSING Common Stocks 053015103 $3,661 103,300 SH Defined 51 103,300 AUTOMATIC DATA PROCESSING Common Stocks 053015103 $284 8,000 SH Defined 56 8,000 AUTOMATIC DATA PROCESSING Common Stocks 053015103 $617 17,400 SH Defined 57 17,400 AUTOMATIC DATA PROCESSING Common Stocks 053015103 $684 19,300 SH Defined 67 19,300 AUTOMATIC DATA PROCESSING Common Stocks 053015103 $475 13,400 SH Defined 80 13,400 AUTOMATIC DATA PROCESSING Common Stocks 053015103 $7,272 205,200 SH Sole 88 205,200 AUTOMATIC DATA PROCESSING Common Stocks 053015103 $744 21,200 SH Defined 96 21,200 AUTOMATIC DATA PROCESSING Common Stocks 053015103 $2,495 70,400 SH Defined 96 70,400 AUTONATION INC COM Common Stocks 05329W102 $1,593 91,800 SH Defined 4 91,800 AUTONATION INC COM Common Stocks 05329W102 $3,788 217,044 SH Defined 11 217,044 AUTONATION INC COM Common Stocks 05329W102 $2,255 129,897 SH Defined 11 129,897 AUTONATION INC COM Common Stocks 05329W102 $1,359 78,300 SH Defined 35 78,300 AUTONATION INC COM Common Stocks 05329W102 $10 600 SH Defined 65 600 AUTONATION INC COM Common Stocks 05329W102 $170 9,800 SH Defined 67 9,800 AUTONATION INC COM Common Stocks 05329W102 $1,414 81,516 SH Defined 76 81,516 AUTONATION INC COM Common Stocks 05329W102 $50 2,862 SH Defined 80 2,862 AUTONATION INC COM Common Stocks 05329W102 $2,469 142,300 SH Sole 88 142,300 AUTONATION INC COM Common Stocks 05329W102 $647 37,300 SH Defined 97 37,300 AUTOZONE INC COM Common Stocks 053332102 $2,614 17,300 SH Defined 10 17,300 AUTOZONE INC COM Common Stocks 053332102 $725 4,800 SH Defined 23 4,800 AUTOZONE INC COM Common Stocks 053332102 $257 1,700 SH Defined 26 1,700 AUTOZONE INC COM Common Stocks 053332102 $9,482 62,736 SH Defined 26 62,736 AUTOZONE INC COM Common Stocks 053332102 $725 4,800 SH Defined 51 4,800 AUTOZONE INC COM Common Stocks 053332102 $4,501 29,783 SH Defined 76 29,783 AUTOZONE INC COM Common Stocks 053332102 $166 1,100 SH Defined 80 1,100 AUTOZONE INC COM Common Stocks 053332102 $13,267 87,799 SH Sole 88 87,799 AUTOZONE INC COM Common Stocks 053332102 $8,477 56,096 SH Defined 94 56,096 AUTOZONE INC COM Common Stocks 053332102 $56 367 SH Defined 367 AUXILIUM PHARMACEUTICALS I Common Stocks 05334D107 $1,056 33,647 SH Defined 76 33,647 AUXILIUM PHARMACEUTICALS I Common Stocks 05334D107 $120 3,825 SH Defined 81 3,825 AUXILIUM PHARMACEUTICALS I Common Stocks 05334D107 $407 12,960 SH Defined 102 12,960 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $28,807 514,854 SH Defined 2 514,854 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $601 10,824 SH Defined 25 10,824 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $540 9,651 SH Defined 25 9,651 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $1,091 19,500 SH Defined 30 19,500 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $231 4,135 SH Defined 42 4,135 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $12,615 225,505 SH Defined 48 225,505 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $195 3,481 SH Defined 51 3,481 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $1,564 28,158 SH Defined 54 28,158 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $13,355 238,702 SH Defined 54 238,702 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $101 1,800 SH Defined 56 1,800 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $127 2,263 SH Defined 80 2,263 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $14,421 257,800 SH Defined 87 257,800 AVALONBAY CMNTYS INC COM Common Stocks 053484101 $2,860 51,134 SH Sole 88 51,134 AVERY DENNISON CORP COM Common Stocks 053611109 $3,986 155,211 SH Defined 31 155,211 AVERY DENNISON CORP COM Common Stocks 053611109 $157 6,100 SH Defined 51 6,100 AVERY DENNISON CORP COM Common Stocks 053611109 $755 29,400 SH Defined 57 29,400 AVERY DENNISON CORP COM Common Stocks 053611109 $163 6,400 SH Defined 79 6,400 AVERY DENNISON CORP COM Common Stocks 053611109 $334 13,000 SH Defined 79 13,000 AVERY DENNISON CORP COM Common Stocks 053611109 $77 3,000 SH Defined 80 3,000 AVERY DENNISON CORP COM Common Stocks 053611109 $864 33,650 SH Sole 88 33,650 AVID TECHNOLOGY INC COM Common Stocks 05367P100 $350 26,100 SH Defined 57 26,100 AVID TECHNOLOGY INC COM Common Stocks 05367P100 $257 19,200 SH Sole 88 19,200 AVISTA CORP COM Common Stocks 05379B107 $285 16,015 SH Defined 22 16,015 AVISTA CORP COM Common Stocks 05379B107 $77 4,300 SH Defined 57 4,300 AVISTA CORP COM Common Stocks 05379B107 $2,310 129,725 SH Defined 92 129,725 AVISTAR COMMUNICATIONS CORP Common Stocks 05379X208 $4 4,821 SH Defined 36 4,821 AVISTAR COMMUNICATIONS CORP Common Stocks 05379X208 $82 90,397 SH Defined 90,397 AVNET INC COM Common Stocks 053807103 $374 17,800 SH Defined 10 17,800 AVNET INC COM Common Stocks 053807103 $1,693 80,500 SH Defined 30 80,500 AVNET INC COM Common Stocks 053807103 $646 30,723 SH Defined 42 30,723 AVNET INC COM Common Stocks 053807103 $7,331 348,600 SH Defined 57 348,600 AVNET INC COM Common Stocks 053807103 $2,091 99,413 SH Defined 59 99,413 AVNET INC COM Common Stocks 053807103 $143 6,800 SH Defined 65 6,800 AVNET INC COM Common Stocks 053807103 $160 7,622 SH Defined 81 7,622 AVNET INC COM Common Stocks 053807103 $19,003 903,622 SH Sole 88 903,622 AVNET INC COM Common Stocks 053807103 $13,270 630,995 SH Defined 91 630,995 AVOCENT CORP COM Common Stocks 053893103 $25 1,800 SH Defined 65 1,800 AVOCENT CORP COM Common Stocks 053893103 $177 12,650 SH Defined 77 12,650 AVOCENT CORP COM Common Stocks 053893103 $147 10,540 SH Defined 10,540 AVON PRODS INC COM Common Stocks 054303102 $403 15,200 SH Defined 18 15,200 AVON PRODS INC COM Common Stocks 054303102 $1,065 41,300 SH Defined 18 41,300 AVON PRODS INC COM Common Stocks 054303102 $5,109 198,171 SH Defined 31 198,171 AVON PRODS INC COM Common Stocks 054303102 $54 2,100 SH Defined 32 2,100 AVON PRODS INC COM Common Stocks 054303102 $3,589 139,100 SH Defined 50 139,100 AVON PRODS INC COM Common Stocks 054303102 $505 19,600 SH Defined 51 19,600 AVON PRODS INC COM Common Stocks 054303102 $1,161 45,030 SH Defined 60 45,030 AVON PRODS INC COM Common Stocks 054303102 $294 11,400 SH Defined 80 11,400 AVON PRODS INC COM Common Stocks 054303102 $1,037 40,215 SH Defined 84 40,215 AVON PRODS INC COM Common Stocks 054303102 $6,499 252,110 SH Sole 88 252,110 AVON PRODS INC COM Common Stocks 054303102 $5,845 226,720 SH Defined 102 226,720 AVON PRODS INC COM Common Stocks 054303102 $81 3,022 SH Defined 3,022 BB&T CORP COM Common Stocks 054937107 $1,690 76,900 SH Defined 4 76,900 BB&T CORP COM Common Stocks 054937107 $1,378 62,700 SH Defined 10 62,700 BB&T CORP COM Common Stocks 054937107 $182 8,300 SH Defined 32 8,300 BB&T CORP COM Common Stocks 054937107 $2,864 130,300 SH Defined 35 130,300 BB&T CORP COM Common Stocks 054937107 $1,729 78,657 SH Defined 42 78,657 BB&T CORP COM Common Stocks 054937107 $615 27,500 SH Defined 50 27,500 BB&T CORP COM Common Stocks 054937107 $15,776 717,580 SH Defined 50 717,580 BB&T CORP COM Common Stocks 054937107 $1,587 72,200 SH Defined 51 72,200 BB&T CORP COM Common Stocks 054937107 $380 17,300 SH Defined 56 17,300 BB&T CORP COM Common Stocks 054937107 $637 29,000 SH Defined 58 29,000 BB&T CORP COM Common Stocks 054937107 $407 18,500 SH Defined 67 18,500 BB&T CORP COM Common Stocks 054937107 $955 43,459 SH Defined 76 43,459 BB&T CORP COM Common Stocks 054937107 $378 17,200 SH Defined 80 17,200 BB&T CORP COM Common Stocks 054937107 $13,120 596,899 SH Sole 88 596,899 BB&T CORP COM Common Stocks 054937107 $86 3,807 SH Defined 3,807 BCE INC COM NEW Common Stocks 05534B760 $2,067 98,800 SH Defined 3 98,800 BCE INC COM NEW Common Stocks 05534B760 $2,314 112,000 SH Defined 4 112,000 BCE INC COM NEW Common Stocks 05534B760 $33 1,600 SH Defined 42 1,600 BCE INC COM NEW Common Stocks 05534B760 $597 28,850 SH Defined 50 28,850 BCE INC COM NEW Common Stocks 05534B760 $15,485 749,310 SH Defined 50 749,310 BCE INC COM NEW Common Stocks 05534B760 $9,830 475,950 SH Sole 88 475,950 BCE INC COM NEW Common Stocks 05534B760 $22,002 1,064,616 SH Defined 1,064,616 BHP BILLITON PLC SPONSORED Common Stocks 05545E209 $7,692 169,200 SH Defined 64 169,200 BHP BILLITON PLC SPONSORED Common Stocks 05545E209 $9,319 205,000 SH Sole 88 205,000 BJ SVCS CO COM Common Stocks 055482103 $710 52,100 SH Defined 51 52,100 BJ SVCS CO COM Common Stocks 055482103 $183 13,400 SH Defined 57 13,400 BJ SVCS CO COM Common Stocks 055482103 $105 7,700 SH Defined 80 7,700 BJ SVCS CO COM Common Stocks 055482103 $1,306 95,810 SH Defined 84 95,810 BJ SVCS CO COM Common Stocks 055482103 $542 39,800 SH Sole 88 39,800 BJ SVCS CO COM Common Stocks 055482103 $1,283 94,106 SH Defined 92 94,106 BJ SVCS CO COM Common Stocks 055482103 $7,927 581,575 SH Defined 100 581,575 BJS WHOLESALE CLUB INC COM Common Stocks 05548J106 $1 27 SH Defined 42 27 BJS WHOLESALE CLUB INC COM Common Stocks 05548J106 $625 19,400 SH Defined 51 19,400 BJS WHOLESALE CLUB INC COM Common Stocks 05548J106 $5,789 179,600 SH Defined 57 179,600 BJS WHOLESALE CLUB INC COM Common Stocks 05548J106 $81 2,500 SH Defined 67 2,500 BJS WHOLESALE CLUB INC COM Common Stocks 05548J106 $4,067 126,200 SH Sole 88 126,200 BOK FINL CORP COM NEW Common Stocks 05561Q201 $4,291 113,902 SH Defined 85 113,902 BOK FINL CORP COM NEW Common Stocks 05561Q201 $4,819 127,935 SH Sole 88 127,935 BP PLC SPONSORED ADR Common Stocks 055622104 $849 17,800 SH Defined 4 17,800 BP PLC SPONSORED ADR Common Stocks 055622104 $10,153 212,950 SH Defined 6 212,950 BP PLC SPONSORED ADR Common Stocks 055622104 $3,533 74,100 SH Defined 17 74,100 BP PLC SPONSORED ADR Common Stocks 055622104 $105 2,199 SH Defined 42 2,199 BP PLC SPONSORED ADR Common Stocks 055622104 $5,495 115,200 SH Defined 50 115,200 BP PLC SPONSORED ADR Common Stocks 055622104 $597 12,530 SH Defined 84 12,530 BP PLC SPONSORED ADR Common Stocks 055622104 $968 20,300 SH Sole 88 20,300 BP PLC SPONSORED ADR Common Stocks 055622104 $7,426 155,742 SH Defined 100 155,742 BP PLC SPONSORED ADR Common Stocks 055622104 $79 1,650 SH Defined 1,650 BRE PROPERTIES INC CL A Common Stocks 05564E106 $466 19,600 SH Defined 51 19,600 BRE PROPERTIES INC CL A Common Stocks 05564E106 $273 11,500 SH Sole 88 11,500 BMC SOFTWARE INC COM Common Stocks 055921100 $368 10,900 SH Defined 23 10,900 BMC SOFTWARE INC COM Common Stocks 055921100 $240 7,100 SH Defined 32 7,100 BMC SOFTWARE INC COM Common Stocks 055921100 $260 7,690 SH Defined 66 7,690 BMC SOFTWARE INC COM Common Stocks 055921100 $2,000 59,200 SH Defined 76 59,200 BMC SOFTWARE INC COM Common Stocks 055921100 $169 5,000 SH Defined 80 5,000 BMC SOFTWARE INC COM Common Stocks 055921100 $1,075 31,800 SH Defined 105 31,800 BAIDU INC SPON ADR REP A Common Stocks 056752108 $241 800 SH Defined 18 800 BAKER MICHAEL CORP COM Common Stocks 057149106 $197 4,652 SH Defined 1 4,652 BAKER MICHAEL CORP COM Common Stocks 057149106 $288 6,800 SH Defined 63 6,800 BAKER MICHAEL CORP COM Common Stocks 057149106 $127 3,000 SH Defined 65 3,000 BAKER HUGHES INC COM Common Stocks 057224107 $492 13,500 SH Defined 32 13,500 BAKER HUGHES INC COM Common Stocks 057224107 $1,549 42,350 SH Defined 50 42,350 BAKER HUGHES INC COM Common Stocks 057224107 $48,460 1,329,607 SH Defined 50 1,329,607 BAKER HUGHES INC COM Common Stocks 057224107 $1,013 27,800 SH Defined 51 27,800 BAKER HUGHES INC COM Common Stocks 057224107 $297 8,140 SH Defined 80 8,140 BAKER HUGHES INC COM Common Stocks 057224107 $20,572 564,550 SH Sole 88 564,550 BAKER HUGHES INC COM Common Stocks 057224107 $1,860 51,000 SH Defined 98 51,000 BAKER HUGHES INC COM Common Stocks 057224107 $10,903 299,200 SH Defined 99 299,200 BAKER HUGHES INC COM Common Stocks 057224107 $287 7,812 SH Defined 7,812 BALCHEM CORP COM Common Stocks 057665200 $223 9,100 SH Defined 63 9,100 BALDOR ELEC CO COM Common Stocks 057741100 $4,028 169,335 SH Defined 31 169,335 BALDOR ELEC CO COM Common Stocks 057741100 $744 31,200 SH Defined 41 31,200 BALDOR ELEC CO COM Common Stocks 057741100 $508 21,360 SH Defined 52 21,360 BALDOR ELEC CO COM Common Stocks 057741100 $5,244 220,420 SH Sole 88 220,420 BALL CORP COM Common Stocks 058498106 $823 18,225 SH Defined 21 18,225 BALL CORP COM Common Stocks 058498106 $1,374 30,430 SH Defined 42 30,430 BALL CORP COM Common Stocks 058498106 $1,111 24,600 SH Defined 51 24,600 BALL CORP COM Common Stocks 058498106 $158 3,500 SH Defined 65 3,500 BALL CORP COM Common Stocks 058498106 $1,470 32,541 SH Defined 76 32,541 BALL CORP COM Common Stocks 058498106 $117 2,600 SH Defined 80 2,600 BALL CORP COM Common Stocks 058498106 $175 3,878 SH Defined 81 3,878 BALL CORP COM Common Stocks 058498106 $14,672 324,896 SH Sole 88 324,896 BALL CORP COM Common Stocks 058498106 $15,358 340,071 SH Defined 94 340,071 BALLY TECHNOLOGIES INC COM Common Stocks 05874B107 $200 6,700 SH Defined 65 6,700 BALLY TECHNOLOGIES INC COM Common Stocks 05874B107 $1,513 50,573 SH Sole 88 50,573 BALLY TECHNOLOGIES INC COM Common Stocks 05874B107 $2,176 72,743 SH Defined 103 72,743 BANCFIRST CORP COM Common Stocks 05945F103 $263 7,600 SH Defined 57 7,600 BANCFIRST CORP COM Common Stocks 05945F103 $187 5,422 SH Sole 88 5,422 BANCO BRADESCO S A SP ADR Common Stocks 059460303 $14,001 947,800 SH Defined 14 947,800 BANCO BRADESCO S A SP ADR Common Stocks 059460303 $8,360 566,000 SH Defined 46 566,000 BANCO BRADESCO S A SP ADR Common Stocks 059460303 $1,176 79,600 SH Sole 88 79,600 BANCO BRADESCO S A SP ADR Common Stocks 059460303 $3,276 221,800 SH Defined 104 221,800 BANCO MACRO SA SPON ADR B Common Stocks 05961W105 $121 7,500 SH Defined 1 7,500 BANCO SANTANDER CHILE NEW SP Common Stocks 05965X109 $1,009 21,600 SH Defined 1 21,600 BANCO SANTANDER CHILE NEW SP Common Stocks 05965X109 $5,185 111,043 SH Defined 11 111,043 BANCO SANTANDER CHILE NEW SP Common Stocks 05965X109 $5,268 112,830 SH Defined 46 112,830 BANCO SANTANDER CHILE NEW SP Common Stocks 05965X109 $1,835 39,310 SH Sole 88 39,310 BANCO SANTANDER CHILE NEW SP Common Stocks 05965X109 $2,633 56,386 SH Defined 99 56,386 BANCOLOMBIA S A SPON ADR P Common Stocks 05968L102 $1,922 63,229 SH Defined 11 63,229 BANCOLOMBIA S A SPON ADR P Common Stocks 05968L102 $3,363 110,252 SH Defined 11 110,252 BANCOLOMBIA S A SPON ADR P Common Stocks 05968L102 $2,084 68,334 SH Defined 40 68,334 BANCOLOMBIA S A SPON ADR P Common Stocks 05968L102 $4,422 144,990 SH Defined 46 144,990 BANCOLOMBIA S A SPON ADR P Common Stocks 05968L102 $2,489 81,615 SH Sole 88 81,615 BANCOLOMBIA S A SPON ADR P Common Stocks 05968L102 $2,333 76,498 SH Defined 99 76,498 BANCORPSOUTH INC COM Common Stocks 059692103 $534 26,000 SH Defined 35 26,000 BANCORPSOUTH INC COM Common Stocks 059692103 $1,195 58,200 SH Defined 51 58,200 BANCORPSOUTH INC COM Common Stocks 059692103 $86 4,200 SH Defined 57 4,200 BANCORPSOUTH INC COM Common Stocks 059692103 $68 3,300 SH Defined 67 3,300 BANCORPSOUTH INC COM Common Stocks 059692103 $1,780 86,700 SH Sole 88 86,700 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $7,149 541,554 SH Defined 1 541,554 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $3,540 268,200 SH Defined 4 268,200 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $4,229 320,400 SH Defined 8 320,400 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $686 52,000 SH Defined 10 52,000 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $3,145 240,335 SH Defined 11 240,335 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $9,353 708,311 SH Defined 11 708,311 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $9,113 690,300 SH Defined 14 690,300 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $4,262 322,863 SH Defined 17 322,863 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $1,784 135,167 SH Defined 35 135,167 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $2,273 172,200 SH Defined 37 172,200 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $16,276 1,233,000 SH Defined 38 1,233,000 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $3,488 264,273 SH Defined 42 264,273 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $4,292 328,001 SH Defined 47 328,001 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $22,374 1,694,694 SH Defined 47 1,694,694 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $3,245 245,796 SH Defined 51 245,796 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $377 28,580 SH Defined 55 28,580 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $1,568 118,778 SH Defined 56 118,778 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $1,053 79,800 SH Defined 57 79,800 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $3,521 266,723 SH Defined 58 266,723 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $6,968 527,874 SH Defined 59 527,874 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $14,881 1,127,367 SH Defined 62 1,127,367 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $4,769 364,421 SH Defined 64 364,421 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $33,613 2,545,817 SH Defined 64 2,545,817 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $326 24,704 SH Defined 67 24,704 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $4,941 374,340 SH Defined 76 374,340 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $2,841 215,198 SH Defined 80 215,198 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $1,452 110,025 SH Defined 84 110,025 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $62,253 4,716,132 SH Sole 88 4,716,132 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $17,882 1,354,710 SH Defined 91 1,354,710 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $17,449 1,321,914 SH Defined 94 1,321,914 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $1,527 115,700 SH Defined 97 115,700 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $1,823 138,100 SH Defined 105 138,100 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $1,142 86,525 SH Defined 106 86,525 BANK OF AMERICA CORPORATIO Common Stocks 060505104 $7,994 605,619 SH Defined 605,619 BANK HAWAII CORP COM Common Stocks 062540109 $134 3,735 SH Defined 1 3,735 BANK HAWAII CORP COM Common Stocks 062540109 $377 10,525 SH Defined 21 10,525 BANK HAWAII CORP COM Common Stocks 062540109 $978 27,300 SH Defined 51 27,300 BANK HAWAII CORP COM Common Stocks 062540109 $205 5,728 SH Defined 57 5,728 BANK HAWAII CORP COM Common Stocks 062540109 $2,203 61,475 SH Sole 88 61,475 BANK HAWAII CORP COM Common Stocks 062540109 $113 3,160 SH Defined 102 3,160 BANK MONTREAL QUE COM Common Stocks 063671101 $4,960 117,500 SH Defined 1 117,500 BANK MONTREAL QUE COM Common Stocks 063671101 $51 1,200 SH Defined 11 1,200 BANK MONTREAL QUE COM Common Stocks 063671101 $3,651 86,500 SH Defined 43 86,500 BANK MONTREAL QUE COM Common Stocks 063671101 $2,204 52,206 SH Defined 76 52,206 BANK MONTREAL QUE COM Common Stocks 063671101 $7,222 171,100 SH Defined 171,100 BANK OF THE OZARKS INC COM Common Stocks 063904106 $295 13,620 SH Defined 22 13,620 BANK OF THE OZARKS INC COM Common Stocks 063904106 $180 8,300 SH Defined 65 8,300 BANK OF THE OZARKS INC COM Common Stocks 063904106 $1,052 48,638 SH Sole 88 48,638 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $8,219 280,406 SH Defined 1 280,406 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $3,642 124,270 SH Defined 8 124,270 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $5,176 176,600 SH Defined 10 176,600 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $4,440 151,500 SH Defined 28 151,500 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $791 27,000 SH Defined 29 27,000 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $5,804 198,005 SH Defined 31 198,005 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $144 4,900 SH Defined 32 4,900 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $1,008 34,388 SH Defined 42 34,388 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $7,781 263,500 SH Defined 47 263,500 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $40,587 1,384,500 SH Defined 47 1,384,500 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $1,465 49,621 SH Defined 50 49,621 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $46,360 1,581,401 SH Defined 50 1,581,401 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $1,940 66,200 SH Defined 51 66,200 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $1,366 46,610 SH Defined 55 46,610 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $872 29,766 SH Defined 56 29,766 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $8,752 298,604 SH Defined 57 298,604 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $2,266 77,320 SH Defined 58 77,320 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $7,278 248,305 SH Defined 62 248,305 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $25,393 866,235 SH Defined 68 866,235 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $2,656 90,625 SH Defined 69 90,625 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $5,148 174,353 SH Defined 70 174,353 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $4,821 164,379 SH Defined 70 164,379 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $1,058 36,100 SH Defined 76 36,100 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $260 8,800 SH Defined 79 8,800 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $456 15,545 SH Defined 79 15,545 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $932 31,801 SH Defined 80 31,801 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $56,276 1,920,019 SH Sole 88 1,920,019 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $1,058 36,100 SH Defined 97 36,100 BANK OF NEW YORK MELLON CO Common Stocks 064058100 $5,125 174,714 SH Defined 174,714 BANK NOVA SCOTIA HALIFAX C Common Stocks 064149107 $2,154 57,600 SH Defined 1 57,600 BANK NOVA SCOTIA HALIFAX C Common Stocks 064149107 $31,296 837,065 SH Defined 34 837,065 BANK NOVA SCOTIA HALIFAX C Common Stocks 064149107 $4 100 SH Defined 42 100 BANK NOVA SCOTIA HALIFAX C Common Stocks 064149107 $7,448 199,200 SH Defined 43 199,200 BANK NOVA SCOTIA HALIFAX C Common Stocks 064149107 $2,939 78,600 SH Defined 76 78,600 BANK NOVA SCOTIA HALIFAX C Common Stocks 064149107 $34,878 932,874 SH Defined 932,874 BANKFINANCIAL CORP COM Common Stocks 06643P104 $45 5,100 SH Defined 65 5,100 BANKRATE INC COM Common Stocks 06646V108 $2,537 100,500 SH Sole 88 100,500 BANKRATE INC COM Common Stocks 06646V108 $348 13,800 SH Defined 95 13,800 BANRO CORP COM Common Stocks 066800103 $581 321,100 SH Defined 321,100 BARD C R INC COM Common Stocks 067383109 $4,698 63,100 SH Defined 12 63,100 BARD C R INC COM Common Stocks 067383109 $768 10,300 SH Defined 39 10,300 BARD C R INC COM Common Stocks 067383109 $179 2,400 SH Defined 51 2,400 BARD C R INC COM Common Stocks 067383109 $194 2,600 SH Defined 58 2,600 BARD C R INC COM Common Stocks 067383109 $194 2,600 SH Defined 80 2,600 BARD C R INC COM Common Stocks 067383109 $1,809 24,300 SH Sole 88 24,300 BARNES & NOBLE INC COM Common Stocks 067774109 $56 2,700 SH Defined 57 2,700 BARNES GROUP INC COM Common Stocks 067806109 $238 20,050 SH Defined 77 20,050 BARNES GROUP INC COM Common Stocks 067806109 $112 9,446 SH Defined 81 9,446 BARRICK GOLD CORP COM Common Stocks 067901108 $26,501 789,909 SH Defined 9 789,909 BARRICK GOLD CORP COM Common Stocks 067901108 $1,671 49,800 SH Defined 14 49,800 BARRICK GOLD CORP COM Common Stocks 067901108 $7,190 212,473 SH Defined 23 212,473 BARRICK GOLD CORP COM Common Stocks 067901108 $307 9,000 SH Defined 42 9,000 BARRICK GOLD CORP COM Common Stocks 067901108 $1,656 49,350 SH Defined 50 49,350 BARRICK GOLD CORP COM Common Stocks 067901108 $1,076 31,928 SH Defined 76 31,928 BARRICK GOLD CORP COM Common Stocks 067901108 $21,135 629,938 SH Sole 88 629,938 BARRICK GOLD CORP COM Common Stocks 067901108 $30,091 896,910 SH Defined 100 896,910 BARRICK GOLD CORP COM Common Stocks 067901108 $20,053 594,807 SH Defined 594,807 BARNWELL INDS INC COM Common Stocks 068221100 $74 18,639 SH Defined 31 18,639 BARRETT BUSINESS SERVICES IN Common Stocks 068463108 $230 21,900 SH Defined 63 21,900 BARRETT BILL CORP COM Common Stocks 06846N104 $189 6,890 SH Defined 11 6,890 BARRETT BILL CORP COM Common Stocks 06846N104 $156 5,680 SH Defined 102 5,680 BARRY R G CORP OHIO COM Common Stocks 068798107 $114 17,500 SH Defined 31 17,500 BASIC ENERGY SVCS INC NEW Common Stocks 06985P100 $206 30,200 SH Defined 57 30,200 BASIC ENERGY SVCS INC NEW Common Stocks 06985P100 $155 22,700 SH Sole 88 22,700 BAXTER INTL INC COM Common Stocks 071813109 $752 14,200 SH Defined 4 14,200 BAXTER INTL INC COM Common Stocks 071813109 $10,413 196,600 SH Defined 14 196,600 BAXTER INTL INC COM Common Stocks 071813109 $3,326 62,800 SH Defined 17 62,800 BAXTER INTL INC COM Common Stocks 071813109 $371 7,000 SH Defined 41 7,000 BAXTER INTL INC COM Common Stocks 071813109 $4,465 84,300 SH Defined 51 84,300 BAXTER INTL INC COM Common Stocks 071813109 $630 11,890 SH Defined 55 11,890 BAXTER INTL INC COM Common Stocks 071813109 $779 14,700 SH Defined 56 14,700 BAXTER INTL INC COM Common Stocks 071813109 $2,558 48,300 SH Defined 57 48,300 BAXTER INTL INC COM Common Stocks 071813109 $1,256 23,710 SH Defined 58 23,710 BAXTER INTL INC COM Common Stocks 071813109 $1,706 32,400 SH Defined 66 32,400 BAXTER INTL INC COM Common Stocks 071813109 $2,459 46,410 SH Defined 66 46,410 BAXTER INTL INC COM Common Stocks 071813109 $853 16,100 SH Defined 80 16,100 BAXTER INTL INC COM Common Stocks 071813109 $6,427 121,350 SH Sole 88 121,350 BAXTER INTL INC COM Common Stocks 071813109 $706 13,400 SH Defined 93 13,400 BAXTER INTL INC COM Common Stocks 071813109 $2,081 39,300 SH Defined 93 39,300 BAXTER INTL INC COM Common Stocks 071813109 $2,777 52,400 SH Defined 98 52,400 BAXTER INTL INC COM Common Stocks 071813109 $16,545 312,400 SH Defined 99 312,400 BAXTER INTL INC COM Common Stocks 071813109 $418 7,887 SH Defined 106 7,887 BAXTER INTL INC COM Common Stocks 071813109 $65 1,219 SH Defined 1,219 BAYTEX ENERGY TR TRUST UNI Common Stocks 073176109 $5,772 342,200 SH Defined 342,200 BE AEROSPACE INC COM Common Stocks 073302101 $204 14,200 SH Defined 51 14,200 BE AEROSPACE INC COM Common Stocks 073302101 $632 44,033 SH Defined 52 44,033 BE AEROSPACE INC COM Common Stocks 073302101 $381 26,550 SH Defined 77 26,550 BE AEROSPACE INC COM Common Stocks 073302101 $2,851 198,510 SH Defined 85 198,510 BE AEROSPACE INC COM Common Stocks 073302101 $4,429 308,404 SH Sole 88 308,404 BE AEROSPACE INC COM Common Stocks 073302101 $765 53,283 SH Defined 103 53,283 BEACON ROOFING SUPPLY INC Common Stocks 073685109 $270 18,700 SH Defined 57 18,700 BEACON ROOFING SUPPLY INC Common Stocks 073685109 $116 8,000 SH Sole 88 8,000 BEBE STORES INC COM Common Stocks 075571109 $3,349 486,700 SH Defined 31 486,700 BEBE STORES INC COM Common Stocks 075571109 $142 20,700 SH Defined 57 20,700 BEBE STORES INC COM Common Stocks 075571109 $3,902 567,200 SH Sole 88 567,200 BECKMAN COULTER INC COM Common Stocks 075811109 $243 4,252 SH Defined 42 4,252 BECKMAN COULTER INC COM Common Stocks 075811109 $11 200 SH Defined 51 200 BECKMAN COULTER INC COM Common Stocks 075811109 $97 1,700 SH Defined 65 1,700 BECKMAN COULTER INC COM Common Stocks 075811109 $152 2,661 SH Sole 88 2,661 BECKMAN COULTER INC COM Common Stocks 075811109 $172 3,010 SH Defined 102 3,010 BECTON DICKINSON & CO COM Common Stocks 075887109 $2,909 40,800 SH Defined 10 40,800 BECTON DICKINSON & CO COM Common Stocks 075887109 $4,871 68,300 SH Defined 14 68,300 BECTON DICKINSON & CO COM Common Stocks 075887109 $2,178 30,487 SH Defined 39 30,487 BECTON DICKINSON & CO COM Common Stocks 075887109 $300 4,200 SH Defined 41 4,200 BECTON DICKINSON & CO COM Common Stocks 075887109 $20 287 SH Defined 42 287 BECTON DICKINSON & CO COM Common Stocks 075887109 $171 2,400 SH Defined 51 2,400 BECTON DICKINSON & CO COM Common Stocks 075887109 $778 10,910 SH Defined 55 10,910 BECTON DICKINSON & CO COM Common Stocks 075887109 $7,217 101,200 SH Defined 57 101,200 BECTON DICKINSON & CO COM Common Stocks 075887109 $43 600 SH Defined 68 600 BECTON DICKINSON & CO COM Common Stocks 075887109 $456 6,400 SH Defined 80 6,400 BECTON DICKINSON & CO COM Common Stocks 075887109 $7,421 104,060 SH Sole 88 104,060 BED BATH & BEYOND INC COM Common Stocks 075896100 $359 11,600 SH Defined 26 11,600 BED BATH & BEYOND INC COM Common Stocks 075896100 $13,320 433,083 SH Defined 26 433,083 BED BATH & BEYOND INC COM Common Stocks 075896100 $304 9,900 SH Defined 51 9,900 BED BATH & BEYOND INC COM Common Stocks 075896100 $215 7,000 SH Defined 80 7,000 BED BATH & BEYOND INC COM Common Stocks 075896100 $8,954 291,192 SH Sole 88 291,192 BED BATH & BEYOND INC COM Common Stocks 075896100 $1,947 63,274 SH Defined 98 63,274 BED BATH & BEYOND INC COM Common Stocks 075896100 $11,079 360,300 SH Defined 99 360,300 BED BATH & BEYOND INC COM Common Stocks 075896100 $3,108 101,057 SH Defined 103 101,057 BED BATH & BEYOND INC COM Common Stocks 075896100 $63 2,011 SH Defined 2,011 BEL FUSE INC CL B Common Stocks 077347300 $143 8,900 SH Defined 31 8,900 BELDEN INC COM Common Stocks 077454106 $414 24,790 SH Defined 52 24,790 BELDEN INC COM Common Stocks 077454106 $28 1,700 SH Defined 57 1,700 BELDEN INC COM Common Stocks 077454106 $85 5,068 SH Defined 81 5,068 BELDEN INC COM Common Stocks 077454106 $577 34,530 SH Sole 88 34,530 BEMIS INC COM Common Stocks 081437105 $423 16,800 SH Defined 10 16,800 BEMIS INC COM Common Stocks 081437105 $1,361 54,000 SH Defined 35 54,000 BEMIS INC COM Common Stocks 081437105 $2,145 85,100 SH Defined 51 85,100 BEMIS INC COM Common Stocks 081437105 $212 8,400 SH Defined 57 8,400 BEMIS INC COM Common Stocks 081437105 $166 6,600 SH Defined 67 6,600 BEMIS INC COM Common Stocks 081437105 $71 2,800 SH Defined 80 2,800 BEMIS INC COM Common Stocks 081437105 $2,177 86,400 SH Sole 88 86,400 BENCHMARK ELECTRS INC COM Common Stocks 08160H101 $424 29,432 SH Defined 22 29,432 BENCHMARK ELECTRS INC COM Common Stocks 08160H101 $1,425 98,990 SH Defined 23 98,990 BENCHMARK ELECTRS INC COM Common Stocks 08160H101 $610 42,376 SH Defined 52 42,376 BENCHMARK ELECTRS INC COM Common Stocks 08160H101 $1,754 121,808 SH Defined 57 121,808 BENCHMARK ELECTRS INC COM Common Stocks 08160H101 $143 9,900 SH Defined 65 9,900 BENCHMARK ELECTRS INC COM Common Stocks 08160H101 $240 16,650 SH Defined 77 16,650 BENCHMARK ELECTRS INC COM Common Stocks 08160H101 $3,053 212,029 SH Sole 88 212,029 BENIHANA INC CL A Common Stocks 082047200 $231 36,600 SH Defined 63 36,600 BERKLEY W R CORP COM Common Stocks 084423102 $1,222 56,900 SH Defined 10 56,900 BERKLEY W R CORP COM Common Stocks 084423102 $202 9,400 SH Defined 51 9,400 BERKLEY W R CORP COM Common Stocks 084423102 $576 26,825 SH Defined 57 26,825 BERKLEY W R CORP COM Common Stocks 084423102 $118 5,500 SH Sole 88 5,500 BERKSHIRE HATHAWAY INC DEL C Common Stocks 084670108 $1,080 12 SH Sole 88 12 BERKSHIRE HATHAWAY INC DEL C Common Stocks 084670108 $970 11 SH Defined 93 11 BERKSHIRE HATHAWAY INC DEL C Common Stocks 084670108 $2,430 27 SH Defined 93 27 BERKSHIRE HATHAWAY INC DEL C Common Stocks 084670207 $127 44 SH Defined 42 44 BERKSHIRE HILLS BANCORP INC Common Stocks 084680107 $152 7,300 SH Defined 57 7,300 BERKSHIRE HILLS BANCORP INC Common Stocks 084680107 $153 7,381 SH Sole 88 7,381 BERRY PETE CO CL A Common Stocks 085789105 $1,712 92,100 SH Defined 57 92,100 BERRY PETE CO CL A Common Stocks 085789105 $1,067 57,400 SH Sole 88 57,400 BEST BUY INC COM Common Stocks 086516101 $3,192 95,300 SH Defined 14 95,300 BEST BUY INC COM Common Stocks 086516101 $11,821 352,876 SH Defined 23 352,876 BEST BUY INC COM Common Stocks 086516101 $450 13,300 SH Defined 26 13,300 BEST BUY INC COM Common Stocks 086516101 $16,345 487,986 SH Defined 26 487,986 BEST BUY INC COM Common Stocks 086516101 $2,742 81,869 SH Defined 27 81,869 BEST BUY INC COM Common Stocks 086516101 $2,432 71,900 SH Defined 47 71,900 BEST BUY INC COM Common Stocks 086516101 $15,646 467,100 SH Defined 47 467,100 BEST BUY INC COM Common Stocks 086516101 $3,265 97,500 SH Defined 57 97,500 BEST BUY INC COM Common Stocks 086516101 $1,118 33,380 SH Defined 60 33,380 BEST BUY INC COM Common Stocks 086516101 $305 9,100 SH Defined 80 9,100 BEST BUY INC COM Common Stocks 086516101 $18,082 539,920 SH Sole 88 539,920 BEST BUY INC COM Common Stocks 086516101 $3,417 102,045 SH Defined 91 102,045 BEST BUY INC COM Common Stocks 086516101 $409 12,200 SH Defined 97 12,200 BEST BUY INC COM Common Stocks 086516101 $6,062 181,000 SH Defined 102 181,000 BEST BUY INC COM Common Stocks 086516101 $1,986 59,300 SH Defined 105 59,300 BEST BUY INC COM Common Stocks 086516101 $167 4,895 SH Defined 4,895 BHP BILLITON LTD SPONSORED Common Stocks 088606108 $1,599 29,046 SH Defined 11 29,046 BHP BILLITON LTD SPONSORED Common Stocks 088606108 $1,063 19,415 SH Defined 11 19,415 BHP BILLITON LTD SPONSORED Common Stocks 088606108 $3,640 66,500 SH Sole 88 66,500 BHP BILLITON LTD SPONSORED Common Stocks 088606108 $5,271 96,300 SH Defined 109 96,300 BIG 5 SPORTING GOODS CORP CO Common Stocks 08915P101 $116 10,500 SH Defined 23 10,500 BIG 5 SPORTING GOODS CORP CO Common Stocks 08915P101 $27 2,400 SH Defined 57 2,400 BIG 5 SPORTING GOODS CORP CO Common Stocks 08915P101 $174 15,700 SH Sole 88 15,700 BIG LOTS INC COM Common Stocks 089302103 $0 3 SH Defined 1 3 BIG LOTS INC COM Common Stocks 089302103 $3,203 152,300 SH Defined 35 152,300 BIG LOTS INC COM Common Stocks 089302103 $378 17,963 SH Defined 42 17,963 BIG LOTS INC COM Common Stocks 089302103 $128 6,100 SH Defined 51 6,100 BIG LOTS INC COM Common Stocks 089302103 $389 18,500 SH Defined 67 18,500 BIG LOTS INC COM Common Stocks 089302103 $295 14,022 SH Defined 76 14,022 BIG LOTS INC COM Common Stocks 089302103 $351 16,700 SH Defined 77 16,700 BIG LOTS INC COM Common Stocks 089302103 $48 2,300 SH Defined 80 2,300 BIG LOTS INC COM Common Stocks 089302103 $2,041 97,053 SH Sole 88 97,053 BIGBAND NETWORKS INC COM Common Stocks 089750509 $53 10,300 SH Defined 65 10,300 BIO RAD LABS INC CL A Common Stocks 090572207 $91 1,200 SH Defined 57 1,200 BIO RAD LABS INC CL A Common Stocks 090572207 $121 1,600 SH Defined 65 1,600 BIO-REFERENCE LABS INC COM Common Stocks 09057G602 $102 3,225 SH Defined 44 3,225 BIO-REFERENCE LABS INC COM Common Stocks 09057G602 $190 6,024 SH Defined 74 6,024 BIO-REFERENCE LABS INC COM Common Stocks 09057G602 $6,227 197,000 SH Sole 88 197,000 BIO-REFERENCE LABS INC COM Common Stocks 09057G602 $853 27,000 SH Defined 95 27,000 BIOGEN IDEC INC COM Common Stocks 09062X103 $0 1 SH Defined 1 1 BIOGEN IDEC INC COM Common Stocks 09062X103 $7,910 175,200 SH Defined 10 175,200 BIOGEN IDEC INC COM Common Stocks 09062X103 $2,606 57,690 SH Defined 11 57,690 BIOGEN IDEC INC COM Common Stocks 09062X103 $5,752 127,400 SH Defined 35 127,400 BIOGEN IDEC INC COM Common Stocks 09062X103 $2,816 62,374 SH Defined 42 62,374 BIOGEN IDEC INC COM Common Stocks 09062X103 $172 3,800 SH Defined 51 3,800 BIOGEN IDEC INC COM Common Stocks 09062X103 $766 16,975 SH Defined 55 16,975 BIOGEN IDEC INC COM Common Stocks 09062X103 $713 15,800 SH Defined 67 15,800 BIOGEN IDEC INC COM Common Stocks 09062X103 $1,466 32,468 SH Defined 76 32,468 BIOGEN IDEC INC COM Common Stocks 09062X103 $345 7,635 SH Defined 80 7,635 BIOGEN IDEC INC COM Common Stocks 09062X103 $20,415 452,161 SH Sole 88 452,161 BIOGEN IDEC INC COM Common Stocks 09062X103 $13,953 309,027 SH Defined 309,027 BIOMED REALTY TRUST INC CO Common Stocks 09063H107 $9,553 933,600 SH Defined 2 933,600 BIOMED REALTY TRUST INC CO Common Stocks 09063H107 $137 13,435 SH Defined 22 13,435 BIOMED REALTY TRUST INC CO Common Stocks 09063H107 $1,600 157,215 SH Defined 25 157,215 BIOMED REALTY TRUST INC CO Common Stocks 09063H107 $1,396 136,379 SH Defined 25 136,379 BIOMED REALTY TRUST INC CO Common Stocks 09063H107 $1,161 113,500 SH Defined 57 113,500 BIOMED REALTY TRUST INC CO Common Stocks 09063H107 $201 19,600 SH Defined 77 19,600 BIOMED REALTY TRUST INC CO Common Stocks 09063H107 $5,667 553,939 SH Defined 87 553,939 BIOMED REALTY TRUST INC CO Common Stocks 09063H107 $1,369 133,829 SH Sole 88 133,829 BIOVAIL CORP COM Common Stocks 09067J109 $782 57,400 SH Defined 3 57,400 BIOVAIL CORP COM Common Stocks 09067J109 $86 6,400 SH Defined 4 6,400 BIOVAIL CORP COM Common Stocks 09067J109 $2,907 214,000 SH Defined 11 214,000 BIOVAIL CORP COM Common Stocks 09067J109 $3,646 270,119 SH Defined 23 270,119 BIOVAIL CORP COM Common Stocks 09067J109 $1,741 129,435 SH Defined 76 129,435 BIOVAIL CORP COM Common Stocks 09067J109 $1,676 124,800 SH Sole 88 124,800 BIOVAIL CORP COM Common Stocks 09067J109 $39 2,902 SH Defined 2,902 BIOSCRIP INC COM Common Stocks 09069N108 $31 5,300 SH Defined 57 5,300 BIOSCRIP INC COM Common Stocks 09069N108 $5 900 SH Defined 65 900 BLACK & DECKER CORP COM Common Stocks 091797100 $1,628 56,800 SH Defined 31 56,800 BLACK & DECKER CORP COM Common Stocks 091797100 $332 11,600 SH Defined 51 11,600 BLACK & DECKER CORP COM Common Stocks 091797100 $46 1,600 SH Defined 80 1,600 BLACK & DECKER CORP COM Common Stocks 091797100 $2,061 71,900 SH Sole 88 71,900 BJS RESTAURANTS INC COM Common Stocks 09180C106 $2,202 130,542 SH Defined 74 130,542 BJS RESTAURANTS INC COM Common Stocks 09180C106 $4,243 251,536 SH Sole 88 251,536 BJS RESTAURANTS INC COM Common Stocks 09180C106 $1,342 79,552 SH Defined 92 79,552 BJS RESTAURANTS INC COM Common Stocks 09180C106 $283 16,800 SH Defined 95 16,800 BLACK BOX CORP DEL COM Common Stocks 091826107 $418 12,500 SH Defined 1 12,500 BLACK BOX CORP DEL COM Common Stocks 091826107 $127 3,804 SH Defined 81 3,804 BLACKBOARD INC COM Common Stocks 091935502 $3,071 106,400 SH Sole 88 106,400 BLACKBOARD INC COM Common Stocks 091935502 $421 14,600 SH Defined 95 14,600 BLACKBOARD INC COM Common Stocks 091935502 $435 15,079 SH Defined 101 15,079 BLACK HILLS CORP COM Common Stocks 092113109 $266 11,590 SH Defined 22 11,590 BLACK HILLS CORP COM Common Stocks 092113109 $2,101 91,400 SH Defined 31 91,400 BLACK HILLS CORP COM Common Stocks 092113109 $989 43,000 SH Defined 57 43,000 BLACK HILLS CORP COM Common Stocks 092113109 $2,829 123,050 SH Sole 88 123,050 BLACKBAUD INC COM Common Stocks 09227Q100 $454 29,200 SH Defined 28 29,200 BLACKBAUD INC COM Common Stocks 09227Q100 $736 47,269 SH Defined 39 47,269 BLACKBAUD INC COM Common Stocks 09227Q100 $115 7,415 SH Defined 7,415 BLACKROCK INC COM Common Stocks 09247X101 $227 1,295 SH Defined 1 1,295 BLACKROCK INC COM Common Stocks 09247X101 $680 3,874 SH Defined 42 3,874 BLACKROCK INC COM Common Stocks 09247X101 $175 1,000 SH Defined 51 1,000 BLACKROCK INC COM Common Stocks 09247X101 $4,894 27,900 SH Defined 57 27,900 BLACKROCK INC COM Common Stocks 09247X101 $509 2,903 SH Sole 88 2,903 BLACKROCK KELSO CAPITAL CORP Common Stocks 092533108 $23 3,700 SH Defined 65 3,700 BLACKROCK KELSO CAPITAL CORP Common Stocks 092533108 $9 1,400 SH Sole 88 1,400 BLACKSTONE GROUP L P COM U Common Stocks 09253U108 $7,017 665,700 SH Defined 14 665,700 BLOCK H & R INC COM Common Stocks 093671105 $1,281 74,334 SH Defined 1 74,334 BLOCK H & R INC COM Common Stocks 093671105 $2,486 144,300 SH Defined 10 144,300 BLOCK H & R INC COM Common Stocks 093671105 $1,980 114,900 SH Defined 35 114,900 BLOCK H & R INC COM Common Stocks 093671105 $3,980 231,000 SH Defined 51 231,000 BLOCK H & R INC COM Common Stocks 093671105 $252 14,600 SH Defined 67 14,600 BLOCK H & R INC COM Common Stocks 093671105 $5,600 325,026 SH Defined 76 325,026 BLOCK H & R INC COM Common Stocks 093671105 $155 9,000 SH Defined 80 9,000 BLOCK H & R INC COM Common Stocks 093671105 $6,149 356,900 SH Sole 88 356,900 BLOCKBUSTER INC CL A Common Stocks 093679108 $17 26,000 SH Defined 57 26,000 BLUE COAT SYSTEMS INC COM Common Stocks 09534T508 $272 16,465 SH Defined 16,465 BLUEGREEN CORP COM Common Stocks 096231105 $122 48,310 SH Defined 48,310 BLYTH INC COM NEW Common Stocks 09643P207 $362 11,025 SH Defined 57 11,025 BLYTH INC COM NEW Common Stocks 09643P207 $200 6,100 SH Sole 88 6,100 BOARDWALK PIPELINE PARTNER Common Stocks 096627104 $1,332 58,988 SH Defined 30 58,988 BOB EVANS FARMS INC COM Common Stocks 096761101 $474 16,500 SH Defined 57 16,500 BOB EVANS FARMS INC COM Common Stocks 096761101 $216 7,500 SH Sole 88 7,500 BOEING CO COM Common Stocks 097023105 $531 12,500 SH Defined 10 12,500 BOEING CO COM Common Stocks 097023105 $961 22,600 SH Defined 51 22,600 BOEING CO COM Common Stocks 097023105 $395 9,300 SH Defined 56 9,300 BOEING CO COM Common Stocks 097023105 $716 16,850 SH Defined 58 16,850 BOEING CO COM Common Stocks 097023105 $3,102 72,995 SH Defined 76 72,995 BOEING CO COM Common Stocks 097023105 $824 19,386 SH Defined 80 19,386 BOEING CO COM Common Stocks 097023105 $1,712 40,290 SH Defined 84 40,290 BOEING CO COM Common Stocks 097023105 $6,991 164,500 SH Sole 88 164,500 BOEING CO COM Common Stocks 097023105 $5,583 131,368 SH Defined 91 131,368 BOLT TECHNOLOGY CORP COM Common Stocks 097698104 $1,206 107,331 SH Defined 30 107,331 BORDERS GROUP INC COM Common Stocks 099709107 $54 14,700 SH Defined 23 14,700 BORDERS GROUP INC COM Common Stocks 099709107 $263 71,576 SH Defined 57 71,576 BORDERS GROUP INC COM Common Stocks 099709107 $245 66,700 SH Sole 88 66,700 BORGWARNER INC COM Common Stocks 099724106 $624 18,266 SH Defined 42 18,266 BORGWARNER INC COM Common Stocks 099724106 $698 20,400 SH Defined 49 20,400 BORGWARNER INC COM Common Stocks 099724106 $260 7,600 SH Defined 51 7,600 BORGWARNER INC COM Common Stocks 099724106 $435 12,736 SH Sole 88 12,736 BOSTON BEER INC CL A Common Stocks 100557107 $252 8,500 SH Defined 63 8,500 BOSTON PROPERTIES INC COM Common Stocks 101121101 $30,539 640,100 SH Defined 2 640,100 BOSTON PROPERTIES INC COM Common Stocks 101121101 $3,988 84,165 SH Defined 25 84,165 BOSTON PROPERTIES INC COM Common Stocks 101121101 $4,366 91,509 SH Defined 25 91,509 BOSTON PROPERTIES INC COM Common Stocks 101121101 $663 13,900 SH Defined 30 13,900 BOSTON PROPERTIES INC COM Common Stocks 101121101 $11,106 232,838 SH Defined 48 232,838 BOSTON PROPERTIES INC COM Common Stocks 101121101 $444 9,300 SH Defined 51 9,300 BOSTON PROPERTIES INC COM Common Stocks 101121101 $2,857 60,300 SH Defined 54 60,300 BOSTON PROPERTIES INC COM Common Stocks 101121101 $25,979 544,555 SH Defined 54 544,555 BOSTON PROPERTIES INC COM Common Stocks 101121101 $1,405 29,655 SH Defined 82 29,655 BOSTON PROPERTIES INC COM Common Stocks 101121101 $3,155 66,101 SH Defined 82 66,101 BOSTON PROPERTIES INC COM Common Stocks 101121101 $22,653 474,900 SH Defined 87 474,900 BOSTON PROPERTIES INC COM Common Stocks 101121101 $3,447 72,258 SH Sole 88 72,258 BOSTON PROPERTIES INC COM Common Stocks 101121101 $758 15,900 SH Defined 97 15,900 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $576 55,600 SH Defined 18 55,600 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $1,535 151,400 SH Defined 18 151,400 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $519 50,100 SH Defined 26 50,100 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $18,905 1,864,068 SH Defined 26 1,864,068 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $380 37,500 SH Defined 32 37,500 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $1,059 104,441 SH Defined 42 104,441 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $766 75,500 SH Defined 51 75,500 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $9,852 971,600 SH Defined 57 971,600 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $1,340 132,130 SH Defined 76 132,130 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $405 39,979 SH Defined 80 39,979 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $24,821 2,447,821 SH Sole 88 2,447,821 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $4,329 426,903 SH Defined 91 426,903 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $1,080 104,200 SH Defined 93 104,200 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $2,623 258,700 SH Defined 93 258,700 BOSTON SCIENTIFIC CORP COM Common Stocks 101137107 $95 9,082 SH Defined 9,082 BOWNE & CO INC COM Common Stocks 103043105 $470 72,214 SH Defined 63 72,214 BOYD GAMING CORP COM Common Stocks 103304101 $153 18,021 SH Defined 42 18,021 BOYD GAMING CORP COM Common Stocks 103304101 $86 10,070 SH Sole 88 10,070 BRADY CORP CL A Common Stocks 104674106 $276 11,000 SH Defined 77 11,000 BRANDYWINE RLTY TR SH BEN Common Stocks 105368203 $4,188 562,100 SH Defined 2 562,100 BRANDYWINE RLTY TR SH BEN Common Stocks 105368203 $938 126,470 SH Defined 25 126,470 BRANDYWINE RLTY TR SH BEN Common Stocks 105368203 $1,162 155,977 SH Defined 25 155,977 BRANDYWINE RLTY TR SH BEN Common Stocks 105368203 $3,257 437,200 SH Defined 57 437,200 BRANDYWINE RLTY TR SH BEN Common Stocks 105368203 $116 15,600 SH Defined 65 15,600 BRANDYWINE RLTY TR SH BEN Common Stocks 105368203 $2,281 306,160 SH Sole 88 306,160 BRASIL TELECOM PARTICIPACO Common Stocks 105530109 $2,578 67,120 SH Defined 11 67,120 BREITBURN ENERGY PARTNERS Common Stocks 106776107 $73 9,500 SH Defined 1 9,500 BRIDGEPOINT ED INC COM ADDED Common Stocks 10807M105 $394 23,150 SH Defined 44 23,150 BRIDGEPOINT ED INC COM ADDED Common Stocks 10807M105 $3,121 183,571 SH Defined 74 183,571 BRIDGEPOINT ED INC COM ADDED Common Stocks 10807M105 $6,812 400,709 SH Sole 88 400,709 BRIDGEPOINT ED INC COM ADDED Common Stocks 10807M105 $456 26,800 SH Defined 95 26,800 BRIGGS & STRATTON CORP COM Common Stocks 109043109 $377 28,250 SH Defined 21 28,250 BRIGGS & STRATTON CORP COM Common Stocks 109043109 $1,394 104,515 SH Sole 88 104,515 BRIGHAM EXPLORATION CO COM Common Stocks 109178103 $306 87,600 SH Defined 87,600 BRIGHTPOINT INC COM NEW Common Stocks 109473405 $80 12,700 SH Defined 23 12,700 BRIGHTPOINT INC COM NEW Common Stocks 109473405 $290 46,200 SH Defined 57 46,200 BRIGHTPOINT INC COM NEW Common Stocks 109473405 $28 4,400 SH Defined 65 4,400 BRIGHTPOINT INC COM NEW Common Stocks 109473405 $292 46,600 SH Sole 88 46,600 BRINKER INTL INC COM Common Stocks 109641100 $0 1 SH Defined 1 1 BRINKER INTL INC COM Common Stocks 109641100 $3,275 192,317 SH Defined 23 192,317 BRINKER INTL INC COM Common Stocks 109641100 $216 12,700 SH Defined 51 12,700 BRINKER INTL INC COM Common Stocks 109641100 $130 7,641 SH Defined 81 7,641 BRINKER INTL INC COM Common Stocks 109641100 $3,164 185,800 SH Sole 88 185,800 BRINKS CO COM Common Stocks 109696104 $480 16,534 SH Defined 1 16,534 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $1,576 77,600 SH Defined 4 77,600 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $3,465 170,600 SH Defined 10 170,600 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $5,071 249,520 SH Defined 11 249,520 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $9,231 454,500 SH Defined 17 454,500 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $2,785 137,147 SH Defined 31 137,147 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $3,534 174,000 SH Defined 35 174,000 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $1,253 61,700 SH Defined 37 61,700 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $8,989 442,600 SH Defined 38 442,600 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $615 30,282 SH Defined 42 30,282 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $5,784 284,800 SH Defined 51 284,800 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $751 37,000 SH Defined 56 37,000 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $796 39,200 SH Defined 58 39,200 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $441 21,700 SH Defined 67 21,700 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $4,639 228,423 SH Defined 76 228,423 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $1,070 52,700 SH Defined 80 52,700 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $10,089 496,732 SH Sole 88 496,732 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $309 15,200 SH Defined 97 15,200 BRISTOL MYERS SQUIBB CO CO Common Stocks 110122108 $22 1,089 SH Defined 1,089 BRISTOW GROUP INC COM Common Stocks 110394103 $1,398 47,180 SH Defined 30 47,180 BRISTOW GROUP INC COM Common Stocks 110394103 $128 4,315 SH Defined 81 4,315 BRISTOW GROUP INC COM Common Stocks 110394103 $1,147 38,700 SH Sole 88 38,700 BROADCOM CORP CL A Common Stocks 111320107 $288 11,600 SH Defined 10 11,600 BROADCOM CORP CL A Common Stocks 111320107 $570 23,000 SH Defined 18 23,000 BROADCOM CORP CL A Common Stocks 111320107 $686 27,700 SH Defined 26 27,700 BROADCOM CORP CL A Common Stocks 111320107 $25,519 1,029,205 SH Defined 26 1,029,205 BROADCOM CORP CL A Common Stocks 111320107 $863 34,800 SH Defined 35 34,800 BROADCOM CORP CL A Common Stocks 111320107 $1,565 63,122 SH Defined 42 63,122 BROADCOM CORP CL A Common Stocks 111320107 $1,696 68,400 SH Defined 51 68,400 BROADCOM CORP CL A Common Stocks 111320107 $295 11,900 SH Defined 56 11,900 BROADCOM CORP CL A Common Stocks 111320107 $215 8,660 SH Defined 58 8,660 BROADCOM CORP CL A Common Stocks 111320107 $2,630 106,090 SH Defined 60 106,090 BROADCOM CORP CL A Common Stocks 111320107 $107 4,300 SH Defined 67 4,300 BROADCOM CORP CL A Common Stocks 111320107 $1,245 50,211 SH Defined 76 50,211 BROADCOM CORP CL A Common Stocks 111320107 $283 11,400 SH Defined 80 11,400 BROADCOM CORP CL A Common Stocks 111320107 $1,577 63,600 SH Defined 85 63,600 BROADCOM CORP CL A Common Stocks 111320107 $27,419 1,106,033 SH Sole 88 1,106,033 BROADCOM CORP CL A Common Stocks 111320107 $1,857 74,900 SH Defined 89 74,900 BROADCOM CORP CL A Common Stocks 111320107 $10,899 439,635 SH Defined 102 439,635 BROADCOM CORP CL A Common Stocks 111320107 $2,859 115,327 SH Defined 103 115,327 BROADCOM CORP CL A Common Stocks 111320107 $257 10,378 SH Defined 106 10,378 BROADCOM CORP CL A Common Stocks 111320107 $132 5,284 SH Defined 5,284 BROADRIDGE FINL SOLUTIONS Common Stocks 11133T103 $528 31,860 SH Defined 21 31,860 BROADRIDGE FINL SOLUTIONS Common Stocks 11133T103 $201 12,100 SH Defined 57 12,100 BROADRIDGE FINL SOLUTIONS Common Stocks 11133T103 $116 7,021 SH Defined 81 7,021 BROADRIDGE FINL SOLUTIONS Common Stocks 11133T103 $1,954 117,850 SH Sole 88 117,850 BROCADE COMMUNICATIONS SYS Common Stocks 111621306 $5,895 753,849 SH Defined 27 753,849 BROCADE COMMUNICATIONS SYS Common Stocks 111621306 $125 15,962 SH Defined 81 15,962 BROCADE COMMUNICATIONS SYS Common Stocks 111621306 $3,064 391,813 SH Sole 88 391,813 BROCADE COMMUNICATIONS SYS Common Stocks 111621306 $2,211 282,760 SH Defined 103 282,760 BROOKDALE SR LIVING INC CO Common Stocks 112463104 $1,161 120,170 SH Defined 25 120,170 BROOKDALE SR LIVING INC CO Common Stocks 112463104 $1,356 139,151 SH Defined 25 139,151 BROOKDALE SR LIVING INC CO Common Stocks 112463104 $6,498 667,172 SH Sole 88 667,172 BROOKDALE SR LIVING INC CO Common Stocks 112463104 $6,210 637,540 SH Defined 91 637,540 BROOKFIELD ASSET MGMT INC Common Stocks 112585104 $3,165 185,400 SH Sole 88 185,400 BROOKFIELD ASSET MGMT INC Common Stocks 112585104 $4,329 253,200 SH Defined 109 253,200 BROOKFIELD PPTYS CORP COM Common Stocks 112900105 $1,300 163,000 SH Defined 2 163,000 BROOKFIELD PPTYS CORP COM Common Stocks 112900105 $863 107,600 SH Defined 3 107,600 BROOKFIELD PPTYS CORP COM Common Stocks 112900105 $2,283 288,856 SH Defined 25 288,856 BROOKFIELD PPTYS CORP COM Common Stocks 112900105 $2,662 333,952 SH Defined 25 333,952 BROOKFIELD PPTYS CORP COM Common Stocks 112900105 $26 3,200 SH Defined 42 3,200 BROOKFIELD PPTYS CORP COM Common Stocks 112900105 $939 117,825 SH Sole 88 117,825 BROOKFIELD PPTYS CORP COM Common Stocks 112900105 $18 2,365 SH Defined 2,365 BROOKLINE BANCORP INC DEL Common Stocks 11373M107 $1,875 201,227 SH Defined 31 201,227 BROOKLINE BANCORP INC DEL Common Stocks 11373M107 $2,126 228,086 SH Sole 88 228,086 BROOKLYN FEDERAL BANCORP INC Common Stocks 114039100 $45 4,011 SH Defined 31 4,011 BROOKS AUTOMATION INC COM Common Stocks 114340102 $173 38,700 SH Defined 57 38,700 BROOKS AUTOMATION INC COM Common Stocks 114340102 $126 28,100 SH Sole 88 28,100 BROWN & BROWN INC COM Common Stocks 115236101 $660 33,095 SH Defined 21 33,095 BROWN & BROWN INC COM Common Stocks 115236101 $2,031 101,900 SH Defined 51 101,900 BROWN & BROWN INC COM Common Stocks 115236101 $1,252 62,800 SH Defined 57 62,800 BROWN & BROWN INC COM Common Stocks 115236101 $12,750 639,715 SH Sole 88 639,715 BROWN & BROWN INC COM Common Stocks 115236101 $8,727 437,900 SH Defined 91 437,900 BROWN & BROWN INC COM Common Stocks 115236101 $104 5,240 SH Defined 102 5,240 BROWN FORMAN CORP CL B Common Stocks 115637209 $1,213 28,227 SH Defined 1 28,227 BROWN FORMAN CORP CL B Common Stocks 115637209 $1,117 26,000 SH Defined 35 26,000 BROWN FORMAN CORP CL B Common Stocks 115637209 $3,680 85,625 SH Defined 51 85,625 BROWN FORMAN CORP CL B Common Stocks 115637209 $142 3,300 SH Defined 67 3,300 BROWN FORMAN CORP CL B Common Stocks 115637209 $112 2,600 SH Defined 80 2,600 BROWN FORMAN CORP CL B Common Stocks 115637209 $3,020 70,275 SH Sole 88 70,275 BROWN SHOE INC NEW COM Common Stocks 115736100 $497 68,600 SH Defined 52 68,600 BROWN SHOE INC NEW COM Common Stocks 115736100 $692 95,598 SH Sole 88 95,598 BRUNSWICK CORP COM Common Stocks 117043109 $648 150,100 SH Defined 57 150,100 BRUNSWICK CORP COM Common Stocks 117043109 $414 95,800 SH Sole 88 95,800 BRYN MAWR BK CORP COM Common Stocks 117665109 $212 11,258 SH Defined 63 11,258 BUCKEYE TECHNOLOGIES INC C Common Stocks 118255108 $444 98,900 SH Defined 57 98,900 BUCKEYE TECHNOLOGIES INC C Common Stocks 118255108 $302 67,358 SH Sole 88 67,358 BUCKLE INC COM Common Stocks 118440106 $1,716 54,000 SH Defined 30 54,000 BUCKLE INC COM Common Stocks 118440106 $223 7,025 SH Defined 44 7,025 BUCKLE INC COM Common Stocks 118440106 $41 1,300 SH Defined 65 1,300 BUCKLE INC COM Common Stocks 118440106 $1,382 43,500 SH Sole 88 43,500 BUCYRUS INTL INC NEW COM Common Stocks 118759109 $51 1,800 SH Defined 51 1,800 BUCYRUS INTL INC NEW COM Common Stocks 118759109 $1,911 66,900 SH Defined 57 66,900 BUCYRUS INTL INC NEW COM Common Stocks 118759109 $128 4,466 SH Defined 81 4,466 BUCYRUS INTL INC NEW COM Common Stocks 118759109 $4,843 169,590 SH Defined 85 169,590 BUCYRUS INTL INC NEW COM Common Stocks 118759109 $11,815 413,690 SH Sole 88 413,690 BUCYRUS INTL INC NEW COM Common Stocks 118759109 $740 25,900 SH Defined 95 25,900 BUCYRUS INTL INC NEW COM Common Stocks 118759109 $103 3,620 SH Defined 102 3,620 BUFFALO WILD WINGS INC COM Common Stocks 119848109 $375 11,543 SH Defined 74 11,543 BUILD A BEAR WORKSHOP COM Common Stocks 120076104 $128 28,700 SH Defined 57 28,700 BUILD A BEAR WORKSHOP COM Common Stocks 120076104 $94 21,000 SH Sole 88 21,000 BURLINGTON NORTHN SANTA FE Common Stocks 12189T104 $235 3,200 SH Defined 10 3,200 BURLINGTON NORTHN SANTA FE Common Stocks 12189T104 $6,155 83,700 SH Defined 17 83,700 BURLINGTON NORTHN SANTA FE Common Stocks 12189T104 $3,905 53,100 SH Defined 51 53,100 BURLINGTON NORTHN SANTA FE Common Stocks 12189T104 $37 500 SH Defined 56 500 BURLINGTON NORTHN SANTA FE Common Stocks 12189T104 $49 671 SH Defined 68 671 BURLINGTON NORTHN SANTA FE Common Stocks 12189T104 $5,719 77,767 SH Defined 72 77,767 BURLINGTON NORTHN SANTA FE Common Stocks 12189T104 $550 7,475 SH Defined 80 7,475 BURLINGTON NORTHN SANTA FE Common Stocks 12189T104 $6,361 86,500 SH Sole 88 86,500 BURLINGTON NORTHN SANTA FE Common Stocks 12189T104 $132 1,800 SH Defined 1,800 BWAY HOLDING COMPANY COM Common Stocks 12429T104 $1,725 98,388 SH Defined 23 98,388 BWAY HOLDING COMPANY COM Common Stocks 12429T104 $184 10,500 SH Defined 65 10,500 BWAY HOLDING COMPANY COM Common Stocks 12429T104 $1,621 92,489 SH Sole 88 92,489 C&D TECHNOLOGIES INC COM Common Stocks 124661109 $153 76,514 SH Defined 73 76,514 C&D TECHNOLOGIES INC COM Common Stocks 124661109 $371 185,735 SH Sole 88 185,735 CAE INC COM Common Stocks 124765108 $4,533 762,935 SH Defined 762,935 CBIZ INC COM Common Stocks 124805102 $319 44,737 SH Defined 52 44,737 CBIZ INC COM Common Stocks 124805102 $433 60,813 SH Sole 88 60,813 CBL & ASSOC PPTYS INC COM Common Stocks 124830100 $1,773 331,871 SH Defined 25 331,871 CBL & ASSOC PPTYS INC COM Common Stocks 124830100 $2,011 372,988 SH Defined 25 372,988 CBL & ASSOC PPTYS INC COM Common Stocks 124830100 $1,321 245,047 SH Defined 57 245,047 CBL & ASSOC PPTYS INC COM Common Stocks 124830100 $170 31,900 SH Defined 82 31,900 CBL & ASSOC PPTYS INC COM Common Stocks 124830100 $572 106,000 SH Defined 82 106,000 CBL & ASSOC PPTYS INC COM Common Stocks 124830100 $1,208 224,132 SH Sole 88 224,132 CBS CORP NEW CL B Common Stocks 124857202 $2,029 293,150 SH Defined 4 293,150 CBS CORP NEW CL B Common Stocks 124857202 $185 26,700 SH Defined 18 26,700 CBS CORP NEW CL B Common Stocks 124857202 $2,474 357,547 SH Defined 31 357,547 CBS CORP NEW CL B Common Stocks 124857202 $253 36,561 SH Defined 42 36,561 CBS CORP NEW CL B Common Stocks 124857202 $896 129,500 SH Defined 57 129,500 CBS CORP NEW CL B Common Stocks 124857202 $729 105,324 SH Defined 76 105,324 CBS CORP NEW CL B Common Stocks 124857202 $125 18,074 SH Defined 80 18,074 CBS CORP NEW CL B Common Stocks 124857202 $3,163 457,071 SH Sole 88 457,071 CCA INDS INC COM Common Stocks 124867102 $4 1,320 SH Defined 31 1,320 CB RICHARD ELLIS GROUP INC Common Stocks 12497T101 $519 55,500 SH Defined 37 55,500 CB RICHARD ELLIS GROUP INC Common Stocks 12497T101 $3,722 397,600 SH Defined 38 397,600 CB RICHARD ELLIS GROUP INC Common Stocks 12497T101 $300 32,100 SH Defined 51 32,100 CB RICHARD ELLIS GROUP INC Common Stocks 12497T101 $59 6,300 SH Defined 80 6,300 CB RICHARD ELLIS GROUP INC Common Stocks 12497T101 $90 9,618 SH Defined 81 9,618 CB RICHARD ELLIS GROUP INC Common Stocks 12497T101 $173 18,500 SH Sole 88 18,500 CB RICHARD ELLIS GROUP INC Common Stocks 12497T101 $98 10,500 SH Defined 102 10,500 C D I CORP COM Common Stocks 125071100 $51 4,600 SH Defined 31 4,600 C D I CORP COM Common Stocks 125071100 $12 1,100 SH Defined 57 1,100 C D I CORP COM Common Stocks 125071100 $93 8,348 SH Defined 81 8,348 CEC ENTMT INC COM Common Stocks 125137109 $602 20,404 SH Defined 52 20,404 CEC ENTMT INC COM Common Stocks 125137109 $315 10,700 SH Defined 65 10,700 CEC ENTMT INC COM Common Stocks 125137109 $806 27,354 SH Sole 88 27,354 CF INDS HLDGS INC COM Common Stocks 125269100 $19 259 SH Defined 11 259 CF INDS HLDGS INC COM Common Stocks 125269100 $479 6,463 SH Defined 42 6,463 CF INDS HLDGS INC COM Common Stocks 125269100 $96 1,300 SH Defined 80 1,300 CF INDS HLDGS INC COM Common Stocks 125269100 $99 1,341 SH Defined 81 1,341 CF INDS HLDGS INC COM Common Stocks 125269100 $320 4,311 SH Sole 88 4,311 CF INDS HLDGS INC COM Common Stocks 125269100 $1,112 15,000 SH Defined 97 15,000 CF INDS HLDGS INC COM Common Stocks 125269100 $124 1,670 SH Defined 102 1,670 CH ENERGY GROUP INC COM Common Stocks 12541M102 $112 2,400 SH Defined 65 2,400 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $2,905 55,700 SH Defined 10 55,700 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $313 6,000 SH Defined 18 6,000 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $600 11,500 SH Defined 28 11,500 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $1,815 34,800 SH Defined 35 34,800 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $1,139 21,834 SH Defined 42 21,834 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $1,653 31,700 SH Defined 51 31,700 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $889 17,050 SH Defined 60 17,050 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $224 4,300 SH Defined 67 4,300 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $240 4,600 SH Defined 80 4,600 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $6,051 116,022 SH Sole 88 116,022 C H ROBINSON WORLDWIDE INC Common Stocks 12541W209 $4,357 83,540 SH Defined 102 83,540 CIGNA CORP COM Common Stocks 125509109 $2,426 100,700 SH Defined 1 100,700 CIGNA CORP COM Common Stocks 125509109 $2,701 112,137 SH Defined 23 112,137 CIGNA CORP COM Common Stocks 125509109 $491 20,400 SH Defined 51 20,400 CIGNA CORP COM Common Stocks 125509109 $154 6,400 SH Defined 56 6,400 CIGNA CORP COM Common Stocks 125509109 $5,020 208,400 SH Defined 57 208,400 CIGNA CORP COM Common Stocks 125509109 $739 30,660 SH Defined 76 30,660 CIGNA CORP COM Common Stocks 125509109 $178 7,400 SH Defined 80 7,400 CIGNA CORP COM Common Stocks 125509109 $6,035 250,525 SH Sole 88 250,525 CIT GROUP INC COM Common Stocks 125581108 $22 10,300 SH Defined 80 10,300 CKE RESTAURANTS INC COM Common Stocks 12561E105 $2,681 316,200 SH Defined 31 316,200 CKE RESTAURANTS INC COM Common Stocks 12561E105 $17 2,000 SH Defined 57 2,000 CKE RESTAURANTS INC COM Common Stocks 12561E105 $52 6,100 SH Defined 65 6,100 CKE RESTAURANTS INC COM Common Stocks 12561E105 $3,033 357,721 SH Sole 88 357,721 CKE RESTAURANTS INC COM Common Stocks 12561E105 $87 10,240 SH Defined 10,240 CLECO CORP NEW COM Common Stocks 12561W105 $499 22,238 SH Defined 22 22,238 CLECO CORP NEW COM Common Stocks 12561W105 $768 34,233 SH Defined 52 34,233 CLECO CORP NEW COM Common Stocks 12561W105 $1,037 46,265 SH Sole 88 46,265 CME GROUP INC COM Common Stocks 12572Q105 $555 1,784 SH Defined 4 1,784 CME GROUP INC COM Common Stocks 12572Q105 $4,387 14,100 SH Defined 14 14,100 CME GROUP INC COM Common Stocks 12572Q105 $632 2,000 SH Defined 18 2,000 CME GROUP INC COM Common Stocks 12572Q105 $1,400 4,500 SH Defined 18 4,500 CME GROUP INC COM Common Stocks 12572Q105 $809 2,600 SH Defined 28 2,600 CME GROUP INC COM Common Stocks 12572Q105 $871 2,800 SH Defined 29 2,800 CME GROUP INC COM Common Stocks 12572Q105 $629 2,021 SH Defined 42 2,021 CME GROUP INC COM Common Stocks 12572Q105 $933 3,000 SH Defined 51 3,000 CME GROUP INC COM Common Stocks 12572Q105 $233 748 SH Defined 58 748 CME GROUP INC COM Common Stocks 12572Q105 $529 1,700 SH Defined 80 1,700 CME GROUP INC COM Common Stocks 12572Q105 $4,914 15,795 SH Sole 88 15,795 CME GROUP INC COM Common Stocks 12572Q105 $1,773 5,700 SH Defined 89 5,700 CMS ENERGY CORP COM Common Stocks 125896100 $1,371 113,500 SH Defined 4 113,500 CMS ENERGY CORP COM Common Stocks 125896100 $128 10,600 SH Defined 23 10,600 CMS ENERGY CORP COM Common Stocks 125896100 $249 20,600 SH Defined 56 20,600 CMS ENERGY CORP COM Common Stocks 125896100 $1,349 111,700 SH Sole 88 111,700 CSS INDS INC COM Common Stocks 125906107 $51 2,483 SH Defined 57 2,483 CSS INDS INC COM Common Stocks 125906107 $53 2,600 SH Defined 65 2,600 CSS INDS INC COM Common Stocks 125906107 $31 1,504 SH Sole 88 1,504 CNA FINL CORP COM Common Stocks 126117100 $1,171 75,664 SH Defined 75,664 CNA SURETY CORP COM Common Stocks 12612L108 $1,575 116,720 SH Defined 30 116,720 CNA SURETY CORP COM Common Stocks 12612L108 $1,059 78,500 SH Sole 88 78,500 CNOOC LTD SPONSORED ADR Common Stocks 126132109 $422 3,428 SH Defined 11 3,428 CPI INTERNATIONAL INC COM Common Stocks 12618M100 $19 2,200 SH Defined 65 2,200 CRA INTL INC COM Common Stocks 12618T105 $61 2,200 SH Defined 23 2,200 CRA INTL INC COM Common Stocks 12618T105 $86 3,100 SH Sole 88 3,100 CSG SYS INTL INC COM Common Stocks 126349109 $83 6,300 SH Defined 57 6,300 CSG SYS INTL INC COM Common Stocks 126349109 $274 20,716 SH Defined 65 20,716 CSX CORP COM Common Stocks 126408103 $3,215 92,840 SH Defined 8 92,840 CSX CORP COM Common Stocks 126408103 $31,074 897,305 SH Defined 9 897,305 CSX CORP COM Common Stocks 126408103 $4,350 125,600 SH Defined 10 125,600 CSX CORP COM Common Stocks 126408103 $6,448 186,207 SH Defined 31 186,207 CSX CORP COM Common Stocks 126408103 $4,367 126,100 SH Defined 35 126,100 CSX CORP COM Common Stocks 126408103 $1,534 44,400 SH Defined 50 44,400 CSX CORP COM Common Stocks 126408103 $49,040 1,415,846 SH Defined 50 1,415,846 CSX CORP COM Common Stocks 126408103 $4,024 116,200 SH Defined 51 116,200 CSX CORP COM Common Stocks 126408103 $713 20,600 SH Defined 56 20,600 CSX CORP COM Common Stocks 126408103 $24 700 SH Defined 57 700 CSX CORP COM Common Stocks 126408103 $1,507 43,510 SH Defined 58 43,510 CSX CORP COM Common Stocks 126408103 $544 15,700 SH Defined 67 15,700 CSX CORP COM Common Stocks 126408103 $2,151 62,100 SH Defined 76 62,100 CSX CORP COM Common Stocks 126408103 $361 10,432 SH Defined 80 10,432 CSX CORP COM Common Stocks 126408103 $53,918 1,556,984 SH Sole 88 1,556,984 CSX CORP COM Common Stocks 126408103 $276 7,954 SH Defined 7,954 CTC MEDIA INC COM Common Stocks 12642X106 $385 32,600 SH Sole 88 32,600 CTC MEDIA INC COM Common Stocks 12642X106 $2,840 240,260 SH Defined 99 240,260 CTS CORP COM Common Stocks 126501105 $375 57,300 SH Defined 57 57,300 CTS CORP COM Common Stocks 126501105 $163 24,900 SH Defined 63 24,900 CTS CORP COM Common Stocks 126501105 $193 29,400 SH Sole 88 29,400 CVB FINL CORP COM Common Stocks 126600105 $61 10,140 SH Defined 1 10,140 CVR ENERGY INC COM Common Stocks 12662P108 $101 13,800 SH Defined 65 13,800 CVS CAREMARK CORPORATION C Common Stocks 126650100 $459 14,400 SH Defined 4 14,400 CVS CAREMARK CORPORATION C Common Stocks 126650100 $6,206 194,720 SH Defined 8 194,720 CVS CAREMARK CORPORATION C Common Stocks 126650100 $8,694 272,800 SH Defined 10 272,800 CVS CAREMARK CORPORATION C Common Stocks 126650100 $1,804 56,600 SH Defined 35 56,600 CVS CAREMARK CORPORATION C Common Stocks 126650100 $296 9,300 SH Defined 41 9,300 CVS CAREMARK CORPORATION C Common Stocks 126650100 $1,542 48,250 SH Defined 50 48,250 CVS CAREMARK CORPORATION C Common Stocks 126650100 $49,927 1,566,245 SH Defined 50 1,566,245 CVS CAREMARK CORPORATION C Common Stocks 126650100 $2,731 85,700 SH Defined 51 85,700 CVS CAREMARK CORPORATION C Common Stocks 126650100 $726 22,770 SH Defined 55 22,770 CVS CAREMARK CORPORATION C Common Stocks 126650100 $1,026 32,200 SH Defined 56 32,200 CVS CAREMARK CORPORATION C Common Stocks 126650100 $2,226 69,860 SH Defined 58 69,860 CVS CAREMARK CORPORATION C Common Stocks 126650100 $1,726 54,170 SH Defined 60 54,170 CVS CAREMARK CORPORATION C Common Stocks 126650100 $10,554 331,152 SH Defined 64 331,152 CVS CAREMARK CORPORATION C Common Stocks 126650100 $277 8,700 SH Defined 67 8,700 CVS CAREMARK CORPORATION C Common Stocks 126650100 $6,931 217,482 SH Defined 68 217,482 CVS CAREMARK CORPORATION C Common Stocks 126650100 $1,306 40,968 SH Defined 69 40,968 CVS CAREMARK CORPORATION C Common Stocks 126650100 $12,775 400,845 SH Defined 72 400,845 CVS CAREMARK CORPORATION C Common Stocks 126650100 $281 8,800 SH Defined 79 8,800 CVS CAREMARK CORPORATION C Common Stocks 126650100 $468 14,700 SH Defined 79 14,700 CVS CAREMARK CORPORATION C Common Stocks 126650100 $1,235 38,736 SH Defined 80 38,736 CVS CAREMARK CORPORATION C Common Stocks 126650100 $78,070 2,449,636 SH Sole 88 2,449,636 CVS CAREMARK CORPORATION C Common Stocks 126650100 $9,487 297,680 SH Defined 102 297,680 CVS CAREMARK CORPORATION C Common Stocks 126650100 $1,652 51,848 SH Defined 106 51,848 CVS CAREMARK CORPORATION C Common Stocks 126650100 $12,484 391,636 SH Defined 391,636 CA INC COM Common Stocks 12673P105 $0 1 SH Defined 1 1 CA INC COM Common Stocks 12673P105 $6,515 373,800 SH Defined 35 373,800 CA INC COM Common Stocks 12673P105 $739 42,400 SH Defined 67 42,400 CA INC COM Common Stocks 12673P105 $470 26,962 SH Defined 76 26,962 CA INC COM Common Stocks 12673P105 $139 8,000 SH Defined 79 8,000 CA INC COM Common Stocks 12673P105 $204 11,700 SH Defined 79 11,700 CA INC COM Common Stocks 12673P105 $185 10,591 SH Defined 80 10,591 CA INC COM Common Stocks 12673P105 $1,272 73,000 SH Defined 84 73,000 CA INC COM Common Stocks 12673P105 $3,788 217,300 SH Sole 88 217,300 CABELAS INC COM Common Stocks 126804301 $177 14,400 SH Defined 1 14,400 CABELAS INC COM Common Stocks 126804301 $2,835 230,484 SH Defined 23 230,484 CABELAS INC COM Common Stocks 126804301 $476 38,700 SH Defined 57 38,700 CABELAS INC COM Common Stocks 126804301 $36 2,900 SH Defined 65 2,900 CABELAS INC COM Common Stocks 126804301 $3,542 287,945 SH Sole 88 287,945 CABLEVISION SYS CORP CL A Common Stocks 12686C109 $2,585 133,200 SH Defined 51 133,200 CABLEVISION SYS CORP CL A Common Stocks 12686C109 $118 6,100 SH Defined 57 6,100 CABLEVISION SYS CORP CL A Common Stocks 12686C109 $1,609 82,900 SH Sole 88 82,900 CABOT CORP COM Common Stocks 127055101 $2,912 231,439 SH Defined 31 231,439 CABOT CORP COM Common Stocks 127055101 $74 5,917 SH Defined 42 5,917 CABOT CORP COM Common Stocks 127055101 $414 32,900 SH Defined 57 32,900 CABOT CORP COM Common Stocks 127055101 $1,008 80,151 SH Sole 88 80,151 CABOT OIL & GAS CORP COM Common Stocks 127097103 $368 12,000 SH Defined 51 12,000 CABOT OIL & GAS CORP COM Common Stocks 127097103 $86 2,800 SH Defined 80 2,800 CABOT OIL & GAS CORP COM Common Stocks 127097103 $132 4,295 SH Defined 81 4,295 CABOT OIL & GAS CORP COM Common Stocks 127097103 $236 7,700 SH Sole 88 7,700 CACI INTL INC CL A Common Stocks 127190304 $226 5,300 SH Defined 23 5,300 CACI INTL INC CL A Common Stocks 127190304 $957 22,400 SH Defined 57 22,400 CACI INTL INC CL A Common Stocks 127190304 $955 22,349 SH Defined 73 22,349 CACI INTL INC CL A Common Stocks 127190304 $562 13,150 SH Defined 77 13,150 CACI INTL INC CL A Common Stocks 127190304 $133 3,108 SH Defined 81 3,108 CACI INTL INC CL A Common Stocks 127190304 $5,416 126,819 SH Sole 88 126,819 CADENCE DESIGN SYSTEM INC Common Stocks 127387108 $67 11,300 SH Defined 32 11,300 CADENCE DESIGN SYSTEM INC Common Stocks 127387108 $238 40,259 SH Defined 42 40,259 CADENCE DESIGN SYSTEM INC Common Stocks 127387108 $189 32,000 SH Defined 51 32,000 CADENCE DESIGN SYSTEM INC Common Stocks 127387108 $4,600 779,715 SH Defined 76 779,715 CADENCE DESIGN SYSTEM INC Common Stocks 127387108 $176 29,839 SH Sole 88 29,839 CAL DIVE INTL INC DEL COM Common Stocks 12802T101 $3 400 SH Defined 65 400 CAL MAINE FOODS INC COM NE Common Stocks 128030202 $1,305 52,286 SH Defined 30 52,286 CAL MAINE FOODS INC COM NE Common Stocks 128030202 $1,057 42,331 SH Sole 88 42,331 CALAMOS ASSET MGMT INC CL Common Stocks 12811R104 $3,179 225,272 SH Defined 23 225,272 CALAMOS ASSET MGMT INC CL Common Stocks 12811R104 $355 25,181 SH Defined 52 25,181 CALAMOS ASSET MGMT INC CL Common Stocks 12811R104 $114 8,100 SH Defined 65 8,100 CALAMOS ASSET MGMT INC CL Common Stocks 12811R104 $3,741 265,100 SH Sole 88 265,100 CALAVO GROWERS INC COM Common Stocks 128246105 $16 800 SH Defined 65 800 CALIFORNIA PIZZA KITCHEN I Common Stocks 13054D109 $108 8,163 SH Defined 81 8,163 CALIFORNIA WTR SVC GROUP C Common Stocks 130788102 $1,450 39,366 SH Defined 23 39,366 CALIFORNIA WTR SVC GROUP C Common Stocks 130788102 $1,853 50,200 SH Defined 49 50,200 CALIFORNIA WTR SVC GROUP C Common Stocks 130788102 $1,286 34,900 SH Sole 88 34,900 CALLAWAY GOLF CO COM Common Stocks 131193104 $104 20,500 SH Defined 31 20,500 CALLAWAY GOLF CO COM Common Stocks 131193104 $327 64,451 SH Defined 52 64,451 CALLAWAY GOLF CO COM Common Stocks 131193104 $93 18,430 SH Defined 81 18,430 CALLAWAY GOLF CO COM Common Stocks 131193104 $843 166,274 SH Sole 88 166,274 CALPINE CORP COM NEW Common Stocks 131347304 $792 71,000 SH Defined 51 71,000 CALPINE CORP COM NEW Common Stocks 131347304 $553 49,600 SH Sole 88 49,600 CALUMET SPECIALTY PRODS PT Common Stocks 131476103 $36 2,300 SH Defined 1 2,300 CAMDEN NATL CORP COM Common Stocks 133034108 $41 1,200 SH Defined 65 1,200 CAMDEN PPTY TR SH BEN INT Common Stocks 133131102 $19,591 709,700 SH Defined 2 709,700 CAMDEN PPTY TR SH BEN INT Common Stocks 133131102 $160 5,800 SH Defined 51 5,800 CAMDEN PPTY TR SH BEN INT Common Stocks 133131102 $1,864 67,998 SH Defined 54 67,998 CAMDEN PPTY TR SH BEN INT Common Stocks 133131102 $17,868 647,282 SH Defined 54 647,282 CAMDEN PPTY TR SH BEN INT Common Stocks 133131102 $2,437 88,300 SH Defined 57 88,300 CAMDEN PPTY TR SH BEN INT Common Stocks 133131102 $107 3,864 SH Defined 81 3,864 CAMDEN PPTY TR SH BEN INT Common Stocks 133131102 $2,235 80,960 SH Sole 88 80,960 CAMECO CORP COM Common Stocks 13321L108 $5,300 207,000 SH Defined 14 207,000 CAMECO CORP COM Common Stocks 13321L108 $414 16,100 SH Defined 43 16,100 CAMECO CORP COM Common Stocks 13321L108 $2,992 116,881 SH Defined 45 116,881 CAMECO CORP COM Common Stocks 13321L108 $2,319 90,600 SH Sole 88 90,600 CAMECO CORP COM Common Stocks 13321L108 $15,248 595,640 SH Defined 100 595,640 CAMECO CORP COM Common Stocks 13321L108 $7,321 284,912 SH Defined 284,912 CAMERON INTERNATIONAL CORP Common Stocks 13342B105 $586 20,700 SH Defined 4 20,700 CAMERON INTERNATIONAL CORP Common Stocks 13342B105 $4,069 143,795 SH Defined 12 143,795 CAMERON INTERNATIONAL CORP Common Stocks 13342B105 $283 10,000 SH Defined 51 10,000 CAMERON INTERNATIONAL CORP Common Stocks 13342B105 $1,112 39,290 SH Defined 60 39,290 CAMERON INTERNATIONAL CORP Common Stocks 13342B105 $17,021 601,456 SH Defined 72 601,456 CAMERON INTERNATIONAL CORP Common Stocks 13342B105 $164 5,800 SH Defined 80 5,800 CAMERON INTERNATIONAL CORP Common Stocks 13342B105 $15,108 533,863 SH Sole 88 533,863 CAMERON INTERNATIONAL CORP Common Stocks 13342B105 $3,334 117,792 SH Defined 102 117,792 CAMPBELL SOUP CO COM Common Stocks 134429109 $4,890 166,200 SH Defined 51 166,200 CAMPBELL SOUP CO COM Common Stocks 134429109 $159 5,400 SH Defined 80 5,400 CAMPBELL SOUP CO COM Common Stocks 134429109 $3,127 106,300 SH Sole 88 106,300 CDN IMPERIAL BK OF COMMERC Common Stocks 136069101 $1,634 32,148 SH Defined 3 32,148 CDN IMPERIAL BK OF COMMERC Common Stocks 136069101 $2,948 58,800 SH Defined 4 58,800 CDN IMPERIAL BK OF COMMERC Common Stocks 136069101 $17,543 349,400 SH Defined 34 349,400 CDN IMPERIAL BK OF COMMERC Common Stocks 136069101 $25 500 SH Defined 42 500 CDN IMPERIAL BK OF COMMERC Common Stocks 136069101 $251 5,000 SH Sole 88 5,000 CDN IMPERIAL BK OF COMMERC Common Stocks 136069101 $18,084 360,175 SH Defined 360,175 CANADIAN NATL RY CO COM Common Stocks 136375102 $7,392 171,600 SH Defined 14 171,600 CANADIAN NATL RY CO COM Common Stocks 136375102 $13,480 313,295 SH Defined 34 313,295 CANADIAN NATL RY CO COM Common Stocks 136375102 $26 600 SH Defined 42 600 CANADIAN NATL RY CO COM Common Stocks 136375102 $3,396 78,821 SH Defined 64 78,821 CANADIAN NATL RY CO COM Common Stocks 136375102 $11,661 271,306 SH Defined 64 271,306 CANADIAN NATL RY CO COM Common Stocks 136375102 $24,643 573,430 SH Defined 68 573,430 CANADIAN NATL RY CO COM Common Stocks 136375102 $4,242 98,466 SH Defined 70 98,466 CANADIAN NATL RY CO COM Common Stocks 136375102 $10,903 253,626 SH Defined 70 253,626 CANADIAN NATL RY CO COM Common Stocks 136375102 $18,465 429,822 SH Sole 88 429,822 CANADIAN NATL RY CO COM Common Stocks 136375102 $6,999 162,800 SH Defined 109 162,800 CANADIAN NATL RY CO COM Common Stocks 136375102 $20,894 485,555 SH Defined 485,555 CANADIAN NAT RES LTD COM Common Stocks 136385101 $4,929 93,700 SH Defined 14 93,700 CANADIAN NAT RES LTD COM Common Stocks 136385101 $24,846 471,556 SH Defined 34 471,556 CANADIAN NAT RES LTD COM Common Stocks 136385101 $117 2,200 SH Defined 42 2,200 CANADIAN NAT RES LTD COM Common Stocks 136385101 $4,085 77,526 SH Defined 43 77,526 CANADIAN NAT RES LTD COM Common Stocks 136385101 $2,231 42,344 SH Defined 76 42,344 CANADIAN NAT RES LTD COM Common Stocks 136385101 $7,013 133,300 SH Sole 88 133,300 CANADIAN NAT RES LTD COM Common Stocks 136385101 $42,921 814,615 SH Defined 814,615 CANON INC ADR Common Stocks 138006309 $605 18,611 SH Defined 11 18,611 CANTEL MEDICAL CORP COM Common Stocks 138098108 $214 13,213 SH Defined 1 13,213 CANTEL MEDICAL CORP COM Common Stocks 138098108 $104 6,400 SH Defined 23 6,400 CANTEL MEDICAL CORP COM Common Stocks 138098108 $99 6,100 SH Defined 65 6,100 CANTEL MEDICAL CORP COM Common Stocks 138098108 $156 9,600 SH Sole 88 9,600 CAPELLA EDUCATION COMPANY Common Stocks 139594105 $416 6,939 SH Defined 76 6,939 CAPELLA EDUCATION COMPANY Common Stocks 139594105 $6,858 114,400 SH Sole 88 114,400 CAPELLA EDUCATION COMPANY Common Stocks 139594105 $935 15,600 SH Defined 95 15,600 CAPELLA EDUCATION COMPANY Common Stocks 139594105 $1,192 19,877 SH Defined 101 19,877 CAPLEASE INC COM Common Stocks 140288101 $188 68,000 SH Defined 57 68,000 CAPLEASE INC COM Common Stocks 140288101 $69 25,000 SH Sole 88 25,000 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $1,580 72,200 SH Defined 4 72,200 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $4,046 184,900 SH Defined 17 184,900 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $269 12,100 SH Defined 26 12,100 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $9,859 450,525 SH Defined 26 450,525 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $481 22,000 SH Defined 32 22,000 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $610 27,400 SH Defined 50 27,400 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $19,617 896,425 SH Defined 50 896,425 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $932 42,600 SH Defined 51 42,600 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $437 19,970 SH Defined 56 19,970 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $475 21,700 SH Defined 57 21,700 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $586 26,790 SH Defined 58 26,790 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $6,201 283,400 SH Defined 59 283,400 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $975 44,572 SH Defined 76 44,572 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $262 11,964 SH Defined 80 11,964 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $988 45,155 SH Defined 84 45,155 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $29,168 1,333,078 SH Sole 88 1,333,078 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $12,244 559,610 SH Defined 91 559,610 CAPITAL ONE FINL CORP COM Common Stocks 14040H105 $7,576 346,083 SH Defined 346,083 CAPITAL SOUTHWEST CORP COM Common Stocks 140501107 $84 1,156 SH Defined 81 1,156 CAPITALSOURCE INC COM Common Stocks 14055X102 $738 151,187 SH Defined 76 151,187 CAPITOL BANCORP LTD COM Common Stocks 14056D105 $3 1,100 SH Defined 57 1,100 CAPITOL BANCORP LTD COM Common Stocks 14056D105 $3 1,000 SH Sole 88 1,000 CAPITOL FED FINL COM Common Stocks 14057C106 $609 15,900 SH Defined 51 15,900 CAPITOL FED FINL COM Common Stocks 14057C106 $379 9,900 SH Sole 88 9,900 CAPSTEAD MTG CORP COM NO P Common Stocks 14067E506 $1,493 117,502 SH Defined 23 117,502 CAPSTEAD MTG CORP COM NO P Common Stocks 14067E506 $1,314 103,400 SH Defined 57 103,400 CAPSTEAD MTG CORP COM NO P Common Stocks 14067E506 $2,400 188,800 SH Sole 88 188,800 CARBO CERAMICS INC COM Common Stocks 140781105 $157 4,600 SH Defined 22 4,600 CARBO CERAMICS INC COM Common Stocks 140781105 $3,879 113,415 SH Defined 31 113,415 CARBO CERAMICS INC COM Common Stocks 140781105 $4,381 128,100 SH Sole 88 128,100 CARDINAL FINL CORP COM Common Stocks 14149F109 $27 3,400 SH Defined 1 3,400 CARDINAL FINL CORP COM Common Stocks 14149F109 $382 48,778 SH Defined 52 48,778 CARDINAL FINL CORP COM Common Stocks 14149F109 $520 66,365 SH Sole 88 66,365 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $0 1 SH Defined 1 1 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $1,026 33,600 SH Defined 4 33,600 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $7,766 254,200 SH Defined 10 254,200 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $470 15,400 SH Defined 32 15,400 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $192 6,300 SH Defined 51 6,300 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $312 10,200 SH Defined 56 10,200 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $6,657 217,900 SH Defined 57 217,900 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $755 24,700 SH Defined 58 24,700 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $289 9,450 SH Defined 80 9,450 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $1,824 59,690 SH Defined 84 59,690 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $10,891 356,500 SH Sole 88 356,500 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $580 18,900 SH Defined 93 18,900 CARDINAL HEALTH INC COM Common Stocks 14149Y108 $1,451 47,500 SH Defined 93 47,500 CARDIONET INC COM Common Stocks 14159L103 $101 6,200 SH Defined 6,200 CARDIOME PHARMA CORP COM N Common Stocks 14159U202 $917 240,410 SH Defined 240,410 CARE INVESTMENT TRUST INC CO Common Stocks 141657106 $21 4,100 SH Defined 65 4,100 CAREER EDUCATION CORP COM Common Stocks 141665109 $465 18,700 SH Defined 51 18,700 CAREER EDUCATION CORP COM Common Stocks 141665109 $254 10,200 SH Defined 57 10,200 CAREER EDUCATION CORP COM Common Stocks 141665109 $665 26,720 SH Defined 76 26,720 CAREER EDUCATION CORP COM Common Stocks 141665109 $289 11,600 SH Sole 88 11,600 CARLISLE COS INC COM Common Stocks 142339100 $1,988 82,700 SH Defined 35 82,700 CARLISLE COS INC COM Common Stocks 142339100 $947 39,400 SH Defined 51 39,400 CARLISLE COS INC COM Common Stocks 142339100 $248 10,300 SH Defined 67 10,300 CARLISLE COS INC COM Common Stocks 142339100 $212 8,800 SH Defined 77 8,800 CARLISLE COS INC COM Common Stocks 142339100 $134 5,561 SH Defined 81 5,561 CARLISLE COS INC COM Common Stocks 142339100 $1,767 73,500 SH Sole 88 73,500 CARMAX INC COM Common Stocks 143130102 $368 25,000 SH Defined 18 25,000 CARMAX INC COM Common Stocks 143130102 $106 7,200 SH Defined 32 7,200 CARMIKE CINEMAS INC COM Common Stocks 143436400 $162 19,375 SH Defined 19,375 CARNIVAL CORP PAIRED CTF Common Stocks 143658300 $7,473 290,000 SH Defined 17 290,000 CARNIVAL CORP PAIRED CTF Common Stocks 143658300 $1,824 70,797 SH Defined 42 70,797 CARNIVAL CORP PAIRED CTF Common Stocks 143658300 $5,921 228,400 SH Defined 47 228,400 CARNIVAL CORP PAIRED CTF Common Stocks 143658300 $31,930 1,238,800 SH Defined 47 1,238,800 CARNIVAL CORP PAIRED CTF Common Stocks 143658300 $214 8,300 SH Defined 51 8,300 CARNIVAL CORP PAIRED CTF Common Stocks 143658300 $302 11,700 SH Defined 80 11,700 CARNIVAL CORP PAIRED CTF Common Stocks 143658300 $6,340 246,039 SH Sole 88 246,039 CARNIVAL CORP PAIRED CTF Common Stocks 143658300 $4,475 173,653 SH Defined 91 173,653 CARNIVAL CORP DBCV 0.500% 4/ Common Stocks 143658AV4 $292 444,000 SH Defined 33 444,000 CARPENTER TECHNOLOGY CORP Common Stocks 144285103 $1,563 75,114 SH Defined 31 75,114 CARPENTER TECHNOLOGY CORP Common Stocks 144285103 $306 14,700 SH Defined 41 14,700 CARPENTER TECHNOLOGY CORP Common Stocks 144285103 $1,780 85,543 SH Sole 88 85,543 CARRIZO OIL & CO INC COM Common Stocks 144577103 $432 25,195 SH Defined 52 25,195 CARRIZO OIL & CO INC COM Common Stocks 144577103 $3,800 221,575 SH Defined 74 221,575 CARRIZO OIL & CO INC COM Common Stocks 144577103 $4,535 264,442 SH Sole 88 264,442 CARRIZO OIL & CO INC COM Common Stocks 144577103 $90 5,235 SH Defined 5,235 CARROLS RESTAURANT GROUP INC Common Stocks 14574X104 $32 4,800 SH Defined 65 4,800 CARTER INC COM Common Stocks 146229109 $487 19,800 SH Defined 1 19,800 CARTER INC COM Common Stocks 146229109 $4,217 171,363 SH Defined 23 171,363 CARTER INC COM Common Stocks 146229109 $126 5,100 SH Defined 57 5,100 CARTER INC COM Common Stocks 146229109 $84 3,400 SH Defined 65 3,400 CARTER INC COM Common Stocks 146229109 $1,205 48,965 SH Defined 73 48,965 CARTER INC COM Common Stocks 146229109 $8,870 360,441 SH Sole 88 360,441 CASELLA WASTE SYS INC CL A Common Stocks 147448104 $109 54,905 SH Defined 54,905 CASEYS GEN STORES INC COM Common Stocks 147528103 $304 11,850 SH Defined 22 11,850 CASEYS GEN STORES INC COM Common Stocks 147528103 $3,550 138,200 SH Defined 57 138,200 CASEYS GEN STORES INC COM Common Stocks 147528103 $102 3,986 SH Defined 81 3,986 CASEYS GEN STORES INC COM Common Stocks 147528103 $2,813 109,500 SH Sole 88 109,500 CASH AMER INTL INC COM Common Stocks 14754D100 $2,903 124,100 SH Defined 57 124,100 CASH AMER INTL INC COM Common Stocks 14754D100 $98 4,200 SH Defined 65 4,200 CASH AMER INTL INC COM Common Stocks 14754D100 $98 4,181 SH Defined 81 4,181 CASH AMER INTL INC COM Common Stocks 14754D100 $1,688 72,156 SH Sole 88 72,156 CASS INFORMATION SYS INC COM Common Stocks 14808P109 $29 900 SH Defined 1 900 CASTLE A M & CO COM Common Stocks 148411101 $58 4,800 SH Defined 31 4,800 CASTLE A M & CO COM Common Stocks 148411101 $151 12,508 SH Defined 57 12,508 CASTLE A M & CO COM Common Stocks 148411101 $116 9,600 SH Defined 63 9,600 CASTLE A M & CO COM Common Stocks 148411101 $99 8,200 SH Sole 88 8,200 CATALYST HEALTH SOLUTIONS Common Stocks 14888B103 $95 3,800 SH Defined 57 3,800 CATERPILLAR INC DEL COM Common Stocks 149123101 $654 19,800 SH Defined 4 19,800 CATERPILLAR INC DEL COM Common Stocks 149123101 $106 3,200 SH Defined 32 3,200 CATERPILLAR INC DEL COM Common Stocks 149123101 $5,505 159,500 SH Defined 47 159,500 CATERPILLAR INC DEL COM Common Stocks 149123101 $29,791 901,500 SH Defined 47 901,500 CATERPILLAR INC DEL COM Common Stocks 149123101 $613 17,750 SH Defined 50 17,750 CATERPILLAR INC DEL COM Common Stocks 149123101 $18,378 556,128 SH Defined 50 556,128 CATERPILLAR INC DEL COM Common Stocks 149123101 $2,653 80,300 SH Defined 51 80,300 CATERPILLAR INC DEL COM Common Stocks 149123101 $548 16,600 SH Defined 56 16,600 CATERPILLAR INC DEL COM Common Stocks 149123101 $1,135 34,360 SH Defined 58 34,360 CATERPILLAR INC DEL COM Common Stocks 149123101 $529 16,000 SH Defined 80 16,000 CATERPILLAR INC DEL COM Common Stocks 149123101 $11,219 339,550 SH Sole 88 339,550 CATERPILLAR INC DEL COM Common Stocks 149123101 $759 22,967 SH Defined 106 22,967 CATERPILLAR INC DEL COM Common Stocks 149123101 $30 865 SH Defined 865 CATO CORP NEW CL A Common Stocks 149205106 $73 4,201 SH Defined 11 4,201 CATO CORP NEW CL A Common Stocks 149205106 $449 25,750 SH Defined 22 25,750 CATO CORP NEW CL A Common Stocks 149205106 $108 6,200 SH Defined 23 6,200 CATO CORP NEW CL A Common Stocks 149205106 $23 1,300 SH Defined 57 1,300 CATO CORP NEW CL A Common Stocks 149205106 $160 9,200 SH Sole 88 9,200 CAVIUM NETWORKS INC COM Common Stocks 14965A101 $449 26,725 SH Defined 44 26,725 CBEYOND INC COM Common Stocks 149847105 $205 14,315 SH Defined 74 14,315 CBEYOND INC COM Common Stocks 149847105 $123 8,550 SH Defined 102 8,550 CEDAR SHOPPING CTRS INC CO Common Stocks 150602209 $313 69,300 SH Defined 57 69,300 CEDAR SHOPPING CTRS INC CO Common Stocks 150602209 $296 65,497 SH Defined 73 65,497 CEDAR SHOPPING CTRS INC CO Common Stocks 150602209 $1,274 281,866 SH Sole 88 281,866 CELANESE CORP DEL COM SER Common Stocks 150870103 $8,468 356,500 SH Defined 14 356,500 CELANESE CORP DEL COM SER Common Stocks 150870103 $217 9,145 SH Defined 42 9,145 CELANESE CORP DEL COM SER Common Stocks 150870103 $1,255 52,824 SH Defined 52 52,824 CELANESE CORP DEL COM SER Common Stocks 150870103 $13,810 581,457 SH Sole 88 581,457 CELANESE CORP DEL COM SER Common Stocks 150870103 $17,759 747,738 SH Defined 94 747,738 CELANESE CORP DEL COM SER Common Stocks 150870103 $839 35,315 SH Defined 97 35,315 CELERA CORP COM Common Stocks 15100E106 $98 12,800 SH Defined 23 12,800 CELERA CORP COM Common Stocks 15100E106 $53 6,900 SH Defined 65 6,900 CELERA CORP COM Common Stocks 15100E106 $150 19,600 SH Sole 88 19,600 CELERA CORP COM Common Stocks 15100E106 $323 42,309 SH Defined 101 42,309 CELESTICA INC SUB VTG SHS Common Stocks 15101Q108 $1,524 223,401 SH Defined 92 223,401 CELESTICA INC SUB VTG SHS Common Stocks 15101Q108 $2,974 438,300 SH Defined 438,300 CELGENE CORP COM Common Stocks 151020104 $321 6,700 SH Defined 4 6,700 CELGENE CORP COM Common Stocks 151020104 $1,009 21,000 SH Defined 18 21,000 CELGENE CORP COM Common Stocks 151020104 $1,794 37,500 SH Defined 18 37,500 CELGENE CORP COM Common Stocks 151020104 $12,683 265,106 SH Defined 27 265,106 CELGENE CORP COM Common Stocks 151020104 $3,239 67,700 SH Defined 51 67,700 CELGENE CORP COM Common Stocks 151020104 $780 16,300 SH Defined 56 16,300 CELGENE CORP COM Common Stocks 151020104 $1,410 29,470 SH Defined 58 29,470 CELGENE CORP COM Common Stocks 151020104 $3,215 66,942 SH Defined 64 66,942 CELGENE CORP COM Common Stocks 151020104 $12,455 260,233 SH Defined 64 260,233 CELGENE CORP COM Common Stocks 151020104 $534 11,169 SH Defined 76 11,169 CELGENE CORP COM Common Stocks 151020104 $588 12,300 SH Defined 80 12,300 CELGENE CORP COM Common Stocks 151020104 $6,264 130,937 SH Sole 88 130,937 CELGENE CORP COM Common Stocks 151020104 $1,570 32,800 SH Defined 98 32,800 CELGENE CORP COM Common Stocks 151020104 $9,630 201,300 SH Defined 99 201,300 CELGENE CORP COM Common Stocks 151020104 $1,086 22,692 SH Defined 106 22,692 CELGENE CORP COM Common Stocks 151020104 $120 2,487 SH Defined 2,487 CELLDEX THERAPEUTICS INC N Common Stocks 15117B103 $14 1,800 SH Defined 65 1,800 CELLDEX THERAPEUTICS INC N Common Stocks 15117B103 $64 8,122 SH Defined 81 8,122 CEMEX SAB DE CV SPON ADR N Common Stocks 151290889 $80 8,601 SH Defined 32 8,601 CEMEX SAB DE CV SPON ADR N Common Stocks 151290889 $18,072 1,934,947 SH Defined 64 1,934,947 CEMEX SAB DE CV SPON ADR N Common Stocks 151290889 $16,647 1,782,344 SH Sole 88 1,782,344 CEMEX SAB DE CV SPON ADR N Common Stocks 151290889 $636 68,080 SH Defined 97 68,080 CEMEX SAB DE CV SPON ADR N Common Stocks 151290889 $102 10,920 SH Defined 100 10,920 CEMEX SAB DE CV SPON ADR N Common Stocks 151290889 $569 60,904 SH Defined 60,904 CENTENE CORP DEL COM Common Stocks 15135B101 $1,395 69,800 SH Defined 30 69,800 CENTENE CORP DEL COM Common Stocks 15135B101 $2,843 142,300 SH Defined 57 142,300 CENTENE CORP DEL COM Common Stocks 15135B101 $98 4,900 SH Defined 65 4,900 CENTENE CORP DEL COM Common Stocks 15135B101 $1,654 82,800 SH Sole 88 82,800 CENTENE CORP DEL COM Common Stocks 15135B101 $67 3,345 SH Defined 3,345 CENTERPOINT ENERGY INC COM Common Stocks 15189T107 $148 13,400 SH Defined 65 13,400 CENTERPOINT ENERGY INC COM Common Stocks 15189T107 $103 9,269 SH Defined 80 9,269 CENTERPOINT ENERGY INC COM Common Stocks 15189T107 $153 13,848 SH Defined 81 13,848 CENTEX CORP COM Common Stocks 152312104 $372 44,000 SH Defined 51 44,000 CENTEX CORP COM Common Stocks 152312104 $3,703 437,740 SH Defined 59 437,740 CENTEX CORP COM Common Stocks 152312104 $28 3,300 SH Defined 80 3,300 CENTEX CORP COM Common Stocks 152312104 $86 10,118 SH Defined 81 10,118 CENTEX CORP COM Common Stocks 152312104 $8,891 1,050,963 SH Sole 88 1,050,963 CENTEX CORP COM Common Stocks 152312104 $8,931 1,055,645 SH Defined 91 1,055,645 CENTEX CORP COM Common Stocks 152312104 $66 7,810 SH Defined 102 7,810 CENTRAIS ELETRICAS BRASILEIR Common Stocks 15234Q108 $17,837 1,365,750 SH Defined 100 1,365,750 CENTRAIS ELETRICAS BRASILEIR Common Stocks 15234Q207 $494 33,900 SH Defined 20 33,900 CENTRAIS ELETRICAS BRASILEIR Common Stocks 15234Q207 $424 29,096 SH Defined 100 29,096 CENTRAL EUROPEAN DIST CORP Common Stocks 153435102 $3,672 138,210 SH Defined 46 138,210 CENTRAL EUROPEAN DIST CORP Common Stocks 153435102 $189 7,100 SH Defined 51 7,100 CENTRAL EUROPEAN DIST CORP Common Stocks 153435102 $577 21,700 SH Sole 88 21,700 CENTRAL EUROPEAN DIST CORP Common Stocks 153435102 $5,505 207,200 SH Defined 104 207,200 CENTRAL EUROPEAN DIST CORP Common Stocks 153435102 $219 8,230 SH Defined 8,230 CENTRAL GARDEN & PET CO CO Common Stocks 153527106 $52 4,700 SH Defined 1 4,700 CENTRAL GARDEN & PET CO CO Common Stocks 153527106 $249 22,700 SH Defined 63 22,700 CENTRAL GARDEN & PET CO CL Common Stocks 153527205 $249 25,238 SH Defined 1 25,238 CENTRAL PAC FINL CORP COM Common Stocks 154760102 $32 8,500 SH Defined 23 8,500 CENTRAL PAC FINL CORP COM Common Stocks 154760102 $155 41,377 SH Defined 52 41,377 CENTRAL PAC FINL CORP COM Common Stocks 154760102 $198 52,800 SH Defined 57 52,800 CENTRAL PAC FINL CORP COM Common Stocks 154760102 $59 15,600 SH Defined 65 15,600 CENTRAL PAC FINL CORP COM Common Stocks 154760102 $388 103,594 SH Sole 88 103,594 CENTRAL VT PUB SVC CORP COM Common Stocks 155771108 $47 2,600 SH Defined 31 2,600 CENTRAL VT PUB SVC CORP COM Common Stocks 155771108 $127 7,000 SH Defined 65 7,000 CENTRAL VT PUB SVC CORP COM Common Stocks 155771108 $108 5,994 SH Defined 81 5,994 CENTURY CASINOS INC COM Common Stocks 156492100 $332 111,280 SH Defined 111,280 CENTURYTEL INC COM Common Stocks 156700106 $239 7,800 SH Defined 4 7,800 CENTURYTEL INC COM Common Stocks 156700106 $6,478 210,987 SH Defined 11 210,987 CENTURYTEL INC COM Common Stocks 156700106 $2,696 87,820 SH Defined 23 87,820 CENTURYTEL INC COM Common Stocks 156700106 $2,278 74,200 SH Defined 51 74,200 CENTURYTEL INC COM Common Stocks 156700106 $107 3,500 SH Defined 65 3,500 CENTURYTEL INC COM Common Stocks 156700106 $3,038 98,971 SH Defined 76 98,971 CENTURYTEL INC COM Common Stocks 156700106 $86 2,800 SH Defined 80 2,800 CENTURYTEL INC COM Common Stocks 156700106 $3,887 126,600 SH Sole 88 126,600 CENTURYTEL INC COM Common Stocks 156700106 $45 1,421 SH Defined 1,421 CEPHALON INC COM Common Stocks 156708109 $1,979 34,932 SH Defined 23 34,932 CEPHALON INC COM Common Stocks 156708109 $1,575 27,800 SH Defined 51 27,800 CEPHALON INC COM Common Stocks 156708109 $2,115 37,343 SH Defined 76 37,343 CEPHALON INC COM Common Stocks 156708109 $113 2,000 SH Defined 80 2,000 CEPHALON INC COM Common Stocks 156708109 $139 2,446 SH Defined 81 2,446 CEPHALON INC COM Common Stocks 156708109 $3,297 58,200 SH Sole 88 58,200 CEPHALON INC COM Common Stocks 156708109 $1,808 31,900 SH Defined 98 31,900 CEPHALON INC COM Common Stocks 156708109 $10,730 189,400 SH Defined 99 189,400 CEPHEID COM Common Stocks 15670R107 $610 64,775 SH Defined 101 64,775 CERADYNE INC COM Common Stocks 156710105 $215 12,200 SH Defined 57 12,200 CERADYNE INC COM Common Stocks 156710105 $124 7,000 SH Sole 88 7,000 CERNER CORP COM Common Stocks 156782104 $5,878 94,360 SH Defined 12 94,360 CERNER CORP COM Common Stocks 156782104 $212 3,400 SH Defined 18 3,400 CERNER CORP COM Common Stocks 156782104 $5 79 SH Defined 42 79 CERNER CORP COM Common Stocks 156782104 $444 7,125 SH Defined 44 7,125 CERNER CORP COM Common Stocks 156782104 $318 5,100 SH Defined 51 5,100 CERNER CORP COM Common Stocks 156782104 $492 7,900 SH Sole 88 7,900 CERNER CORP COM Common Stocks 156782104 $149 2,350 SH Defined 96 2,350 CERNER CORP COM Common Stocks 156782104 $448 7,200 SH Defined 96 7,200 CHAMPION ENTERPRISES INC C Common Stocks 158496109 $36 113,753 SH Defined 73 113,753 CHAMPION ENTERPRISES INC C Common Stocks 158496109 $83 259,573 SH Sole 88 259,573 CHANGYOU COM LTD ADS REP C Common Stocks 15911M107 $1,320 34,300 SH Defined 14 34,300 CHANGYOU COM LTD ADS REP C Common Stocks 15911M107 $1,873 48,700 SH Sole 88 48,700 CHARLES RIV LABS INTL INC Common Stocks 159864107 $300 8,885 SH Defined 42 8,885 CHARLES RIV LABS INTL INC Common Stocks 159864107 $154 4,570 SH Defined 81 4,570 CHARLES RIV LABS INTL INC Common Stocks 159864107 $171 5,073 SH Sole 88 5,073 CHARLOTTE RUSSE HLDG INC C Common Stocks 161048103 $1,410 109,448 SH Defined 23 109,448 CHARLOTTE RUSSE HLDG INC C Common Stocks 161048103 $341 26,500 SH Defined 57 26,500 CHARLOTTE RUSSE HLDG INC C Common Stocks 161048103 $102 7,900 SH Defined 65 7,900 CHARLOTTE RUSSE HLDG INC C Common Stocks 161048103 $1,736 134,800 SH Sole 88 134,800 CHART INDS INC COM PAR $0. Common Stocks 16115Q308 $36 2,000 SH Defined 1 2,000 CHART INDS INC COM PAR $0. Common Stocks 16115Q308 $53 2,900 SH Defined 23 2,900 CHART INDS INC COM PAR $0. Common Stocks 16115Q308 $56 3,100 SH Defined 65 3,100 CHART INDS INC COM PAR $0. Common Stocks 16115Q308 $199 10,970 SH Defined 74 10,970 CHART INDS INC COM PAR $0. Common Stocks 16115Q308 $76 4,200 SH Sole 88 4,200 CHASE CORP COM Common Stocks 16150R104 $5 400 SH Defined 65 400 CHATTEM INC COM Common Stocks 162456107 $974 14,297 SH Defined 73 14,297 CHATTEM INC COM Common Stocks 162456107 $4,047 59,431 SH Sole 88 59,431 CHATTEM INC COM Common Stocks 162456107 $128 1,880 SH Defined 102 1,880 CHECKPOINT SYS INC COM Common Stocks 162825103 $188 11,998 SH Defined 11 11,998 CHECKPOINT SYS INC COM Common Stocks 162825103 $27 1,700 SH Defined 65 1,700 CHEESECAKE FACTORY INC COM Common Stocks 163072101 $100 5,800 SH Defined 23 5,800 CHEESECAKE FACTORY INC COM Common Stocks 163072101 $925 53,483 SH Defined 73 53,483 CHEESECAKE FACTORY INC COM Common Stocks 163072101 $3,915 226,283 SH Sole 88 226,283 CHEMED CORP NEW COM Common Stocks 16359R103 $463 11,715 SH Defined 22 11,715 CHEMED CORP NEW COM Common Stocks 16359R103 $106 2,695 SH Defined 81 2,695 CHEROKEE INC DEL NEW COM Common Stocks 16444H102 $125 6,300 SH Defined 31 6,300 CHEROKEE INC DEL NEW COM Common Stocks 16444H102 $95 4,818 SH Defined 81 4,818 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $6,192 312,200 SH Defined 14 312,200 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $2,542 128,200 SH Defined 17 128,200 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $354 18,320 SH Defined 26 18,320 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $13,412 676,243 SH Defined 26 676,243 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $423 21,300 SH Defined 41 21,300 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $1,013 51,100 SH Defined 51 51,100 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $446 22,500 SH Defined 57 22,500 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $5,196 262,010 SH Defined 59 262,010 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $30,922 1,559,332 SH Sole 88 1,559,332 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $23,184 1,169,125 SH Defined 91 1,169,125 CHESAPEAKE ENERGY CORP COM Common Stocks 165167107 $77 3,944 SH Defined 3,944 CHESAPEAKE UTILS CORP COM Common Stocks 165303108 $17 531 SH Defined 31 531 CHESAPEAKE UTILS CORP COM Common Stocks 165303108 $452 13,900 SH Defined 63 13,900 CHEVRON CORP NEW COM Common Stocks 166764100 $12,918 194,991 SH Defined 1 194,991 CHEVRON CORP NEW COM Common Stocks 166764100 $10,265 154,942 SH Defined 4 154,942 CHEVRON CORP NEW COM Common Stocks 166764100 $4,916 74,200 SH Defined 8 74,200 CHEVRON CORP NEW COM Common Stocks 166764100 $28,832 435,200 SH Defined 10 435,200 CHEVRON CORP NEW COM Common Stocks 166764100 $223 3,363 SH Defined 11 3,363 CHEVRON CORP NEW COM Common Stocks 166764100 $6,394 96,500 SH Defined 14 96,500 CHEVRON CORP NEW COM Common Stocks 166764100 $5,883 88,772 SH Defined 23 88,772 CHEVRON CORP NEW COM Common Stocks 166764100 $5,989 90,403 SH Defined 31 90,403 CHEVRON CORP NEW COM Common Stocks 166764100 $427 6,451 SH Defined 32 6,451 CHEVRON CORP NEW COM Common Stocks 166764100 $7,215 108,900 SH Defined 35 108,900 CHEVRON CORP NEW COM Common Stocks 166764100 $517 7,800 SH Defined 41 7,800 CHEVRON CORP NEW COM Common Stocks 166764100 $4,923 74,305 SH Defined 42 74,305 CHEVRON CORP NEW COM Common Stocks 166764100 $15,463 233,400 SH Defined 51 233,400 CHEVRON CORP NEW COM Common Stocks 166764100 $1,081 16,312 SH Defined 55 16,312 CHEVRON CORP NEW COM Common Stocks 166764100 $2,152 32,487 SH Defined 56 32,487 CHEVRON CORP NEW COM Common Stocks 166764100 $13,270 200,300 SH Defined 57 200,300 CHEVRON CORP NEW COM Common Stocks 166764100 $4,655 70,260 SH Defined 58 70,260 CHEVRON CORP NEW COM Common Stocks 166764100 $256 3,865 SH Defined 66 3,865 CHEVRON CORP NEW COM Common Stocks 166764100 $941 14,200 SH Defined 67 14,200 CHEVRON CORP NEW COM Common Stocks 166764100 $19,848 299,567 SH Defined 68 299,567 CHEVRON CORP NEW COM Common Stocks 166764100 $2,362 35,657 SH Defined 69 35,657 CHEVRON CORP NEW COM Common Stocks 166764100 $3,340 50,220 SH Defined 70 50,220 CHEVRON CORP NEW COM Common Stocks 166764100 $3,077 46,424 SH Defined 70 46,424 CHEVRON CORP NEW COM Common Stocks 166764100 $7,778 117,400 SH Defined 76 117,400 CHEVRON CORP NEW COM Common Stocks 166764100 $472 7,100 SH Defined 79 7,100 CHEVRON CORP NEW COM Common Stocks 166764100 $875 13,200 SH Defined 79 13,200 CHEVRON CORP NEW COM Common Stocks 166764100 $3,538 53,399 SH Defined 80 53,399 CHEVRON CORP NEW COM Common Stocks 166764100 $84,516 1,275,711 SH Sole 88 1,275,711 CHEVRON CORP NEW COM Common Stocks 166764100 $16,341 246,652 SH Defined 94 246,652 CHEVRON CORP NEW COM Common Stocks 166764100 $2,658 40,119 SH Defined 97 40,119 CHEVRON CORP NEW COM Common Stocks 166764100 $42 623 SH Defined 623 CHICOS FAS INC COM Common Stocks 168615102 $203 20,827 SH Defined 52 20,827 CHICOS FAS INC COM Common Stocks 168615102 $1,618 171,100 SH Defined 66 171,100 CHICOS FAS INC COM Common Stocks 168615102 $2,128 218,600 SH Defined 66 218,600 CHICOS FAS INC COM Common Stocks 168615102 $130 13,320 SH Defined 81 13,320 CHICOS FAS INC COM Common Stocks 168615102 $2,559 263,040 SH Defined 85 263,040 CHICOS FAS INC COM Common Stocks 168615102 $3,317 340,937 SH Sole 88 340,937 CHICOS FAS INC COM Common Stocks 168615102 $173 17,830 SH Defined 102 17,830 CHILDRENS PL RETAIL STORES Common Stocks 168905107 $827 31,300 SH Defined 23 31,300 CHILDRENS PL RETAIL STORES Common Stocks 168905107 $74 2,800 SH Defined 65 2,800 CHILDRENS PL RETAIL STORES Common Stocks 168905107 $785 29,700 SH Sole 88 29,700 CHIMERA INVT CORP COM Common Stocks 16934Q109 $211 60,400 SH Defined 59 60,400 CHINA FIRE & SEC GROUP INC Common Stocks 16938R103 $55 4,500 SH Defined 44 4,500 CHINA MOBILE LIMITED SPONS Common Stocks 16941M109 $11,273 225,100 SH Defined 46 225,100 CHINA MOBILE LIMITED SPONS Common Stocks 16941M109 $4,896 97,770 SH Sole 88 97,770 CHINA MOBILE LIMITED SPONS Common Stocks 16941M109 $3,943 78,740 SH Defined 102 78,740 CHINA SKY ONE MED INC COM Common Stocks 16941P102 $177 13,100 SH Defined 44 13,100 CHINA SKY ONE MED INC COM Common Stocks 16941P102 $30 2,200 SH Defined 65 2,200 CHINA PETE & CHEM CORP SPO Common Stocks 16941R108 $4,159 54,830 SH Defined 11 54,830 CHINA PETE & CHEM CORP SPO Common Stocks 16941R108 $139 1,800 SH Defined 86 1,800 CHINA SEC & SURVE TECH INC Common Stocks 16942J105 $45 6,000 SH Defined 57 6,000 CHINA UNICOM (HONG KONG) L Common Stocks 16945R104 $2,199 161,400 SH Defined 64 161,400 CHINA UNICOM (HONG KONG) L Common Stocks 16945R104 $8,673 649,900 SH Defined 64 649,900 CHINA UNICOM (HONG KONG) L Common Stocks 16945R104 $435 32,616 SH Defined 100 32,616 CHINACAST EDU CORP COM Common Stocks 16946T109 $2,274 319,400 SH Sole 88 319,400 CHINACAST EDU CORP COM Common Stocks 16946T109 $311 43,700 SH Defined 95 43,700 CHINA MED TECHNOLOGIES INC Common Stocks 169483104 $141 7,100 SH Defined 14 7,100 CHINA MED TECHNOLOGIES INC Common Stocks 169483104 $285 14,300 SH Defined 61 14,300 CHIPOTLE MEXICAN GRILL INC Common Stocks 169656105 $296 3,700 SH Defined 44 3,700 CHIPOTLE MEXICAN GRILL INC Common Stocks 169656105 $1,886 23,905 SH Defined 64 23,905 CHIPOTLE MEXICAN GRILL INC Common Stocks 169656105 $7,792 97,363 SH Defined 64 97,363 CHIPOTLE MEXICAN GRILL INC Common Stocks 169656105 $4,054 50,669 SH Defined 74 50,669 CHIPOTLE MEXICAN GRILL INC Common Stocks 169656105 $5,149 64,360 SH Sole 88 64,360 CHIPOTLE MEXICAN GRILL INC Common Stocks 169656105 $1,125 14,059 SH Defined 103 14,059 CHIPOTLE MEXICAN GRILL INC Common Stocks 169656105 $63 789 SH Defined 789 CHIPOTLE MEXICAN GRILL INC Common Stocks 169656204 $348 4,987 SH Sole 88 4,987 CHIPOTLE MEXICAN GRILL INC Common Stocks 169656204 $1,122 16,082 SH Defined 103 16,082 CHOICE HOTELS INTL INC COM Common Stocks 169905106 $538 20,217 SH Defined 42 20,217 CHOICE HOTELS INTL INC COM Common Stocks 169905106 $202 7,600 SH Defined 57 7,600 CHOICE HOTELS INTL INC COM Common Stocks 169905106 $314 11,811 SH Sole 88 11,811 CHIQUITA BRANDS INTL INC C Common Stocks 170032809 $781 76,100 SH Defined 57 76,100 CHIQUITA BRANDS INTL INC C Common Stocks 170032809 $480 46,800 SH Sole 88 46,800 CHORDIANT SOFTWARE INC COM Common Stocks 170404305 $41 11,200 SH Defined 57 11,200 CHRISTOPHER & BANKS CORP C Common Stocks 171046105 $101 15,000 SH Defined 31 15,000 CHRISTOPHER & BANKS CORP C Common Stocks 171046105 $121 18,100 SH Defined 57 18,100 CHRISTOPHER & BANKS CORP C Common Stocks 171046105 $57 8,500 SH Sole 88 8,500 CHRISTOPHER & BANKS CORP C Common Stocks 171046105 $2,307 343,859 SH Defined 92 343,859 CHUBB CORP COM Common Stocks 171232101 $10,835 271,700 SH Defined 10 271,700 CHUBB CORP COM Common Stocks 171232101 $3,670 91,994 SH Defined 23 91,994 CHUBB CORP COM Common Stocks 171232101 $405 10,153 SH Defined 42 10,153 CHUBB CORP COM Common Stocks 171232101 $1,168 29,300 SH Defined 51 29,300 CHUBB CORP COM Common Stocks 171232101 $3,860 96,800 SH Defined 57 96,800 CHUBB CORP COM Common Stocks 171232101 $6,577 164,908 SH Defined 68 164,908 CHUBB CORP COM Common Stocks 171232101 $1,259 31,560 SH Defined 69 31,560 CHUBB CORP COM Common Stocks 171232101 $375 9,400 SH Defined 80 9,400 CHUBB CORP COM Common Stocks 171232101 $29,916 750,148 SH Sole 88 750,148 CHUBB CORP COM Common Stocks 171232101 $938 23,500 SH Defined 93 23,500 CHUBB CORP COM Common Stocks 171232101 $2,329 58,400 SH Defined 93 58,400 CHUBB CORP COM Common Stocks 171232101 $16,101 403,730 SH Defined 94 403,730 CHUBB CORP COM Common Stocks 171232101 $26 651 SH Defined 651 CHURCH & DWIGHT INC COM Common Stocks 171340102 $3,533 65,061 SH Defined 23 65,061 CHURCH & DWIGHT INC COM Common Stocks 171340102 $234 4,300 SH Defined 51 4,300 CHURCH & DWIGHT INC COM Common Stocks 171340102 $3,981 73,301 SH Defined 57 73,301 CHURCH & DWIGHT INC COM Common Stocks 171340102 $7,213 132,804 SH Sole 88 132,804 CHURCH & DWIGHT INC COM Common Stocks 171340102 $3,201 58,944 SH Defined 103 58,944 CHURCHILL DOWNS INC COM Common Stocks 171484108 $1,632 48,481 SH Defined 31 48,481 CHURCHILL DOWNS INC COM Common Stocks 171484108 $1,863 55,361 SH Sole 88 55,361 CIBER INC COM Common Stocks 17163B102 $26 8,500 SH Defined 1 8,500 CIBER INC COM Common Stocks 17163B102 $1,251 403,491 SH Defined 23 403,491 CIBER INC COM Common Stocks 17163B102 $178 57,300 SH Defined 57 57,300 CIBER INC COM Common Stocks 17163B102 $1,268 408,923 SH Sole 88 408,923 CIENA CORP COM NEW Common Stocks 171779309 $225 21,700 SH Defined 51 21,700 CIENA CORP COM NEW Common Stocks 171779309 $26 2,500 SH Defined 80 2,500 CIENA CORP COM NEW Common Stocks 171779309 $143 13,800 SH Sole 88 13,800 CIENA CORP COM NEW Common Stocks 171779309 $307 29,700 SH Defined 102 29,700 CIENA CORP COM NEW Common Stocks 171779309 $281 27,190 SH Defined 27,190 CIMAREX ENERGY CO COM Common Stocks 171798101 $5,405 190,706 SH Defined 11 190,706 CIMAREX ENERGY CO COM Common Stocks 171798101 $2,018 71,203 SH Defined 42 71,203 CIMAREX ENERGY CO COM Common Stocks 171798101 $232 8,200 SH Defined 51 8,200 CIMAREX ENERGY CO COM Common Stocks 171798101 $898 31,700 SH Defined 76 31,700 CIMAREX ENERGY CO COM Common Stocks 171798101 $1,229 43,371 SH Sole 88 43,371 CIMAREX ENERGY CO COM Common Stocks 171798101 $1,430 50,464 SH Defined 92 50,464 CINCINNATI BELL INC NEW CO Common Stocks 171871106 $437 153,806 SH Defined 52 153,806 CINCINNATI BELL INC NEW CO Common Stocks 171871106 $57 19,900 SH Defined 57 19,900 CINCINNATI BELL INC NEW CO Common Stocks 171871106 $561 197,388 SH Sole 88 197,388 CINCINNATI BELL INC NEW CO Common Stocks 171871106 $152 53,515 SH Defined 53,515 CINCINNATI FINL CORP COM Common Stocks 172062101 $530 23,700 SH Defined 10 23,700 CINCINNATI FINL CORP COM Common Stocks 172062101 $3,598 161,000 SH Defined 35 161,000 CINCINNATI FINL CORP COM Common Stocks 172062101 $583 26,100 SH Defined 51 26,100 CINCINNATI FINL CORP COM Common Stocks 172062101 $447 20,000 SH Defined 67 20,000 CINCINNATI FINL CORP COM Common Stocks 172062101 $99 4,441 SH Defined 80 4,441 CINCINNATI FINL CORP COM Common Stocks 172062101 $4,166 186,400 SH Sole 88 186,400 CINEMARK HOLDINGS INC COM Common Stocks 17243V102 $443 39,165 SH Defined 52 39,165 CINEMARK HOLDINGS INC COM Common Stocks 17243V102 $200 17,700 SH Defined 65 17,700 CINEMARK HOLDINGS INC COM Common Stocks 17243V102 $593 52,409 SH Sole 88 52,409 CINEMARK HOLDINGS INC COM Common Stocks 17243V102 $234 20,695 SH Defined 20,695 CIRRUS LOGIC INC COM Common Stocks 172755100 $29 6,400 SH Defined 57 6,400 CISCO SYS INC COM Common Stocks 17275R102 $539 28,929 SH Defined 4 28,929 CISCO SYS INC COM Common Stocks 17275R102 $4,568 245,040 SH Defined 8 245,040 CISCO SYS INC COM Common Stocks 17275R102 $12,698 681,200 SH Defined 10 681,200 CISCO SYS INC COM Common Stocks 17275R102 $3,944 211,498 SH Defined 11 211,498 CISCO SYS INC COM Common Stocks 17275R102 $6,094 326,945 SH Defined 12 326,945 CISCO SYS INC COM Common Stocks 17275R102 $6,182 331,600 SH Defined 14 331,600 CISCO SYS INC COM Common Stocks 17275R102 $622 32,950 SH Defined 18 32,950 CISCO SYS INC COM Common Stocks 17275R102 $1,716 92,034 SH Defined 18 92,034 CISCO SYS INC COM Common Stocks 17275R102 $14,144 758,600 SH Defined 23 758,600 CISCO SYS INC COM Common Stocks 17275R102 $822 43,541 SH Defined 26 43,541 CISCO SYS INC COM Common Stocks 17275R102 $29,493 1,581,965 SH Defined 26 1,581,965 CISCO SYS INC COM Common Stocks 17275R102 $7,285 390,800 SH Defined 35 390,800 CISCO SYS INC COM Common Stocks 17275R102 $408 21,900 SH Defined 41 21,900 CISCO SYS INC COM Common Stocks 17275R102 $5,467 293,298 SH Defined 42 293,298 CISCO SYS INC COM Common Stocks 17275R102 $994 52,650 SH Defined 50 52,650 CISCO SYS INC COM Common Stocks 17275R102 $33,675 1,806,260 SH Defined 50 1,806,260 CISCO SYS INC COM Common Stocks 17275R102 $9,650 517,700 SH Defined 51 517,700 CISCO SYS INC COM Common Stocks 17275R102 $1,260 67,580 SH Defined 55 67,580 CISCO SYS INC COM Common Stocks 17275R102 $1,456 78,100 SH Defined 56 78,100 CISCO SYS INC COM Common Stocks 17275R102 $6,803 364,960 SH Defined 58 364,960 CISCO SYS INC COM Common Stocks 17275R102 $4,850 260,194 SH Defined 62 260,194 CISCO SYS INC COM Common Stocks 17275R102 $2,171 115,025 SH Defined 66 115,025 CISCO SYS INC COM Common Stocks 17275R102 $2,880 154,455 SH Defined 66 154,455 CISCO SYS INC COM Common Stocks 17275R102 $915 49,100 SH Defined 67 49,100 CISCO SYS INC COM Common Stocks 17275R102 $11,699 627,440 SH Defined 68 627,440 CISCO SYS INC COM Common Stocks 17275R102 $5,047 267,450 SH Defined 70 267,450 CISCO SYS INC COM Common Stocks 17275R102 $4,850 260,030 SH Defined 70 260,030 CISCO SYS INC COM Common Stocks 17275R102 $9,755 523,317 SH Defined 76 523,317 CISCO SYS INC COM Common Stocks 17275R102 $343 18,200 SH Defined 79 18,200 CISCO SYS INC COM Common Stocks 17275R102 $557 29,900 SH Defined 79 29,900 CISCO SYS INC COM Common Stocks 17275R102 $2,861 153,500 SH Defined 80 153,500 CISCO SYS INC COM Common Stocks 17275R102 $64,278 3,448,400 SH Sole 88 3,448,400 CISCO SYS INC COM Common Stocks 17275R102 $14,673 787,193 SH Defined 94 787,193 CISCO SYS INC COM Common Stocks 17275R102 $1,841 98,700 SH Defined 98 98,700 CISCO SYS INC COM Common Stocks 17275R102 $10,746 576,500 SH Defined 99 576,500 CISCO SYS INC COM Common Stocks 17275R102 $1,357 72,796 SH Defined 106 72,796 CISCO SYS INC COM Common Stocks 17275R102 $8,505 455,945 SH Defined 455,945 CINTAS CORP COM Common Stocks 172908105 $612 26,800 SH Defined 51 26,800 CINTAS CORP COM Common Stocks 172908105 $78 3,400 SH Defined 80 3,400 CINTAS CORP COM Common Stocks 172908105 $482 21,100 SH Sole 88 21,100 CITIGROUP INC COM Common Stocks 172967101 $2,435 813,658 SH Defined 11 813,658 CITIGROUP INC COM Common Stocks 172967101 $7,188 2,419,292 SH Defined 11 2,419,292 CITIGROUP INC COM Common Stocks 172967101 $1,871 630,085 SH Defined 42 630,085 CITIGROUP INC COM Common Stocks 172967101 $730 245,700 SH Defined 51 245,700 CITIGROUP INC COM Common Stocks 172967101 $262 88,245 SH Defined 56 88,245 CITIGROUP INC COM Common Stocks 172967101 $683 229,931 SH Defined 76 229,931 CITIGROUP INC COM Common Stocks 172967101 $436 146,713 SH Defined 80 146,713 CITIGROUP INC COM Common Stocks 172967101 $166 55,834 SH Defined 84 55,834 CITIGROUP INC COM Common Stocks 172967101 $1,559 525,041 SH Sole 88 525,041 CITI TRENDS INC COM Common Stocks 17306X102 $168 6,500 SH Defined 23 6,500 CITI TRENDS INC COM Common Stocks 17306X102 $36 1,400 SH Defined 57 1,400 CITI TRENDS INC COM Common Stocks 17306X102 $256 9,900 SH Sole 88 9,900 CITIZENS REPUBLIC BANCORP Common Stocks 174420109 $159 223,306 SH Defined 57 223,306 CITIZENS REPUBLIC BANCORP Common Stocks 174420109 $106 149,100 SH Sole 88 149,100 CITIZENS CMNTY BANCORP INC M Common Stocks 174903104 $56 10,500 SH Defined 31 10,500 CITRIX SYS INC COM Common Stocks 177376100 $4,417 138,500 SH Defined 10 138,500 CITRIX SYS INC COM Common Stocks 177376100 $255 8,000 SH Defined 32 8,000 CITRIX SYS INC COM Common Stocks 177376100 $964 30,183 SH Defined 39 30,183 CITRIX SYS INC COM Common Stocks 177376100 $175 5,500 SH Defined 51 5,500 CITRIX SYS INC COM Common Stocks 177376100 $3,052 95,825 SH Defined 64 95,825 CITRIX SYS INC COM Common Stocks 177376100 $12,674 397,252 SH Defined 64 397,252 CITRIX SYS INC COM Common Stocks 177376100 $153 4,800 SH Defined 80 4,800 CITRIX SYS INC COM Common Stocks 177376100 $443 13,900 SH Sole 88 13,900 CITRIX SYS INC COM Common Stocks 177376100 $290 9,100 SH Defined 93 9,100 CITRIX SYS INC COM Common Stocks 177376100 $721 22,600 SH Defined 93 22,600 CITRIX SYS INC COM Common Stocks 177376100 $107 3,339 SH Defined 3,339 CITY HLDG CO COM Common Stocks 177835105 $76 2,500 SH Defined 57 2,500 CITY HLDG CO COM Common Stocks 177835105 $103 3,400 SH Defined 65 3,400 CITY HLDG CO COM Common Stocks 177835105 $15 500 SH Sole 88 500 CITY NATL CORP COM Common Stocks 178566105 $983 26,700 SH Defined 51 26,700 CITY NATL CORP COM Common Stocks 178566105 $637 17,300 SH Sole 88 17,300 CLEAN HARBORS INC COM Common Stocks 184496107 $1,704 31,500 SH Defined 49 31,500 CLEAN HARBORS INC COM Common Stocks 184496107 $1,879 34,800 SH Defined 57 34,800 CLEAN HARBORS INC COM Common Stocks 184496107 $1,409 26,100 SH Sole 88 26,100 CLEAN ENERGY FUELS CORP CO Common Stocks 184499101 $353 40,900 SH Defined 41 40,900 CLEAR CHANNEL OUTDOOR HLDG Common Stocks 18451C109 $2,369 447,030 SH Defined 9 447,030 CLEAR CHANNEL OUTDOOR HLDG Common Stocks 18451C109 $89 16,701 SH Defined 42 16,701 CLEAR CHANNEL OUTDOOR HLDG Common Stocks 18451C109 $1,453 274,176 SH Sole 88 274,176 CLEARONE COMMUNICATIONS INC Common Stocks 185060100 $2 843 SH Sole 88 843 CLEARONE COMMUNICATIONS INC Common Stocks 185060100 $1 333 SH Defined 333 CLEARWIRE CORP NEW CL A Common Stocks 18538Q105 $572 103,400 SH Defined 57 103,400 CLEARWIRE CORP NEW CL A Common Stocks 18538Q105 $598 108,065 SH Sole 88 108,065 CLEARWATER PAPER CORP COM Common Stocks 18538R103 $288 11,379 SH Defined 1 11,379 CLEARWATER PAPER CORP COM Common Stocks 18538R103 $733 28,990 SH Defined 23 28,990 CLEARWATER PAPER CORP COM Common Stocks 18538R103 $195 7,700 SH Defined 65 7,700 CLEARWATER PAPER CORP COM Common Stocks 18538R103 $658 26,000 SH Sole 88 26,000 CLIFFS NATURAL RESOURCES I Common Stocks 18683K101 $1,087 44,439 SH Defined 1 44,439 CLIFFS NATURAL RESOURCES I Common Stocks 18683K101 $756 30,900 SH Defined 51 30,900 CLIFFS NATURAL RESOURCES I Common Stocks 18683K101 $103 4,200 SH Defined 56 4,200 CLIFFS NATURAL RESOURCES I Common Stocks 18683K101 $531 21,700 SH Defined 57 21,700 CLIFFS NATURAL RESOURCES I Common Stocks 18683K101 $482 19,700 SH Sole 88 19,700 CLIFFS NATURAL RESOURCES I Common Stocks 18683K101 $365 14,900 SH Defined 97 14,900 CLIFFS NATURAL RESOURCES I Common Stocks 18683K101 $331 13,510 SH Defined 102 13,510 CLOROX CO DEL COM Common Stocks 189054109 $3,621 64,865 SH Defined 12 64,865 CLOROX CO DEL COM Common Stocks 189054109 $413 7,400 SH Defined 18 7,400 CLOROX CO DEL COM Common Stocks 189054109 $1,921 34,400 SH Defined 51 34,400 CLOROX CO DEL COM Common Stocks 189054109 $207 3,700 SH Defined 80 3,700 CLOROX CO DEL COM Common Stocks 189054109 $1,256 22,500 SH Sole 88 22,500 CLOROX CO DEL COM Common Stocks 189054109 $609 10,900 SH Defined 97 10,900 COACH INC COM Common Stocks 189754104 $10,002 372,100 SH Defined 10 372,100 COACH INC COM Common Stocks 189754104 $6,740 250,700 SH Defined 14 250,700 COACH INC COM Common Stocks 189754104 $202 7,500 SH Defined 51 7,500 COACH INC COM Common Stocks 189754104 $105 3,900 SH Defined 56 3,900 COACH INC COM Common Stocks 189754104 $661 24,600 SH Defined 60 24,600 COACH INC COM Common Stocks 189754104 $1,289 47,947 SH Defined 76 47,947 COACH INC COM Common Stocks 189754104 $8,188 304,600 SH Sole 88 304,600 COACH INC COM Common Stocks 189754104 $3,458 128,630 SH Defined 102 128,630 COBRA ELECTRS CORP COM Common Stocks 191042100 $19 16,386 SH Defined 31 16,386 COCA COLA BOTTLING CO CONS C Common Stocks 191098102 $61 1,100 SH Defined 23 1,100 COCA COLA BOTTLING CO CONS C Common Stocks 191098102 $66 1,200 SH Defined 65 1,200 COCA COLA BOTTLING CO CONS C Common Stocks 191098102 $88 1,600 SH Sole 88 1,600 COCA COLA CO COM Common Stocks 191216100 $6,854 142,800 SH Defined 14 142,800 COCA COLA CO COM Common Stocks 191216100 $1,272 26,500 SH Defined 18 26,500 COCA COLA CO COM Common Stocks 191216100 $2,774 57,800 SH Defined 18 57,800 COCA COLA CO COM Common Stocks 191216100 $7,515 156,600 SH Defined 35 156,600 COCA COLA CO COM Common Stocks 191216100 $88 1,838 SH Defined 42 1,838 COCA COLA CO COM Common Stocks 191216100 $943 19,650 SH Defined 50 19,650 COCA COLA CO COM Common Stocks 191216100 $30,958 644,972 SH Defined 50 644,972 COCA COLA CO COM Common Stocks 191216100 $9,435 196,600 SH Defined 51 196,600 COCA COLA CO COM Common Stocks 191216100 $1,968 41,000 SH Defined 56 41,000 COCA COLA CO COM Common Stocks 191216100 $3,700 77,100 SH Defined 58 77,100 COCA COLA CO COM Common Stocks 191216100 $931 19,400 SH Defined 67 19,400 COCA COLA CO COM Common Stocks 191216100 $27,171 566,179 SH Defined 72 566,179 COCA COLA CO COM Common Stocks 191216100 $638 13,285 SH Defined 76 13,285 COCA COLA CO COM Common Stocks 191216100 $2,548 53,100 SH Defined 80 53,100 COCA COLA CO COM Common Stocks 191216100 $54,044 1,126,141 SH Sole 88 1,126,141 COCA COLA CO COM Common Stocks 191216100 $1,046 21,800 SH Defined 93 21,800 COCA COLA CO COM Common Stocks 191216100 $2,711 56,500 SH Defined 93 56,500 COCA COLA CO COM Common Stocks 191216100 $15,414 321,190 SH Defined 94 321,190 COCA COLA CO COM Common Stocks 191216100 $802 16,700 SH Defined 96 16,700 COCA COLA CO COM Common Stocks 191216100 $2,438 50,800 SH Defined 96 50,800 COCA COLA CO COM Common Stocks 191216100 $2,324 48,400 SH Defined 98 48,400 COCA COLA CO COM Common Stocks 191216100 $14,051 292,800 SH Defined 99 292,800 COCA COLA CO COM Common Stocks 191216100 $9,051 188,566 SH Defined 188,566 COCA COLA ENTERPRISES INC Common Stocks 191219104 $2,353 141,300 SH Defined 4 141,300 COCA COLA ENTERPRISES INC Common Stocks 191219104 $4,209 252,800 SH Defined 10 252,800 COCA COLA ENTERPRISES INC Common Stocks 191219104 $849 50,977 SH Defined 42 50,977 COCA COLA ENTERPRISES INC Common Stocks 191219104 $714 42,909 SH Defined 57 42,909 COCA COLA ENTERPRISES INC Common Stocks 191219104 $4,417 265,303 SH Defined 76 265,303 COCA COLA ENTERPRISES INC Common Stocks 191219104 $140 8,400 SH Defined 80 8,400 COCA COLA ENTERPRISES INC Common Stocks 191219104 $5,735 344,432 SH Sole 88 344,432 COCA COLA ENTERPRISES INC Common Stocks 191219104 $586 35,200 SH Defined 97 35,200 COCA COLA ENTERPRISES INC Common Stocks 191219104 $414 24,858 SH Defined 106 24,858 COEUR D ALENE MINES CORP I Common Stocks 192108504 $78 6,346 SH Defined 81 6,346 COGDELL SPENCER INC COM Common Stocks 19238U107 $307 71,536 SH Defined 52 71,536 COGDELL SPENCER INC COM Common Stocks 19238U107 $48 11,200 SH Defined 57 11,200 COGDELL SPENCER INC COM Common Stocks 19238U107 $1,996 465,250 SH Defined 87 465,250 COGDELL SPENCER INC COM Common Stocks 19238U107 $434 101,136 SH Sole 88 101,136 COGENT COMM GROUP INC COM Common Stocks 19239V302 $1,059 129,984 SH Sole 88 129,984 COGENT COMM GROUP INC COM Common Stocks 19239V302 $238 29,260 SH Defined 29,260 COGENT INC COM Common Stocks 19239Y108 $77 7,200 SH Defined 23 7,200 COGENT INC COM Common Stocks 19239Y108 $72 6,700 SH Defined 57 6,700 COGENT INC COM Common Stocks 19239Y108 $113 10,500 SH Sole 88 10,500 COGNEX CORP COM Common Stocks 192422103 $4,160 294,400 SH Defined 31 294,400 COGNEX CORP COM Common Stocks 192422103 $4,722 334,200 SH Sole 88 334,200 COGNIZANT TECHNOLOGY SOLUT Common Stocks 192446102 $222 8,300 SH Defined 4 8,300 COGNIZANT TECHNOLOGY SOLUT Common Stocks 192446102 $3,200 119,860 SH Defined 12 119,860 COGNIZANT TECHNOLOGY SOLUT Common Stocks 192446102 $264 9,900 SH Defined 14 9,900 COGNIZANT TECHNOLOGY SOLUT Common Stocks 192446102 $630 23,600 SH Defined 51 23,600 COGNIZANT TECHNOLOGY SOLUT Common Stocks 192446102 $681 25,500 SH Defined 57 25,500 COGNIZANT TECHNOLOGY SOLUT Common Stocks 192446102 $206 7,700 SH Defined 80 7,700 COGNIZANT TECHNOLOGY SOLUT Common Stocks 192446102 $1,092 40,900 SH Sole 88 40,900 COGO GROUP INC COM Common Stocks 192448108 $683 114,400 SH Defined 23 114,400 COGO GROUP INC COM Common Stocks 192448108 $172 28,855 SH Defined 57 28,855 COGO GROUP INC COM Common Stocks 192448108 $1,221 204,470 SH Sole 88 204,470 COGO GROUP INC COM Common Stocks 192448108 $137 22,955 SH Defined 22,955 COHEN & STEERS INC COM Common Stocks 19247A100 $3,800 254,157 SH Defined 31 254,157 COHEN & STEERS INC COM Common Stocks 19247A100 $4,313 288,500 SH Sole 88 288,500 COHU INC COM Common Stocks 192576106 $2,169 241,547 SH Defined 31 241,547 COHU INC COM Common Stocks 192576106 $2,360 262,803 SH Sole 88 262,803 COINSTAR INC COM Common Stocks 19259P300 $682 25,550 SH Defined 21 25,550 COINSTAR INC COM Common Stocks 19259P300 $1,361 50,967 SH Defined 74 50,967 COINSTAR INC COM Common Stocks 19259P300 $4,258 159,467 SH Sole 88 159,467 COINSTAR INC COM Common Stocks 19259P300 $1,332 49,900 SH Defined 105 49,900 COLE KENNETH PRODTNS INC C Common Stocks 193294105 $53 7,500 SH Defined 57 7,500 COLE KENNETH PRODTNS INC C Common Stocks 193294105 $50 7,100 SH Sole 88 7,100 COLE KENNETH PRODTNS INC C Common Stocks 193294105 $1,597 227,222 SH Defined 92 227,222 COLFAX CORP COM Common Stocks 194014106 $49 6,300 SH Defined 65 6,300 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $3,247 45,900 SH Defined 10 45,900 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $1,777 25,123 SH Defined 27 25,123 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $2,989 42,258 SH Defined 42 42,258 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $3,176 44,900 SH Defined 51 44,900 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $1,213 17,150 SH Defined 60 17,150 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $2,005 28,100 SH Defined 66 28,100 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $3,308 46,745 SH Defined 66 46,745 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $16,946 239,549 SH Defined 72 239,549 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $948 13,400 SH Defined 80 13,400 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $23,477 331,878 SH Sole 88 331,878 COLGATE PALMOLIVE CO COM Common Stocks 194162103 $6,164 87,130 SH Defined 102 87,130 COLONIAL PPTYS TR COM SH B Common Stocks 195872106 $637 86,100 SH Defined 57 86,100 COLONIAL PPTYS TR COM SH B Common Stocks 195872106 $147 19,800 SH Defined 65 19,800 COLONIAL PPTYS TR COM SH B Common Stocks 195872106 $424 57,300 SH Sole 88 57,300 COLUMBIA SPORTSWEAR CO COM Common Stocks 198516106 $1,911 61,800 SH Defined 31 61,800 COLUMBIA SPORTSWEAR CO COM Common Stocks 198516106 $2,143 69,295 SH Sole 88 69,295 COLUMBIA SPORTSWEAR CO COM Common Stocks 198516106 $1,726 55,837 SH Defined 92 55,837 COLUMBUS MCKINNON CORP N Y Common Stocks 199333105 $224 17,700 SH Defined 57 17,700 COLUMBUS MCKINNON CORP N Y Common Stocks 199333105 $130 10,300 SH Sole 88 10,300 COMFORT SYS USA INC COM Common Stocks 199908104 $30 2,900 SH Defined 1 2,900 COMFORT SYS USA INC COM Common Stocks 199908104 $377 36,700 SH Defined 41 36,700 COMFORT SYS USA INC COM Common Stocks 199908104 $1,056 103,000 SH Defined 57 103,000 COMFORT SYS USA INC COM Common Stocks 199908104 $134 13,100 SH Defined 65 13,100 COMFORT SYS USA INC COM Common Stocks 199908104 $577 56,300 SH Sole 88 56,300 COMCAST CORP NEW CL A Common Stocks 20030N101 $10,850 748,814 SH Defined 1 748,814 COMCAST CORP NEW CL A Common Stocks 20030N101 $2,517 173,700 SH Defined 4 173,700 COMCAST CORP NEW CL A Common Stocks 20030N101 $9,565 660,100 SH Defined 10 660,100 COMCAST CORP NEW CL A Common Stocks 20030N101 $3,411 235,400 SH Defined 14 235,400 COMCAST CORP NEW CL A Common Stocks 20030N101 $791 54,600 SH Defined 32 54,600 COMCAST CORP NEW CL A Common Stocks 20030N101 $8,635 595,900 SH Defined 35 595,900 COMCAST CORP NEW CL A Common Stocks 20030N101 $1,992 137,461 SH Defined 42 137,461 COMCAST CORP NEW CL A Common Stocks 20030N101 $7,306 504,200 SH Defined 51 504,200 COMCAST CORP NEW CL A Common Stocks 20030N101 $58 4,000 SH Defined 56 4,000 COMCAST CORP NEW CL A Common Stocks 20030N101 $493 33,990 SH Defined 58 33,990 COMCAST CORP NEW CL A Common Stocks 20030N101 $1,114 76,900 SH Defined 60 76,900 COMCAST CORP NEW CL A Common Stocks 20030N101 $1,036 71,500 SH Defined 67 71,500 COMCAST CORP NEW CL A Common Stocks 20030N101 $1,112 76,714 SH Defined 80 76,714 COMCAST CORP NEW CL A Common Stocks 20030N101 $22,915 1,581,432 SH Sole 88 1,581,432 COMCAST CORP NEW CL A Common Stocks 20030N101 $976 68,300 SH Defined 93 68,300 COMCAST CORP NEW CL A Common Stocks 20030N101 $2,456 169,500 SH Defined 93 169,500 COMCAST CORP NEW CL A Common Stocks 20030N101 $580 40,030 SH Defined 102 40,030 COMCAST CORP NEW CL A Common Stocks 20030N101 $501 34,600 SH Defined 34,600 COMCAST CORP NEW CL A SPL Common Stocks 20030N200 $4,798 340,300 SH Defined 8 340,300 COMCAST CORP NEW CL A SPL Common Stocks 20030N200 $698 49,477 SH Defined 42 49,477 COMCAST CORP NEW CL A SPL Common Stocks 20030N200 $343 24,337 SH Sole 88 24,337 COMERICA INC COM Common Stocks 200340107 $615 29,092 SH Defined 42 29,092 COMERICA INC COM Common Stocks 200340107 $438 20,700 SH Defined 51 20,700 COMERICA INC COM Common Stocks 200340107 $21 1,000 SH Defined 57 1,000 COMERICA INC COM Common Stocks 200340107 $93 4,400 SH Defined 58 4,400 COMERICA INC COM Common Stocks 200340107 $624 29,000 SH Defined 79 29,000 COMERICA INC COM Common Stocks 200340107 $1,062 50,200 SH Defined 79 50,200 COMERICA INC COM Common Stocks 200340107 $87 4,100 SH Defined 80 4,100 COMERICA INC COM Common Stocks 200340107 $494 23,335 SH Defined 84 23,335 COMERICA INC COM Common Stocks 200340107 $635 30,033 SH Sole 88 30,033 COMMERCE BANCSHARES INC CO Common Stocks 200525103 $1,609 50,565 SH Defined 51 50,565 COMMERCE BANCSHARES INC CO Common Stocks 200525103 $1,248 39,211 SH Defined 57 39,211 COMMERCE BANCSHARES INC CO Common Stocks 200525103 $1,057 33,215 SH Sole 88 33,215 COMMERCIAL METALS CO COM Common Stocks 201723103 $1,491 93,000 SH Defined 30 93,000 COMMERCIAL METALS CO COM Common Stocks 201723103 $565 35,223 SH Defined 42 35,223 COMMERCIAL METALS CO COM Common Stocks 201723103 $215 13,400 SH Defined 51 13,400 COMMERCIAL METALS CO COM Common Stocks 201723103 $645 40,244 SH Defined 73 40,244 COMMERCIAL METALS CO COM Common Stocks 201723103 $2,211 137,930 SH Defined 85 137,930 COMMERCIAL METALS CO COM Common Stocks 201723103 $6,869 428,506 SH Sole 88 428,506 COMMERCIAL METALS CO COM Common Stocks 201723103 $201 12,550 SH Defined 102 12,550 COMMONWEALTH BANKSHARES INC Common Stocks 202736104 $32 6,200 SH Defined 31 6,200 COMMSCOPE INC COM Common Stocks 203372107 $481 18,300 SH Defined 51 18,300 COMMSCOPE INC COM Common Stocks 203372107 $764 29,078 SH Defined 52 29,078 COMMSCOPE INC COM Common Stocks 203372107 $924 35,200 SH Defined 57 35,200 COMMSCOPE INC COM Common Stocks 203372107 $85 3,226 SH Defined 81 3,226 COMMSCOPE INC COM Common Stocks 203372107 $2,643 100,665 SH Sole 88 100,665 COMMSCOPE INC COM Common Stocks 203372107 $2,198 83,706 SH Defined 103 83,706 COMMUNITY BK SYS INC COM Common Stocks 203607106 $66 4,500 SH Defined 1 4,500 COMMUNITY HEALTH SYS INC N Common Stocks 203668108 $566 22,408 SH Defined 1 22,408 COMMUNITY HEALTH SYS INC N Common Stocks 203668108 $98 3,900 SH Defined 65 3,900 COMMUNITY HEALTH SYS INC N Common Stocks 203668108 $86 3,400 SH Sole 88 3,400 COMMUNITY TR BANCORP INC COM Common Stocks 204149108 $241 9,000 SH Defined 57 9,000 COMMUNITY TR BANCORP INC COM Common Stocks 204149108 $134 5,000 SH Sole 88 5,000 COMPANHIA BRASILEIRA DE DIST Common Stocks 20440T201 $269 7,000 SH Defined 14 7,000 COMPANHIA BRASILEIRA DE DIST Common Stocks 20440T201 $1,735 45,120 SH Defined 40 45,120 COMPANHIA BRASILEIRA DE DIST Common Stocks 20440T201 $3,961 103,000 SH Defined 46 103,000 COMPANHIA BRASILEIRA DE DIST Common Stocks 20440T201 $778 20,221 SH Sole 88 20,221 COMPANHIA SIDERURGICA NACI Common Stocks 20440W105 $170 7,625 SH Defined 83 7,625 COMPANHIA VALE DO RIO DOCE S Common Stocks 204412100 $1,604 104,500 SH Defined 99 104,500 COMPANHIA DE SANEAMENTO BA Common Stocks 20441A102 $2,431 81,045 SH Defined 11 81,045 COMPANHIA DE SANEAMENTO BA Common Stocks 20441A102 $1,289 42,900 SH Defined 49 42,900 COMPANHIA DE SANEAMENTO BA Common Stocks 20441A102 $183 6,100 SH Sole 88 6,100 COMPANHIA DE SANEAMENTO BA Common Stocks 20441A102 $7,992 266,481 SH Defined 100 266,481 COMPANHIA DE BEBIDAS DAS A Common Stocks 20441W203 $5,247 80,935 SH Defined 12 80,935 COMPANHIA DE BEBIDAS DAS A Common Stocks 20441W203 $1,342 20,700 SH Defined 104 20,700 COMPANIA DE MINAS BUENAVEN Common Stocks 204448104 $1,033 41,461 SH Defined 11 41,461 COMPANIA DE MINAS BUENAVEN Common Stocks 204448104 $226 9,400 SH Defined 14 9,400 COMPANIA DE MINAS BUENAVEN Common Stocks 204448104 $2,302 95,794 SH Defined 95,794 COMPASS MINERALS INTL INC Common Stocks 20451N101 $1,160 21,122 SH Defined 1 21,122 COMPASS MINERALS INTL INC Common Stocks 20451N101 $2,747 50,014 SH Defined 23 50,014 COMPASS MINERALS INTL INC Common Stocks 20451N101 $1,162 21,165 SH Defined 73 21,165 COMPASS MINERALS INTL INC Common Stocks 20451N101 $5,006 91,168 SH Sole 88 91,168 COMPASS MINERALS INTL INC Common Stocks 20451N101 $127 2,310 SH Defined 102 2,310 COMPASS MINERALS INTL INC Common Stocks 20451N101 $20 379 SH Defined 379 COMPELLENT TECHNOLOGIES INC Common Stocks 20452A108 $356 23,319 SH Defined 74 23,319 COMPLETE PRODUCTION SERVIC Common Stocks 20453E109 $154 24,200 SH Defined 57 24,200 COMPLETE PRODUCTION SERVIC Common Stocks 20453E109 $84 13,200 SH Sole 88 13,200 COMPUTER SCIENCES CORP COM Common Stocks 205363104 $3,318 74,900 SH Defined 1 74,900 COMPUTER SCIENCES CORP COM Common Stocks 205363104 $9,334 210,700 SH Defined 10 210,700 COMPUTER SCIENCES CORP COM Common Stocks 205363104 $368 8,300 SH Defined 32 8,300 COMPUTER SCIENCES CORP COM Common Stocks 205363104 $6,468 146,000 SH Defined 35 146,000 COMPUTER SCIENCES CORP COM Common Stocks 205363104 $1,883 42,500 SH Defined 51 42,500 COMPUTER SCIENCES CORP COM Common Stocks 205363104 $5,305 119,745 SH Defined 57 119,745 COMPUTER SCIENCES CORP COM Common Stocks 205363104 $735 16,600 SH Defined 67 16,600 COMPUTER SCIENCES CORP COM Common Stocks 205363104 $177 4,000 SH Defined 80 4,000 COMPUTER SCIENCES CORP COM Common Stocks 205363104 $29,045 655,650 SH Sole 88 655,650 COMPUTER SCIENCES CORP COM Common Stocks 205363104 $17,511 395,281 SH Defined 395,281 COMPUWARE CORP COM Common Stocks 205638109 $2,534 369,342 SH Defined 23 369,342 COMPUWARE CORP COM Common Stocks 205638109 $152 22,100 SH Defined 32 22,100 COMPUWARE CORP COM Common Stocks 205638109 $639 93,200 SH Defined 51 93,200 COMPUWARE CORP COM Common Stocks 205638109 $44 6,400 SH Defined 80 6,400 COMPUWARE CORP COM Common Stocks 205638109 $2,767 403,400 SH Sole 88 403,400 COMSTOCK RES INC COM NEW Common Stocks 205768203 $553 16,725 SH Defined 21 16,725 COMSTOCK RES INC COM NEW Common Stocks 205768203 $348 10,520 SH Defined 52 10,520 COMSTOCK RES INC COM NEW Common Stocks 205768203 $50 1,500 SH Defined 57 1,500 COMSTOCK RES INC COM NEW Common Stocks 205768203 $3,244 98,143 SH Defined 74 98,143 COMSTOCK RES INC COM NEW Common Stocks 205768203 $6,510 196,988 SH Sole 88 196,988 COMSYS IT PARTNERS INC COM Common Stocks 20581E104 $22 3,800 SH Defined 57 3,800 COMSYS IT PARTNERS INC COM Common Stocks 20581E104 $113 19,400 SH Defined 63 19,400 COMSYS IT PARTNERS INC COM Common Stocks 20581E104 $6 1,000 SH Sole 88 1,000 COMTECH TELECOMMUNICATIONS Common Stocks 205826209 $19 585 SH Defined 52 585 COMTECH TELECOMMUNICATIONS Common Stocks 205826209 $25 777 SH Sole 88 777 CONAGRA FOODS INC COM Common Stocks 205887102 $732 38,400 SH Defined 4 38,400 CONAGRA FOODS INC COM Common Stocks 205887102 $10,670 559,800 SH Defined 10 559,800 CONAGRA FOODS INC COM Common Stocks 205887102 $398 20,900 SH Defined 56 20,900 CONAGRA FOODS INC COM Common Stocks 205887102 $229 12,000 SH Defined 80 12,000 CONAGRA FOODS INC COM Common Stocks 205887102 $6,728 353,000 SH Sole 88 353,000 CON-WAY INC COM Common Stocks 205944101 $732 20,740 SH Defined 21 20,740 CON-WAY INC COM Common Stocks 205944101 $7 200 SH Defined 31 200 CON-WAY INC COM Common Stocks 205944101 $844 23,900 SH Defined 57 23,900 CON-WAY INC COM Common Stocks 205944101 $141 3,997 SH Defined 81 3,997 CON-WAY INC COM Common Stocks 205944101 $3,524 99,810 SH Sole 88 99,810 CONCHO RES INC COM Common Stocks 20605P101 $525 18,300 SH Defined 44 18,300 CONCHO RES INC COM Common Stocks 20605P101 $116 4,040 SH Defined 102 4,040 CONCUR TECHNOLOGIES INC CO Common Stocks 206708109 $3,465 111,482 SH Defined 74 111,482 CONCUR TECHNOLOGIES INC CO Common Stocks 206708109 $3,705 119,204 SH Defined 85 119,204 CONCUR TECHNOLOGIES INC CO Common Stocks 206708109 $10,568 340,034 SH Sole 88 340,034 CONCUR TECHNOLOGIES INC CO Common Stocks 206708109 $295 9,500 SH Defined 95 9,500 CONCUR TECHNOLOGIES INC CO Common Stocks 206708109 $656 21,093 SH Defined 103 21,093 CONNECTICUT WTR SVC INC COM Common Stocks 207797101 $39 1,800 SH Defined 31 1,800 CONNECTICUT WTR SVC INC COM Common Stocks 207797101 $117 5,400 SH Defined 63 5,400 CONNECTICUT WTR SVC INC COM Common Stocks 207797101 $88 4,035 SH Defined 81 4,035 CONOCOPHILLIPS COM Common Stocks 20825C104 $7,867 187,042 SH Defined 4 187,042 CONOCOPHILLIPS COM Common Stocks 20825C104 $3,966 94,300 SH Defined 8 94,300 CONOCOPHILLIPS COM Common Stocks 20825C104 $19,028 452,400 SH Defined 10 452,400 CONOCOPHILLIPS COM Common Stocks 20825C104 $2,430 57,904 SH Defined 11 57,904 CONOCOPHILLIPS COM Common Stocks 20825C104 $6,905 164,117 SH Defined 11 164,117 CONOCOPHILLIPS COM Common Stocks 20825C104 $6,978 165,900 SH Defined 17 165,900 CONOCOPHILLIPS COM Common Stocks 20825C104 $8,822 209,690 SH Defined 23 209,690 CONOCOPHILLIPS COM Common Stocks 20825C104 $5,367 127,597 SH Defined 31 127,597 CONOCOPHILLIPS COM Common Stocks 20825C104 $9,316 221,500 SH Defined 35 221,500 CONOCOPHILLIPS COM Common Stocks 20825C104 $1,734 41,228 SH Defined 37 41,228 CONOCOPHILLIPS COM Common Stocks 20825C104 $6,506 154,691 SH Defined 38 154,691 CONOCOPHILLIPS COM Common Stocks 20825C104 $753 17,900 SH Defined 41 17,900 CONOCOPHILLIPS COM Common Stocks 20825C104 $4,477 106,438 SH Defined 42 106,438 CONOCOPHILLIPS COM Common Stocks 20825C104 $7,541 179,300 SH Defined 51 179,300 CONOCOPHILLIPS COM Common Stocks 20825C104 $722 17,160 SH Defined 55 17,160 CONOCOPHILLIPS COM Common Stocks 20825C104 $945 22,479 SH Defined 56 22,479 CONOCOPHILLIPS COM Common Stocks 20825C104 $1,880 44,700 SH Defined 57 44,700 CONOCOPHILLIPS COM Common Stocks 20825C104 $1,165 27,700 SH Defined 67 27,700 CONOCOPHILLIPS COM Common Stocks 20825C104 $92 2,199 SH Defined 68 2,199 CONOCOPHILLIPS COM Common Stocks 20825C104 $6,642 157,924 SH Defined 76 157,924 CONOCOPHILLIPS COM Common Stocks 20825C104 $1,657 39,402 SH Defined 80 39,402 CONOCOPHILLIPS COM Common Stocks 20825C104 $49,971 1,188,080 SH Sole 88 1,188,080 CONOCOPHILLIPS COM Common Stocks 20825C104 $818 19,500 SH Defined 93 19,500 CONOCOPHILLIPS COM Common Stocks 20825C104 $2,036 48,400 SH Defined 93 48,400 CONOCOPHILLIPS COM Common Stocks 20825C104 $1,079 25,656 SH Defined 97 25,656 CONOCOPHILLIPS COM Common Stocks 20825C104 $6,479 154,045 SH Defined 100 154,045 CONOCOPHILLIPS COM Common Stocks 20825C104 $14,066 334,427 SH Defined 334,427 CONSECO INC COM NEW Common Stocks 208464883 $328 138,342 SH Defined 1 138,342 CONSOL ENERGY INC COM Common Stocks 20854P109 $6,022 177,278 SH Defined 23 177,278 CONSOL ENERGY INC COM Common Stocks 20854P109 $560 16,500 SH Defined 51 16,500 CONSOL ENERGY INC COM Common Stocks 20854P109 $163 4,800 SH Defined 80 4,800 CONSOL ENERGY INC COM Common Stocks 20854P109 $14,611 430,239 SH Sole 88 430,239 CONSOL ENERGY INC COM Common Stocks 20854P109 $12,473 367,293 SH Defined 91 367,293 CONSOL ENERGY INC COM Common Stocks 20854P109 $5,045 148,563 SH Defined 100 148,563 CONSOL ENERGY INC COM Common Stocks 20854P109 $49 1,405 SH Defined 1,405 CONSOLIDATED COMM HLDGS IN Common Stocks 209034107 $133 11,380 SH Defined 11,380 CONSOLIDATED EDISON INC CO Common Stocks 209115104 $2,429 64,900 SH Defined 51 64,900 CONSOLIDATED EDISON INC CO Common Stocks 209115104 $7 200 SH Defined 56 200 CONSOLIDATED EDISON INC CO Common Stocks 209115104 $494 13,200 SH Defined 57 13,200 CONSOLIDATED EDISON INC CO Common Stocks 209115104 $269 7,200 SH Defined 80 7,200 CONSOLIDATED EDISON INC CO Common Stocks 209115104 $1,557 41,600 SH Sole 88 41,600 CONSOLIDATED GRAPHICS INC Common Stocks 209341106 $246 14,110 SH Defined 22 14,110 CONSOLIDATED GRAPHICS INC Common Stocks 209341106 $84 4,800 SH Defined 23 4,800 CONSOLIDATED GRAPHICS INC Common Stocks 209341106 $360 20,655 SH Defined 52 20,655 CONSOLIDATED GRAPHICS INC Common Stocks 209341106 $623 35,767 SH Sole 88 35,767 CONSTANT CONTACT INC COM Common Stocks 210313102 $787 39,675 SH Defined 44 39,675 CONSTANT CONTACT INC COM Common Stocks 210313102 $147 7,416 SH Defined 74 7,416 CONSTANT CONTACT INC COM Common Stocks 210313102 $110 5,532 SH Defined 81 5,532 CONSTELLATION BRANDS INC C Common Stocks 21036P108 $1,314 103,600 SH Defined 51 103,600 CONSTELLATION BRANDS INC C Common Stocks 21036P108 $351 27,700 SH Defined 57 27,700 CONSTELLATION BRANDS INC C Common Stocks 21036P108 $523 41,214 SH Defined 76 41,214 CONSTELLATION BRANDS INC C Common Stocks 21036P108 $65 5,100 SH Defined 80 5,100 CONSTELLATION BRANDS INC C Common Stocks 21036P108 $94 7,438 SH Defined 81 7,438 CONSTELLATION BRANDS INC C Common Stocks 21036P108 $1,077 84,900 SH Sole 88 84,900 CONSTELLATION ENERGY GROUP Common Stocks 210371100 $140 5,250 SH Defined 80 5,250 CONTINENTAL AIRLS INC CL B Common Stocks 210795308 $8,822 995,704 SH Defined 9 995,704 CONTINENTAL AIRLS INC CL B Common Stocks 210795308 $236 26,600 SH Defined 51 26,600 CONTINENTAL AIRLS INC CL B Common Stocks 210795308 $365 41,170 SH Defined 52 41,170 CONTINENTAL AIRLS INC CL B Common Stocks 210795308 $8,105 914,827 SH Sole 88 914,827 CONTINENTAL AIRLS INC CL B Common Stocks 210795308 $78 8,840 SH Defined 102 8,840 CONTINENTAL AIRLS INC CL B Common Stocks 210795308 $734 82,800 SH Defined 82,800 CONTINENTAL RESOURCES INC Common Stocks 212015101 $1,414 50,972 SH Defined 85 50,972 CONTINENTAL RESOURCES INC Common Stocks 212015101 $1,557 56,101 SH Sole 88 56,101 CONVERGYS CORP COM Common Stocks 212485106 $1,399 150,700 SH Defined 57 150,700 CONVERGYS CORP COM Common Stocks 212485106 $31 3,300 SH Defined 80 3,300 CONVERGYS CORP COM Common Stocks 212485106 $992 106,900 SH Sole 88 106,900 COOPER COS INC COM NEW Common Stocks 216648402 $141 5,700 SH Defined 23 5,700 COOPER COS INC COM NEW Common Stocks 216648402 $99 3,994 SH Defined 81 3,994 COOPER COS INC COM NEW Common Stocks 216648402 $205 8,300 SH Sole 88 8,300 COOPER TIRE & RUBR CO COM Common Stocks 216831107 $426 42,965 SH Defined 22 42,965 COOPER TIRE & RUBR CO COM Common Stocks 216831107 $73 7,400 SH Defined 31 7,400 COOPER TIRE & RUBR CO COM Common Stocks 216831107 $272 27,378 SH Defined 52 27,378 COOPER TIRE & RUBR CO COM Common Stocks 216831107 $664 66,977 SH Sole 88 66,977 COPART INC COM Common Stocks 217204106 $3,157 91,050 SH Defined 85 91,050 COPART INC COM Common Stocks 217204106 $4,717 136,060 SH Sole 88 136,060 COPART INC COM Common Stocks 217204106 $2,078 59,930 SH Defined 103 59,930 CORE MARK HOLDING CO INC COM Common Stocks 218681104 $122 4,680 SH Defined 22 4,680 CORE MARK HOLDING CO INC COM Common Stocks 218681104 $201 7,700 SH Defined 57 7,700 CORE MARK HOLDING CO INC COM Common Stocks 218681104 $60 2,300 SH Defined 65 2,300 CORE MARK HOLDING CO INC COM Common Stocks 218681104 $107 4,100 SH Sole 88 4,100 CORINTHIAN COLLEGES INC CO Common Stocks 218868107 $1,400 82,700 SH Defined 23 82,700 CORINTHIAN COLLEGES INC CO Common Stocks 218868107 $401 23,668 SH Defined 73 23,668 CORINTHIAN COLLEGES INC CO Common Stocks 218868107 $111 6,573 SH Defined 81 6,573 CORINTHIAN COLLEGES INC CO Common Stocks 218868107 $2,917 172,279 SH Sole 88 172,279 CORINTHIAN COLLEGES INC CO Common Stocks 218868107 $1,822 107,600 SH Defined 105 107,600 CORN PRODS INTL INC COM Common Stocks 219023108 $3,933 146,800 SH Defined 31 146,800 CORN PRODS INTL INC COM Common Stocks 219023108 $833 31,100 SH Defined 51 31,100 CORN PRODS INTL INC COM Common Stocks 219023108 $27 1,000 SH Defined 57 1,000 CORN PRODS INTL INC COM Common Stocks 219023108 $4,953 184,900 SH Sole 88 184,900 CORNELL COMPANIES INC COM Common Stocks 219141108 $128 7,870 SH Defined 7,870 CORNING INC COM Common Stocks 219350105 $8,296 516,582 SH Defined 1 516,582 CORNING INC COM Common Stocks 219350105 $2,248 140,000 SH Defined 4 140,000 CORNING INC COM Common Stocks 219350105 $11,064 688,800 SH Defined 14 688,800 CORNING INC COM Common Stocks 219350105 $9,736 606,080 SH Defined 23 606,080 CORNING INC COM Common Stocks 219350105 $5,548 345,480 SH Defined 27 345,480 CORNING INC COM Common Stocks 219350105 $405 25,200 SH Defined 51 25,200 CORNING INC COM Common Stocks 219350105 $874 54,400 SH Defined 56 54,400 CORNING INC COM Common Stocks 219350105 $4,204 261,770 SH Defined 58 261,770 CORNING INC COM Common Stocks 219350105 $2,280 141,980 SH Defined 60 141,980 CORNING INC COM Common Stocks 219350105 $663 41,300 SH Defined 80 41,300 CORNING INC COM Common Stocks 219350105 $9,902 616,561 SH Sole 88 616,561 CORNING INC COM Common Stocks 219350105 $1,089 67,800 SH Defined 97 67,800 CORNING INC COM Common Stocks 219350105 $9,888 615,710 SH Defined 102 615,710 CORNING INC COM Common Stocks 219350105 $71 4,361 SH Defined 4,361 CORPORATE EXECUTIVE BRD CO Common Stocks 21988R102 $2,724 131,200 SH Defined 31 131,200 CORPORATE EXECUTIVE BRD CO Common Stocks 21988R102 $3,068 147,800 SH Sole 88 147,800 CORPORATE OFFICE PPTYS TR Common Stocks 22002T108 $10,679 364,100 SH Defined 48 364,100 CORPORATE OFFICE PPTYS TR Common Stocks 22002T108 $4,687 159,800 SH Defined 54 159,800 CORPORATE OFFICE PPTYS TR Common Stocks 22002T108 $181 6,197 SH Defined 82 6,197 CORPORATE OFFICE PPTYS TR Common Stocks 22002T108 $595 20,291 SH Defined 82 20,291 CORPORATE OFFICE PPTYS TR Common Stocks 22002T108 $978 33,335 SH Sole 88 33,335 CORRECTIONS CORP AMER NEW Common Stocks 22025Y407 $34 2,000 SH Defined 51 2,000 CORRECTIONS CORP AMER NEW Common Stocks 22025Y407 $144 8,446 SH Defined 81 8,446 CORRECTIONS CORP AMER NEW Common Stocks 22025Y407 $87 5,100 SH Sole 88 5,100 CORUS ENTERTAINMENT INC COM Common Stocks 220874101 $3,513 274,700 SH Defined 274,700 COSTCO WHSL CORP NEW COM Common Stocks 22160K105 $6,197 135,593 SH Defined 1 135,593 COSTCO WHSL CORP NEW COM Common Stocks 22160K105 $260 5,700 SH Defined 4 5,700 COSTCO WHSL CORP NEW COM Common Stocks 22160K105 $516 11,300 SH Defined 51 11,300 COSTCO WHSL CORP NEW COM Common Stocks 22160K105 $2,588 56,634 SH Defined 57 56,634 COSTCO WHSL CORP NEW COM Common Stocks 22160K105 $8,940 195,623 SH Defined 64 195,623 COSTCO WHSL CORP NEW COM Common Stocks 22160K105 $16,600 363,240 SH Defined 72 363,240 COSTCO WHSL CORP NEW COM Common Stocks 22160K105 $530 11,600 SH Defined 80 11,600 COSTCO WHSL CORP NEW COM Common Stocks 22160K105 $27,272 596,765 SH Sole 88 596,765 COSTCO WHSL CORP NEW COM Common Stocks 22160K105 $143 3,104 SH Defined 3,104 COSTAR GROUP INC COM Common Stocks 22160N109 $3,477 87,200 SH Sole 88 87,200 COSTAR GROUP INC COM Common Stocks 22160N109 $474 11,900 SH Defined 95 11,900 COVANCE INC COM Common Stocks 222816100 $187 3,800 SH Defined 51 3,800 COVANCE INC COM Common Stocks 222816100 $154 3,134 SH Defined 81 3,134 COVANCE INC COM Common Stocks 222816100 $118 2,400 SH Sole 88 2,400 COVANCE INC COM Common Stocks 222816100 $460 9,350 SH Defined 101 9,350 COVANTA HLDG CORP COM Common Stocks 22282E102 $2,236 131,600 SH Defined 49 131,600 COVANTA HLDG CORP COM Common Stocks 22282E102 $170 10,030 SH Defined 102 10,030 COVENTRY HEALTH CARE INC C Common Stocks 222862104 $0 1 SH Defined 1 1 COVENTRY HEALTH CARE INC C Common Stocks 222862104 $2,468 133,031 SH Defined 11 133,031 COVENTRY HEALTH CARE INC C Common Stocks 222862104 $10,251 547,559 SH Defined 11 547,559 COVENTRY HEALTH CARE INC C Common Stocks 222862104 $1,785 95,400 SH Defined 42 95,400 COVENTRY HEALTH CARE INC C Common Stocks 222862104 $4,724 252,500 SH Defined 57 252,500 COVENTRY HEALTH CARE INC C Common Stocks 222862104 $76 4,050 SH Defined 80 4,050 COVENTRY HEALTH CARE INC C Common Stocks 222862104 $3,391 181,243 SH Sole 88 181,243 CRACKER BARREL OLD CTRY ST Common Stocks 22410J106 $207 7,430 SH Defined 21 7,430 CRACKER BARREL OLD CTRY ST Common Stocks 22410J106 $745 26,699 SH Defined 52 26,699 CRACKER BARREL OLD CTRY ST Common Stocks 22410J106 $14 500 SH Defined 65 500 CRACKER BARREL OLD CTRY ST Common Stocks 22410J106 $2,412 86,462 SH Sole 88 86,462 CRANE CO COM Common Stocks 224399105 $0 1 SH Defined 1 1 CRANE CO COM Common Stocks 224399105 $656 29,400 SH Defined 4 29,400 CRANE CO COM Common Stocks 224399105 $1,005 44,967 SH Defined 11 44,967 CRANE CO COM Common Stocks 224399105 $1,365 61,200 SH Defined 57 61,200 CRANE CO COM Common Stocks 224399105 $49 2,200 SH Defined 65 2,200 CRANE CO COM Common Stocks 224399105 $335 15,000 SH Defined 77 15,000 CRANE CO COM Common Stocks 224399105 $1,408 63,100 SH Sole 88 63,100 CRAWFORD & CO CL B Common Stocks 224633107 $35 7,200 SH Defined 57 7,200 CRAWFORD & CO CL B Common Stocks 224633107 $24 4,900 SH Sole 88 4,900 CRAY INC COM NEW Common Stocks 225223304 $133 16,850 SH Defined 57 16,850 CRAY INC COM NEW Common Stocks 225223304 $7 900 SH Defined 65 900 CRAY INC COM NEW Common Stocks 225223304 $61 7,700 SH Sole 88 7,700 CREDIT SUISSE GROUP SPONSO Common Stocks 225401108 $2,385 52,150 SH Defined 50 52,150 CREDIT SUISSE GROUP SPONSO Common Stocks 225401108 $864 18,900 SH Sole 88 18,900 CREDIT SUISSE GROUP SPONSO Common Stocks 225401108 $763 16,800 SH Defined 93 16,800 CREDIT SUISSE GROUP SPONSO Common Stocks 225401108 $1,847 40,400 SH Defined 93 40,400 CREE INC COM Common Stocks 225447101 $281 9,575 SH Defined 44 9,575 CREE INC COM Common Stocks 225447101 $447 15,200 SH Defined 51 15,200 CREE INC COM Common Stocks 225447101 $282 9,600 SH Sole 88 9,600 CRESUD S A C I F Y A SPONSOR Common Stocks 226406106 $571 60,500 SH Defined 100 60,500 CROCS INC COM Common Stocks 227046109 $64 18,900 SH Defined 57 18,900 CROSS CTRY HEALTHCARE INC Common Stocks 227483104 $99 14,400 SH Defined 57 14,400 CROSS CTRY HEALTHCARE INC Common Stocks 227483104 $82 11,900 SH Sole 88 11,900 CROWN CASTLE INTL CORP COM Common Stocks 228227104 $3,740 155,700 SH Defined 28 155,700 CROWN CASTLE INTL CORP COM Common Stocks 228227104 $749 31,200 SH Defined 29 31,200 CROWN CASTLE INTL CORP COM Common Stocks 228227104 $336 14,000 SH Defined 51 14,000 CROWN CASTLE INTL CORP COM Common Stocks 228227104 $147 6,100 SH Defined 56 6,100 CROWN CASTLE INTL CORP COM Common Stocks 228227104 $3,670 152,800 SH Sole 88 152,800 CROWN HOLDINGS INC COM Common Stocks 228368106 $444 18,400 SH Defined 10 18,400 CROWN HOLDINGS INC COM Common Stocks 228368106 $722 29,900 SH Defined 23 29,900 CROWN HOLDINGS INC COM Common Stocks 228368106 $1,586 65,700 SH Defined 35 65,700 CROWN HOLDINGS INC COM Common Stocks 228368106 $183 7,600 SH Defined 51 7,600 CROWN HOLDINGS INC COM Common Stocks 228368106 $198 8,200 SH Defined 67 8,200 CROWN HOLDINGS INC COM Common Stocks 228368106 $157 6,495 SH Defined 81 6,495 CROWN HOLDINGS INC COM Common Stocks 228368106 $1,765 73,100 SH Sole 88 73,100 CROWN HOLDINGS INC COM Common Stocks 228368106 $124 5,120 SH Defined 102 5,120 CRUCELL N V SPONSORED ADR Common Stocks 228769105 $229 9,500 SH Defined 44 9,500 CRYSTALLEX INTL CORP COM Common Stocks 22942F101 $28 127,300 SH Defined 100 127,300 CTRIP COM INTL LTD ADR Common Stocks 22943F100 $155 3,450 SH Defined 86 3,450 CUBIC CORP COM Common Stocks 229669106 $2,897 80,957 SH Defined 23 80,957 CUBIC CORP COM Common Stocks 229669106 $136 3,800 SH Defined 65 3,800 CUBIC CORP COM Common Stocks 229669106 $2,674 74,700 SH Sole 88 74,700 CUBIST PHARMACEUTICALS INC Common Stocks 229678107 $66 3,600 SH Defined 65 3,600 CUBIST PHARMACEUTICALS INC Common Stocks 229678107 $140 7,660 SH Defined 7,660 CULLEN FROST BANKERS INC C Common Stocks 229899109 $1,646 35,700 SH Defined 51 35,700 CULLEN FROST BANKERS INC C Common Stocks 229899109 $2,502 54,240 SH Defined 85 54,240 CULLEN FROST BANKERS INC C Common Stocks 229899109 $3,799 82,380 SH Sole 88 82,380 CUMMINS INC COM Common Stocks 231021106 $8,067 229,100 SH Defined 10 229,100 CUMMINS INC COM Common Stocks 231021106 $994 27,700 SH Defined 18 27,700 CUMMINS INC COM Common Stocks 231021106 $1,901 54,000 SH Defined 18 54,000 CUMMINS INC COM Common Stocks 231021106 $224 6,349 SH Defined 42 6,349 CUMMINS INC COM Common Stocks 231021106 $740 20,600 SH Defined 50 20,600 CUMMINS INC COM Common Stocks 231021106 $21,888 621,548 SH Defined 50 621,548 CUMMINS INC COM Common Stocks 231021106 $1,852 52,600 SH Defined 51 52,600 CUMMINS INC COM Common Stocks 231021106 $751 21,330 SH Defined 60 21,330 CUMMINS INC COM Common Stocks 231021106 $190 5,400 SH Defined 80 5,400 CUMMINS INC COM Common Stocks 231021106 $16,281 462,407 SH Sole 88 462,407 CUMMINS INC COM Common Stocks 231021106 $560 15,900 SH Defined 97 15,900 CUMMINS INC COM Common Stocks 231021106 $4,192 119,050 SH Defined 102 119,050 CUMMINS INC COM Common Stocks 231021106 $108 2,986 SH Defined 2,986 CURTISS WRIGHT CORP COM Common Stocks 231561101 $3,383 113,800 SH Defined 31 113,800 CURTISS WRIGHT CORP COM Common Stocks 231561101 $3,660 123,100 SH Sole 88 123,100 CYBERSOURCE CORP COM Common Stocks 23251J106 $398 26,005 SH Defined 74 26,005 CYBERSOURCE CORP COM Common Stocks 23251J106 $6,278 410,346 SH Sole 88 410,346 CYBERSOURCE CORP COM Common Stocks 23251J106 $754 49,300 SH Defined 95 49,300 CYBERSOURCE CORP COM Common Stocks 23251J106 $337 22,025 SH Defined 101 22,025 CYBERSOURCE CORP COM Common Stocks 23251J106 $353 23,100 SH Defined 102 23,100 CYBERSOURCE CORP COM Common Stocks 23251J106 $2,529 165,263 SH Defined 103 165,263 CYBERONICS INC COM Common Stocks 23251P102 $45 2,700 SH Defined 57 2,700 CYBERONICS INC COM Common Stocks 23251P102 $86 5,200 SH Defined 65 5,200 CYBERONICS INC COM Common Stocks 23251P102 $326 19,590 SH Sole 88 19,590 CYNOSURE INC CL A Common Stocks 232577205 $15 2,000 SH Defined 57 2,000 CYNOSURE INC CL A Common Stocks 232577205 $2,031 265,541 SH Defined 92 265,541 CYPRESS BIOSCIENCES INC CO Common Stocks 232674507 $354 37,600 SH Defined 63 37,600 CYPRESS SEMICONDUCTOR CORP Common Stocks 232806109 $314 34,100 SH Defined 23 34,100 CYPRESS SEMICONDUCTOR CORP Common Stocks 232806109 $1,375 149,500 SH Defined 35 149,500 CYPRESS SEMICONDUCTOR CORP Common Stocks 232806109 $89 9,706 SH Defined 42 9,706 CYPRESS SEMICONDUCTOR CORP Common Stocks 232806109 $807 87,700 SH Defined 51 87,700 CYPRESS SEMICONDUCTOR CORP Common Stocks 232806109 $122 13,300 SH Defined 67 13,300 CYPRESS SEMICONDUCTOR CORP Common Stocks 232806109 $4,800 521,777 SH Defined 76 521,777 CYPRESS SEMICONDUCTOR CORP Common Stocks 232806109 $2,009 218,359 SH Sole 88 218,359 CYTEC INDS INC COM Common Stocks 232820100 $82 4,387 SH Defined 42 4,387 CYTEC INDS INC COM Common Stocks 232820100 $2,307 123,900 SH Defined 57 123,900 CYTEC INDS INC COM Common Stocks 232820100 $2,164 116,204 SH Sole 88 116,204 CYTEC INDS INC COM Common Stocks 232820100 $1,080 57,991 SH Defined 91 57,991 DCT INDUSTRIAL TRUST INC C Common Stocks 233153105 $14,061 3,445,600 SH Defined 2 3,445,600 DCT INDUSTRIAL TRUST INC C Common Stocks 233153105 $977 240,700 SH Defined 54 240,700 DCT INDUSTRIAL TRUST INC C Common Stocks 233153105 $8,597 2,106,824 SH Defined 54 2,106,824 DCT INDUSTRIAL TRUST INC C Common Stocks 233153105 $244 59,800 SH Defined 57 59,800 DCT INDUSTRIAL TRUST INC C Common Stocks 233153105 $1,360 333,300 SH Defined 87 333,300 DCT INDUSTRIAL TRUST INC C Common Stocks 233153105 $831 203,700 SH Sole 88 203,700 DG FASTCHANNEL INC COM Common Stocks 23326R109 $181 9,900 SH Defined 44 9,900 DG FASTCHANNEL INC COM Common Stocks 23326R109 $2,855 156,033 SH Defined 74 156,033 DG FASTCHANNEL INC COM Common Stocks 23326R109 $2,181 119,200 SH Defined 85 119,200 DG FASTCHANNEL INC COM Common Stocks 23326R109 $5,872 320,894 SH Sole 88 320,894 DPL INC COM Common Stocks 233293109 $79 3,400 SH Defined 65 3,400 D R HORTON INC COM Common Stocks 23331A109 $1,291 137,900 SH Defined 4 137,900 D R HORTON INC COM Common Stocks 23331A109 $3,380 361,100 SH Defined 14 361,100 D R HORTON INC COM Common Stocks 23331A109 $1,816 193,995 SH Defined 23 193,995 D R HORTON INC COM Common Stocks 23331A109 $181 19,300 SH Defined 51 19,300 D R HORTON INC COM Common Stocks 23331A109 $123 13,100 SH Defined 56 13,100 D R HORTON INC COM Common Stocks 23331A109 $3,355 358,444 SH Defined 57 358,444 D R HORTON INC COM Common Stocks 23331A109 $1,126 120,263 SH Defined 59 120,263 D R HORTON INC COM Common Stocks 23331A109 $12 1,300 SH Defined 65 1,300 D R HORTON INC COM Common Stocks 23331A109 $1,135 121,258 SH Defined 76 121,258 D R HORTON INC COM Common Stocks 23331A109 $68 7,300 SH Defined 80 7,300 D R HORTON INC COM Common Stocks 23331A109 $114 12,139 SH Defined 81 12,139 D R HORTON INC COM Common Stocks 23331A109 $5,533 591,100 SH Sole 88 591,100 DST SYS INC DEL COM Common Stocks 233326107 $2,743 74,220 SH Defined 68 74,220 DST SYS INC DEL COM Common Stocks 233326107 $1,226 33,293 SH Defined 70 33,293 DST SYS INC DEL COM Common Stocks 233326107 $1,156 31,272 SH Defined 70 31,272 DSP GROUP INC COM Common Stocks 23332B106 $32 4,800 SH Defined 57 4,800 DSP GROUP INC COM Common Stocks 23332B106 $75 11,100 SH Defined 65 11,100 DSP GROUP INC COM Common Stocks 23332B106 $15 2,200 SH Sole 88 2,200 DTE ENERGY CO COM Common Stocks 233331107 $4,384 137,000 SH Defined 10 137,000 DTE ENERGY CO COM Common Stocks 233331107 $2,698 84,300 SH Defined 51 84,300 DTE ENERGY CO COM Common Stocks 233331107 $1,075 33,600 SH Defined 57 33,600 DTE ENERGY CO COM Common Stocks 233331107 $141 4,400 SH Defined 80 4,400 DTE ENERGY CO COM Common Stocks 233331107 $3,882 121,300 SH Sole 88 121,300 DSW INC CL A Common Stocks 23334L102 $217 22,000 SH Defined 57 22,000 DSW INC CL A Common Stocks 23334L102 $105 10,700 SH Sole 88 10,700 DSW INC CL A Common Stocks 23334L102 $105 10,640 SH Defined 10,640 DTS INC COM Common Stocks 23335C101 $401 14,795 SH Defined 74 14,795 DXP ENTERPRISES INC NEW CO Common Stocks 233377407 $147 12,800 SH Defined 57 12,800 DXP ENTERPRISES INC NEW CO Common Stocks 233377407 $101 8,800 SH Sole 88 8,800 DAKTRONICS INC COM Common Stocks 234264109 $18 2,300 SH Defined 57 2,300 DANA HOLDING CORP COM Common Stocks 235825205 $42 32,957 SH Defined 81 32,957 DANAHER CORP DEL COM Common Stocks 235851102 $364 5,900 SH Defined 4 5,900 DANAHER CORP DEL COM Common Stocks 235851102 $2,587 41,905 SH Defined 12 41,905 DANAHER CORP DEL COM Common Stocks 235851102 $1,320 21,146 SH Defined 18 21,146 DANAHER CORP DEL COM Common Stocks 235851102 $2,803 45,400 SH Defined 18 45,400 DANAHER CORP DEL COM Common Stocks 235851102 $803 13,000 SH Defined 35 13,000 DANAHER CORP DEL COM Common Stocks 235851102 $1,058 17,100 SH Defined 49 17,100 DANAHER CORP DEL COM Common Stocks 235851102 $31 500 SH Defined 51 500 DANAHER CORP DEL COM Common Stocks 235851102 $99 1,600 SH Defined 67 1,600 DANAHER CORP DEL COM Common Stocks 235851102 $192 3,110 SH Defined 68 3,110 DANAHER CORP DEL COM Common Stocks 235851102 $420 6,800 SH Defined 80 6,800 DANAHER CORP DEL COM Common Stocks 235851102 $506 8,200 SH Sole 88 8,200 DANVERS BANCORP INC COM Common Stocks 236442109 $73 5,400 SH Defined 1 5,400 DANVERS BANCORP INC COM Common Stocks 236442109 $71 5,300 SH Defined 23 5,300 DANVERS BANCORP INC COM Common Stocks 236442109 $34 2,514 SH Sole 88 2,514 DARDEN RESTAURANTS INC COM Common Stocks 237194105 $2,098 63,610 SH Defined 12 63,610 DARDEN RESTAURANTS INC COM Common Stocks 237194105 $3,773 114,400 SH Defined 14 114,400 DARDEN RESTAURANTS INC COM Common Stocks 237194105 $2,292 69,500 SH Defined 30 69,500 DARDEN RESTAURANTS INC COM Common Stocks 237194105 $1,306 39,600 SH Defined 51 39,600 DARDEN RESTAURANTS INC COM Common Stocks 237194105 $330 10,000 SH Defined 56 10,000 DARDEN RESTAURANTS INC COM Common Stocks 237194105 $6,108 185,200 SH Defined 57 185,200 DARDEN RESTAURANTS INC COM Common Stocks 237194105 $122 3,700 SH Defined 80 3,700 DARDEN RESTAURANTS INC COM Common Stocks 237194105 $7,147 216,700 SH Sole 88 216,700 DARDEN RESTAURANTS INC COM Common Stocks 237194105 $821 24,900 SH Defined 97 24,900 DARLING INTL INC COM Common Stocks 237266101 $93 14,036 SH Defined 11 14,036 DARLING INTL INC COM Common Stocks 237266101 $50 7,600 SH Defined 65 7,600 DATA DOMAIN INC COM Common Stocks 23767P109 $3,364 100,857 SH Defined 9 100,857 DATA DOMAIN INC COM Common Stocks 23767P109 $2,287 68,569 SH Sole 88 68,569 DAVITA INC COM Common Stocks 23918K108 $2,310 46,700 SH Defined 51 46,700 DAVITA INC COM Common Stocks 23918K108 $138 2,800 SH Defined 80 2,800 DAVITA INC COM Common Stocks 23918K108 $2,043 41,316 SH Sole 88 41,316 DAVITA INC COM Common Stocks 23918K108 $2,090 42,254 SH Defined 103 42,254 DAWSON GEOPHYSICAL CO COM Common Stocks 239359102 $2,165 72,533 SH Defined 30 72,533 DAWSON GEOPHYSICAL CO COM Common Stocks 239359102 $1,761 58,982 SH Sole 88 58,982 DAWSON GEOPHYSICAL CO COM Common Stocks 239359102 $1,708 57,204 SH Defined 92 57,204 DEALERTRACK HLDGS INC COM Common Stocks 242309102 $1,827 107,469 SH Defined 74 107,469 DEALERTRACK HLDGS INC COM Common Stocks 242309102 $4,328 254,561 SH Sole 88 254,561 DEALERTRACK HLDGS INC COM Common Stocks 242309102 $343 20,200 SH Defined 95 20,200 DEAN FOODS CO NEW COM Common Stocks 242370104 $0 1 SH Defined 1 1 DEAN FOODS CO NEW COM Common Stocks 242370104 $3,153 164,289 SH Defined 23 164,289 DEAN FOODS CO NEW COM Common Stocks 242370104 $3,005 156,600 SH Defined 35 156,600 DEAN FOODS CO NEW COM Common Stocks 242370104 $165 8,600 SH Defined 51 8,600 DEAN FOODS CO NEW COM Common Stocks 242370104 $3,015 157,100 SH Defined 57 157,100 DEAN FOODS CO NEW COM Common Stocks 242370104 $100 5,200 SH Defined 65 5,200 DEAN FOODS CO NEW COM Common Stocks 242370104 $374 19,500 SH Defined 67 19,500 DEAN FOODS CO NEW COM Common Stocks 242370104 $1,098 57,200 SH Defined 76 57,200 DEAN FOODS CO NEW COM Common Stocks 242370104 $90 4,700 SH Defined 80 4,700 DEAN FOODS CO NEW COM Common Stocks 242370104 $6,294 328,000 SH Sole 88 328,000 DEAN FOODS CO NEW COM Common Stocks 242370104 $664 34,600 SH Defined 97 34,600 DECKERS OUTDOOR CORP COM Common Stocks 243537107 $183 2,600 SH Defined 23 2,600 DECKERS OUTDOOR CORP COM Common Stocks 243537107 $1,075 15,300 SH Defined 57 15,300 DECKERS OUTDOOR CORP COM Common Stocks 243537107 $1,741 24,775 SH Sole 88 24,775 DECKERS OUTDOOR CORP COM Common Stocks 243537107 $483 6,870 SH Defined 102 6,870 DECKERS OUTDOOR CORP COM Common Stocks 243537107 $109 1,550 SH Defined 1,550 DEERE & CO COM Common Stocks 244199105 $1,562 39,100 SH Defined 14 39,100 DEERE & CO COM Common Stocks 244199105 $2,832 70,886 SH Defined 31 70,886 DEERE & CO COM Common Stocks 244199105 $485 12,109 SH Defined 39 12,109 DEERE & CO COM Common Stocks 244199105 $19 483 SH Defined 42 483 DEERE & CO COM Common Stocks 244199105 $184 4,600 SH Defined 51 4,600 DEERE & CO COM Common Stocks 244199105 $727 18,200 SH Defined 56 18,200 DEERE & CO COM Common Stocks 244199105 $1,286 32,200 SH Defined 58 32,200 DEERE & CO COM Common Stocks 244199105 $451 11,300 SH Defined 80 11,300 DEERE & CO COM Common Stocks 244199105 $747 18,700 SH Sole 88 18,700 DEL MONTE FOODS CO COM Common Stocks 24522P103 $894 95,353 SH Defined 1 95,353 DEL MONTE FOODS CO COM Common Stocks 24522P103 $6,150 655,702 SH Defined 23 655,702 DEL MONTE FOODS CO COM Common Stocks 24522P103 $118 12,600 SH Defined 51 12,600 DEL MONTE FOODS CO COM Common Stocks 24522P103 $374 39,900 SH Defined 57 39,900 DEL MONTE FOODS CO COM Common Stocks 24522P103 $199 21,200 SH Defined 65 21,200 DEL MONTE FOODS CO COM Common Stocks 24522P103 $150 16,018 SH Defined 81 16,018 DEL MONTE FOODS CO COM Common Stocks 24522P103 $5,714 609,200 SH Sole 88 609,200 DELEK US HLDGS INC COM Common Stocks 246647101 $61 7,229 SH Defined 1 7,229 DELEK US HLDGS INC COM Common Stocks 246647101 $265 31,300 SH Defined 57 31,300 DELEK US HLDGS INC COM Common Stocks 246647101 $31 3,700 SH Defined 65 3,700 DELEK US HLDGS INC COM Common Stocks 246647101 $170 20,000 SH Sole 88 20,000 DELL INC COM Common Stocks 24702R101 $787 57,331 SH Defined 1 57,331 DELL INC COM Common Stocks 24702R101 $12,754 928,900 SH Defined 10 928,900 DELL INC COM Common Stocks 24702R101 $295 21,500 SH Defined 18 21,500 DELL INC COM Common Stocks 24702R101 $479 34,900 SH Defined 41 34,900 DELL INC COM Common Stocks 24702R101 $2,525 183,915 SH Defined 42 183,915 DELL INC COM Common Stocks 24702R101 $1,280 93,200 SH Defined 51 93,200 DELL INC COM Common Stocks 24702R101 $8,638 629,100 SH Defined 57 629,100 DELL INC COM Common Stocks 24702R101 $3,728 271,490 SH Defined 59 271,490 DELL INC COM Common Stocks 24702R101 $636 46,300 SH Defined 80 46,300 DELL INC COM Common Stocks 24702R101 $656 47,760 SH Defined 84 47,760 DELL INC COM Common Stocks 24702R101 $46,550 3,390,393 SH Sole 88 3,390,393 DELL INC COM Common Stocks 24702R101 $24,735 1,801,512 SH Defined 91 1,801,512 DELL INC COM Common Stocks 24702R101 $18,432 1,342,455 SH Defined 94 1,342,455 DELL INC COM Common Stocks 24702R101 $17,540 1,277,500 SH Defined 1,277,500 DELPHI FINL GROUP INC CL A Common Stocks 247131105 $2,065 106,260 SH Defined 23 106,260 DELPHI FINL GROUP INC CL A Common Stocks 247131105 $2,343 120,600 SH Defined 31 120,600 DELPHI FINL GROUP INC CL A Common Stocks 247131105 $17 900 SH Defined 65 900 DELPHI FINL GROUP INC CL A Common Stocks 247131105 $307 15,800 SH Defined 77 15,800 DELPHI FINL GROUP INC CL A Common Stocks 247131105 $110 5,681 SH Defined 81 5,681 DELPHI FINL GROUP INC CL A Common Stocks 247131105 $4,479 230,506 SH Sole 88 230,506 DELTA AIR LINES INC DEL CO Common Stocks 247361702 $539 93,500 SH Defined 18 93,500 DELTA AIR LINES INC DEL CO Common Stocks 247361702 $1,137 196,400 SH Defined 18 196,400 DELTA AIR LINES INC DEL CO Common Stocks 247361702 $2,997 517,450 SH Defined 23 517,450 DELTA AIR LINES INC DEL CO Common Stocks 247361702 $43 7,350 SH Defined 51 7,350 DELTA AIR LINES INC DEL CO Common Stocks 247361702 $1,832 316,469 SH Defined 62 316,469 DELTA AIR LINES INC DEL CO Common Stocks 247361702 $128 22,175 SH Sole 88 22,175 DELTA AIR LINES INC DEL CO Common Stocks 247361702 $66 11,360 SH Defined 102 11,360 DELTA AIR LINES INC DEL CO Common Stocks 247361702 $327 56,471 SH Defined 56,471 DELTIC TIMBER CORP COM Common Stocks 247850100 $309 8,720 SH Defined 22 8,720 DENBURY RES INC COM NEW Common Stocks 247916208 $899 61,000 SH Defined 51 61,000 DENBURY RES INC COM NEW Common Stocks 247916208 $99 6,700 SH Defined 80 6,700 DENBURY RES INC COM NEW Common Stocks 247916208 $548 37,200 SH Sole 88 37,200 DELUXE CORP COM Common Stocks 248019101 $2,471 192,917 SH Defined 31 192,917 DELUXE CORP COM Common Stocks 248019101 $1,026 80,100 SH Defined 57 80,100 DELUXE CORP COM Common Stocks 248019101 $3,323 259,422 SH Sole 88 259,422 DENDREON CORP COM Common Stocks 24823Q107 $301 12,096 SH Defined 74 12,096 DENDREON CORP COM Common Stocks 24823Q107 $993 39,950 SH Defined 76 39,950 DENDREON CORP COM Common Stocks 24823Q107 $94 3,799 SH Defined 81 3,799 DENDREON CORP COM Common Stocks 24823Q107 $3,503 140,964 SH Sole 88 140,964 DENNYS CORP COM Common Stocks 24869P104 $2 1,000 SH Defined 57 1,000 DENTSPLY INTL INC NEW COM Common Stocks 249030107 $687 22,500 SH Defined 51 22,500 DENTSPLY INTL INC NEW COM Common Stocks 249030107 $6,629 217,130 SH Defined 68 217,130 DENTSPLY INTL INC NEW COM Common Stocks 249030107 $2,855 93,020 SH Defined 70 93,020 DENTSPLY INTL INC NEW COM Common Stocks 249030107 $2,784 91,180 SH Defined 70 91,180 DENTSPLY INTL INC NEW COM Common Stocks 249030107 $122 4,000 SH Defined 80 4,000 DENTSPLY INTL INC NEW COM Common Stocks 249030107 $134 4,404 SH Defined 81 4,404 DENTSPLY INTL INC NEW COM Common Stocks 249030107 $1,290 42,278 SH Sole 88 42,278 DENTSPLY INTL INC NEW COM Common Stocks 249030107 $2,818 92,346 SH Defined 103 92,346 DESTINATION MATERNITY CORP C Common Stocks 25065D100 $3 200 SH Defined 65 200 DEUTSCHE TELEKOM AG SPONSO Common Stocks 251566105 $9,253 784,157 SH Defined 100 784,157 DEVELOPERS DIVERSIFIED RLT Common Stocks 251591103 $2,073 424,824 SH Defined 57 424,824 DEVELOPERS DIVERSIFIED RLT Common Stocks 251591103 $1,784 365,570 SH Sole 88 365,570 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $4,507 82,700 SH Defined 4 82,700 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $5,126 94,060 SH Defined 8 94,060 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $5,309 96,291 SH Defined 11 96,291 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $13,241 242,862 SH Defined 11 242,862 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $676 12,400 SH Defined 41 12,400 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $5,352 98,200 SH Defined 42 98,200 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $1,134 20,800 SH Defined 51 20,800 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $839 15,400 SH Defined 55 15,400 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $523 9,600 SH Defined 56 9,600 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $6,753 123,900 SH Defined 57 123,900 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $1,040 19,090 SH Defined 58 19,090 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $6,294 115,488 SH Defined 68 115,488 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $1,195 21,920 SH Defined 69 21,920 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $6,293 115,459 SH Defined 72 115,459 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $2,614 47,966 SH Defined 76 47,966 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $638 11,700 SH Defined 80 11,700 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $34,700 636,696 SH Sole 88 636,696 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $772 14,000 SH Defined 93 14,000 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $1,869 34,300 SH Defined 93 34,300 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $8,791 161,311 SH Defined 94 161,311 DEVON ENERGY CORP NEW COM Common Stocks 25179M103 $7,729 141,817 SH Defined 141,817 DEVRY INC DEL COM Common Stocks 251893103 $2,012 40,200 SH Defined 23 40,200 DEVRY INC DEL COM Common Stocks 251893103 $3,072 61,400 SH Defined 57 61,400 DEVRY INC DEL COM Common Stocks 251893103 $478 9,559 SH Defined 76 9,559 DEVRY INC DEL COM Common Stocks 251893103 $80 1,600 SH Defined 80 1,600 DEVRY INC DEL COM Common Stocks 251893103 $5,173 103,381 SH Sole 88 103,381 DEVRY INC DEL COM Common Stocks 251893103 $2,973 59,421 SH Defined 103 59,421 DIAGEO P L C SPON ADR NEW Common Stocks 25243Q205 $3,847 67,200 SH Defined 17 67,200 DIAGEO P L C SPON ADR NEW Common Stocks 25243Q205 $4,894 85,492 SH Defined 27 85,492 DIAGEO P L C SPON ADR NEW Common Stocks 25243Q205 $8,304 145,050 SH Defined 68 145,050 DIAGEO P L C SPON ADR NEW Common Stocks 25243Q205 $1,598 27,910 SH Defined 69 27,910 DIAGEO P L C SPON ADR NEW Common Stocks 25243Q205 $7,912 138,204 SH Sole 88 138,204 DIALYSIS CORP AMER COM Common Stocks 252529102 $145 29,035 SH Defined 29,035 DIAMOND FOODS INC COM Common Stocks 252603105 $75 2,700 SH Defined 57 2,700 DIAMOND MGMT & TECHNOLOGY Common Stocks 25269L106 $22 5,200 SH Defined 57 5,200 DIAMOND OFFSHORE DRILLING Common Stocks 25271C102 $4,352 52,400 SH Defined 10 52,400 DIAMOND OFFSHORE DRILLING Common Stocks 25271C102 $257 3,100 SH Defined 51 3,100 DIAMOND OFFSHORE DRILLING Common Stocks 25271C102 $149 1,800 SH Defined 80 1,800 DIAMOND OFFSHORE DRILLING Common Stocks 25271C102 $2,658 32,000 SH Sole 88 32,000 DIAMONDROCK HOSPITALITY CO Common Stocks 252784301 $201 32,120 SH Defined 21 32,120 DIAMONDROCK HOSPITALITY CO Common Stocks 252784301 $257 41,050 SH Defined 77 41,050 DIAMONDROCK HOSPITALITY CO Common Stocks 252784301 $2,387 381,300 SH Defined 87 381,300 DIAMONDROCK HOSPITALITY CO Common Stocks 252784301 $749 119,650 SH Sole 88 119,650 DIAMONDROCK HOSPITALITY CO Common Stocks 252784301 $1,212 193,557 SH Defined 92 193,557 DICKS SPORTING GOODS INC C Common Stocks 253393102 $600 34,900 SH Defined 51 34,900 DICKS SPORTING GOODS INC C Common Stocks 253393102 $132 7,700 SH Defined 56 7,700 DICKS SPORTING GOODS INC C Common Stocks 253393102 $1,156 67,194 SH Sole 88 67,194 DICKS SPORTING GOODS INC C Common Stocks 253393102 $2,520 146,522 SH Defined 103 146,522 DIEBOLD INC COM Common Stocks 253651103 $1,539 58,400 SH Defined 51 58,400 DIEBOLD INC COM Common Stocks 253651103 $978 37,100 SH Sole 88 37,100 DIEDRICH COFFEE INC COM NE Common Stocks 253675201 $338 14,202 SH Defined 74 14,202 DIGITAL RLTY TR INC COM Common Stocks 253868103 $10,904 304,100 SH Defined 2 304,100 DIGITAL RLTY TR INC COM Common Stocks 253868103 $16,885 470,980 SH Defined 48 470,980 DIGITAL RLTY TR INC COM Common Stocks 253868103 $133 3,700 SH Defined 51 3,700 DIGITAL RLTY TR INC COM Common Stocks 253868103 $2,233 62,600 SH Defined 54 62,600 DIGITAL RLTY TR INC COM Common Stocks 253868103 $21,855 609,525 SH Defined 54 609,525 DIGITAL RLTY TR INC COM Common Stocks 253868103 $208 5,800 SH Defined 56 5,800 DIGITAL RLTY TR INC COM Common Stocks 253868103 $2,128 59,657 SH Defined 82 59,657 DIGITAL RLTY TR INC COM Common Stocks 253868103 $6,304 175,770 SH Defined 82 175,770 DIGITAL RLTY TR INC COM Common Stocks 253868103 $13,852 386,390 SH Defined 87 386,390 DIGITAL RLTY TR INC COM Common Stocks 253868103 $1,291 36,000 SH Sole 88 36,000 DIGITAL RIV INC COM Common Stocks 25388B104 $942 25,937 SH Defined 57 25,937 DIGITAL RIV INC COM Common Stocks 25388B104 $1,466 40,367 SH Sole 88 40,367 DIGITAL RIV INC COM Common Stocks 25388B104 $2,777 76,462 SH Defined 103 76,462 DIME CMNTY BANCSHARES COM Common Stocks 253922108 $87 9,500 SH Defined 31 9,500 DIME CMNTY BANCSHARES COM Common Stocks 253922108 $236 25,900 SH Defined 57 25,900 DIME CMNTY BANCSHARES COM Common Stocks 253922108 $155 17,000 SH Sole 88 17,000 DILLARDS INC CL A Common Stocks 254067101 $2,574 279,816 SH Defined 23 279,816 DILLARDS INC CL A Common Stocks 254067101 $66 7,200 SH Defined 65 7,200 DILLARDS INC CL A Common Stocks 254067101 $2,326 252,813 SH Sole 88 252,813 DINEEQUITY INC COM Common Stocks 254423106 $362 11,600 SH Defined 28 11,600 DINEEQUITY INC COM Common Stocks 254423106 $106 3,400 SH Defined 65 3,400 DIODES INC COM Common Stocks 254543101 $583 37,307 SH Defined 22 37,307 DIODES INC COM Common Stocks 254543101 $918 58,686 SH Defined 52 58,686 DIODES INC COM Common Stocks 254543101 $1,270 81,178 SH Sole 88 81,178 DIONEX CORP COM Common Stocks 254546104 $104 1,702 SH Defined 81 1,702 DIRECTV GROUP INC COM Common Stocks 25459L106 $0 1 SH Defined 1 1 DIRECTV GROUP INC COM Common Stocks 25459L106 $11,868 480,300 SH Defined 10 480,300 DIRECTV GROUP INC COM Common Stocks 25459L106 $4,440 179,690 SH Defined 12 179,690 DIRECTV GROUP INC COM Common Stocks 25459L106 $1,275 51,600 SH Defined 37 51,600 DIRECTV GROUP INC COM Common Stocks 25459L106 $9,138 369,800 SH Defined 38 369,800 DIRECTV GROUP INC COM Common Stocks 25459L106 $1,443 58,400 SH Defined 51 58,400 DIRECTV GROUP INC COM Common Stocks 25459L106 $1,273 51,520 SH Defined 55 51,520 DIRECTV GROUP INC COM Common Stocks 25459L106 $7,236 292,830 SH Defined 57 292,830 DIRECTV GROUP INC COM Common Stocks 25459L106 $3,798 153,691 SH Defined 64 153,691 DIRECTV GROUP INC COM Common Stocks 25459L106 $343 13,900 SH Defined 80 13,900 DIRECTV GROUP INC COM Common Stocks 25459L106 $21,528 871,239 SH Sole 88 871,239 DIRECTV GROUP INC COM Common Stocks 25459L106 $1,213 49,090 SH Defined 106 49,090 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $0 1 SH Defined 1 1 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $309 13,240 SH Defined 4 13,240 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $4,758 203,962 SH Defined 27 203,962 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $1,827 78,300 SH Defined 35 78,300 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $1,720 73,722 SH Defined 42 73,722 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $4,120 176,600 SH Defined 51 176,600 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $508 21,770 SH Defined 55 21,770 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $1,125 48,200 SH Defined 56 48,200 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $3,026 129,690 SH Defined 58 129,690 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $1,743 74,133 SH Defined 64 74,133 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $7,738 331,537 SH Defined 64 331,537 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $219 9,400 SH Defined 67 9,400 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $21,128 905,471 SH Defined 68 905,471 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $1,464 62,770 SH Defined 69 62,770 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $5,840 248,390 SH Defined 70 248,390 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $5,636 241,460 SH Defined 70 241,460 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $320 13,600 SH Defined 79 13,600 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $630 27,000 SH Defined 79 27,000 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $1,155 49,500 SH Defined 80 49,500 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $26,633 1,141,578 SH Sole 88 1,141,578 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $16,236 695,922 SH Defined 94 695,922 DISNEY WALT CO COM DISNEY Common Stocks 254687106 $66 2,800 SH Defined 2,800 DISCOVER FINL SVCS COM Common Stocks 254709108 $2,674 251,500 SH Defined 47 251,500 DISCOVER FINL SVCS COM Common Stocks 254709108 $12,977 1,263,400 SH Defined 47 1,263,400 DISCOVER FINL SVCS COM Common Stocks 254709108 $1,547 150,600 SH Defined 51 150,600 DISCOVER FINL SVCS COM Common Stocks 254709108 $5,878 572,300 SH Defined 57 572,300 DISCOVER FINL SVCS COM Common Stocks 254709108 $1,227 119,500 SH Defined 76 119,500 DISCOVER FINL SVCS COM Common Stocks 254709108 $461 43,400 SH Defined 79 43,400 DISCOVER FINL SVCS COM Common Stocks 254709108 $857 83,400 SH Defined 79 83,400 DISCOVER FINL SVCS COM Common Stocks 254709108 $132 12,872 SH Defined 80 12,872 DISCOVER FINL SVCS COM Common Stocks 254709108 $6,760 658,200 SH Sole 88 658,200 DISCOVERY COMMUNICATNS NEW Common Stocks 25470F104 $100 4,420 SH Defined 42 4,420 DISCOVERY COMMUNICATNS NEW Common Stocks 25470F104 $58 2,584 SH Sole 88 2,584 DISCOVERY COMMUNICATNS NEW C Common Stocks 25470F302 $43 2,088 SH Defined 42 2,088 DISCOVERY COMMUNICATNS NEW C Common Stocks 25470F302 $16 763 SH Sole 88 763 DISH NETWORK CORP CL A Common Stocks 25470M109 $4,556 281,054 SH Defined 1 281,054 DISH NETWORK CORP CL A Common Stocks 25470M109 $2,446 152,871 SH Defined 11 152,871 DISH NETWORK CORP CL A Common Stocks 25470M109 $10,778 664,676 SH Defined 11 664,676 DISH NETWORK CORP CL A Common Stocks 25470M109 $78 4,800 SH Defined 32 4,800 DISH NETWORK CORP CL A Common Stocks 25470M109 $121 7,480 SH Defined 42 7,480 DISH NETWORK CORP CL A Common Stocks 25470M109 $211 13,000 SH Defined 51 13,000 DISH NETWORK CORP CL A Common Stocks 25470M109 $6,331 390,569 SH Defined 57 390,569 DISH NETWORK CORP CL A Common Stocks 25470M109 $705 43,520 SH Defined 76 43,520 DISH NETWORK CORP CL A Common Stocks 25470M109 $4,050 249,817 SH Sole 88 249,817 DR REDDYS LABS LTD ADR Common Stocks 256135203 $292 17,198 SH Defined 83 17,198 DR REDDYS LABS LTD ADR Common Stocks 256135203 $757 44,683 SH Defined 100 44,683 DOLBY LABORATORIES INC COM Common Stocks 25659T107 $2,597 69,670 SH Defined 12 69,670 DOLBY LABORATORIES INC COM Common Stocks 25659T107 $120 3,225 SH Defined 44 3,225 DOLLAR THRIFTY AUTOMOTIVE Common Stocks 256743105 $100 7,200 SH Defined 23 7,200 DOLLAR THRIFTY AUTOMOTIVE Common Stocks 256743105 $148 10,600 SH Sole 88 10,600 DOLLAR TREE INC COM Common Stocks 256746108 $6,001 142,545 SH Defined 23 142,545 DOLLAR TREE INC COM Common Stocks 256746108 $263 6,200 SH Defined 26 6,200 DOLLAR TREE INC COM Common Stocks 256746108 $9,774 232,128 SH Defined 26 232,128 DOLLAR TREE INC COM Common Stocks 256746108 $552 13,100 SH Defined 35 13,100 DOLLAR TREE INC COM Common Stocks 256746108 $2,110 50,113 SH Defined 42 50,113 DOLLAR TREE INC COM Common Stocks 256746108 $267 6,350 SH Defined 44 6,350 DOLLAR TREE INC COM Common Stocks 256746108 $450 10,700 SH Defined 51 10,700 DOLLAR TREE INC COM Common Stocks 256746108 $5,865 139,300 SH Defined 57 139,300 DOLLAR TREE INC COM Common Stocks 256746108 $67 1,600 SH Defined 67 1,600 DOLLAR TREE INC COM Common Stocks 256746108 $1,972 46,840 SH Defined 85 46,840 DOLLAR TREE INC COM Common Stocks 256746108 $19,506 463,331 SH Sole 88 463,331 DOLLAR TREE INC COM Common Stocks 256746108 $51 1,194 SH Defined 1,194 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $2,623 78,500 SH Defined 4 78,500 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $5,217 156,100 SH Defined 17 156,100 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $2,473 74,000 SH Defined 35 74,000 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $1,113 33,300 SH Defined 51 33,300 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $1,501 44,900 SH Defined 57 44,900 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $344 10,300 SH Defined 67 10,300 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $7,758 232,149 SH Defined 68 232,149 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $1,471 44,030 SH Defined 69 44,030 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $949 28,400 SH Defined 76 28,400 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $525 15,704 SH Defined 80 15,704 DOMINION RES INC VA NEW CO Common Stocks 25746U109 $11,842 354,330 SH Sole 88 354,330 DOMTAR CORP COM NEW ADDED Common Stocks 257559203 $17 1,016 SH Defined 32 1,016 DOMTAR CORP COM NEW ADDED Common Stocks 257559203 $1,522 91,821 SH Defined 57 91,821 DOMTAR CORP COM NEW ADDED Common Stocks 257559203 $1,007 60,750 SH Sole 88 60,750 DONALDSON INC COM Common Stocks 257651109 $155 4,470 SH Defined 81 4,470 DONALDSON INC COM Common Stocks 257651109 $626 18,069 SH Defined 101 18,069 DONEGAL GROUP INC CL A Common Stocks 257701201 $332 21,821 SH Defined 63 21,821 DONNELLEY R R & SONS CO CO Common Stocks 257867101 $97 8,378 SH Defined 1 8,378 DONNELLEY R R & SONS CO CO Common Stocks 257867101 $540 46,444 SH Defined 11 46,444 DONNELLEY R R & SONS CO CO Common Stocks 257867101 $3,443 296,297 SH Defined 31 296,297 DONNELLEY R R & SONS CO CO Common Stocks 257867101 $26 2,232 SH Defined 42 2,232 DONNELLEY R R & SONS CO CO Common Stocks 257867101 $607 52,200 SH Defined 57 52,200 DONNELLEY R R & SONS CO CO Common Stocks 257867101 $63 5,400 SH Defined 80 5,400 DONNELLEY R R & SONS CO CO Common Stocks 257867101 $1,193 102,700 SH Sole 88 102,700 DOUBLE EAGLE PETE CO COM PAR Common Stocks 258570209 $6 1,200 SH Defined 65 1,200 DOUBLE-TAKE SOFTWARE INC C Common Stocks 258598101 $103 11,869 SH Defined 81 11,869 DOUBLE-TAKE SOFTWARE INC C Common Stocks 258598101 $91 10,510 SH Defined 10,510 DOUGLAS EMMETT INC COM Common Stocks 25960P109 $1,250 139,001 SH Defined 30 139,001 DOUGLAS EMMETT INC COM Common Stocks 25960P109 $965 107,911 SH Defined 82 107,911 DOUGLAS EMMETT INC COM Common Stocks 25960P109 $3,025 336,344 SH Defined 82 336,344 DOUGLAS EMMETT INC COM Common Stocks 25960P109 $1,047 116,500 SH Sole 88 116,500 DOVER CORP COM Common Stocks 260003108 $678 20,500 SH Defined 4 20,500 DOVER CORP COM Common Stocks 260003108 $6,585 199,000 SH Defined 10 199,000 DOVER CORP COM Common Stocks 260003108 $187 5,648 SH Defined 11 5,648 DOVER CORP COM Common Stocks 260003108 $1,357 41,000 SH Defined 30 41,000 DOVER CORP COM Common Stocks 260003108 $3,865 116,800 SH Defined 51 116,800 DOVER CORP COM Common Stocks 260003108 $162 4,900 SH Defined 80 4,900 DOVER CORP COM Common Stocks 260003108 $8,368 252,900 SH Sole 88 252,900 DOVER DOWNS GAMING & ENTMT Common Stocks 260095104 $7 1,600 SH Defined 65 1,600 DOW CHEM CO COM Common Stocks 260543103 $2,085 129,172 SH Defined 1 129,172 DOW CHEM CO COM Common Stocks 260543103 $5,151 319,166 SH Defined 31 319,166 DOW CHEM CO COM Common Stocks 260543103 $328 20,300 SH Defined 32 20,300 DOW CHEM CO COM Common Stocks 260543103 $1,951 120,900 SH Defined 35 120,900 DOW CHEM CO COM Common Stocks 260543103 $777 48,171 SH Defined 42 48,171 DOW CHEM CO COM Common Stocks 260543103 $825 51,100 SH Defined 56 51,100 DOW CHEM CO COM Common Stocks 260543103 $1,911 118,400 SH Defined 58 118,400 DOW CHEM CO COM Common Stocks 260543103 $6,624 410,424 SH Defined 64 410,424 DOW CHEM CO COM Common Stocks 260543103 $258 16,000 SH Defined 67 16,000 DOW CHEM CO COM Common Stocks 260543103 $1,411 87,429 SH Defined 76 87,429 DOW CHEM CO COM Common Stocks 260543103 $259 16,200 SH Defined 79 16,200 DOW CHEM CO COM Common Stocks 260543103 $458 28,400 SH Defined 79 28,400 DOW CHEM CO COM Common Stocks 260543103 $461 28,588 SH Defined 80 28,588 DOW CHEM CO COM Common Stocks 260543103 $10,723 664,401 SH Sole 88 664,401 DR PEPPER SNAPPLE GROUP IN Common Stocks 26138E109 $5,861 276,450 SH Defined 11 276,450 DR PEPPER SNAPPLE GROUP IN Common Stocks 26138E109 $239 11,300 SH Defined 51 11,300 DR PEPPER SNAPPLE GROUP IN Common Stocks 26138E109 $144 6,800 SH Defined 80 6,800 DR PEPPER SNAPPLE GROUP IN Common Stocks 26138E109 $155 7,300 SH Sole 88 7,300 DR PEPPER SNAPPLE GROUP IN Common Stocks 26138E109 $413 19,500 SH Defined 97 19,500 DREAMWORKS ANIMATION SKG I Common Stocks 26153C103 $1,708 61,912 SH Defined 27 61,912 DREAMWORKS ANIMATION SKG I Common Stocks 26153C103 $1,360 49,300 SH Defined 51 49,300 DREAMWORKS ANIMATION SKG I Common Stocks 26153C103 $524 19,000 SH Defined 57 19,000 DREAMWORKS ANIMATION SKG I Common Stocks 26153C103 $558 20,207 SH Defined 73 20,207 DREAMWORKS ANIMATION SKG I Common Stocks 26153C103 $136 4,915 SH Defined 81 4,915 DREAMWORKS ANIMATION SKG I Common Stocks 26153C103 $4,107 148,854 SH Sole 88 148,854 DRESS BARN INC COM Common Stocks 261570105 $1,857 129,837 SH Defined 23 129,837 DRESS BARN INC COM Common Stocks 261570105 $1,772 123,900 SH Sole 88 123,900 DRESSER-RAND GROUP INC COM Common Stocks 261608103 $204 7,800 SH Defined 51 7,800 DRESSER-RAND GROUP INC COM Common Stocks 261608103 $84 3,200 SH Sole 88 3,200 DRIL-QUIP INC COM Common Stocks 262037104 $6,016 157,900 SH Sole 88 157,900 DRIL-QUIP INC COM Common Stocks 262037104 $823 21,600 SH Defined 95 21,600 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $3,559 138,900 SH Defined 4 138,900 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $4,737 184,900 SH Defined 17 184,900 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $279 10,900 SH Defined 41 10,900 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $1,140 44,100 SH Defined 50 44,100 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $28,723 1,120,830 SH Defined 50 1,120,830 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $1,122 43,800 SH Defined 51 43,800 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $520 20,300 SH Defined 56 20,300 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $535 20,900 SH Defined 57 20,900 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $615 24,016 SH Defined 80 24,016 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $23,444 915,050 SH Sole 88 915,050 DU PONT E I DE NEMOURS & C Common Stocks 263534109 $212 8,164 SH Defined 8,164 DUCOMMUN INC DEL COM Common Stocks 264147109 $314 16,708 SH Defined 30 16,708 DUCOMMUN INC DEL COM Common Stocks 264147109 $235 12,500 SH Defined 57 12,500 DUCOMMUN INC DEL COM Common Stocks 264147109 $4 200 SH Defined 65 200 DUCOMMUN INC DEL COM Common Stocks 264147109 $120 6,400 SH Sole 88 6,400 DUFF & PHELPS CORP NEW CL A Common Stocks 26433B107 $806 45,317 SH Defined 31 45,317 DUFF & PHELPS CORP NEW CL A Common Stocks 26433B107 $818 46,000 SH Sole 88 46,000 DUKE REALTY CORP COM NEW Common Stocks 264411505 $37 4,208 SH Defined 42 4,208 DUKE REALTY CORP COM NEW Common Stocks 264411505 $414 47,200 SH Defined 51 47,200 DUKE REALTY CORP COM NEW Common Stocks 264411505 $4,410 502,870 SH Defined 57 502,870 DUKE REALTY CORP COM NEW Common Stocks 264411505 $7,093 808,800 SH Defined 87 808,800 DUKE REALTY CORP COM NEW Common Stocks 264411505 $3,130 356,896 SH Sole 88 356,896 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $1,247 85,500 SH Defined 4 85,500 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $3,739 256,300 SH Defined 17 256,300 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $4,060 278,300 SH Defined 35 278,300 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $3,880 265,969 SH Defined 42 265,969 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $470 32,200 SH Defined 51 32,200 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $648 44,400 SH Defined 57 44,400 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $506 34,700 SH Defined 67 34,700 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $5,056 346,559 SH Defined 76 346,559 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $498 34,134 SH Defined 80 34,134 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $7,858 538,569 SH Sole 88 538,569 DUKE ENERGY CORP NEW COM Common Stocks 26441C105 $270 18,500 SH Defined 18,500 DUN & BRADSTREET CORP DEL Common Stocks 26483E100 $3,460 42,600 SH Defined 10 42,600 DUN & BRADSTREET CORP DEL Common Stocks 26483E100 $1,803 22,200 SH Defined 51 22,200 DUN & BRADSTREET CORP DEL Common Stocks 26483E100 $86 1,060 SH Defined 68 1,060 DUN & BRADSTREET CORP DEL Common Stocks 26483E100 $114 1,400 SH Defined 80 1,400 DUN & BRADSTREET CORP DEL Common Stocks 26483E100 $168 2,071 SH Defined 81 2,071 DUN & BRADSTREET CORP DEL Common Stocks 26483E100 $1,178 14,500 SH Sole 88 14,500 DUPONT FABROS TECHNOLOGY I Common Stocks 26613Q106 $7,488 794,700 SH Defined 2 794,700 DUPONT FABROS TECHNOLOGY I Common Stocks 26613Q106 $3,267 346,861 SH Defined 23 346,861 DUPONT FABROS TECHNOLOGY I Common Stocks 26613Q106 $711 76,026 SH Defined 25 76,026 DUPONT FABROS TECHNOLOGY I Common Stocks 26613Q106 $1,417 150,342 SH Defined 25 150,342 DUPONT FABROS TECHNOLOGY I Common Stocks 26613Q106 $191 20,300 SH Defined 65 20,300 DUPONT FABROS TECHNOLOGY I Common Stocks 26613Q106 $269 28,767 SH Defined 82 28,767 DUPONT FABROS TECHNOLOGY I Common Stocks 26613Q106 $754 79,994 SH Defined 82 79,994 DUPONT FABROS TECHNOLOGY I Common Stocks 26613Q106 $3,617 383,950 SH Sole 88 383,950 DYCOM INDS INC COM Common Stocks 267475101 $430 38,830 SH Defined 21 38,830 DYCOM INDS INC COM Common Stocks 267475101 $139 12,600 SH Defined 23 12,600 DYCOM INDS INC COM Common Stocks 267475101 $727 65,701 SH Defined 52 65,701 DYCOM INDS INC COM Common Stocks 267475101 $41 3,700 SH Defined 57 3,700 DYCOM INDS INC COM Common Stocks 267475101 $176 15,900 SH Defined 65 15,900 DYCOM INDS INC COM Common Stocks 267475101 $2,910 262,845 SH Sole 88 262,845 DYNAMICS RESH CORP COM Common Stocks 268057106 $7 700 SH Defined 65 700 DYNCORP INTL INC CL A Common Stocks 26817C101 $166 9,900 SH Defined 23 9,900 DYNCORP INTL INC CL A Common Stocks 26817C101 $247 14,700 SH Defined 65 14,700 DYNCORP INTL INC CL A Common Stocks 26817C101 $247 14,700 SH Sole 88 14,700 DYNEGY INC DEL CL A Common Stocks 26817G102 $958 421,844 SH Defined 42 421,844 DYNEGY INC DEL CL A Common Stocks 26817G102 $31 13,490 SH Defined 80 13,490 DYNEGY INC DEL CL A Common Stocks 26817G102 $523 230,482 SH Sole 88 230,482 DYNEGY INC DEL CL A Common Stocks 26817G102 $37 16,225 SH Defined 16,225 E HOUSE CHINA HLDGS LTD AD Common Stocks 26852W103 $131 8,510 SH Defined 102 8,510 E M C CORP MASS COM Common Stocks 268648102 $282 21,500 SH Defined 4 21,500 E M C CORP MASS COM Common Stocks 268648102 $2,349 179,321 SH Defined 42 179,321 E M C CORP MASS COM Common Stocks 268648102 $841 64,200 SH Defined 51 64,200 E M C CORP MASS COM Common Stocks 268648102 $422 32,240 SH Defined 55 32,240 E M C CORP MASS COM Common Stocks 268648102 $10,325 788,152 SH Defined 62 788,152 E M C CORP MASS COM Common Stocks 268648102 $702 53,600 SH Defined 80 53,600 E M C CORP MASS COM Common Stocks 268648102 $3,042 232,195 SH Sole 88 232,195 E M C CORP MASS COM Common Stocks 268648102 $875 66,800 SH Defined 97 66,800 EMC INS GROUP INC COM Common Stocks 268664109 $19 900 SH Defined 57 900 EMS TECHNOLOGIES INC COM Common Stocks 26873N108 $33 1,600 SH Defined 57 1,600 ENSCO INTL INC COM Common Stocks 26874Q100 $837 24,000 SH Defined 4 24,000 ENSCO INTL INC COM Common Stocks 26874Q100 $6,911 198,200 SH Defined 10 198,200 ENSCO INTL INC COM Common Stocks 26874Q100 $26 759 SH Defined 11 759 ENSCO INTL INC COM Common Stocks 26874Q100 $5,256 150,698 SH Defined 23 150,698 ENSCO INTL INC COM Common Stocks 26874Q100 $296 8,500 SH Defined 41 8,500 ENSCO INTL INC COM Common Stocks 26874Q100 $513 14,700 SH Defined 51 14,700 ENSCO INTL INC COM Common Stocks 26874Q100 $5,677 162,800 SH Defined 57 162,800 ENSCO INTL INC COM Common Stocks 26874Q100 $129 3,700 SH Defined 80 3,700 ENSCO INTL INC COM Common Stocks 26874Q100 $11,511 330,100 SH Sole 88 330,100 ENSCO INTL INC COM Common Stocks 26874Q100 $43 1,221 SH Defined 1,221 EOG RES INC COM Common Stocks 26875P101 $1,637 24,100 SH Defined 4 24,100 EOG RES INC COM Common Stocks 26875P101 $727 10,700 SH Defined 28 10,700 EOG RES INC COM Common Stocks 26875P101 $768 11,300 SH Defined 29 11,300 EOG RES INC COM Common Stocks 26875P101 $109 1,600 SH Defined 51 1,600 EOG RES INC COM Common Stocks 26875P101 $149 2,200 SH Defined 56 2,200 EOG RES INC COM Common Stocks 26875P101 $1,952 28,740 SH Defined 58 28,740 EOG RES INC COM Common Stocks 26875P101 $750 11,046 SH Defined 64 11,046 EOG RES INC COM Common Stocks 26875P101 $183 2,691 SH Defined 68 2,691 EOG RES INC COM Common Stocks 26875P101 $455 6,700 SH Defined 80 6,700 EOG RES INC COM Common Stocks 26875P101 $7,101 104,553 SH Sole 88 104,553 EOG RES INC COM Common Stocks 26875P101 $1,373 20,200 SH Defined 98 20,200 EOG RES INC COM Common Stocks 26875P101 $8,327 122,600 SH Defined 99 122,600 EQT CORP COM Common Stocks 26884L109 $119 3,400 SH Defined 80 3,400 EQT CORP COM Common Stocks 26884L109 $2,446 70,072 SH Sole 88 70,072 EQT CORP COM Common Stocks 26884L109 $2,289 65,570 SH Defined 91 65,570 E TRADE FINANCIAL CORP COM Common Stocks 269246104 $34 26,900 SH Defined 80 26,900 EXCO RESOURCES INC COM Common Stocks 269279402 $234 18,100 SH Defined 65 18,100 EXCO RESOURCES INC COM Common Stocks 269279402 $3,316 256,673 SH Defined 85 256,673 EXCO RESOURCES INC COM Common Stocks 269279402 $3,686 285,315 SH Sole 88 285,315 EXCO RESOURCES INC COM Common Stocks 269279402 $176 13,630 SH Defined 102 13,630 EV3 INC COM Common Stocks 26928A200 $86 8,000 SH Defined 23 8,000 EV3 INC COM Common Stocks 26928A200 $128 11,900 SH Sole 88 11,900 EARTHLINK INC COM Common Stocks 270321102 $399 53,900 SH Defined 1 53,900 EARTHLINK INC COM Common Stocks 270321102 $11,018 1,486,680 SH Defined 23 1,486,680 EARTHLINK INC COM Common Stocks 270321102 $2,504 337,985 SH Defined 57 337,985 EARTHLINK INC COM Common Stocks 270321102 $89 12,000 SH Defined 65 12,000 EARTHLINK INC COM Common Stocks 270321102 $112 15,131 SH Defined 81 15,131 EARTHLINK INC COM Common Stocks 270321102 $5,034 679,378 SH Sole 88 679,378 EARTHLINK INC COM Common Stocks 270321102 $63 8,307 SH Defined 8,307 EASTERN INS HLDGS INC COM Common Stocks 276534104 $124 13,182 SH Defined 31 13,182 EASTGROUP PPTY INC COM Common Stocks 277276101 $7,165 217,000 SH Defined 48 217,000 EASTGROUP PPTY INC COM Common Stocks 277276101 $634 19,300 SH Defined 54 19,300 EASTGROUP PPTY INC COM Common Stocks 277276101 $5,733 173,600 SH Defined 54 173,600 EASTGROUP PPTY INC COM Common Stocks 277276101 $119 3,592 SH Defined 81 3,592 EASTGROUP PPTY INC COM Common Stocks 277276101 $225 6,800 SH Sole 88 6,800 EASTMAN CHEM CO COM Common Stocks 277432100 $546 14,400 SH Defined 1 14,400 EASTMAN CHEM CO COM Common Stocks 277432100 $1,334 35,200 SH Defined 4 35,200 EASTMAN CHEM CO COM Common Stocks 277432100 $5,365 141,504 SH Defined 11 141,504 EASTMAN CHEM CO COM Common Stocks 277432100 $1,284 33,871 SH Defined 42 33,871 EASTMAN CHEM CO COM Common Stocks 277432100 $136 3,600 SH Defined 57 3,600 EASTMAN CHEM CO COM Common Stocks 277432100 $83 2,200 SH Defined 65 2,200 EASTMAN CHEM CO COM Common Stocks 277432100 $73 1,925 SH Defined 80 1,925 EASTMAN CHEM CO COM Common Stocks 277432100 $2,284 60,269 SH Sole 88 60,269 EASTMAN KODAK CO COM Common Stocks 277461109 $1,826 616,894 SH Defined 11 616,894 EASTMAN KODAK CO COM Common Stocks 277461109 $21 7,100 SH Defined 80 7,100 EATON CORP COM Common Stocks 278058102 $165 3,700 SH Defined 32 3,700 EATON CORP COM Common Stocks 278058102 $205 4,600 SH Defined 56 4,600 EATON CORP COM Common Stocks 278058102 $437 9,800 SH Defined 57 9,800 EATON CORP COM Common Stocks 278058102 $226 5,060 SH Defined 58 5,060 EATON CORP COM Common Stocks 278058102 $5,655 126,767 SH Defined 68 126,767 EATON CORP COM Common Stocks 278058102 $1,083 24,280 SH Defined 69 24,280 EATON CORP COM Common Stocks 278058102 $286 6,300 SH Defined 79 6,300 EATON CORP COM Common Stocks 278058102 $442 9,900 SH Defined 79 9,900 EATON CORP COM Common Stocks 278058102 $192 4,300 SH Defined 80 4,300 EATON CORP COM Common Stocks 278058102 $4,619 103,540 SH Sole 88 103,540 EATON VANCE CORP COM NON V Common Stocks 278265103 $1,328 49,643 SH Defined 42 49,643 EATON VANCE CORP COM NON V Common Stocks 278265103 $816 30,500 SH Defined 51 30,500 EATON VANCE CORP COM NON V Common Stocks 278265103 $1,232 46,054 SH Sole 88 46,054 EATON VANCE CORP COM NON V Common Stocks 278265103 $544 20,350 SH Defined 102 20,350 EBAY INC COM Common Stocks 278642103 $7,409 432,544 SH Defined 1 432,544 EBAY INC COM Common Stocks 278642103 $4,688 273,700 SH Defined 10 273,700 EBAY INC COM Common Stocks 278642103 $273 15,800 SH Defined 26 15,800 EBAY INC COM Common Stocks 278642103 $10,064 587,404 SH Defined 26 587,404 EBAY INC COM Common Stocks 278642103 $325 19,000 SH Defined 32 19,000 EBAY INC COM Common Stocks 278642103 $3,001 175,200 SH Defined 35 175,200 EBAY INC COM Common Stocks 278642103 $739 43,084 SH Defined 39 43,084 EBAY INC COM Common Stocks 278642103 $1,036 60,483 SH Defined 42 60,483 EBAY INC COM Common Stocks 278642103 $499 29,120 SH Defined 55 29,120 EBAY INC COM Common Stocks 278642103 $1,127 65,800 SH Defined 57 65,800 EBAY INC COM Common Stocks 278642103 $372 21,700 SH Defined 67 21,700 EBAY INC COM Common Stocks 278642103 $531 30,800 SH Defined 79 30,800 EBAY INC COM Common Stocks 278642103 $927 54,100 SH Defined 79 54,100 EBAY INC COM Common Stocks 278642103 $492 28,700 SH Defined 80 28,700 EBAY INC COM Common Stocks 278642103 $26,869 1,568,549 SH Sole 88 1,568,549 EBAY INC COM Common Stocks 278642103 $14,458 844,029 SH Defined 94 844,029 EBAY INC COM Common Stocks 278642103 $15,646 913,350 SH Defined 100 913,350 EBAY INC COM Common Stocks 278642103 $1,843 107,600 SH Defined 107,600 EBIX INC COM NEW Common Stocks 278715206 $119 3,800 SH Defined 44 3,800 EBIX INC COM NEW Common Stocks 278715206 $241 7,709 SH Defined 74 7,709 ECHOSTAR CORP CL A Common Stocks 278768106 $92 5,797 SH Defined 42 5,797 ECHOSTAR CORP CL A Common Stocks 278768106 $48 3,000 SH Defined 57 3,000 ECHOSTAR CORP CL A Common Stocks 278768106 $21 1,318 SH Sole 88 1,318 ECLIPSYS CORP COM Common Stocks 278856109 $104 5,848 SH Defined 81 5,848 ECOLAB INC COM Common Stocks 278865100 $2,026 51,970 SH Defined 1 51,970 ECOLAB INC COM Common Stocks 278865100 $7,482 191,900 SH Defined 10 191,900 ECOLAB INC COM Common Stocks 278865100 $4,514 115,775 SH Defined 12 115,775 ECOLAB INC COM Common Stocks 278865100 $316 8,100 SH Defined 18 8,100 ECOLAB INC COM Common Stocks 278865100 $2,714 69,600 SH Defined 35 69,600 ECOLAB INC COM Common Stocks 278865100 $5 116 SH Defined 42 116 ECOLAB INC COM Common Stocks 278865100 $686 17,600 SH Defined 51 17,600 ECOLAB INC COM Common Stocks 278865100 $339 8,700 SH Defined 67 8,700 ECOLAB INC COM Common Stocks 278865100 $175 4,500 SH Defined 80 4,500 ECOLAB INC COM Common Stocks 278865100 $9,099 233,363 SH Sole 88 233,363 ECOLAB INC COM Common Stocks 278865100 $513 13,200 SH Defined 96 13,200 ECOLAB INC COM Common Stocks 278865100 $1,638 42,000 SH Defined 96 42,000 ECOLAB INC COM Common Stocks 278865100 $3,817 97,890 SH Defined 103 97,890 ECOPETROL S A SPONSORED ADS Common Stocks 279158109 $378 15,500 SH Sole 88 15,500 EDISON INTL COM Common Stocks 281020107 $689 21,900 SH Defined 4 21,900 EDISON INTL COM Common Stocks 281020107 $9,454 300,500 SH Defined 10 300,500 EDISON INTL COM Common Stocks 281020107 $425 13,500 SH Defined 56 13,500 EDISON INTL COM Common Stocks 281020107 $692 21,990 SH Defined 58 21,990 EDISON INTL COM Common Stocks 281020107 $3,075 97,746 SH Defined 76 97,746 EDISON INTL COM Common Stocks 281020107 $274 8,700 SH Defined 80 8,700 EDISON INTL COM Common Stocks 281020107 $6,415 203,900 SH Sole 88 203,900 EDUCATION RLTY TR INC COM Common Stocks 28140H104 $73 16,900 SH Defined 57 16,900 EDUCATION RLTY TR INC COM Common Stocks 28140H104 $114 26,600 SH Sole 88 26,600 EDWARDS LIFESCIENCES CORP Common Stocks 28176E108 $2,721 40,000 SH Defined 51 40,000 EDWARDS LIFESCIENCES CORP Common Stocks 28176E108 $2,543 37,380 SH Sole 88 37,380 EDWARDS LIFESCIENCES CORP Common Stocks 28176E108 $2,549 37,473 SH Defined 103 37,473 EHEALTH INC COM Common Stocks 28238P109 $3,777 213,900 SH Sole 88 213,900 EHEALTH INC COM Common Stocks 28238P109 $517 29,300 SH Defined 95 29,300 EL PASO CORP COM Common Stocks 28336L109 $4,623 500,830 SH Defined 8 500,830 EL PASO CORP COM Common Stocks 28336L109 $180 19,500 SH Defined 51 19,500 EL PASO CORP COM Common Stocks 28336L109 $172 18,688 SH Defined 80 18,688 EL PASO CORP COM Common Stocks 28336L109 $793 85,900 SH Sole 88 85,900 EL PASO CORP COM Common Stocks 28336L109 $594 65,100 SH Defined 93 65,100 EL PASO CORP COM Common Stocks 28336L109 $1,491 161,500 SH Defined 93 161,500 EL PASO CORP COM Common Stocks 28336L109 $1,037 112,300 SH Defined 97 112,300 EL PASO ELEC CO COM NEW Common Stocks 283677854 $243 17,425 SH Defined 22 17,425 EL PASO ELEC CO COM NEW Common Stocks 283677854 $452 32,400 SH Defined 57 32,400 EL PASO ELEC CO COM NEW Common Stocks 283677854 $113 8,082 SH Defined 81 8,082 EL PASO ELEC CO COM NEW Common Stocks 283677854 $311 22,300 SH Sole 88 22,300 EL PASO PIPELINE PARTNERS Common Stocks 283702108 $1,814 103,500 SH Defined 30 103,500 EL PASO PIPELINE PARTNERS Common Stocks 283702108 $1,421 81,045 SH Sole 88 81,045 ELAN PLC ADR Common Stocks 284131208 $289 45,324 SH Sole 88 45,324 ELAN PLC ADR Common Stocks 284131208 $1,021 160,200 SH Defined 98 160,200 ELAN PLC ADR Common Stocks 284131208 $5,791 909,102 SH Defined 99 909,102 ELDORADO GOLD CORP NEW COM Common Stocks 284902103 $11,319 1,254,360 SH Defined 1,254,360 ELECTRO RENT CORP COM Common Stocks 285218103 $72 7,557 SH Defined 31 7,557 ELECTRO RENT CORP COM Common Stocks 285218103 $3,074 323,942 SH Defined 92 323,942 ELECTRO SCIENTIFIC INDS CO Common Stocks 285229100 $4,616 412,846 SH Defined 92 412,846 ELECTRONIC ARTS INC COM Common Stocks 285512109 $4,803 221,116 SH Defined 1 221,116 ELECTRONIC ARTS INC COM Common Stocks 285512109 $57 2,613 SH Defined 42 2,613 ELECTRONIC ARTS INC COM Common Stocks 285512109 $187 8,600 SH Defined 80 8,600 ELECTRONIC ARTS INC COM Common Stocks 285512109 $1,230 56,629 SH Sole 88 56,629 ELECTRONIC ARTS INC COM Common Stocks 285512109 $3,827 176,179 SH Defined 103 176,179 ELECTRONICS FOR IMAGING IN Common Stocks 286082102 $219 20,580 SH Defined 22 20,580 ELECTRONICS FOR IMAGING IN Common Stocks 286082102 $175 16,430 SH Defined 52 16,430 ELECTRONICS FOR IMAGING IN Common Stocks 286082102 $169 15,900 SH Defined 63 15,900 ELECTRONICS FOR IMAGING IN Common Stocks 286082102 $241 22,593 SH Sole 88 22,593 ELIZABETH ARDEN INC COM Common Stocks 28660G106 $169 19,400 SH Defined 57 19,400 ELIZABETH ARDEN INC COM Common Stocks 28660G106 $94 10,800 SH Sole 88 10,800 ELLIS PERRY INTL INC COM Common Stocks 288853104 $83 11,400 SH Defined 23 11,400 ELLIS PERRY INTL INC COM Common Stocks 288853104 $82 11,300 SH Defined 57 11,300 ELLIS PERRY INTL INC COM Common Stocks 288853104 $6 800 SH Defined 65 800 ELLIS PERRY INTL INC COM Common Stocks 288853104 $211 29,000 SH Sole 88 29,000 ELLIS PERRY INTL INC COM Common Stocks 288853104 $451 61,885 SH Defined 61,885 EMBARQ CORP COM Common Stocks 29078E105 $1,901 45,169 SH Defined 11 45,169 EMBARQ CORP COM Common Stocks 29078E105 $5,115 121,600 SH Defined 35 121,600 EMBARQ CORP COM Common Stocks 29078E105 $3,762 89,444 SH Defined 42 89,444 EMBARQ CORP COM Common Stocks 29078E105 $1,729 41,100 SH Defined 51 41,100 EMBARQ CORP COM Common Stocks 29078E105 $278 6,600 SH Defined 57 6,600 EMBARQ CORP COM Common Stocks 29078E105 $656 15,600 SH Defined 67 15,600 EMBARQ CORP COM Common Stocks 29078E105 $165 3,922 SH Defined 80 3,922 EMBARQ CORP COM Common Stocks 29078E105 $5,854 139,190 SH Sole 88 139,190 EMBRAER-EMPRESA BRASILEIRA Common Stocks 29081M102 $176 10,600 SH Defined 14 10,600 EMBRAER-EMPRESA BRASILEIRA Common Stocks 29081M102 $1,251 75,531 SH Defined 30 75,531 EMBOTELLADORA ANDINA S A SPO Common Stocks 29081P204 $201 13,600 SH Defined 40 13,600 EMBOTELLADORA ANDINA S A SPO Common Stocks 29081P204 $128 8,700 SH Sole 88 8,700 EMBOTELLADORA ANDINA S A SPO Common Stocks 29081P303 $1,998 117,400 SH Defined 40 117,400 EMBOTELLADORA ANDINA S A SPO Common Stocks 29081P303 $584 34,300 SH Sole 88 34,300 EMCORE CORP COM Common Stocks 290846104 $9 7,300 SH Defined 57 7,300 EMCORE CORP COM Common Stocks 290846104 $104 82,510 SH Defined 82,510 EMCOR GROUP INC COM Common Stocks 29084Q100 $177 8,800 SH Defined 1 8,800 EMCOR GROUP INC COM Common Stocks 29084Q100 $42 2,101 SH Defined 11 2,101 EMCOR GROUP INC COM Common Stocks 29084Q100 $5,414 269,100 SH Defined 57 269,100 EMCOR GROUP INC COM Common Stocks 29084Q100 $274 13,600 SH Defined 65 13,600 EMCOR GROUP INC COM Common Stocks 29084Q100 $481 23,900 SH Defined 77 23,900 EMCOR GROUP INC COM Common Stocks 29084Q100 $3,759 186,805 SH Sole 88 186,805 EMERGENT BIOSOLUTIONS INC Common Stocks 29089Q105 $32 2,200 SH Defined 57 2,200 EMERGENT BIOSOLUTIONS INC Common Stocks 29089Q105 $493 34,405 SH Sole 88 34,405 EMERGENT GROUP INC NEV COM N Common Stocks 29089V203 $51 6,350 SH Defined 44 6,350 EMERGENCY MEDICAL SVCS COR Common Stocks 29100P102 $11 300 SH Defined 65 300 EMERSON ELEC CO COM Common Stocks 291011104 $279 8,600 SH Defined 4 8,600 EMERSON ELEC CO COM Common Stocks 291011104 $901 27,745 SH Defined 11 27,745 EMERSON ELEC CO COM Common Stocks 291011104 $3,516 108,510 SH Defined 12 108,510 EMERSON ELEC CO COM Common Stocks 291011104 $5,320 164,200 SH Defined 17 164,200 EMERSON ELEC CO COM Common Stocks 291011104 $3,046 94,024 SH Defined 42 94,024 EMERSON ELEC CO COM Common Stocks 291011104 $2,039 62,800 SH Defined 49 62,800 EMERSON ELEC CO COM Common Stocks 291011104 $318 9,800 SH Defined 56 9,800 EMERSON ELEC CO COM Common Stocks 291011104 $1,348 41,600 SH Defined 58 41,600 EMERSON ELEC CO COM Common Stocks 291011104 $8,556 264,060 SH Defined 72 264,060 EMERSON ELEC CO COM Common Stocks 291011104 $651 20,100 SH Defined 80 20,100 EMERSON ELEC CO COM Common Stocks 291011104 $7,489 231,140 SH Sole 88 231,140 EMPIRE DIST ELEC CO COM Common Stocks 291641108 $108 6,559 SH Defined 81 6,559 EMPLOYERS HOLDINGS INC COM Common Stocks 292218104 $1,916 141,390 SH Defined 31 141,390 EMPLOYERS HOLDINGS INC COM Common Stocks 292218104 $124 9,125 SH Defined 81 9,125 EMPLOYERS HOLDINGS INC COM Common Stocks 292218104 $2,149 158,601 SH Sole 88 158,601 EMULEX CORP COM NEW Common Stocks 292475209 $184 18,845 SH Defined 22 18,845 EMULEX CORP COM NEW Common Stocks 292475209 $99 10,090 SH Defined 81 10,090 ENCANA CORP COM Common Stocks 292505104 $3,585 72,200 SH Defined 1 72,200 ENCANA CORP COM Common Stocks 292505104 $1,688 33,580 SH Defined 3 33,580 ENCANA CORP COM Common Stocks 292505104 $4,644 93,671 SH Defined 6 93,671 ENCANA CORP COM Common Stocks 292505104 $7,762 156,200 SH Defined 14 156,200 ENCANA CORP COM Common Stocks 292505104 $9,996 201,290 SH Defined 34 201,290 ENCANA CORP COM Common Stocks 292505104 $968 19,500 SH Defined 41 19,500 ENCANA CORP COM Common Stocks 292505104 $516 10,265 SH Defined 42 10,265 ENCANA CORP COM Common Stocks 292505104 $2,476 49,869 SH Defined 43 49,869 ENCANA CORP COM Common Stocks 292505104 $2,279 46,100 SH Defined 47 46,100 ENCANA CORP COM Common Stocks 292505104 $12,534 253,200 SH Defined 47 253,200 ENCANA CORP COM Common Stocks 292505104 $1,686 34,100 SH Defined 66 34,100 ENCANA CORP COM Common Stocks 292505104 $1,386 27,990 SH Defined 66 27,990 ENCANA CORP COM Common Stocks 292505104 $4,987 100,600 SH Sole 88 100,600 ENCANA CORP COM Common Stocks 292505104 $348 7,000 SH Defined 104 7,000 ENCANA CORP COM Common Stocks 292505104 $43,217 870,298 SH Defined 870,298 ENBRIDGE INC COM Common Stocks 29250N105 $19,166 551,508 SH Defined 551,508 ENBRIDGE ENERGY PARTNERS L Common Stocks 29250R106 $1,901 49,270 SH Defined 30 49,270 ENBRIDGE ENERGY PARTNERS L Common Stocks 29250R106 $1,505 39,000 SH Sole 88 39,000 ENCORE CAP GROUP INC COM Common Stocks 292554102 $21 1,600 SH Defined 65 1,600 ENCORE ACQUISITION CO COM Common Stocks 29255W100 $537 17,400 SH Defined 35 17,400 ENCORE ACQUISITION CO COM Common Stocks 29255W100 $947 30,700 SH Defined 51 30,700 ENCORE ACQUISITION CO COM Common Stocks 29255W100 $495 16,046 SH Defined 52 16,046 ENCORE ACQUISITION CO COM Common Stocks 29255W100 $65 2,100 SH Defined 67 2,100 ENCORE ACQUISITION CO COM Common Stocks 29255W100 $673 21,812 SH Defined 73 21,812 ENCORE ACQUISITION CO COM Common Stocks 29255W100 $4,670 151,381 SH Sole 88 151,381 ENCORE WIRE CORP COM Common Stocks 292562105 $820 38,400 SH Defined 57 38,400 ENCORE WIRE CORP COM Common Stocks 292562105 $491 23,000 SH Sole 88 23,000 ENDO PHARMACEUTICALS HLDGS Common Stocks 29264F205 $23 1,273 SH Defined 11 1,273 ENDO PHARMACEUTICALS HLDGS Common Stocks 29264F205 $1,281 71,465 SH Defined 23 71,465 ENDO PHARMACEUTICALS HLDGS Common Stocks 29264F205 $1,604 89,500 SH Defined 30 89,500 ENDO PHARMACEUTICALS HLDGS Common Stocks 29264F205 $901 50,300 SH Defined 35 50,300 ENDO PHARMACEUTICALS HLDGS Common Stocks 29264F205 $1,140 63,600 SH Defined 57 63,600 ENDO PHARMACEUTICALS HLDGS Common Stocks 29264F205 $61 3,400 SH Defined 65 3,400 ENDO PHARMACEUTICALS HLDGS Common Stocks 29264F205 $97 5,400 SH Defined 67 5,400 ENDO PHARMACEUTICALS HLDGS Common Stocks 29264F205 $321 17,900 SH Defined 77 17,900 ENDO PHARMACEUTICALS HLDGS Common Stocks 29264F205 $125 7,002 SH Defined 81 7,002 ENDO PHARMACEUTICALS HLDGS Common Stocks 29264F205 $3,679 205,289 SH Sole 88 205,289 ENERGY CONVERSION DEVICES Common Stocks 292659109 $411 29,000 SH Defined 41 29,000 ENERGY CONVERSION DEVICES Common Stocks 292659109 $57 4,055 SH Defined 81 4,055 ENERGEN CORP COM Common Stocks 29265N108 $215 5,400 SH Defined 65 5,400 ENERGEN CORP COM Common Stocks 29265N108 $204 5,120 SH Defined 102 5,120 ENERGIZER HLDGS INC COM Common Stocks 29266R108 $543 10,400 SH Defined 51 10,400 ENERGIZER HLDGS INC COM Common Stocks 29266R108 $1,309 25,058 SH Sole 88 25,058 ENERGIZER HLDGS INC COM Common Stocks 29266R108 $3,054 58,467 SH Defined 103 58,467 ENERGY RECOVERY INC COM Common Stocks 29270J100 $350 49,400 SH Defined 74 49,400 ENERSIS S A SPONSORED ADR Common Stocks 29274F104 $2,320 125,612 SH Defined 1 125,612 ENERSIS S A SPONSORED ADR Common Stocks 29274F104 $5,583 305,401 SH Defined 11 305,401 ENERSIS S A SPONSORED ADR Common Stocks 29274F104 $8,242 446,043 SH Defined 11 446,043 ENERSIS S A SPONSORED ADR Common Stocks 29274F104 $874 47,316 SH Sole 88 47,316 ENERGYSOLUTIONS INC COM Common Stocks 292756202 $749 81,411 SH Defined 73 81,411 ENERGYSOLUTIONS INC COM Common Stocks 292756202 $3,154 342,878 SH Sole 88 342,878 ENERSYS COM Common Stocks 29275Y102 $578 31,800 SH Defined 57 31,800 ENERSYS COM Common Stocks 29275Y102 $13 700 SH Defined 65 700 ENERSYS COM Common Stocks 29275Y102 $2,518 138,400 SH Defined 85 138,400 ENERSYS COM Common Stocks 29275Y102 $3,213 176,630 SH Sole 88 176,630 ENGLOBAL CORP COM Common Stocks 293306106 $274 55,781 SH Defined 73 55,781 ENGLOBAL CORP COM Common Stocks 293306106 $1,162 236,225 SH Sole 88 236,225 ENNIS INC COM Common Stocks 293389102 $32 2,600 SH Defined 1 2,600 ENNIS INC COM Common Stocks 293389102 $1,215 97,500 SH Defined 30 97,500 ENNIS INC COM Common Stocks 293389102 $7 600 SH Defined 57 600 ENNIS INC COM Common Stocks 293389102 $42 3,400 SH Sole 88 3,400 ENPRO INDS INC COM Common Stocks 29355X107 $170 9,455 SH Defined 22 9,455 ENPRO INDS INC COM Common Stocks 29355X107 $186 10,300 SH Defined 57 10,300 ENPRO INDS INC COM Common Stocks 29355X107 $131 7,300 SH Defined 63 7,300 ENPRO INDS INC COM Common Stocks 29355X107 $245 13,587 SH Defined 65 13,587 ENPRO INDS INC COM Common Stocks 29355X107 $95 5,252 SH Defined 81 5,252 ENPRO INDS INC COM Common Stocks 29355X107 $77 4,300 SH Sole 88 4,300 ENTEGRIS INC COM Common Stocks 29362U104 $35 12,666 SH Defined 11 12,666 ENTEGRIS INC COM Common Stocks 29362U104 $240 88,341 SH Defined 52 88,341 ENTEGRIS INC COM Common Stocks 29362U104 $325 119,458 SH Sole 88 119,458 ENTERCOM COMMUNICATIONS CO Common Stocks 293639100 $99 64,639 SH Defined 52 64,639 ENTERCOM COMMUNICATIONS CO Common Stocks 293639100 $142 92,999 SH Sole 88 92,999 ENTERGY CORP NEW COM Common Stocks 29364G103 $876 11,300 SH Defined 10 11,300 ENTERGY CORP NEW COM Common Stocks 29364G103 $6,124 79,000 SH Defined 17 79,000 ENTERGY CORP NEW COM Common Stocks 29364G103 $1,889 24,350 SH Defined 50 24,350 ENTERGY CORP NEW COM Common Stocks 29364G103 $566 7,300 SH Defined 51 7,300 ENTERGY CORP NEW COM Common Stocks 29364G103 $279 3,600 SH Defined 56 3,600 ENTERGY CORP NEW COM Common Stocks 29364G103 $2,395 30,900 SH Defined 57 30,900 ENTERGY CORP NEW COM Common Stocks 29364G103 $411 5,300 SH Defined 58 5,300 ENTERGY CORP NEW COM Common Stocks 29364G103 $146 1,887 SH Defined 68 1,887 ENTERGY CORP NEW COM Common Stocks 29364G103 $403 5,200 SH Defined 80 5,200 ENTERGY CORP NEW COM Common Stocks 29364G103 $2,395 30,900 SH Sole 88 30,900 ENTERGY CORP NEW COM Common Stocks 29364G103 $47 604 SH Defined 604 ENTERTAINMENT PPTYS TR COM Common Stocks 29380T105 $4,696 227,900 SH Defined 2 227,900 ENTERTAINMENT PPTYS TR COM Common Stocks 29380T105 $134 6,500 SH Defined 77 6,500 ENTERTAINMENT PPTYS TR COM Common Stocks 29380T105 $124 6,000 SH Sole 88 6,000 ENZON PHARMACEUTICALS INC Common Stocks 293904108 $58 7,400 SH Defined 65 7,400 EQUIFAX INC COM Common Stocks 294429105 $3,730 142,900 SH Defined 57 142,900 EQUIFAX INC COM Common Stocks 294429105 $89 3,400 SH Defined 80 3,400 EQUIFAX INC COM Common Stocks 294429105 $135 5,191 SH Defined 81 5,191 EQUIFAX INC COM Common Stocks 294429105 $2,545 97,500 SH Sole 88 97,500 EQUIFAX INC COM Common Stocks 294429105 $366 14,010 SH Defined 102 14,010 EQUINIX INC COM NEW Common Stocks 29444U502 $560 7,700 SH Defined 51 7,700 EQUINIX INC COM NEW Common Stocks 29444U502 $5,460 75,063 SH Defined 74 75,063 EQUINIX INC COM NEW Common Stocks 29444U502 $113 1,554 SH Defined 81 1,554 EQUINIX INC COM NEW Common Stocks 29444U502 $4,134 56,830 SH Defined 85 56,830 EQUINIX INC COM NEW Common Stocks 29444U502 $17,307 237,924 SH Sole 88 237,924 EQUINIX INC COM NEW Common Stocks 29444U502 $407 5,600 SH Defined 95 5,600 EQUINIX INC COM NEW Common Stocks 29444U502 $4,314 59,303 SH Defined 103 59,303 EQUINIX INC COM NEW Common Stocks 29444U502 $1,338 18,400 SH Defined 105 18,400 EQUINIX INC COM NEW Common Stocks 29444U502 $1,024 14,073 SH Defined 106 14,073 EQUITY LIFESTYLE PPTYS INC Common Stocks 29472R108 $1,298 34,900 SH Defined 2 34,900 EQUITY LIFESTYLE PPTYS INC Common Stocks 29472R108 $837 22,630 SH Defined 25 22,630 EQUITY LIFESTYLE PPTYS INC Common Stocks 29472R108 $1,000 26,896 SH Defined 25 26,896 EQUITY LIFESTYLE PPTYS INC Common Stocks 29472R108 $7,716 207,540 SH Defined 48 207,540 EQUITY LIFESTYLE PPTYS INC Common Stocks 29472R108 $1,674 45,294 SH Defined 82 45,294 EQUITY LIFESTYLE PPTYS INC Common Stocks 29472R108 $3,072 82,570 SH Defined 82 82,570 EQUITY LIFESTYLE PPTYS INC Common Stocks 29472R108 $3,434 92,350 SH Defined 87 92,350 EQUITY LIFESTYLE PPTYS INC Common Stocks 29472R108 $312 8,403 SH Sole 88 8,403 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $35,031 1,575,500 SH Defined 2 1,575,500 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $3,064 138,770 SH Defined 25 138,770 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $3,828 172,157 SH Defined 25 172,157 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $2,130 95,800 SH Defined 35 95,800 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $59 2,651 SH Defined 42 2,651 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $2,837 127,638 SH Defined 48 127,638 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $440 19,800 SH Defined 51 19,800 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $3,278 148,477 SH Defined 54 148,477 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $31,671 1,424,505 SH Defined 54 1,424,505 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $267 12,000 SH Defined 67 12,000 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $11,884 534,600 SH Defined 87 534,600 EQUITY RESIDENTIAL SH BEN Common Stocks 29476L107 $4,984 224,189 SH Sole 88 224,189 ERESEARCHTECHNOLOGY INC CO Common Stocks 29481V108 $2,117 340,910 SH Defined 23 340,910 ERESEARCHTECHNOLOGY INC CO Common Stocks 29481V108 $1,893 304,823 SH Sole 88 304,823 ERICSSON L M TEL CO ADR B Common Stocks 294821608 $789 80,700 SH Defined 4 80,700 ERICSSON L M TEL CO ADR B Common Stocks 294821608 $137 14,000 SH Defined 32 14,000 ERICSSON L M TEL CO ADR B Common Stocks 294821608 $1,069 109,300 SH Sole 88 109,300 ESCO TECHNOLOGIES INC COM Common Stocks 296315104 $126 2,815 SH Defined 81 2,815 ESSA BANCORP INC COM Common Stocks 29667D104 $133 9,700 SH Defined 23 9,700 ESSA BANCORP INC COM Common Stocks 29667D104 $198 14,500 SH Sole 88 14,500 ESSEX PPTY TR INC COM Common Stocks 297178105 $8,309 133,500 SH Defined 2 133,500 ESSEX PPTY TR INC COM Common Stocks 297178105 $7,412 119,100 SH Defined 48 119,100 ESSEX PPTY TR INC COM Common Stocks 297178105 $436 7,000 SH Defined 51 7,000 ESSEX PPTY TR INC COM Common Stocks 297178105 $1,718 27,800 SH Defined 54 27,800 ESSEX PPTY TR INC COM Common Stocks 297178105 $15,902 255,500 SH Defined 54 255,500 ESSEX PPTY TR INC COM Common Stocks 297178105 $102 1,650 SH Defined 82 1,650 ESSEX PPTY TR INC COM Common Stocks 297178105 $231 3,715 SH Defined 82 3,715 ESSEX PPTY TR INC COM Common Stocks 297178105 $7,016 112,750 SH Defined 87 112,750 ESSEX PPTY TR INC COM Common Stocks 297178105 $1,182 19,000 SH Sole 88 19,000 ESTERLINE TECHNOLOGIES COR Common Stocks 297425100 $1,415 52,254 SH Defined 30 52,254 ESTERLINE TECHNOLOGIES COR Common Stocks 297425100 $236 8,700 SH Defined 77 8,700 ESTERLINE TECHNOLOGIES COR Common Stocks 297425100 $1,150 42,500 SH Sole 88 42,500 ETHAN ALLEN INTERIORS INC Common Stocks 297602104 $2,088 201,500 SH Defined 31 201,500 ETHAN ALLEN INTERIORS INC Common Stocks 297602104 $279 26,895 SH Defined 52 26,895 ETHAN ALLEN INTERIORS INC Common Stocks 297602104 $2,705 261,139 SH Sole 88 261,139 EURONET WORLDWIDE INC COM Common Stocks 298736109 $102 5,264 SH Defined 81 5,264 EURONET WORLDWIDE INC COM Common Stocks 298736109 $620 31,960 SH Sole 88 31,960 EURONET WORLDWIDE INC COM Common Stocks 298736109 $509 26,237 SH Defined 101 26,237 EVERCORE PARTNERS INC CLAS Common Stocks 29977A105 $1,676 85,360 SH Defined 31 85,360 EVERCORE PARTNERS INC CLAS Common Stocks 29977A105 $1,895 96,482 SH Sole 88 96,482 EXAR CORP COM Common Stocks 300645108 $28 3,917 SH Defined 23 3,917 EXAR CORP COM Common Stocks 300645108 $106 14,700 SH Defined 57 14,700 EXAR CORP COM Common Stocks 300645108 $70 9,800 SH Sole 88 9,800 EXELON CORP COM Common Stocks 30161N101 $4,212 82,240 SH Defined 8 82,240 EXELON CORP COM Common Stocks 30161N101 $6,017 117,500 SH Defined 35 117,500 EXELON CORP COM Common Stocks 30161N101 $3,411 66,603 SH Defined 42 66,603 EXELON CORP COM Common Stocks 30161N101 $712 13,900 SH Defined 51 13,900 EXELON CORP COM Common Stocks 30161N101 $410 8,000 SH Defined 56 8,000 EXELON CORP COM Common Stocks 30161N101 $1,409 27,520 SH Defined 58 27,520 EXELON CORP COM Common Stocks 30161N101 $748 14,600 SH Defined 67 14,600 EXELON CORP COM Common Stocks 30161N101 $1,098 21,445 SH Defined 76 21,445 EXELON CORP COM Common Stocks 30161N101 $899 17,550 SH Defined 80 17,550 EXELON CORP COM Common Stocks 30161N101 $7,305 142,639 SH Sole 88 142,639 EXELON CORP COM Common Stocks 30161N101 $792 15,800 SH Defined 93 15,800 EXELON CORP COM Common Stocks 30161N101 $2,013 39,300 SH Defined 93 39,300 EXIDE TECHNOLOGIES COM NEW Common Stocks 302051206 $29 7,800 SH Defined 57 7,800 EXIDE TECHNOLOGIES COM NEW Common Stocks 302051206 $57 15,400 SH Defined 65 15,400 EXIDE TECHNOLOGIES COM NEW Common Stocks 302051206 $112 30,085 SH Defined 30,085 EXLSERVICE HOLDINGS INC CO Common Stocks 302081104 $109 9,707 SH Defined 81 9,707 EXPEDIA INC DEL COM Common Stocks 30212P105 $1,453 91,828 SH Defined 11 91,828 EXPEDIA INC DEL COM Common Stocks 30212P105 $7,268 480,863 SH Defined 11 480,863 EXPEDIA INC DEL COM Common Stocks 30212P105 $177 11,700 SH Defined 51 11,700 EXPEDIA INC DEL COM Common Stocks 30212P105 $157 10,400 SH Defined 56 10,400 EXPEDIA INC DEL COM Common Stocks 30212P105 $1,091 72,211 SH Defined 76 72,211 EXPEDIA INC DEL COM Common Stocks 30212P105 $83 5,500 SH Defined 80 5,500 EXPEDIA INC DEL COM Common Stocks 30212P105 $450 29,800 SH Sole 88 29,800 EXPEDIA INC DEL COM Common Stocks 30212P105 $402 26,604 SH Defined 106 26,604 EXPEDITORS INTL WASH INC C Common Stocks 302130109 $4,074 122,200 SH Defined 28 122,200 EXPEDITORS INTL WASH INC C Common Stocks 302130109 $733 22,000 SH Defined 29 22,000 EXPEDITORS INTL WASH INC C Common Stocks 302130109 $5,808 174,200 SH Defined 35 174,200 EXPEDITORS INTL WASH INC C Common Stocks 302130109 $1,073 32,172 SH Defined 42 32,172 EXPEDITORS INTL WASH INC C Common Stocks 302130109 $190 5,700 SH Defined 51 5,700 EXPEDITORS INTL WASH INC C Common Stocks 302130109 $770 23,100 SH Defined 67 23,100 EXPEDITORS INTL WASH INC C Common Stocks 302130109 $187 5,600 SH Defined 80 5,600 EXPEDITORS INTL WASH INC C Common Stocks 302130109 $7,474 224,170 SH Sole 88 224,170 EXPONENT INC COM Common Stocks 30214U102 $279 11,400 SH Defined 63 11,400 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $3,616 52,600 SH Defined 10 52,600 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $3,452 50,215 SH Defined 12 50,215 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $3,285 47,770 SH Defined 23 47,770 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $1,444 21,000 SH Defined 51 21,000 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $268 3,900 SH Defined 56 3,900 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $2,529 36,780 SH Defined 60 36,780 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $2,144 31,165 SH Defined 66 31,165 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $495 7,200 SH Defined 80 7,200 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $13,760 200,146 SH Sole 88 200,146 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $11,979 174,235 SH Defined 102 174,235 EXPRESS SCRIPTS INC COM Common Stocks 302182100 $23 335 SH Defined 335 EXTRA SPACE STORAGE INC CO Common Stocks 30225T102 $14,741 1,765,000 SH Defined 2 1,765,000 EXTRA SPACE STORAGE INC CO Common Stocks 30225T102 $148 17,700 SH Defined 57 17,700 EXTRA SPACE STORAGE INC CO Common Stocks 30225T102 $119 14,309 SH Defined 81 14,309 EXTRA SPACE STORAGE INC CO Common Stocks 30225T102 $580 69,954 SH Defined 82 69,954 EXTRA SPACE STORAGE INC CO Common Stocks 30225T102 $1,797 215,120 SH Defined 82 215,120 EXTRA SPACE STORAGE INC CO Common Stocks 30225T102 $604 72,300 SH Sole 88 72,300 EXTERRAN HLDGS INC COM Common Stocks 30225X103 $1,057 65,924 SH Defined 42 65,924 EXTERRAN HLDGS INC COM Common Stocks 30225X103 $717 44,700 SH Defined 51 44,700 EXTERRAN HLDGS INC COM Common Stocks 30225X103 $1,853 115,500 SH Defined 57 115,500 EXTERRAN HLDGS INC COM Common Stocks 30225X103 $2,093 130,464 SH Sole 88 130,464 EXTREME NETWORKS INC COM Common Stocks 30226D106 $2 1,043 SH Defined 57 1,043 EZCORP INC CL A NON VTG Common Stocks 302301106 $140 13,019 SH Defined 23 13,019 EZCORP INC CL A NON VTG Common Stocks 302301106 $183 16,930 SH Defined 52 16,930 EZCORP INC CL A NON VTG Common Stocks 302301106 $480 44,550 SH Defined 77 44,550 EZCORP INC CL A NON VTG Common Stocks 302301106 $3,958 367,145 SH Sole 88 367,145 EZCORP INC CL A NON VTG Common Stocks 302301106 $441 40,900 SH Defined 95 40,900 EZCORP INC CL A NON VTG Common Stocks 302301106 $103 9,597 SH Defined 9,597 EXXON MOBIL CORP COM Common Stocks 30231G102 $31,871 455,891 SH Defined 1 455,891 EXXON MOBIL CORP COM Common Stocks 30231G102 $17,561 251,200 SH Defined 4 251,200 EXXON MOBIL CORP COM Common Stocks 30231G102 $8,233 117,760 SH Defined 9 117,760 EXXON MOBIL CORP COM Common Stocks 30231G102 $55,131 788,600 SH Defined 10 788,600 EXXON MOBIL CORP COM Common Stocks 30231G102 $327 4,684 SH Defined 11 4,684 EXXON MOBIL CORP COM Common Stocks 30231G102 $461 6,600 SH Defined 18 6,600 EXXON MOBIL CORP COM Common Stocks 30231G102 $20,225 289,228 SH Defined 23 289,228 EXXON MOBIL CORP COM Common Stocks 30231G102 $25,701 367,630 SH Defined 35 367,630 EXXON MOBIL CORP COM Common Stocks 30231G102 $1,035 14,800 SH Defined 41 14,800 EXXON MOBIL CORP COM Common Stocks 30231G102 $12,788 182,914 SH Defined 42 182,914 EXXON MOBIL CORP COM Common Stocks 30231G102 $39,275 561,800 SH Defined 51 561,800 EXXON MOBIL CORP COM Common Stocks 30231G102 $3,855 55,146 SH Defined 56 55,146 EXXON MOBIL CORP COM Common Stocks 30231G102 $17,743 253,800 SH Defined 57 253,800 EXXON MOBIL CORP COM Common Stocks 30231G102 $10,445 149,400 SH Defined 58 149,400 EXXON MOBIL CORP COM Common Stocks 30231G102 $1,778 25,320 SH Defined 66 25,320 EXXON MOBIL CORP COM Common Stocks 30231G102 $2,816 40,260 SH Defined 66 40,260 EXXON MOBIL CORP COM Common Stocks 30231G102 $3,209 45,900 SH Defined 67 45,900 EXXON MOBIL CORP COM Common Stocks 30231G102 $19,355 276,826 SH Defined 68 276,826 EXXON MOBIL CORP COM Common Stocks 30231G102 $2,553 36,520 SH Defined 69 36,520 EXXON MOBIL CORP COM Common Stocks 30231G102 $2,483 35,350 SH Defined 70 35,350 EXXON MOBIL CORP COM Common Stocks 30231G102 $2,409 34,444 SH Defined 70 34,444 EXXON MOBIL CORP COM Common Stocks 30231G102 $18,932 270,800 SH Defined 76 270,800 EXXON MOBIL CORP COM Common Stocks 30231G102 $1,433 20,400 SH Defined 79 20,400 EXXON MOBIL CORP COM Common Stocks 30231G102 $2,454 35,100 SH Defined 79 35,100 EXXON MOBIL CORP COM Common Stocks 30231G102 $9,079 129,866 SH Defined 80 129,866 EXXON MOBIL CORP COM Common Stocks 30231G102 $145,325 2,078,749 SH Sole 88 2,078,749 EXXON MOBIL CORP COM Common Stocks 30231G102 $22,478 321,527 SH Defined 94 321,527 EXXON MOBIL CORP COM Common Stocks 30231G102 $3,067 43,874 SH Defined 97 43,874 EXXON MOBIL CORP COM Common Stocks 30231G102 $146 2,063 SH Defined 2,063 FBL FINL GROUP INC CL A Common Stocks 30239F106 $139 16,800 SH Defined 57 16,800 FBL FINL GROUP INC CL A Common Stocks 30239F106 $91 11,000 SH Sole 88 11,000 FLIR SYS INC COM Common Stocks 302445101 $90 4,000 SH Defined 80 4,000 FLIR SYS INC COM Common Stocks 302445101 $558 24,740 SH Defined 101 24,740 FBR CAPITAL MARKETS CORP COM Common Stocks 30247C301 $3 600 SH Defined 63 600 F M C CORP COM NEW Common Stocks 302491303 $1,135 24,000 SH Defined 51 24,000 F M C CORP COM NEW Common Stocks 302491303 $881 18,628 SH Defined 76 18,628 F M C CORP COM NEW Common Stocks 302491303 $162 3,422 SH Defined 81 3,422 F M C CORP COM NEW Common Stocks 302491303 $790 16,700 SH Sole 88 16,700 FMC TECHNOLOGIES INC COM Common Stocks 30249U101 $402 10,700 SH Defined 51 10,700 FMC TECHNOLOGIES INC COM Common Stocks 30249U101 $128 3,400 SH Defined 80 3,400 FMC TECHNOLOGIES INC COM Common Stocks 30249U101 $777 20,663 SH Sole 88 20,663 FMC TECHNOLOGIES INC COM Common Stocks 30249U101 $1,992 53,000 SH Defined 89 53,000 FMC TECHNOLOGIES INC COM Common Stocks 30249U101 $122 3,240 SH Defined 102 3,240 FMC TECHNOLOGIES INC COM Common Stocks 30249U101 $2,018 53,709 SH Defined 103 53,709 FNB CORP PA COM Common Stocks 302520101 $27 4,300 SH Defined 57 4,300 FNB CORP PA COM Common Stocks 302520101 $130 21,000 SH Defined 65 21,000 FPIC INS GROUP INC COM Common Stocks 302563101 $494 16,129 SH Defined 52 16,129 FPIC INS GROUP INC COM Common Stocks 302563101 $15 500 SH Defined 57 500 FPIC INS GROUP INC COM Common Stocks 302563101 $652 21,297 SH Sole 88 21,297 FPL GROUP INC COM Common Stocks 302571104 $3,193 56,151 SH Defined 27 56,151 FPL GROUP INC COM Common Stocks 302571104 $7,159 125,900 SH Defined 35 125,900 FPL GROUP INC COM Common Stocks 302571104 $353 6,200 SH Defined 41 6,200 FPL GROUP INC COM Common Stocks 302571104 $1,458 25,600 SH Defined 49 25,600 FPL GROUP INC COM Common Stocks 302571104 $176 3,100 SH Defined 51 3,100 FPL GROUP INC COM Common Stocks 302571104 $205 3,600 SH Defined 56 3,600 FPL GROUP INC COM Common Stocks 302571104 $552 9,700 SH Defined 58 9,700 FPL GROUP INC COM Common Stocks 302571104 $893 15,700 SH Defined 67 15,700 FPL GROUP INC COM Common Stocks 302571104 $5,504 96,807 SH Defined 68 96,807 FPL GROUP INC COM Common Stocks 302571104 $1,052 18,500 SH Defined 69 18,500 FPL GROUP INC COM Common Stocks 302571104 $614 10,800 SH Defined 80 10,800 FPL GROUP INC COM Common Stocks 302571104 $9,444 166,097 SH Sole 88 166,097 FX ENERGY INC COM Common Stocks 302695101 $82 21,565 SH Defined 81 21,565 FTI CONSULTING INC COM Common Stocks 302941109 $2,896 57,095 SH Defined 12 57,095 FTI CONSULTING INC COM Common Stocks 302941109 $1,428 28,147 SH Sole 88 28,147 FTI CONSULTING INC COM Common Stocks 302941109 $879 17,337 SH Defined 101 17,337 FTI CONSULTING INC COM Common Stocks 302941109 $143 2,820 SH Defined 102 2,820 FTI CONSULTING INC COM Common Stocks 302941109 $4,626 91,199 SH Defined 103 91,199 FACTSET RESH SYS INC COM Common Stocks 303075105 $344 6,900 SH Defined 51 6,900 FACTSET RESH SYS INC COM Common Stocks 303075105 $4,231 84,842 SH Defined 74 84,842 FACTSET RESH SYS INC COM Common Stocks 303075105 $9,022 180,916 SH Sole 88 180,916 FACTSET RESH SYS INC COM Common Stocks 303075105 $509 10,200 SH Defined 95 10,200 FAIR ISAAC CORP COM Common Stocks 303250104 $102 6,600 SH Defined 65 6,600 FAIR ISAAC CORP COM Common Stocks 303250104 $701 45,321 SH Defined 73 45,321 FAIR ISAAC CORP COM Common Stocks 303250104 $2,964 191,747 SH Sole 88 191,747 FAIRCHILD SEMICONDUCTOR IN Common Stocks 303726103 $138 19,695 SH Defined 22 19,695 FAIRCHILD SEMICONDUCTOR IN Common Stocks 303726103 $41 5,800 SH Defined 23 5,800 FAIRCHILD SEMICONDUCTOR IN Common Stocks 303726103 $131 18,801 SH Defined 42 18,801 FAIRCHILD SEMICONDUCTOR IN Common Stocks 303726103 $1,050 150,210 SH Defined 52 150,210 FAIRCHILD SEMICONDUCTOR IN Common Stocks 303726103 $1,260 180,200 SH Defined 57 180,200 FAIRCHILD SEMICONDUCTOR IN Common Stocks 303726103 $71 10,200 SH Defined 65 10,200 FAIRCHILD SEMICONDUCTOR IN Common Stocks 303726103 $2,320 331,944 SH Sole 88 331,944 FAIRCHILD SEMICONDUCTOR IN Common Stocks 303726103 $439 62,840 SH Defined 102 62,840 FAIRCHILD SEMICONDUCTOR IN Common Stocks 303726103 $202 28,850 SH Defined 28,850 FAIRFAX FINL HLDGS LTD SUB Common Stocks 303901102 $1,756 6,900 SH Defined 3 6,900 FAIRFAX FINL HLDGS LTD SUB Common Stocks 303901102 $2,841 11,300 SH Defined 4 11,300 FAIRFAX FINL HLDGS LTD SUB Common Stocks 303901102 $76 300 SH Defined 42 300 FAIRFAX FINL HLDGS LTD SUB Common Stocks 303901102 $2,385 9,500 SH Sole 88 9,500 FAIRFAX FINL HLDGS LTD SUB Common Stocks 303901102 $40 164 SH Defined 164 FAIRPOINT COMMUNICATIONS I Common Stocks 305560104 $27 44,352 SH Defined 81 44,352 FAMILY DLR STORES INC COM Common Stocks 307000109 $3,695 130,565 SH Defined 12 130,565 FAMILY DLR STORES INC COM Common Stocks 307000109 $2,805 99,100 SH Defined 23 99,100 FAMILY DLR STORES INC COM Common Stocks 307000109 $3,931 138,900 SH Defined 35 138,900 FAMILY DLR STORES INC COM Common Stocks 307000109 $3,158 111,579 SH Defined 42 111,579 FAMILY DLR STORES INC COM Common Stocks 307000109 $2,120 74,900 SH Defined 51 74,900 FAMILY DLR STORES INC COM Common Stocks 307000109 $221 7,800 SH Defined 56 7,800 FAMILY DLR STORES INC COM Common Stocks 307000109 $2,915 103,000 SH Defined 57 103,000 FAMILY DLR STORES INC COM Common Stocks 307000109 $492 17,400 SH Defined 67 17,400 FAMILY DLR STORES INC COM Common Stocks 307000109 $105 3,700 SH Defined 80 3,700 FAMILY DLR STORES INC COM Common Stocks 307000109 $106 3,752 SH Defined 81 3,752 FAMILY DLR STORES INC COM Common Stocks 307000109 $17,889 632,135 SH Sole 88 632,135 FAMILY DLR STORES INC COM Common Stocks 307000109 $13,121 463,654 SH Defined 463,654 FARMER BROS CO COM Common Stocks 307675108 $23 1,000 SH Defined 65 1,000 FASTENAL CO COM Common Stocks 311900104 $468 14,100 SH Defined 28 14,100 FASTENAL CO COM Common Stocks 311900104 $2,985 90,000 SH Defined 51 90,000 FASTENAL CO COM Common Stocks 311900104 $113 3,400 SH Defined 80 3,400 FASTENAL CO COM Common Stocks 311900104 $3,442 103,770 SH Sole 88 103,770 FASTENAL CO COM Common Stocks 311900104 $380 11,400 SH Defined 96 11,400 FASTENAL CO COM Common Stocks 311900104 $1,144 34,500 SH Defined 96 34,500 FASTENAL CO COM Common Stocks 311900104 $2,725 82,163 SH Defined 103 82,163 FEDERAL MOGUL CORP COM Common Stocks 313549404 $199 21,103 SH Defined 42 21,103 FEDERAL MOGUL CORP COM Common Stocks 313549404 $77 8,200 SH Defined 65 8,200 FEDERAL MOGUL CORP COM Common Stocks 313549404 $82 8,711 SH Sole 88 8,711 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $20,798 403,600 SH Defined 2 403,600 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $464 9,060 SH Defined 25 9,060 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $522 10,132 SH Defined 25 10,132 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $1,313 25,489 SH Defined 42 25,489 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $15,914 308,884 SH Defined 48 308,884 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $2,050 40,000 SH Defined 54 40,000 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $18,627 361,496 SH Defined 54 361,496 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $151 2,938 SH Defined 81 2,938 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $317 6,191 SH Defined 82 6,191 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $180 3,501 SH Defined 82 3,501 FEDERAL REALTY INVT TR SH Common Stocks 313747206 $2,281 44,282 SH Sole 88 44,282 FEDERAL SIGNAL CORP COM Common Stocks 313855108 $23 3,000 SH Defined 1 3,000 FEDERAL SIGNAL CORP COM Common Stocks 313855108 $80 10,400 SH Defined 31 10,400 FEDERAL SIGNAL CORP COM Common Stocks 313855108 $200 26,200 SH Defined 65 26,200 FEDERAL SIGNAL CORP COM Common Stocks 313855108 $98 12,796 SH Defined 81 12,796 FEDERATED INVS INC PA CL B Common Stocks 314211103 $1,358 56,391 SH Defined 42 56,391 FEDERATED INVS INC PA CL B Common Stocks 314211103 $390 16,200 SH Defined 51 16,200 FEDERATED INVS INC PA CL B Common Stocks 314211103 $60 2,500 SH Defined 80 2,500 FEDERATED INVS INC PA CL B Common Stocks 314211103 $984 40,830 SH Sole 88 40,830 FEDEX CORP COM Common Stocks 31428X106 $506 9,100 SH Defined 32 9,100 FEDEX CORP COM Common Stocks 31428X106 $1,944 34,953 SH Defined 42 34,953 FEDEX CORP COM Common Stocks 31428X106 $311 5,600 SH Defined 51 5,600 FEDEX CORP COM Common Stocks 31428X106 $7,420 133,400 SH Defined 57 133,400 FEDEX CORP COM Common Stocks 31428X106 $1,430 25,704 SH Defined 76 25,704 FEDEX CORP COM Common Stocks 31428X106 $461 8,280 SH Defined 80 8,280 FEDEX CORP COM Common Stocks 31428X106 $7,735 139,075 SH Sole 88 139,075 FELCOR LODGING TR INC COM Common Stocks 31430F101 $294 119,600 SH Defined 57 119,600 FELCOR LODGING TR INC COM Common Stocks 31430F101 $206 83,700 SH Sole 88 83,700 FELCOR LODGING TR INC COM Common Stocks 31430F101 $326 132,715 SH Defined 132,715 FERRO CORP COM Common Stocks 315405100 $26 9,600 SH Defined 57 9,600 F5 NETWORKS INC COM Common Stocks 315616102 $143 4,131 SH Defined 11 4,131 F5 NETWORKS INC COM Common Stocks 315616102 $3,874 112,000 SH Defined 35 112,000 F5 NETWORKS INC COM Common Stocks 315616102 $137 3,950 SH Defined 44 3,950 F5 NETWORKS INC COM Common Stocks 315616102 $1,522 44,000 SH Defined 51 44,000 F5 NETWORKS INC COM Common Stocks 315616102 $676 19,530 SH Defined 60 19,530 F5 NETWORKS INC COM Common Stocks 315616102 $553 16,000 SH Defined 67 16,000 F5 NETWORKS INC COM Common Stocks 315616102 $1,780 51,468 SH Defined 74 51,468 F5 NETWORKS INC COM Common Stocks 315616102 $12,874 372,176 SH Sole 88 372,176 F5 NETWORKS INC COM Common Stocks 315616102 $491 14,200 SH Defined 95 14,200 F5 NETWORKS INC COM Common Stocks 315616102 $684 19,777 SH Defined 101 19,777 F5 NETWORKS INC COM Common Stocks 315616102 $5,370 155,235 SH Defined 102 155,235 FIDELITY NATL INFORMATION Common Stocks 31620M106 $98 4,900 SH Defined 51 4,900 FIDELITY NATL INFORMATION Common Stocks 31620M106 $100 5,000 SH Defined 80 5,000 FIDELITY NATL INFORMATION Common Stocks 31620M106 $166 8,300 SH Sole 88 8,300 FIDELITY NATL INFORMATION Common Stocks 31620M106 $328 16,450 SH Defined 102 16,450 FIDELITY NATIONAL FINANCIA Common Stocks 31620R105 $1,042 77,000 SH Defined 4 77,000 FIDELITY NATIONAL FINANCIA Common Stocks 31620R105 $5,768 426,228 SH Defined 23 426,228 FIDELITY NATIONAL FINANCIA Common Stocks 31620R105 $64 4,700 SH Defined 51 4,700 FIDELITY NATIONAL FINANCIA Common Stocks 31620R105 $3,988 294,768 SH Defined 57 294,768 FIDELITY NATIONAL FINANCIA Common Stocks 31620R105 $120 8,883 SH Defined 81 8,883 FIDELITY NATIONAL FINANCIA Common Stocks 31620R105 $238 17,600 SH Defined 84 17,600 FIDELITY NATIONAL FINANCIA Common Stocks 31620R105 $6,817 503,864 SH Sole 88 503,864 FIDELITY NATIONAL FINANCIA Common Stocks 31620R105 $2,768 204,560 SH Defined 91 204,560 FIDELITY NATIONAL FINANCIA Common Stocks 31620R105 $78 5,712 SH Defined 5,712 FIFTH THIRD BANCORP COM Common Stocks 316773100 $588 82,881 SH Defined 37 82,881 FIFTH THIRD BANCORP COM Common Stocks 316773100 $4,208 592,730 SH Defined 38 592,730 FIFTH THIRD BANCORP COM Common Stocks 316773100 $195 27,400 SH Defined 51 27,400 FIFTH THIRD BANCORP COM Common Stocks 316773100 $3,569 502,700 SH Defined 57 502,700 FIFTH THIRD BANCORP COM Common Stocks 316773100 $27 3,800 SH Defined 79 3,800 FIFTH THIRD BANCORP COM Common Stocks 316773100 $49 6,890 SH Defined 79 6,890 FIFTH THIRD BANCORP COM Common Stocks 316773100 $139 19,511 SH Defined 80 19,511 FIFTH THIRD BANCORP COM Common Stocks 316773100 $2,413 339,822 SH Sole 88 339,822 FIFTH THIRD BANCORP COM Common Stocks 316773100 $471 66,400 SH Defined 97 66,400 FINANCIAL INSTNS INC COM Common Stocks 317585404 $8 600 SH Defined 65 600 FINISAR COM Common Stocks 31787A101 $304 534,130 SH Defined 534,130 FINISH LINE INC CL A Common Stocks 317923100 $607 81,793 SH Defined 23 81,793 FINISH LINE INC CL A Common Stocks 317923100 $544 73,312 SH Sole 88 73,312 FIRST AMERN CORP CALIF COM Common Stocks 318522307 $140 5,396 SH Defined 42 5,396 FIRST AMERN CORP CALIF COM Common Stocks 318522307 $3,988 153,900 SH Defined 57 153,900 FIRST AMERN CORP CALIF COM Common Stocks 318522307 $2,369 91,416 SH Sole 88 91,416 FIRST BANCORP N C COM Common Stocks 318910106 $14 900 SH Defined 65 900 FIRST COMWLTH FINL CORP PA Common Stocks 319829107 $113 17,759 SH Defined 81 17,759 FIRST CMNTY BANCSHARES INC N Common Stocks 31983A103 $9 700 SH Defined 57 700 FIRST CMNTY BANCSHARES INC N Common Stocks 31983A103 $23 1,800 SH Defined 65 1,800 FIRST CMNTY BANCSHARES INC N Common Stocks 31983A103 $14 1,100 SH Sole 88 1,100 FIRST DEFIANCE FINL CORP COM Common Stocks 32006W106 $9 700 SH Defined 65 700 FIRST FINL BANCORP OH COM Common Stocks 320209109 $499 66,330 SH Defined 52 66,330 FIRST FINL BANCORP OH COM Common Stocks 320209109 $191 25,400 SH Defined 57 25,400 FIRST FINL BANCORP OH COM Common Stocks 320209109 $828 110,047 SH Sole 88 110,047 FIRST FINL BANKSHARES COM Common Stocks 32020R109 $86 1,712 SH Defined 1 1,712 FIRST HORIZON NATL CORP CO Common Stocks 320517105 $430 35,859 SH Defined 21 35,859 FIRST HORIZON NATL CORP CO Common Stocks 320517105 $419 34,934 SH Defined 51 34,934 FIRST HORIZON NATL CORP CO Common Stocks 320517105 $401 33,375 SH Defined 52 33,375 FIRST HORIZON NATL CORP CO Common Stocks 320517105 $132 10,982 SH Defined 65 10,982 FIRST HORIZON NATL CORP CO Common Stocks 320517105 $69 5,748 SH Defined 80 5,748 FIRST HORIZON NATL CORP CO Common Stocks 320517105 $140 11,632 SH Defined 81 11,632 FIRST HORIZON NATL CORP CO Common Stocks 320517105 $2,423 201,885 SH Sole 88 201,885 FIRST INDUSTRIAL REALTY TR Common Stocks 32054K103 $196 45,101 SH Defined 57 45,101 FIRST INDUSTRIAL REALTY TR Common Stocks 32054K103 $152 35,014 SH Defined 73 35,014 FIRST INDUSTRIAL REALTY TR Common Stocks 32054K103 $819 188,338 SH Sole 88 188,338 FIRST MARBLEHEAD CORP COM Common Stocks 320771108 $449 236,905 SH Defined 11 236,905 FIRST MERCURY FINANCIAL CORP Common Stocks 320841109 $18 1,300 SH Defined 65 1,300 FIRST MIDWEST BANCORP DEL Common Stocks 320867104 $120 16,348 SH Defined 22 16,348 FIRST MIDWEST BANCORP DEL Common Stocks 320867104 $231 31,606 SH Defined 52 31,606 FIRST MIDWEST BANCORP DEL Common Stocks 320867104 $42 5,700 SH Defined 65 5,700 FIRST MIDWEST BANCORP DEL Common Stocks 320867104 $139 18,977 SH Defined 73 18,977 FIRST MIDWEST BANCORP DEL Common Stocks 320867104 $870 119,000 SH Sole 88 119,000 FIRST NIAGARA FINL GP INC Common Stocks 33582V108 $1,276 111,700 SH Defined 23 111,700 FIRST NIAGARA FINL GP INC Common Stocks 33582V108 $2,943 257,700 SH Defined 31 257,700 FIRST NIAGARA FINL GP INC Common Stocks 33582V108 $4,533 396,900 SH Sole 88 396,900 FIRST NIAGARA FINL GP INC Common Stocks 33582V108 $179 15,690 SH Defined 102 15,690 FIRST POTOMAC RLTY TR COM Common Stocks 33610F109 $6,175 633,200 SH Defined 2 633,200 FIRST POTOMAC RLTY TR COM Common Stocks 33610F109 $433 44,418 SH Defined 52 44,418 FIRST POTOMAC RLTY TR COM Common Stocks 33610F109 $295 30,300 SH Defined 57 30,300 FIRST POTOMAC RLTY TR COM Common Stocks 33610F109 $1,002 102,798 SH Sole 88 102,798 FIRST PL FINL CORP COM Common Stocks 33610T109 $44 14,036 SH Defined 81 14,036 FIRST SOLAR INC COM Common Stocks 336433107 $571 3,515 SH Defined 11 3,515 FIRST SOLAR INC COM Common Stocks 336433107 $1,865 11,500 SH Defined 14 11,500 FIRST SOLAR INC COM Common Stocks 336433107 $384 2,460 SH Defined 26 2,460 FIRST SOLAR INC COM Common Stocks 336433107 $14,780 91,151 SH Defined 26 91,151 FIRST SOLAR INC COM Common Stocks 336433107 $3,709 22,879 SH Defined 27 22,879 FIRST SOLAR INC COM Common Stocks 336433107 $1,200 7,400 SH Defined 51 7,400 FIRST SOLAR INC COM Common Stocks 336433107 $627 3,870 SH Defined 60 3,870 FIRST SOLAR INC COM Common Stocks 336433107 $1,082 6,672 SH Defined 64 6,672 FIRST SOLAR INC COM Common Stocks 336433107 $1,387 8,878 SH Defined 66 8,878 FIRST SOLAR INC COM Common Stocks 336433107 $1,809 11,153 SH Defined 66 11,153 FIRST SOLAR INC COM Common Stocks 336433107 $14,263 87,978 SH Sole 88 87,978 FIRST SOLAR INC COM Common Stocks 336433107 $3,605 22,238 SH Defined 102 22,238 FIRST SOLAR INC COM Common Stocks 336433107 $677 4,178 SH Defined 106 4,178 FIRST SOLAR INC COM Common Stocks 336433107 $105 666 SH Defined 666 FISERV INC COM Common Stocks 337738108 $388 8,500 SH Defined 1 8,500 FISERV INC COM Common Stocks 337738108 $194 4,250 SH Defined 80 4,250 FIRSTMERIT CORP COM Common Stocks 337915102 $887 52,255 SH Defined 52 52,255 FIRSTMERIT CORP COM Common Stocks 337915102 $1,202 70,778 SH Sole 88 70,778 FIRSTENERGY CORP COM Common Stocks 337932107 $7,196 185,700 SH Defined 10 185,700 FIRSTENERGY CORP COM Common Stocks 337932107 $1,507 38,900 SH Defined 51 38,900 FIRSTENERGY CORP COM Common Stocks 337932107 $445 11,480 SH Defined 58 11,480 FIRSTENERGY CORP COM Common Stocks 337932107 $1,732 44,700 SH Defined 76 44,700 FIRSTENERGY CORP COM Common Stocks 337932107 $312 8,055 SH Defined 80 8,055 FIRSTENERGY CORP COM Common Stocks 337932107 $4,170 107,600 SH Sole 88 107,600 FLANDERS CORP COM Common Stocks 338494107 $346 56,600 SH Defined 63 56,600 FLUOR CORP NEW COM Common Stocks 343412102 $7,070 137,852 SH Defined 1 137,852 FLUOR CORP NEW COM Common Stocks 343412102 $287 5,600 SH Defined 4 5,600 FLUOR CORP NEW COM Common Stocks 343412102 $4,942 96,353 SH Defined 27 96,353 FLUOR CORP NEW COM Common Stocks 343412102 $6,134 119,600 SH Defined 35 119,600 FLUOR CORP NEW COM Common Stocks 343412102 $2,000 39,000 SH Defined 51 39,000 FLUOR CORP NEW COM Common Stocks 343412102 $241 4,700 SH Defined 58 4,700 FLUOR CORP NEW COM Common Stocks 343412102 $810 15,800 SH Defined 67 15,800 FLUOR CORP NEW COM Common Stocks 343412102 $15,232 296,980 SH Defined 72 296,980 FLUOR CORP NEW COM Common Stocks 343412102 $246 4,800 SH Defined 80 4,800 FLUOR CORP NEW COM Common Stocks 343412102 $17,083 333,059 SH Sole 88 333,059 FLUOR CORP NEW COM Common Stocks 343412102 $1,036 20,200 SH Defined 97 20,200 FLUOR CORP NEW COM Common Stocks 343412102 $1,153 22,487 SH Defined 106 22,487 FLOWSERVE CORP COM Common Stocks 34354P105 $1,338 19,160 SH Defined 1 19,160 FLOWSERVE CORP COM Common Stocks 34354P105 $2,907 41,645 SH Defined 12 41,645 FLOWSERVE CORP COM Common Stocks 34354P105 $2,574 36,874 SH Defined 23 36,874 FLOWSERVE CORP COM Common Stocks 34354P105 $3,337 47,800 SH Defined 35 47,800 FLOWSERVE CORP COM Common Stocks 34354P105 $628 9,000 SH Defined 51 9,000 FLOWSERVE CORP COM Common Stocks 34354P105 $426 6,100 SH Defined 67 6,100 FLOWSERVE CORP COM Common Stocks 34354P105 $105 1,500 SH Defined 80 1,500 FLOWSERVE CORP COM Common Stocks 34354P105 $4,684 67,100 SH Sole 88 67,100 FLUSHING FINL CORP COM Common Stocks 343873105 $75 8,000 SH Defined 23 8,000 FLUSHING FINL CORP COM Common Stocks 343873105 $1,036 110,804 SH Defined 31 110,804 FLUSHING FINL CORP COM Common Stocks 343873105 $75 7,999 SH Defined 57 7,999 FLUSHING FINL CORP COM Common Stocks 343873105 $1,342 143,551 SH Sole 88 143,551 FOMENTO ECONOMICO MEXICANO Common Stocks 344419106 $673 20,890 SH Defined 11 20,890 FOMENTO ECONOMICO MEXICANO Common Stocks 344419106 $197 6,100 SH Defined 14 6,100 FOMENTO ECONOMICO MEXICANO Common Stocks 344419106 $7,917 245,553 SH Defined 40 245,553 FOMENTO ECONOMICO MEXICANO Common Stocks 344419106 $1,871 58,800 SH Defined 47 58,800 FOMENTO ECONOMICO MEXICANO Common Stocks 344419106 $11,496 356,500 SH Defined 47 356,500 FOMENTO ECONOMICO MEXICANO Common Stocks 344419106 $1,458 45,228 SH Sole 88 45,228 FOMENTO ECONOMICO MEXICANO Common Stocks 344419106 $967 30,000 SH Defined 105 30,000 FOMENTO ECONOMICO MEXICANO Common Stocks 344419106 $630 19,548 SH Defined 19,548 FOOT LOCKER INC COM Common Stocks 344849104 $1,085 103,600 SH Defined 4 103,600 FOOT LOCKER INC COM Common Stocks 344849104 $4,343 410,202 SH Defined 11 410,202 FOOT LOCKER INC COM Common Stocks 344849104 $222 21,214 SH Defined 11 21,214 FOOT LOCKER INC COM Common Stocks 344849104 $2,277 217,500 SH Defined 35 217,500 FOOT LOCKER INC COM Common Stocks 344849104 $480 45,800 SH Defined 51 45,800 FOOT LOCKER INC COM Common Stocks 344849104 $328 31,308 SH Defined 52 31,308 FOOT LOCKER INC COM Common Stocks 344849104 $5,043 481,614 SH Defined 57 481,614 FOOT LOCKER INC COM Common Stocks 344849104 $105 10,000 SH Defined 65 10,000 FOOT LOCKER INC COM Common Stocks 344849104 $284 27,100 SH Defined 67 27,100 FOOT LOCKER INC COM Common Stocks 344849104 $6,593 629,666 SH Sole 88 629,666 FORCE PROTECTION INC COM N Common Stocks 345203202 $122 13,800 SH Defined 57 13,800 FORD MTR CO DEL COM PAR $0 Common Stocks 345370860 $0 1 SH Defined 1 1 FORD MTR CO DEL COM PAR $0 Common Stocks 345370860 $168 27,712 SH Defined 4 27,712 FORD MTR CO DEL COM PAR $0 Common Stocks 345370860 $2,557 421,298 SH Defined 9 421,298 FORD MTR CO DEL COM PAR $0 Common Stocks 345370860 $637 105,000 SH Defined 51 105,000 FORD MTR CO DEL COM PAR $0 Common Stocks 345370860 $4,553 750,100 SH Defined 57 750,100 FORD MTR CO DEL COM PAR $0 Common Stocks 345370860 $520 85,588 SH Defined 80 85,588 FORD MTR CO DEL COM PAR $0 Common Stocks 345370860 $8,186 1,348,570 SH Sole 88 1,348,570 FORD MTR CO DEL COM PAR $0 Common Stocks 345370860 $467 76,900 SH Defined 97 76,900 FORD MTR CO DEL COM PAR $0 Common Stocks 345370860 $1,286 211,841 SH Defined 106 211,841 FORD MTR CO DEL COM PAR $0 Common Stocks 345370860 $46 8,000 SH Defined 8,000 FOREST CITY ENTERPRISES IN Common Stocks 345550107 $16 2,400 SH Defined 65 2,400 FOREST LABS INC COM Common Stocks 345838106 $3,059 121,813 SH Defined 1 121,813 FOREST LABS INC COM Common Stocks 345838106 $8,982 357,700 SH Defined 10 357,700 FOREST LABS INC COM Common Stocks 345838106 $1,124 45,000 SH Defined 11 45,000 FOREST LABS INC COM Common Stocks 345838106 $11,510 458,295 SH Defined 11 458,295 FOREST LABS INC COM Common Stocks 345838106 $766 30,500 SH Defined 35 30,500 FOREST LABS INC COM Common Stocks 345838106 $1,512 60,206 SH Defined 42 60,206 FOREST LABS INC COM Common Stocks 345838106 $9,180 365,600 SH Defined 57 365,600 FOREST LABS INC COM Common Stocks 345838106 $95 3,800 SH Defined 67 3,800 FOREST LABS INC COM Common Stocks 345838106 $4,655 185,399 SH Defined 76 185,399 FOREST LABS INC COM Common Stocks 345838106 $201 8,000 SH Defined 80 8,000 FOREST LABS INC COM Common Stocks 345838106 $27,138 1,080,760 SH Sole 88 1,080,760 FOREST LABS INC COM Common Stocks 345838106 $17,999 716,823 SH Defined 716,823 FOREST OIL CORP COM PAR $0 Common Stocks 346091705 $218 14,600 SH Defined 51 14,600 FOREST OIL CORP COM PAR $0 Common Stocks 346091705 $497 33,337 SH Defined 73 33,337 FOREST OIL CORP COM PAR $0 Common Stocks 346091705 $91 6,114 SH Defined 81 6,114 FOREST OIL CORP COM PAR $0 Common Stocks 346091705 $20,054 1,344,075 SH Sole 88 1,344,075 FOREST OIL CORP COM PAR $0 Common Stocks 346091705 $18,112 1,213,965 SH Defined 91 1,213,965 FORTUNE BRANDS INC COM Common Stocks 349631101 $2,416 69,537 SH Defined 31 69,537 FORTUNE BRANDS INC COM Common Stocks 349631101 $139 4,000 SH Defined 80 4,000 FORTUNE BRANDS INC COM Common Stocks 349631101 $542 15,600 SH Sole 88 15,600 FORTUNE BRANDS INC COM Common Stocks 349631101 $771 22,200 SH Defined 97 22,200 FORWARD AIR CORP COM Common Stocks 349853101 $3,649 171,151 SH Defined 31 171,151 FORWARD AIR CORP COM Common Stocks 349853101 $4,123 193,400 SH Sole 88 193,400 FOSTER L B CO COM Common Stocks 350060109 $229 7,600 SH Defined 57 7,600 FOSTER L B CO COM Common Stocks 350060109 $168 5,600 SH Sole 88 5,600 FOUNDATION COAL HLDGS INC Common Stocks 35039W100 $255 9,070 SH Defined 22 9,070 FOUNDATION COAL HLDGS INC Common Stocks 35039W100 $250 8,900 SH Defined 51 8,900 FOUNDATION COAL HLDGS INC Common Stocks 35039W100 $160 5,700 SH Sole 88 5,700 FOUNDATION COAL HLDGS INC Common Stocks 35039W100 $122 4,340 SH Defined 102 4,340 FRANKLIN ELEC INC COM Common Stocks 353514102 $2,535 97,800 SH Defined 31 97,800 FRANKLIN ELEC INC COM Common Stocks 353514102 $2,869 110,700 SH Sole 88 110,700 FRANKLIN RES INC COM Common Stocks 354613101 $11,248 156,200 SH Defined 10 156,200 FRANKLIN RES INC COM Common Stocks 354613101 $906 12,576 SH Defined 42 12,576 FRANKLIN RES INC COM Common Stocks 354613101 $6,878 96,000 SH Defined 47 96,000 FRANKLIN RES INC COM Common Stocks 354613101 $39,072 542,500 SH Defined 47 542,500 FRANKLIN RES INC COM Common Stocks 354613101 $1,073 14,900 SH Defined 51 14,900 FRANKLIN RES INC COM Common Stocks 354613101 $998 13,857 SH Defined 76 13,857 FRANKLIN RES INC COM Common Stocks 354613101 $288 4,000 SH Defined 80 4,000 FRANKLIN RES INC COM Common Stocks 354613101 $8,364 116,146 SH Sole 88 116,146 FRANKLIN STREET PPTYS CORP Common Stocks 35471R106 $119 8,950 SH Defined 81 8,950 FRANKLIN STREET PPTYS CORP Common Stocks 35471R106 $2,686 202,713 SH Defined 92 202,713 FREDS INC CL A Common Stocks 356108100 $388 30,825 SH Defined 21 30,825 FREDS INC CL A Common Stocks 356108100 $96 7,600 SH Defined 23 7,600 FREDS INC CL A Common Stocks 356108100 $158 12,500 SH Defined 57 12,500 FREDS INC CL A Common Stocks 356108100 $956 75,851 SH Defined 73 75,851 FREDS INC CL A Common Stocks 356108100 $5,894 467,759 SH Sole 88 467,759 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $445 8,900 SH Defined 18 8,900 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $952 19,000 SH Defined 18 19,000 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $595 11,900 SH Defined 26 11,900 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $22,271 444,365 SH Defined 26 444,365 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $1,293 25,800 SH Defined 37 25,800 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $9,245 184,500 SH Defined 38 184,500 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $1 18 SH Defined 42 18 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $501 10,000 SH Defined 51 10,000 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $792 15,800 SH Defined 56 15,800 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $2,561 51,110 SH Defined 58 51,110 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $2,113 42,161 SH Defined 76 42,161 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $548 10,939 SH Defined 80 10,939 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $12,437 248,184 SH Sole 88 248,184 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $2,432 48,529 SH Defined 97 48,529 FREEPORT-MCMORAN COPPER & Common Stocks 35671D857 $111 2,208 SH Defined 2,208 FREIGHTCAR AMER INC COM Common Stocks 357023100 $221 13,121 SH Defined 57 13,121 FREIGHTCAR AMER INC COM Common Stocks 357023100 $163 9,700 SH Sole 88 9,700 FRIEDMAN INDS INC COM Common Stocks 358435105 $35 6,428 SH Defined 31 6,428 FRONTIER COMMUNICATIONS CO Common Stocks 35906A108 $1,225 171,600 SH Defined 30 171,600 FRONTIER COMMUNICATIONS CO Common Stocks 35906A108 $3,742 524,103 SH Defined 31 524,103 FRONTIER COMMUNICATIONS CO Common Stocks 35906A108 $2,051 287,300 SH Defined 51 287,300 FRONTIER COMMUNICATIONS CO Common Stocks 35906A108 $59 8,300 SH Defined 80 8,300 FRONTIER COMMUNICATIONS CO Common Stocks 35906A108 $3,177 445,000 SH Sole 88 445,000 FRONTIER OIL CORP COM Common Stocks 35914P105 $136 10,395 SH Defined 11 10,395 FRONTIER OIL CORP COM Common Stocks 35914P105 $818 62,400 SH Defined 30 62,400 FRONTIER OIL CORP COM Common Stocks 35914P105 $2,113 161,200 SH Defined 35 161,200 FRONTIER OIL CORP COM Common Stocks 35914P105 $655 49,938 SH Defined 42 49,938 FRONTIER OIL CORP COM Common Stocks 35914P105 $920 70,200 SH Defined 51 70,200 FRONTIER OIL CORP COM Common Stocks 35914P105 $123 9,400 SH Defined 57 9,400 FRONTIER OIL CORP COM Common Stocks 35914P105 $264 20,100 SH Defined 67 20,100 FRONTIER OIL CORP COM Common Stocks 35914P105 $2,141 163,288 SH Sole 88 163,288 FROZEN FOOD EXPRESS INDS INC Common Stocks 359360104 $85 26,862 SH Defined 31 26,862 FUEL TECH INC COM Common Stocks 359523107 $543 55,981 SH Defined 73 55,981 FUEL TECH INC COM Common Stocks 359523107 $2,317 238,858 SH Sole 88 238,858 FULLER H B CO COM Common Stocks 359694106 $248 13,200 SH Defined 57 13,200 FULLER H B CO COM Common Stocks 359694106 $122 6,494 SH Defined 81 6,494 FULLER H B CO COM Common Stocks 359694106 $163 8,700 SH Sole 88 8,700 FULTON FINL CORP PA COM Common Stocks 360271100 $192 36,900 SH Defined 51 36,900 FULTON FINL CORP PA COM Common Stocks 360271100 $216 41,519 SH Defined 52 41,519 FULTON FINL CORP PA COM Common Stocks 360271100 $3,061 587,594 SH Defined 57 587,594 FULTON FINL CORP PA COM Common Stocks 360271100 $2,272 436,105 SH Sole 88 436,105 FURNITURE BRANDS INTL INC Common Stocks 360921100 $192 63,200 SH Defined 57 63,200 FURNITURE BRANDS INTL INC Common Stocks 360921100 $116 38,302 SH Sole 88 38,302 GATX CORP COM Common Stocks 361448103 $147 5,730 SH Defined 22 5,730 GATX CORP COM Common Stocks 361448103 $455 17,700 SH Defined 51 17,700 GATX CORP COM Common Stocks 361448103 $33 1,300 SH Defined 56 1,300 GATX CORP COM Common Stocks 361448103 $556 21,630 SH Defined 73 21,630 GATX CORP COM Common Stocks 361448103 $2,609 101,446 SH Sole 88 101,446 GATX CORP COM Common Stocks 361448103 $242 9,410 SH Defined 101 9,410 GEO GROUP INC COM Common Stocks 36159R103 $868 46,728 SH Sole 88 46,728 GEO GROUP INC COM Common Stocks 36159R103 $2,839 152,795 SH Defined 103 152,795 GFI GROUP INC COM Common Stocks 361652209 $133 19,800 SH Defined 23 19,800 GFI GROUP INC COM Common Stocks 361652209 $193 28,700 SH Sole 88 28,700 G-III APPAREL GROUP LTD COM Common Stocks 36237H101 $10 900 SH Defined 57 900 G-III APPAREL GROUP LTD COM Common Stocks 36237H101 $3 300 SH Defined 65 300 GTSI CORP COM Common Stocks 36238K103 $375 69,765 SH Defined 73 69,765 GTSI CORP COM Common Stocks 36238K103 $653 121,570 SH Sole 88 121,570 GT SOLAR INTL INC COM Common Stocks 3623E0209 $63 11,900 SH Defined 65 11,900 GT SOLAR INTL INC COM Common Stocks 3623E0209 $1,517 285,145 SH Defined 76 285,145 GAFISA S A SPONS ADR Common Stocks 362607301 $1,569 95,584 SH Defined 64 95,584 GAFISA S A SPONS ADR Common Stocks 362607301 $6,353 384,869 SH Defined 64 384,869 GAFISA S A SPONS ADR Common Stocks 362607301 $31 1,894 SH Defined 1,894 GALLAGHER ARTHUR J & CO CO Common Stocks 363576109 $154 7,200 SH Defined 51 7,200 GALLAGHER ARTHUR J & CO CO Common Stocks 363576109 $1,750 82,000 SH Defined 57 82,000 GALLAGHER ARTHUR J & CO CO Common Stocks 363576109 $1,146 53,700 SH Sole 88 53,700 GAMMON GOLD INC COM Common Stocks 36467T106 $436 65,800 SH Defined 23 65,800 GAMMON GOLD INC COM Common Stocks 36467T106 $410 61,500 SH Defined 61 61,500 GAMESTOP CORP NEW CL A Common Stocks 36467W109 $2,699 122,630 SH Defined 12 122,630 GAMESTOP CORP NEW CL A Common Stocks 36467W109 $1,398 63,500 SH Defined 30 63,500 GAMESTOP CORP NEW CL A Common Stocks 36467W109 $156 7,100 SH Defined 51 7,100 GAMESTOP CORP NEW CL A Common Stocks 36467W109 $2,930 133,111 SH Defined 57 133,111 GAMESTOP CORP NEW CL A Common Stocks 36467W109 $766 34,782 SH Defined 76 34,782 GAMESTOP CORP NEW CL A Common Stocks 36467W109 $95 4,300 SH Defined 80 4,300 GAMESTOP CORP NEW CL A Common Stocks 36467W109 $3,405 154,700 SH Sole 88 154,700 GANNETT INC COM Common Stocks 364730101 $716 190,931 SH Defined 11 190,931 GANNETT INC COM Common Stocks 364730101 $3,316 928,580 SH Defined 11 928,580 GANNETT INC COM Common Stocks 364730101 $1,998 559,754 SH Defined 57 559,754 GANNETT INC COM Common Stocks 364730101 $302 84,609 SH Defined 76 84,609 GANNETT INC COM Common Stocks 364730101 $22 6,200 SH Defined 80 6,200 GANNETT INC COM Common Stocks 364730101 $1,388 388,900 SH Sole 88 388,900 GAP INC DEL COM Common Stocks 364760108 $1,003 61,184 SH Defined 1 61,184 GAP INC DEL COM Common Stocks 364760108 $8,379 510,900 SH Defined 10 510,900 GAP INC DEL COM Common Stocks 364760108 $4,975 303,300 SH Defined 14 303,300 GAP INC DEL COM Common Stocks 364760108 $2,926 178,400 SH Defined 35 178,400 GAP INC DEL COM Common Stocks 364760108 $194 11,800 SH Defined 51 11,800 GAP INC DEL COM Common Stocks 364760108 $364 22,200 SH Defined 67 22,200 GAP INC DEL COM Common Stocks 364760108 $708 43,200 SH Defined 76 43,200 GAP INC DEL COM Common Stocks 364760108 $502 30,500 SH Defined 79 30,500 GAP INC DEL COM Common Stocks 364760108 $833 50,800 SH Defined 79 50,800 GAP INC DEL COM Common Stocks 364760108 $200 12,212 SH Defined 80 12,212 GAP INC DEL COM Common Stocks 364760108 $1,476 90,020 SH Defined 85 90,020 GAP INC DEL COM Common Stocks 364760108 $8,624 525,860 SH Sole 88 525,860 GAP INC DEL COM Common Stocks 364760108 $1,591 97,000 SH Defined 105 97,000 GARDNER DENVER INC COM Common Stocks 365558105 $86 3,400 SH Defined 51 3,400 GARDNER DENVER INC COM Common Stocks 365558105 $1,623 64,500 SH Defined 57 64,500 GARDNER DENVER INC COM Common Stocks 365558105 $78 3,100 SH Defined 65 3,100 GARDNER DENVER INC COM Common Stocks 365558105 $1,150 45,700 SH Sole 88 45,700 GARTNER INC COM Common Stocks 366651107 $791 51,842 SH Defined 76 51,842 GAYLORD ENTMT CO NEW COM Common Stocks 367905106 $91 7,161 SH Defined 81 7,161 GEN-PROBE INC NEW COM Common Stocks 36866T103 $252 5,853 SH Defined 42 5,853 GEN-PROBE INC NEW COM Common Stocks 36866T103 $718 16,700 SH Defined 51 16,700 GEN-PROBE INC NEW COM Common Stocks 36866T103 $2,837 66,005 SH Defined 57 66,005 GEN-PROBE INC NEW COM Common Stocks 36866T103 $1,445 33,610 SH Defined 85 33,610 GEN-PROBE INC NEW COM Common Stocks 36866T103 $4,887 113,700 SH Sole 88 113,700 GEN-PROBE INC NEW COM Common Stocks 36866T103 $2,641 61,457 SH Defined 103 61,457 GENERAL CABLE CORP DEL NEW Common Stocks 369300108 $20 539 SH Defined 42 539 GENERAL CABLE CORP DEL NEW Common Stocks 369300108 $812 21,600 SH Defined 51 21,600 GENERAL CABLE CORP DEL NEW Common Stocks 369300108 $2,112 56,200 SH Defined 57 56,200 GENERAL CABLE CORP DEL NEW Common Stocks 369300108 $98 2,600 SH Defined 65 2,600 GENERAL CABLE CORP DEL NEW Common Stocks 369300108 $1,177 31,324 SH Defined 73 31,324 GENERAL CABLE CORP DEL NEW Common Stocks 369300108 $7,373 196,184 SH Sole 88 196,184 GENERAL CABLE CORP DEL NEW Common Stocks 369300108 $266 7,071 SH Defined 103 7,071 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $5,306 95,797 SH Defined 1 95,797 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $20,283 366,178 SH Defined 9 366,178 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $1,113 20,100 SH Defined 10 20,100 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $332 6,000 SH Defined 18 6,000 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $321 5,800 SH Defined 23 5,800 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $10,607 191,500 SH Defined 35 191,500 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $980 17,700 SH Defined 51 17,700 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $1,055 19,040 SH Defined 55 19,040 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $11,366 205,196 SH Defined 64 205,196 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $1,318 23,800 SH Defined 67 23,800 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $2,323 41,939 SH Defined 76 41,939 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $571 10,300 SH Defined 80 10,300 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $40,012 722,362 SH Sole 88 722,362 GENERAL DYNAMICS CORP COM Common Stocks 369550108 $388 7,000 SH Defined 97 7,000 GENERAL ELECTRIC CO COM Common Stocks 369604103 $5,607 478,400 SH Defined 4 478,400 GENERAL ELECTRIC CO COM Common Stocks 369604103 $1,835 156,600 SH Defined 10 156,600 GENERAL ELECTRIC CO COM Common Stocks 369604103 $3,078 262,600 SH Defined 17 262,600 GENERAL ELECTRIC CO COM Common Stocks 369604103 $3,344 285,334 SH Defined 31 285,334 GENERAL ELECTRIC CO COM Common Stocks 369604103 $465 39,700 SH Defined 32 39,700 GENERAL ELECTRIC CO COM Common Stocks 369604103 $15,458 1,318,900 SH Defined 35 1,318,900 GENERAL ELECTRIC CO COM Common Stocks 369604103 $3,400 290,076 SH Defined 42 290,076 GENERAL ELECTRIC CO COM Common Stocks 369604103 $18,835 1,607,100 SH Defined 51 1,607,100 GENERAL ELECTRIC CO COM Common Stocks 369604103 $1,041 88,800 SH Defined 56 88,800 GENERAL ELECTRIC CO COM Common Stocks 369604103 $444 37,900 SH Defined 57 37,900 GENERAL ELECTRIC CO COM Common Stocks 369604103 $953 81,300 SH Defined 58 81,300 GENERAL ELECTRIC CO COM Common Stocks 369604103 $2,699 230,290 SH Defined 62 230,290 GENERAL ELECTRIC CO COM Common Stocks 369604103 $624 53,400 SH Defined 66 53,400 GENERAL ELECTRIC CO COM Common Stocks 369604103 $909 77,500 SH Defined 66 77,500 GENERAL ELECTRIC CO COM Common Stocks 369604103 $1,822 155,500 SH Defined 67 155,500 GENERAL ELECTRIC CO COM Common Stocks 369604103 $4,419 377,016 SH Defined 76 377,016 GENERAL ELECTRIC CO COM Common Stocks 369604103 $3,303 281,800 SH Defined 80 281,800 GENERAL ELECTRIC CO COM Common Stocks 369604103 $39,463 3,367,111 SH Sole 88 3,367,111 GENERAL ELECTRIC CO COM Common Stocks 369604103 $9,819 837,814 SH Defined 94 837,814 GENERAL MLS INC COM Common Stocks 370334104 $415 7,400 SH Defined 4 7,400 GENERAL MLS INC COM Common Stocks 370334104 $6,269 111,900 SH Defined 51 111,900 GENERAL MLS INC COM Common Stocks 370334104 $958 17,100 SH Defined 56 17,100 GENERAL MLS INC COM Common Stocks 370334104 $134 2,400 SH Defined 57 2,400 GENERAL MLS INC COM Common Stocks 370334104 $1,389 24,790 SH Defined 58 24,790 GENERAL MLS INC COM Common Stocks 370334104 $6,095 108,760 SH Defined 68 108,760 GENERAL MLS INC COM Common Stocks 370334104 $2,530 45,600 SH Defined 70 45,600 GENERAL MLS INC COM Common Stocks 370334104 $2,486 44,346 SH Defined 70 44,346 GENERAL MLS INC COM Common Stocks 370334104 $239 4,300 SH Defined 79 4,300 GENERAL MLS INC COM Common Stocks 370334104 $426 7,600 SH Defined 79 7,600 GENERAL MLS INC COM Common Stocks 370334104 $487 8,700 SH Defined 80 8,700 GENERAL MLS INC COM Common Stocks 370334104 $3,921 70,000 SH Sole 88 70,000 GENERAL MTRS CORP DEB SR CV Common Stocks 370442717 $1,532 583,754 SH Sole 88 583,754 GENERAL MTRS CORP DEB SR CV Common Stocks 370442717 $1,446 537,110 SH Defined 91 537,110 GENERAL MTRS CORP DEB SR CV Common Stocks 370442717 $3 1,000 SH Defined 107 1,000 GENERAL MTRS CORP DEB SR CV Common Stocks 370442717 $30 12,000 SH Defined 108 12,000 GENERAL MTRS CORP DEB SR CON Common Stocks 370442733 $318 129,200 SH Defined 59 129,200 GENERAL MTRS CORP DEB SR CON Common Stocks 370442733 $1,323 504,000 SH Defined 78 504,000 GENERAL MTRS CORP DEB SR CON Common Stocks 370442733 $604 245,150 SH Defined 107 245,150 GENERAL MTRS CORP DEB SR CON Common Stocks 370442733 $5 2,000 SH Defined 108 2,000 GENERAL STEEL HOLDINGS INC Common Stocks 370853103 $15 3,900 SH Defined 57 3,900 GENESEE & WYO INC CL A Common Stocks 371559105 $546 20,600 SH Defined 52 20,600 GENESEE & WYO INC CL A Common Stocks 371559105 $678 25,588 SH Defined 73 25,588 GENESEE & WYO INC CL A Common Stocks 371559105 $107 4,053 SH Defined 81 4,053 GENESEE & WYO INC CL A Common Stocks 371559105 $4,837 182,454 SH Sole 88 182,454 GENESEE & WYO INC CL A Common Stocks 371559105 $134 5,060 SH Defined 102 5,060 GENESEE & WYO INC CL A Common Stocks 371559105 $2,023 76,321 SH Defined 103 76,321 GENESEE & WYO INC CL A Common Stocks 371559105 $168 6,345 SH Defined 6,345 GENTEX CORP COM Common Stocks 371901109 $454 39,100 SH Defined 28 39,100 GENTEX CORP COM Common Stocks 371901109 $1,164 100,308 SH Defined 74 100,308 GENTEX CORP COM Common Stocks 371901109 $130 11,193 SH Defined 81 11,193 GENTEX CORP COM Common Stocks 371901109 $1,466 126,337 SH Sole 88 126,337 GENOPTIX INC COM Common Stocks 37243V100 $1,737 54,299 SH Defined 74 54,299 GENOPTIX INC COM Common Stocks 37243V100 $6,604 206,448 SH Sole 88 206,448 GENOPTIX INC COM Common Stocks 37243V100 $646 20,200 SH Defined 95 20,200 GENOMIC HEALTH INC COM Common Stocks 37244C101 $50 2,900 SH Defined 57 2,900 GENUINE PARTS CO COM Common Stocks 372460105 $6,074 180,944 SH Defined 23 180,944 GENUINE PARTS CO COM Common Stocks 372460105 $3,359 100,100 SH Defined 35 100,100 GENUINE PARTS CO COM Common Stocks 372460105 $1,369 40,800 SH Defined 51 40,800 GENUINE PARTS CO COM Common Stocks 372460105 $5,259 156,700 SH Defined 57 156,700 GENUINE PARTS CO COM Common Stocks 372460105 $420 12,500 SH Defined 67 12,500 GENUINE PARTS CO COM Common Stocks 372460105 $145 4,325 SH Defined 80 4,325 GENUINE PARTS CO COM Common Stocks 372460105 $3,037 90,500 SH Sole 88 90,500 GENUINE PARTS CO COM Common Stocks 372460105 $43 1,284 SH Defined 1,284 GENTIVA HEALTH SERVICES IN Common Stocks 37247A102 $272 16,500 SH Defined 1 16,500 GENTIVA HEALTH SERVICES IN Common Stocks 37247A102 $818 49,701 SH Defined 23 49,701 GENTIVA HEALTH SERVICES IN Common Stocks 37247A102 $146 8,900 SH Defined 57 8,900 GENTIVA HEALTH SERVICES IN Common Stocks 37247A102 $603 36,654 SH Defined 73 36,654 GENTIVA HEALTH SERVICES IN Common Stocks 37247A102 $458 27,800 SH Defined 77 27,800 GENTIVA HEALTH SERVICES IN Common Stocks 37247A102 $3,413 207,353 SH Sole 88 207,353 GENTIVA HEALTH SERVICES IN Common Stocks 37247A102 $2,484 150,907 SH Defined 92 150,907 GENWORTH FINL INC COM CL A Common Stocks 37247D106 $1,122 160,500 SH Defined 4 160,500 GENWORTH FINL INC COM CL A Common Stocks 37247D106 $913 129,398 SH Defined 11 129,398 GENWORTH FINL INC COM CL A Common Stocks 37247D106 $22 3,200 SH Defined 32 3,200 GENWORTH FINL INC COM CL A Common Stocks 37247D106 $1,983 283,725 SH Defined 57 283,725 GENWORTH FINL INC COM CL A Common Stocks 37247D106 $6,311 902,798 SH Defined 59 902,798 GENWORTH FINL INC COM CL A Common Stocks 37247D106 $125 17,900 SH Defined 65 17,900 GENWORTH FINL INC COM CL A Common Stocks 37247D106 $80 11,500 SH Defined 80 11,500 GENWORTH FINL INC COM CL A Common Stocks 37247D106 $86 12,282 SH Defined 81 12,282 GENWORTH FINL INC COM CL A Common Stocks 37247D106 $8,670 1,240,391 SH Sole 88 1,240,391 GENWORTH FINL INC COM CL A Common Stocks 37247D106 $7,011 1,002,959 SH Defined 91 1,002,959 GEOEYE INC COM Common Stocks 37250W108 $953 40,440 SH Sole 88 40,440 GEOKINETICS INC COM PAR $0.0 Common Stocks 372910307 $1,727 126,496 SH Defined 92 126,496 GENZYME CORP COM Common Stocks 372917104 $1,010 18,144 SH Defined 11 18,144 GENZYME CORP COM Common Stocks 372917104 $7,154 128,474 SH Defined 23 128,474 GENZYME CORP COM Common Stocks 372917104 $2,392 42,968 SH Defined 42 42,968 GENZYME CORP COM Common Stocks 372917104 $362 6,500 SH Defined 51 6,500 GENZYME CORP COM Common Stocks 372917104 $1,020 18,320 SH Defined 55 18,320 GENZYME CORP COM Common Stocks 372917104 $5,479 98,115 SH Defined 64 98,115 GENZYME CORP COM Common Stocks 372917104 $25,350 455,209 SH Defined 64 455,209 GENZYME CORP COM Common Stocks 372917104 $629 11,298 SH Defined 76 11,298 GENZYME CORP COM Common Stocks 372917104 $406 7,300 SH Defined 80 7,300 GENZYME CORP COM Common Stocks 372917104 $9,663 173,580 SH Sole 88 173,580 GENZYME CORP COM Common Stocks 372917104 $2,934 52,700 SH Defined 89 52,700 GENZYME CORP COM Common Stocks 372917104 $785 14,050 SH Defined 96 14,050 GENZYME CORP COM Common Stocks 372917104 $2,366 42,500 SH Defined 96 42,500 GENZYME CORP COM Common Stocks 372917104 $215 3,816 SH Defined 3,816 GERBER SCIENTIFIC INC COM Common Stocks 373730100 $26 10,200 SH Defined 57 10,200 GERBER SCIENTIFIC INC COM Common Stocks 373730100 $20 8,100 SH Sole 88 8,100 GERDAU S A SPONSORED ADR Common Stocks 373737105 $2,683 256,300 SH Defined 104 256,300 GERDAU AMERISTEEL CORP COM Common Stocks 37373P105 $1,736 254,500 SH Defined 30 254,500 GERDAU AMERISTEEL CORP COM Common Stocks 37373P105 $26 3,700 SH Defined 42 3,700 GERDAU AMERISTEEL CORP COM Common Stocks 37373P105 $1,339 196,388 SH Sole 88 196,388 GERDAU AMERISTEEL CORP COM Common Stocks 37373P105 $2,701 391,100 SH Defined 391,100 GETTY RLTY CORP NEW COM Common Stocks 374297109 $196 10,400 SH Defined 65 10,400 GIBRALTAR INDS INC COM Common Stocks 374689107 $290 42,200 SH Defined 57 42,200 GIBRALTAR INDS INC COM Common Stocks 374689107 $5 700 SH Defined 65 700 GIBRALTAR INDS INC COM Common Stocks 374689107 $206 30,000 SH Sole 88 30,000 GILEAD SCIENCES INC COM Common Stocks 375558103 $7,973 170,226 SH Defined 1 170,226 GILEAD SCIENCES INC COM Common Stocks 375558103 $768 16,400 SH Defined 4 16,400 GILEAD SCIENCES INC COM Common Stocks 375558103 $7,035 150,200 SH Defined 10 150,200 GILEAD SCIENCES INC COM Common Stocks 375558103 $618 13,200 SH Defined 18 13,200 GILEAD SCIENCES INC COM Common Stocks 375558103 $11,653 248,787 SH Defined 27 248,787 GILEAD SCIENCES INC COM Common Stocks 375558103 $4,066 86,800 SH Defined 28 86,800 GILEAD SCIENCES INC COM Common Stocks 375558103 $637 13,600 SH Defined 29 13,600 GILEAD SCIENCES INC COM Common Stocks 375558103 $5,391 115,087 SH Defined 42 115,087 GILEAD SCIENCES INC COM Common Stocks 375558103 $2,497 53,300 SH Defined 51 53,300 GILEAD SCIENCES INC COM Common Stocks 375558103 $1,082 23,100 SH Defined 56 23,100 GILEAD SCIENCES INC COM Common Stocks 375558103 $1,949 41,600 SH Defined 58 41,600 GILEAD SCIENCES INC COM Common Stocks 375558103 $3,094 66,050 SH Defined 60 66,050 GILEAD SCIENCES INC COM Common Stocks 375558103 $2,103 44,666 SH Defined 64 44,666 GILEAD SCIENCES INC COM Common Stocks 375558103 $11,842 252,748 SH Defined 64 252,748 GILEAD SCIENCES INC COM Common Stocks 375558103 $1,892 40,170 SH Defined 66 40,170 GILEAD SCIENCES INC COM Common Stocks 375558103 $2,499 53,335 SH Defined 66 53,335 GILEAD SCIENCES INC COM Common Stocks 375558103 $22,110 472,038 SH Defined 72 472,038 GILEAD SCIENCES INC COM Common Stocks 375558103 $4,428 94,539 SH Defined 76 94,539 GILEAD SCIENCES INC COM Common Stocks 375558103 $1,129 24,100 SH Defined 80 24,100 GILEAD SCIENCES INC COM Common Stocks 375558103 $55,380 1,182,315 SH Sole 88 1,182,315 GILEAD SCIENCES INC COM Common Stocks 375558103 $4,069 86,800 SH Defined 98 86,800 GILEAD SCIENCES INC COM Common Stocks 375558103 $24,497 523,000 SH Defined 99 523,000 GILEAD SCIENCES INC COM Common Stocks 375558103 $17,282 368,964 SH Defined 102 368,964 GILEAD SCIENCES INC COM Common Stocks 375558103 $1,657 35,368 SH Defined 106 35,368 GILEAD SCIENCES INC COM Common Stocks 375558103 $4,805 102,567 SH Defined 102,567 GLACIER BANCORP INC NEW CO Common Stocks 37637Q105 $419 28,382 SH Defined 73 28,382 GLACIER BANCORP INC NEW CO Common Stocks 37637Q105 $98 6,656 SH Defined 81 6,656 GLACIER BANCORP INC NEW CO Common Stocks 37637Q105 $1,754 118,785 SH Sole 88 118,785 GLADSTONE COML CORP COM Common Stocks 376536108 $10 800 SH Defined 65 800 GLATFELTER COM Common Stocks 377316104 $158 17,700 SH Defined 1 17,700 GLATFELTER COM Common Stocks 377316104 $248 27,900 SH Defined 57 27,900 GLATFELTER COM Common Stocks 377316104 $174 19,600 SH Sole 88 19,600 GLAXOSMITHKLINE PLC SPONSO Common Stocks 37733W105 $880 24,900 SH Defined 4 24,900 GLAXOSMITHKLINE PLC SPONSO Common Stocks 37733W105 $565 16,000 SH Defined 32 16,000 GLAXOSMITHKLINE PLC SPONSO Common Stocks 37733W105 $71 2,016 SH Defined 68 2,016 GLAXOSMITHKLINE PLC SPONSO Common Stocks 37733W105 $293 8,300 SH Defined 79 8,300 GLAXOSMITHKLINE PLC SPONSO Common Stocks 37733W105 $512 14,500 SH Defined 79 14,500 GLAXOSMITHKLINE PLC SPONSO Common Stocks 37733W105 $707 20,000 SH Sole 88 20,000 GLOBAL CASH ACCESS HLDGS I Common Stocks 378967103 $187 23,500 SH Defined 23 23,500 GLOBAL CASH ACCESS HLDGS I Common Stocks 378967103 $29 3,700 SH Defined 57 3,700 GLOBAL CASH ACCESS HLDGS I Common Stocks 378967103 $21 2,600 SH Defined 65 2,600 GLOBAL CASH ACCESS HLDGS I Common Stocks 378967103 $305 38,300 SH Sole 88 38,300 GLG PARTNERS INC COM Common Stocks 37929X107 $101 24,650 SH Defined 102 24,650 GLIMCHER RLTY TR SH BEN INT Common Stocks 379302102 $14 4,700 SH Defined 57 4,700 GLOBAL PMTS INC COM Common Stocks 37940X102 $453 12,100 SH Defined 51 12,100 GLOBAL PMTS INC COM Common Stocks 37940X102 $2,228 59,470 SH Defined 57 59,470 GLOBAL PMTS INC COM Common Stocks 37940X102 $3,098 82,693 SH Sole 88 82,693 GLOBAL PMTS INC COM Common Stocks 37940X102 $3,554 94,865 SH Defined 103 94,865 GLOBAL PARTNERS LP COM UNITS Common Stocks 37946R109 $30 1,600 SH Defined 1 1,600 GMX RES INC COM Common Stocks 38011M108 $132 12,400 SH Defined 57 12,400 GMX RES INC COM Common Stocks 38011M108 $95 8,900 SH Sole 88 8,900 GMX RES INC COM Common Stocks 38011M108 $267 25,095 SH Defined 25,095 GOLD FIELDS LTD NEW SPONSO Common Stocks 38059T106 $3,118 258,769 SH Defined 6 258,769 GOLD FIELDS LTD NEW SPONSO Common Stocks 38059T106 $5,658 469,458 SH Defined 23 469,458 GOLD FIELDS LTD NEW SPONSO Common Stocks 38059T106 $304 25,200 SH Defined 41 25,200 GOLD FIELDS LTD NEW SPONSO Common Stocks 38059T106 $147 12,200 SH Sole 88 12,200 GOLD FIELDS LTD NEW SPONSO Common Stocks 38059T106 $502 41,650 SH Defined 100 41,650 GOLD FIELDS LTD NEW SPONSO Common Stocks 38059T106 $40 3,205 SH Defined 3,205 GOLDCORP INC NEW COM Common Stocks 380956409 $4 100 SH Defined 42 100 GOLDCORP INC NEW COM Common Stocks 380956409 $3,739 107,400 SH Defined 43 107,400 GOLDCORP INC NEW COM Common Stocks 380956409 $424 12,169 SH Defined 76 12,169 GOLDCORP INC NEW COM Common Stocks 380956409 $966 27,800 SH Defined 109 27,800 GOLDCORP INC NEW COM Common Stocks 380956409 $29,791 855,759 SH Defined 855,759 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $9,598 65,100 SH Defined 4 65,100 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $26,950 182,789 SH Defined 9 182,789 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $8,817 59,800 SH Defined 10 59,800 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $2,252 15,168 SH Defined 11 15,168 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $7,388 50,090 SH Defined 11 50,090 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $7,756 52,600 SH Defined 14 52,600 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $516 3,500 SH Defined 18 3,500 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $14,135 95,850 SH Defined 23 95,850 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $736 4,958 SH Defined 26 4,958 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $26,550 180,040 SH Defined 26 180,040 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $9,644 65,408 SH Defined 27 65,408 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $4,642 31,485 SH Defined 43 31,485 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $2,359 16,000 SH Defined 51 16,000 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $865 5,870 SH Defined 55 5,870 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $1,651 11,200 SH Defined 56 11,200 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $2,875 19,500 SH Defined 57 19,500 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $4,894 33,195 SH Defined 58 33,195 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $1,216 8,250 SH Defined 60 8,250 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $16,411 111,308 SH Defined 64 111,308 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $2,284 15,380 SH Defined 66 15,380 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $2,502 16,960 SH Defined 66 16,960 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $25,792 174,919 SH Defined 68 174,919 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $3,484 23,630 SH Defined 69 23,630 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $3,234 21,780 SH Defined 70 21,780 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $3,086 20,917 SH Defined 70 20,917 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $1,871 12,600 SH Defined 79 12,600 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $3,273 22,200 SH Defined 79 22,200 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $1,976 13,400 SH Defined 80 13,400 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $112,052 759,983 SH Sole 88 759,983 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $16,681 113,138 SH Defined 94 113,138 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $1,371 9,300 SH Defined 97 9,300 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $1,077 7,300 SH Defined 98 7,300 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $6,325 42,900 SH Defined 99 42,900 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $6,706 45,480 SH Defined 102 45,480 GOLDMAN SACHS GROUP INC CO Common Stocks 38141G104 $13,977 94,756 SH Defined 94,756 GOODRICH CORP COM Common Stocks 382388106 $815 16,300 SH Defined 4 16,300 GOODRICH CORP COM Common Stocks 382388106 $8,365 167,400 SH Defined 10 167,400 GOODRICH CORP COM Common Stocks 382388106 $470 9,400 SH Defined 51 9,400 GOODRICH CORP COM Common Stocks 382388106 $360 7,200 SH Defined 56 7,200 GOODRICH CORP COM Common Stocks 382388106 $3,232 64,676 SH Defined 57 64,676 GOODRICH CORP COM Common Stocks 382388106 $1,535 30,315 SH Defined 66 30,315 GOODRICH CORP COM Common Stocks 382388106 $1,654 33,080 SH Defined 66 33,080 GOODRICH CORP COM Common Stocks 382388106 $170 3,400 SH Defined 80 3,400 GOODRICH CORP COM Common Stocks 382388106 $6,174 123,552 SH Sole 88 123,552 GOODRICH CORP COM Common Stocks 382388106 $869 17,400 SH Defined 97 17,400 GOODRICH CORP COM Common Stocks 382388106 $1,958 39,188 SH Defined 103 39,188 GOODRICH PETE CORP COM NEW Common Stocks 382410405 $3,853 156,702 SH Defined 74 156,702 GOODRICH PETE CORP COM NEW Common Stocks 382410405 $2,938 119,460 SH Defined 85 119,460 GOODRICH PETE CORP COM NEW Common Stocks 382410405 $7,660 311,516 SH Sole 88 311,516 GOODRICH PETE CORP COM NEW Common Stocks 382410405 $228 9,260 SH Defined 9,260 GOODYEAR TIRE & RUBR CO CO Common Stocks 382550101 $6,400 568,300 SH Defined 14 568,300 GOODYEAR TIRE & RUBR CO CO Common Stocks 382550101 $191 17,000 SH Defined 51 17,000 GOODYEAR TIRE & RUBR CO CO Common Stocks 382550101 $476 42,310 SH Defined 60 42,310 GOODYEAR TIRE & RUBR CO CO Common Stocks 382550101 $73 6,500 SH Defined 80 6,500 GOODYEAR TIRE & RUBR CO CO Common Stocks 382550101 $117 10,415 SH Defined 81 10,415 GOODYEAR TIRE & RUBR CO CO Common Stocks 382550101 $3,175 281,930 SH Sole 88 281,930 GOODYEAR TIRE & RUBR CO CO Common Stocks 382550101 $409 36,300 SH Defined 97 36,300 GOODYEAR TIRE & RUBR CO CO Common Stocks 382550101 $3,276 290,950 SH Defined 102 290,950 GOOGLE INC CL A Common Stocks 38259P508 $551 1,308 SH Defined 4 1,308 GOOGLE INC CL A Common Stocks 38259P508 $17,665 41,900 SH Defined 10 41,900 GOOGLE INC CL A Common Stocks 38259P508 $1,027 2,438 SH Defined 11 2,438 GOOGLE INC CL A Common Stocks 38259P508 $5,153 12,219 SH Defined 11 12,219 GOOGLE INC CL A Common Stocks 38259P508 $5,782 13,715 SH Defined 12 13,715 GOOGLE INC CL A Common Stocks 38259P508 $9,424 22,350 SH Defined 14 22,350 GOOGLE INC CL A Common Stocks 38259P508 $1,306 3,100 SH Defined 18 3,100 GOOGLE INC CL A Common Stocks 38259P508 $3,120 7,400 SH Defined 18 7,400 GOOGLE INC CL A Common Stocks 38259P508 $876 2,078 SH Defined 26 2,078 GOOGLE INC CL A Common Stocks 38259P508 $32,038 75,979 SH Defined 26 75,979 GOOGLE INC CL A Common Stocks 38259P508 $12,209 28,960 SH Defined 27 28,960 GOOGLE INC CL A Common Stocks 38259P508 $4,427 10,500 SH Defined 28 10,500 GOOGLE INC CL A Common Stocks 38259P508 $1,054 2,500 SH Defined 29 2,500 GOOGLE INC CL A Common Stocks 38259P508 $4,962 11,770 SH Defined 35 11,770 GOOGLE INC CL A Common Stocks 38259P508 $3,468 8,225 SH Defined 42 8,225 GOOGLE INC CL A Common Stocks 38259P508 $4,553 10,800 SH Defined 51 10,800 GOOGLE INC CL A Common Stocks 38259P508 $831 1,970 SH Defined 55 1,970 GOOGLE INC CL A Common Stocks 38259P508 $1,771 4,200 SH Defined 56 4,200 GOOGLE INC CL A Common Stocks 38259P508 $4,760 11,291 SH Defined 58 11,291 GOOGLE INC CL A Common Stocks 38259P508 $3,398 8,060 SH Defined 60 8,060 GOOGLE INC CL A Common Stocks 38259P508 $6,066 14,395 SH Defined 64 14,395 GOOGLE INC CL A Common Stocks 38259P508 $40,833 96,831 SH Defined 64 96,831 GOOGLE INC CL A Common Stocks 38259P508 $2,215 5,257 SH Defined 66 5,257 GOOGLE INC CL A Common Stocks 38259P508 $3,148 7,464 SH Defined 66 7,464 GOOGLE INC CL A Common Stocks 38259P508 $616 1,460 SH Defined 67 1,460 GOOGLE INC CL A Common Stocks 38259P508 $30,313 71,901 SH Defined 72 71,901 GOOGLE INC CL A Common Stocks 38259P508 $1,032 2,449 SH Defined 76 2,449 GOOGLE INC CL A Common Stocks 38259P508 $2,740 6,500 SH Defined 80 6,500 GOOGLE INC CL A Common Stocks 38259P508 $121,611 288,457 SH Sole 88 288,457 GOOGLE INC CL A Common Stocks 38259P508 $3,246 7,700 SH Defined 89 7,700 GOOGLE INC CL A Common Stocks 38259P508 $17,646 41,857 SH Defined 94 41,857 GOOGLE INC CL A Common Stocks 38259P508 $750 1,780 SH Defined 96 1,780 GOOGLE INC CL A Common Stocks 38259P508 $2,245 5,325 SH Defined 96 5,325 GOOGLE INC CL A Common Stocks 38259P508 $3,713 8,800 SH Defined 98 8,800 GOOGLE INC CL A Common Stocks 38259P508 $22,112 52,450 SH Defined 99 52,450 GOOGLE INC CL A Common Stocks 38259P508 $18,375 43,585 SH Defined 102 43,585 GOOGLE INC CL A Common Stocks 38259P508 $1,213 2,877 SH Defined 106 2,877 GOOGLE INC CL A Common Stocks 38259P508 $13,219 31,350 SH Defined 31,350 GOVERNMENT PPTYS INCOME TR Common Stocks 38376A103 $1,263 61,525 SH Defined 30 61,525 GOVERNMENT PPTYS INCOME TR Common Stocks 38376A103 $1,696 82,600 SH Defined 87 82,600 GOVERNMENT PPTYS INCOME TR Common Stocks 38376A103 $1,027 50,000 SH Sole 88 50,000 GOVERNMENT PPTYS INCOME TR Common Stocks 38376A103 $104 5,055 SH Defined 5,055 GRACE W R & CO DEL NEW COM Common Stocks 38388F108 $93 7,481 SH Defined 81 7,481 GRACO INC COM Common Stocks 384109104 $451 20,500 SH Defined 28 20,500 GRACO INC COM Common Stocks 384109104 $663 30,100 SH Defined 51 30,100 GRACO INC COM Common Stocks 384109104 $421 19,100 SH Sole 88 19,100 GRAFTECH INTL LTD COM Common Stocks 384313102 $26 2,300 SH Defined 65 2,300 GRAFTECH INTL LTD COM Common Stocks 384313102 $116 10,240 SH Defined 81 10,240 GRAINGER W W INC COM Common Stocks 384802104 $246 3,000 SH Defined 4 3,000 GRAINGER W W INC COM Common Stocks 384802104 $3,701 45,200 SH Defined 51 45,200 GRAINGER W W INC COM Common Stocks 384802104 $115 1,407 SH Defined 68 1,407 GRAINGER W W INC COM Common Stocks 384802104 $139 1,700 SH Defined 80 1,700 GRAINGER W W INC COM Common Stocks 384802104 $3,586 43,800 SH Sole 88 43,800 GRAN TIERRA ENERGY INC COM Common Stocks 38500T101 $96 27,937 SH Defined 81 27,937 GRAND CANYON ED INC COM Common Stocks 38526M106 $1,650 98,346 SH Defined 74 98,346 GRAND CANYON ED INC COM Common Stocks 38526M106 $1,783 106,257 SH Sole 88 106,257 GRANITE CONSTR INC COM Common Stocks 387328107 $281 8,437 SH Defined 52 8,437 GRANITE CONSTR INC COM Common Stocks 387328107 $3,025 90,900 SH Defined 57 90,900 GRANITE CONSTR INC COM Common Stocks 387328107 $2,893 86,930 SH Sole 88 86,930 GREAT ATLANTIC & PAC TEA I Common Stocks 390064103 $245 57,700 SH Defined 57 57,700 GREAT ATLANTIC & PAC TEA I Common Stocks 390064103 $156 36,600 SH Sole 88 36,600 GREAT BASIN GOLD LTD COM Common Stocks 390124105 $713 521,100 SH Defined 521,100 GREAT LAKES DREDGE & DOCK CO Common Stocks 390607109 $111 23,194 SH Defined 31 23,194 GREAT LAKES DREDGE & DOCK CO Common Stocks 390607109 $256 53,500 SH Defined 63 53,500 GREAT SOUTHN BANCORP INC COM Common Stocks 390905107 $16 800 SH Defined 65 800 GREAT PLAINS ENERGY INC CO Common Stocks 391164100 $137 8,785 SH Defined 81 8,785 GREATBATCH INC COM Common Stocks 39153L106 $61 2,700 SH Defined 65 2,700 GREATBATCH INC COM Common Stocks 39153L106 $102 4,527 SH Defined 81 4,527 GREEN MTN COFFEE ROASTERS Common Stocks 393122106 $812 13,737 SH Defined 44 13,737 GREEN MTN COFFEE ROASTERS Common Stocks 393122106 $617 10,439 SH Defined 102 10,439 GREEN BANKSHARES INC COM NEW Common Stocks 394361208 $76 16,886 SH Defined 57 16,886 GREEN BANKSHARES INC COM NEW Common Stocks 394361208 $5 1,225 SH Defined 65 1,225 GREEN BANKSHARES INC COM NEW Common Stocks 394361208 $42 9,335 SH Sole 88 9,335 GREENHILL & CO INC COM Common Stocks 395259104 $884 12,220 SH Defined 39 12,220 GREENHILL & CO INC COM Common Stocks 395259104 $88 1,225 SH Defined 44 1,225 GREENHILL & CO INC COM Common Stocks 395259104 $373 5,166 SH Defined 73 5,166 GREENHILL & CO INC COM Common Stocks 395259104 $1,581 21,889 SH Sole 88 21,889 GREENHILL & CO INC COM Common Stocks 395259104 $135 1,870 SH Defined 102 1,870 GREIF INC CL A Common Stocks 397624107 $1,963 44,400 SH Defined 31 44,400 GREIF INC CL A Common Stocks 397624107 $321 7,250 SH Defined 77 7,250 GREIF INC CL A Common Stocks 397624107 $2,224 50,300 SH Sole 88 50,300 GRIFFON CORP COM Common Stocks 398433102 $71 8,569 SH Defined 1 8,569 GRIFFON CORP COM Common Stocks 398433102 $144 17,300 SH Defined 57 17,300 GRIFFON CORP COM Common Stocks 398433102 $75 9,000 SH Sole 88 9,000 GROUP 1 AUTOMOTIVE INC COM Common Stocks 398905109 $2,199 84,500 SH Defined 23 84,500 GROUP 1 AUTOMOTIVE INC COM Common Stocks 398905109 $104 4,000 SH Defined 65 4,000 GROUP 1 AUTOMOTIVE INC COM Common Stocks 398905109 $160 6,150 SH Defined 77 6,150 GROUP 1 AUTOMOTIVE INC COM Common Stocks 398905109 $2,788 107,150 SH Defined 85 107,150 GROUP 1 AUTOMOTIVE INC COM Common Stocks 398905109 $5,269 202,491 SH Sole 88 202,491 GROUPE CGI INC CL A SUB VT Common Stocks 39945C109 $2,903 326,000 SH Defined 1 326,000 GROUPE CGI INC CL A SUB VT Common Stocks 39945C109 $11,673 1,311,042 SH Defined 34 1,311,042 GROUPE CGI INC CL A SUB VT Common Stocks 39945C109 $104 11,584 SH Defined 42 11,584 GROUPE CGI INC CL A SUB VT Common Stocks 39945C109 $13,628 1,530,650 SH Defined 1,530,650 GRUPO TELEVISA SA DE CV SP Common Stocks 40049J206 $189 11,100 SH Defined 14 11,100 GRUPO TELEVISA SA DE CV SP Common Stocks 40049J206 $2,550 150,000 SH Defined 46 150,000 GRUPO TELEVISA SA DE CV SP Common Stocks 40049J206 $3,777 220,200 SH Defined 47 220,200 GRUPO TELEVISA SA DE CV SP Common Stocks 40049J206 $21,179 1,245,600 SH Defined 47 1,245,600 GRUPO TELEVISA SA DE CV SP Common Stocks 40049J206 $911 53,600 SH Sole 88 53,600 GRUPO TELEVISA SA DE CV SP Common Stocks 40049J206 $551 32,400 SH Defined 32,400 GRUPO AEROPORTUARIO DEL SU Common Stocks 40051E202 $179 4,600 SH Defined 14 4,600 GRUPO AEROPORTUARIO DEL SU Common Stocks 40051E202 $1,053 26,995 SH Defined 46 26,995 GRUPO AEROPORTUARIO DEL SU Common Stocks 40051E202 $134 3,435 SH Sole 88 3,435 GTX INC DEL COM Common Stocks 40052B108 $18 1,900 SH Defined 65 1,900 GUESS INC COM Common Stocks 401617105 $0 2 SH Defined 1 2 GUESS INC COM Common Stocks 401617105 $1,874 72,706 SH Defined 27 72,706 GUESS INC COM Common Stocks 401617105 $1,856 72,000 SH Defined 30 72,000 GUESS INC COM Common Stocks 401617105 $432 16,740 SH Defined 60 16,740 GUESS INC COM Common Stocks 401617105 $4,764 184,806 SH Sole 88 184,806 GUESS INC COM Common Stocks 401617105 $4,299 166,774 SH Defined 102 166,774 GULF ISLAND FABRICATION IN Common Stocks 402307102 $15 937 SH Defined 31 937 GULF ISLAND FABRICATION IN Common Stocks 402307102 $321 20,300 SH Defined 57 20,300 GULF ISLAND FABRICATION IN Common Stocks 402307102 $218 13,800 SH Sole 88 13,800 GULFMARK OFFSHORE INC COM Common Stocks 402629109 $1,994 72,216 SH Defined 23 72,216 GULFMARK OFFSHORE INC COM Common Stocks 402629109 $204 7,400 SH Defined 57 7,400 GULFMARK OFFSHORE INC COM Common Stocks 402629109 $160 5,800 SH Sole 88 5,800 GULFMARK OFFSHORE INC COM Common Stocks 402629109 $16 590 SH Defined 590 GULFPORT ENERGY CORP COM N Common Stocks 402635304 $40 5,900 SH Defined 65 5,900 GYMBOREE CORP COM Common Stocks 403777105 $351 9,900 SH Defined 41 9,900 GYMBOREE CORP COM Common Stocks 403777105 $2,371 66,840 SH Defined 85 66,840 GYMBOREE CORP COM Common Stocks 403777105 $3,451 97,255 SH Sole 88 97,255 H & E EQUIPMENT SERVICES I Common Stocks 404030108 $247 26,400 SH Defined 57 26,400 H & E EQUIPMENT SERVICES I Common Stocks 404030108 $40 4,300 SH Defined 65 4,300 H & E EQUIPMENT SERVICES I Common Stocks 404030108 $151 16,100 SH Sole 88 16,100 HCC INS HLDGS INC COM Common Stocks 404132102 $444 18,475 SH Defined 21 18,475 HCC INS HLDGS INC COM Common Stocks 404132102 $1,986 82,700 SH Defined 35 82,700 HCC INS HLDGS INC COM Common Stocks 404132102 $1,604 66,800 SH Defined 51 66,800 HCC INS HLDGS INC COM Common Stocks 404132102 $250 10,400 SH Defined 67 10,400 HCC INS HLDGS INC COM Common Stocks 404132102 $420 17,500 SH Defined 77 17,500 HCC INS HLDGS INC COM Common Stocks 404132102 $3,656 152,275 SH Sole 88 152,275 HCP INC COM Common Stocks 40414L109 $19,259 908,700 SH Defined 2 908,700 HCP INC COM Common Stocks 40414L109 $1,743 82,792 SH Defined 25 82,792 HCP INC COM Common Stocks 40414L109 $2,199 103,748 SH Defined 25 103,748 HCP INC COM Common Stocks 40414L109 $10,769 508,200 SH Defined 48 508,200 HCP INC COM Common Stocks 40414L109 $801 37,800 SH Defined 51 37,800 HCP INC COM Common Stocks 40414L109 $2,015 95,741 SH Defined 54 95,741 HCP INC COM Common Stocks 40414L109 $19,663 927,796 SH Defined 54 927,796 HCP INC COM Common Stocks 40414L109 $155 7,300 SH Defined 80 7,300 HCP INC COM Common Stocks 40414L109 $9,761 460,650 SH Defined 87 460,650 HCP INC COM Common Stocks 40414L109 $2,482 117,126 SH Sole 88 117,126 HDFC BANK LTD ADR REPS 3 S Common Stocks 40415F101 $505 4,900 SH Defined 14 4,900 HDFC BANK LTD ADR REPS 3 S Common Stocks 40415F101 $1,877 18,200 SH Defined 45 18,200 HDFC BANK LTD ADR REPS 3 S Common Stocks 40415F101 $9,521 92,320 SH Defined 46 92,320 HDFC BANK LTD ADR REPS 3 S Common Stocks 40415F101 $2,788 26,600 SH Defined 66 26,600 HDFC BANK LTD ADR REPS 3 S Common Stocks 40415F101 $2,303 22,334 SH Sole 88 22,334 HDFC BANK LTD ADR REPS 3 S Common Stocks 40415F101 $5,682 55,100 SH Defined 104 55,100 HDFC BANK LTD ADR REPS 3 S Common Stocks 40415F101 $627 6,078 SH Defined 109 6,078 HF FINL CORP COM Common Stocks 404172108 $0 10 SH Defined 31 10 HLTH CORPORATION COM Common Stocks 40422Y101 $849 64,800 SH Defined 51 64,800 HLTH CORPORATION COM Common Stocks 40422Y101 $531 40,500 SH Sole 88 40,500 HNI CORP COM Common Stocks 404251100 $128 7,079 SH Defined 81 7,079 HMS HLDGS CORP COM Common Stocks 40425J101 $570 14,000 SH Defined 44 14,000 HMS HLDGS CORP COM Common Stocks 40425J101 $2,763 67,862 SH Defined 74 67,862 HMS HLDGS CORP COM Common Stocks 40425J101 $3,831 94,090 SH Defined 85 94,090 HMS HLDGS CORP COM Common Stocks 40425J101 $13,717 336,870 SH Sole 88 336,870 HMS HLDGS CORP COM Common Stocks 40425J101 $855 21,000 SH Defined 95 21,000 HQ SUSTAINABLE MARITIM IND I Common Stocks 40426A208 $27 3,000 SH Defined 65 3,000 HQ SUSTAINABLE MARITIM IND I Common Stocks 40426A208 $1,958 213,938 SH Sole 88 213,938 HQ SUSTAINABLE MARITIM IND I Common Stocks 40426A208 $406 44,400 SH Defined 95 44,400 HRPT PPTYS TR COM SH BEN I Common Stocks 40426W101 $5,416 1,333,700 SH Defined 2 1,333,700 HRPT PPTYS TR COM SH BEN I Common Stocks 40426W101 $181 44,600 SH Defined 51 44,600 HRPT PPTYS TR COM SH BEN I Common Stocks 40426W101 $3,955 974,113 SH Defined 57 974,113 HRPT PPTYS TR COM SH BEN I Common Stocks 40426W101 $2,733 673,184 SH Sole 88 673,184 HSBC HLDGS PLC SPON ADR NE Common Stocks 404280406 $165 3,941 SH Defined 32 3,941 HSN INC COM Common Stocks 404303109 $255 24,143 SH Defined 1 24,143 HSN INC COM Common Stocks 404303109 $250 23,664 SH Defined 42 23,664 HSN INC COM Common Stocks 404303109 $110 10,374 SH Sole 88 10,374 HACKETT GROUP INC COM Common Stocks 404609109 $121 51,900 SH Defined 1 51,900 HACKETT GROUP INC COM Common Stocks 404609109 $70 29,900 SH Defined 23 29,900 HACKETT GROUP INC COM Common Stocks 404609109 $103 44,400 SH Sole 88 44,400 HAEMONETICS CORP COM Common Stocks 405024100 $866 15,185 SH Defined 73 15,185 HAEMONETICS CORP COM Common Stocks 405024100 $143 2,500 SH Defined 81 2,500 HAEMONETICS CORP COM Common Stocks 405024100 $3,464 60,765 SH Sole 88 60,765 HAEMONETICS CORP COM Common Stocks 405024100 $166 2,910 SH Defined 102 2,910 HAIN CELESTIAL GROUP INC C Common Stocks 405217100 $109 7,005 SH Defined 81 7,005 HAIN CELESTIAL GROUP INC C Common Stocks 405217100 $290 18,565 SH Defined 18,565 HALLIBURTON CO COM Common Stocks 406216101 $2,810 135,750 SH Defined 12 135,750 HALLIBURTON CO COM Common Stocks 406216101 $710 34,300 SH Defined 51 34,300 HALLIBURTON CO COM Common Stocks 406216101 $472 22,820 SH Defined 55 22,820 HALLIBURTON CO COM Common Stocks 406216101 $625 30,200 SH Defined 56 30,200 HALLIBURTON CO COM Common Stocks 406216101 $1,042 50,360 SH Defined 58 50,360 HALLIBURTON CO COM Common Stocks 406216101 $475 22,940 SH Defined 60 22,940 HALLIBURTON CO COM Common Stocks 406216101 $6,125 295,875 SH Defined 72 295,875 HALLIBURTON CO COM Common Stocks 406216101 $495 23,900 SH Defined 80 23,900 HALLIBURTON CO COM Common Stocks 406216101 $5,804 280,390 SH Sole 88 280,390 HALLIBURTON CO COM Common Stocks 406216101 $670 32,350 SH Defined 102 32,350 HALLMARK FINL SVCS INC EC CO Common Stocks 40624Q203 $14 1,900 SH Defined 65 1,900 HANCOCK HLDG CO COM Common Stocks 410120109 $553 17,007 SH Defined 52 17,007 HANCOCK HLDG CO COM Common Stocks 410120109 $766 23,584 SH Sole 88 23,584 HANESBRANDS INC COM Common Stocks 410345102 $1,974 131,500 SH Defined 105 131,500 HANGER ORTHOPEDIC GROUP IN Common Stocks 41043F208 $31 2,300 SH Defined 57 2,300 HANOVER INS GROUP INC COM Common Stocks 410867105 $1,662 43,600 SH Defined 31 43,600 HANOVER INS GROUP INC COM Common Stocks 410867105 $290 7,600 SH Defined 51 7,600 HANOVER INS GROUP INC COM Common Stocks 410867105 $1,219 31,984 SH Defined 52 31,984 HANOVER INS GROUP INC COM Common Stocks 410867105 $712 18,692 SH Defined 73 18,692 HANOVER INS GROUP INC COM Common Stocks 410867105 $6,706 175,956 SH Sole 88 175,956 HANSEN NAT CORP COM Common Stocks 411310105 $2,214 71,756 SH Defined 11 71,756 HANSEN NAT CORP COM Common Stocks 411310105 $285 9,200 SH Defined 26 9,200 HANSEN NAT CORP COM Common Stocks 411310105 $10,523 341,377 SH Defined 26 341,377 HANSEN NAT CORP COM Common Stocks 411310105 $2,262 73,383 SH Defined 42 73,383 HANSEN NAT CORP COM Common Stocks 411310105 $361 11,700 SH Defined 51 11,700 HANSEN NAT CORP COM Common Stocks 411310105 $909 29,500 SH Defined 57 29,500 HANSEN NAT CORP COM Common Stocks 411310105 $516 16,740 SH Defined 60 16,740 HANSEN NAT CORP COM Common Stocks 411310105 $1,096 35,562 SH Defined 76 35,562 HANSEN NAT CORP COM Common Stocks 411310105 $96 3,129 SH Defined 81 3,129 HANSEN NAT CORP COM Common Stocks 411310105 $11,773 381,981 SH Sole 88 381,981 HANSEN NAT CORP COM Common Stocks 411310105 $4,264 138,350 SH Defined 102 138,350 HANSEN NAT CORP COM Common Stocks 411310105 $57 1,816 SH Defined 1,816 HARDINGE INC COM Common Stocks 412324303 $31 7,400 SH Defined 31 7,400 HARLEY DAVIDSON INC COM Common Stocks 412822108 $418 25,800 SH Defined 51 25,800 HARLEY DAVIDSON INC COM Common Stocks 412822108 $2,644 163,050 SH Defined 68 163,050 HARLEY DAVIDSON INC COM Common Stocks 412822108 $1,159 69,390 SH Defined 70 69,390 HARLEY DAVIDSON INC COM Common Stocks 412822108 $1,092 67,327 SH Defined 70 67,327 HARLEY DAVIDSON INC COM Common Stocks 412822108 $101 6,200 SH Defined 80 6,200 HARLEY DAVIDSON INC COM Common Stocks 412822108 $271 16,700 SH Sole 88 16,700 HARLEYSVILLE GROUP INC COM Common Stocks 412824104 $167 5,900 SH Defined 22 5,900 HARLEYSVILLE NATL CORP PA Common Stocks 412850109 $104 22,100 SH Defined 57 22,100 HARLEYSVILLE NATL CORP PA Common Stocks 412850109 $71 15,000 SH Sole 88 15,000 HARMAN INTL INDS INC COM Common Stocks 413086109 $1,789 95,146 SH Defined 42 95,146 HARMAN INTL INDS INC COM Common Stocks 413086109 $194 10,300 SH Defined 51 10,300 HARMAN INTL INDS INC COM Common Stocks 413086109 $34 1,800 SH Defined 80 1,800 HARMAN INTL INDS INC COM Common Stocks 413086109 $1,105 58,785 SH Sole 88 58,785 HARMONIC INC COM Common Stocks 413160102 $213 36,200 SH Defined 36,200 HARMONY GOLD MNG LTD SPONS Common Stocks 413216300 $1,447 140,200 SH Defined 104 140,200 HARRIS CORP DEL COM Common Stocks 413875105 $4,606 162,400 SH Defined 10 162,400 HARRIS CORP DEL COM Common Stocks 413875105 $2,227 78,525 SH Defined 12 78,525 HARRIS CORP DEL COM Common Stocks 413875105 $4,813 169,700 SH Defined 35 169,700 HARRIS CORP DEL COM Common Stocks 413875105 $213 7,500 SH Defined 57 7,500 HARRIS CORP DEL COM Common Stocks 413875105 $598 21,100 SH Defined 67 21,100 HARRIS CORP DEL COM Common Stocks 413875105 $99 3,500 SH Defined 80 3,500 HARRIS CORP DEL COM Common Stocks 413875105 $6,616 233,300 SH Sole 88 233,300 HARRIS STRATEX NTWRKS INC Common Stocks 41457P106 $3 521 SH Defined 15 521 HARRIS STRATEX NTWRKS INC Common Stocks 41457P106 $326 50,276 SH Defined 52 50,276 HARRIS STRATEX NTWRKS INC Common Stocks 41457P106 $312 48,100 SH Defined 57 48,100 HARRIS STRATEX NTWRKS INC Common Stocks 41457P106 $87 13,379 SH Defined 81 13,379 HARRIS STRATEX NTWRKS INC Common Stocks 41457P106 $718 110,793 SH Sole 88 110,793 HARRIS STRATEX NTWRKS INC Common Stocks 41457P106 $271 41,850 SH Defined 41,850 HARSCO CORP COM Common Stocks 415864107 $0 4 SH Defined 1 4 HARSCO CORP COM Common Stocks 415864107 $238 8,383 SH Defined 11 8,383 HARSCO CORP COM Common Stocks 415864107 $472 16,675 SH Defined 21 16,675 HARSCO CORP COM Common Stocks 415864107 $1,871 66,126 SH Sole 88 66,126 HARTFORD FINL SVCS GROUP I Common Stocks 416515104 $1,437 121,100 SH Defined 4 121,100 HARTFORD FINL SVCS GROUP I Common Stocks 416515104 $746 62,035 SH Defined 11 62,035 HARTFORD FINL SVCS GROUP I Common Stocks 416515104 $3,957 333,252 SH Defined 11 333,252 HARTFORD FINL SVCS GROUP I Common Stocks 416515104 $967 81,500 SH Defined 51 81,500 HARTFORD FINL SVCS GROUP I Common Stocks 416515104 $2,389 201,300 SH Defined 57 201,300 HARTFORD FINL SVCS GROUP I Common Stocks 416515104 $4,888 411,800 SH Defined 59 411,800 HARTFORD FINL SVCS GROUP I Common Stocks 416515104 $102 8,600 SH Defined 80 8,600 HARTFORD FINL SVCS GROUP I Common Stocks 416515104 $5,273 444,240 SH Sole 88 444,240 HARTFORD FINL SVCS GROUP I Common Stocks 416515104 $1,715 144,455 SH Defined 91 144,455 HARVARD BIOSCIENCE INC COM Common Stocks 416906105 $1,954 494,728 SH Defined 92 494,728 HARVEST ENERGY TR TRUST UN Common Stocks 41752X101 $136 24,900 SH Defined 1 24,900 HARVEST ENERGY TR TRUST UN Common Stocks 41752X101 $1,422 260,833 SH Defined 76 260,833 HASBRO INC COM Common Stocks 418056107 $1,151 47,500 SH Defined 30 47,500 HASBRO INC COM Common Stocks 418056107 $1,244 51,300 SH Defined 51 51,300 HASBRO INC COM Common Stocks 418056107 $276 11,400 SH Defined 57 11,400 HASBRO INC COM Common Stocks 418056107 $6,612 272,790 SH Defined 68 272,790 HASBRO INC COM Common Stocks 418056107 $1,278 52,740 SH Defined 69 52,740 HASBRO INC COM Common Stocks 418056107 $80 3,300 SH Defined 80 3,300 HASBRO INC COM Common Stocks 418056107 $7,263 299,640 SH Sole 88 299,640 HATTERAS FINL CORP COM Common Stocks 41902R103 $1,321 46,200 SH Defined 23 46,200 HATTERAS FINL CORP COM Common Stocks 41902R103 $264 9,225 SH Defined 44 9,225 HATTERAS FINL CORP COM Common Stocks 41902R103 $1,335 46,700 SH Sole 88 46,700 HAVERTY FURNITURE INC COM Common Stocks 419596101 $131 14,300 SH Defined 57 14,300 HAVERTY FURNITURE INC COM Common Stocks 419596101 $81 8,800 SH Sole 88 8,800 HAWAIIAN ELEC INDUSTRIES C Common Stocks 419870100 $1,435 75,300 SH Defined 51 75,300 HAWAIIAN ELEC INDUSTRIES C Common Stocks 419870100 $942 49,400 SH Defined 57 49,400 HAWAIIAN ELEC INDUSTRIES C Common Stocks 419870100 $1,349 70,800 SH Sole 88 70,800 HAWAIIAN HOLDINGS INC COM Common Stocks 419879101 $83 13,800 SH Defined 1 13,800 HAWAIIAN HOLDINGS INC COM Common Stocks 419879101 $61 10,200 SH Defined 57 10,200 HAWKINS INC COM Common Stocks 420261109 $47 2,100 SH Defined 1 2,100 HAWKINS INC COM Common Stocks 420261109 $73 3,250 SH Defined 44 3,250 HEALTHSOUTH CORP COM NEW Common Stocks 421924309 $105 7,300 SH Defined 23 7,300 HEALTHSOUTH CORP COM NEW Common Stocks 421924309 $14 1,000 SH Defined 65 1,000 HEALTHSOUTH CORP COM NEW Common Stocks 421924309 $125 8,681 SH Defined 81 8,681 HEALTHSOUTH CORP COM NEW Common Stocks 421924309 $157 10,900 SH Sole 88 10,900 HEALTHSOUTH CORP COM NEW Common Stocks 421924309 $357 24,720 SH Defined 102 24,720 HEALTH MGMT ASSOC INC NEW Common Stocks 421933102 $93 18,900 SH Defined 23 18,900 HEALTH MGMT ASSOC INC NEW Common Stocks 421933102 $507 102,588 SH Defined 76 102,588 HEALTH MGMT ASSOC INC NEW Common Stocks 421933102 $136 27,500 SH Sole 88 27,500 HEALTHCARE RLTY TR COM Common Stocks 421946104 $162 9,600 SH Sole 88 9,600 HEADWATERS INC COM Common Stocks 42210P102 $290 86,073 SH Defined 11 86,073 HEALTH CARE REIT INC COM Common Stocks 42217K106 $13,855 406,300 SH Defined 48 406,300 HEALTH CARE REIT INC COM Common Stocks 42217K106 $460 13,500 SH Defined 51 13,500 HEALTH CARE REIT INC COM Common Stocks 42217K106 $2,313 68,299 SH Defined 54 68,299 HEALTH CARE REIT INC COM Common Stocks 42217K106 $22,718 666,107 SH Defined 54 666,107 HEALTH CARE REIT INC COM Common Stocks 42217K106 $208 6,100 SH Defined 56 6,100 HEALTH CARE REIT INC COM Common Stocks 42217K106 $429 12,580 SH Defined 58 12,580 HEALTH CARE REIT INC COM Common Stocks 42217K106 $102 3,000 SH Defined 80 3,000 HEALTH CARE REIT INC COM Common Stocks 42217K106 $165 4,831 SH Defined 81 4,831 HEALTH CARE REIT INC COM Common Stocks 42217K106 $2,282 67,387 SH Defined 82 67,387 HEALTH CARE REIT INC COM Common Stocks 42217K106 $7,579 222,131 SH Defined 82 222,131 HEALTH CARE REIT INC COM Common Stocks 42217K106 $1,533 44,945 SH Sole 88 44,945 HEALTH CARE REIT INC COM Common Stocks 42217K106 $682 20,000 SH Defined 97 20,000 HEALTH NET INC COM Common Stocks 42222G108 $522 33,600 SH Defined 10 33,600 HEALTH NET INC COM Common Stocks 42222G108 $229 14,700 SH Defined 51 14,700 HEALTH NET INC COM Common Stocks 42222G108 $4,230 272,000 SH Defined 57 272,000 HEALTH NET INC COM Common Stocks 42222G108 $2,252 144,800 SH Sole 88 144,800 HEALTHWAYS INC COM Common Stocks 422245100 $16 1,200 SH Defined 65 1,200 HEALTHSPRING INC COM Common Stocks 42224N101 $7,952 732,085 SH Defined 23 732,085 HEALTHSPRING INC COM Common Stocks 42224N101 $1,603 147,600 SH Defined 57 147,600 HEALTHSPRING INC COM Common Stocks 42224N101 $109 10,000 SH Defined 63 10,000 HEALTHSPRING INC COM Common Stocks 42224N101 $403 37,070 SH Defined 77 37,070 HEALTHSPRING INC COM Common Stocks 42224N101 $2,880 265,200 SH Sole 88 265,200 HEALTHSPRING INC COM Common Stocks 42224N101 $48 4,401 SH Defined 4,401 HEARTLAND PMT SYS INC COM Common Stocks 42235N108 $4,724 493,600 SH Defined 28 493,600 HEARTLAND PMT SYS INC COM Common Stocks 42235N108 $48 5,000 SH Defined 57 5,000 HEARTLAND PMT SYS INC COM Common Stocks 42235N108 $184 19,190 SH Defined 19,190 HEICO CORP NEW COM Common Stocks 422806109 $115 3,173 SH Defined 81 3,173 HEIDRICK & STRUGGLES INTL Common Stocks 422819102 $124 6,786 SH Defined 31 6,786 HEIDRICK & STRUGGLES INTL Common Stocks 422819102 $425 23,300 SH Defined 57 23,300 HEIDRICK & STRUGGLES INTL Common Stocks 422819102 $243 13,300 SH Sole 88 13,300 HEINZ H J CO COM Common Stocks 423074103 $5,355 150,000 SH Defined 51 150,000 HEINZ H J CO COM Common Stocks 423074103 $296 8,300 SH Defined 80 8,300 HEINZ H J CO COM Common Stocks 423074103 $3,384 94,800 SH Sole 88 94,800 HELIX ENERGY SOLUTIONS GRP Common Stocks 42330P107 $436 40,065 SH Defined 52 40,065 HELIX ENERGY SOLUTIONS GRP Common Stocks 42330P107 $42 3,900 SH Defined 65 3,900 HELIX ENERGY SOLUTIONS GRP Common Stocks 42330P107 $633 58,255 SH Sole 88 58,255 HELMERICH & PAYNE INC COM Common Stocks 423452101 $1,000 32,400 SH Defined 4 32,400 HELMERICH & PAYNE INC COM Common Stocks 423452101 $1,312 42,500 SH Defined 30 42,500 HELMERICH & PAYNE INC COM Common Stocks 423452101 $367 11,900 SH Defined 57 11,900 HELMERICH & PAYNE INC COM Common Stocks 423452101 $1,025 33,200 SH Sole 88 33,200 HENRY JACK & ASSOC INC COM Common Stocks 426281101 $137 6,600 SH Defined 57 6,600 HERCULES TECH GROWTH CAP I Common Stocks 427096508 $54 6,500 SH Defined 23 6,500 HERCULES TECH GROWTH CAP I Common Stocks 427096508 $9 1,100 SH Defined 31 1,100 HERCULES TECH GROWTH CAP I Common Stocks 427096508 $145 17,300 SH Defined 57 17,300 HERCULES TECH GROWTH CAP I Common Stocks 427096508 $292 34,900 SH Sole 88 34,900 HERITAGE FINL GROUP COM Common Stocks 42725U109 $43 5,017 SH Defined 31 5,017 HERSHA HOSPITALITY TR SH BEN Common Stocks 427825104 $65 26,100 SH Defined 57 26,100 HERSHA HOSPITALITY TR SH BEN Common Stocks 427825104 $72 28,900 SH Sole 88 28,900 HERSHEY CO COM Common Stocks 427866108 $2,165 60,132 SH Defined 31 60,132 HERSHEY CO COM Common Stocks 427866108 $228 6,347 SH Defined 42 6,347 HERSHEY CO COM Common Stocks 427866108 $5,000 138,900 SH Defined 51 138,900 HERSHEY CO COM Common Stocks 427866108 $104 2,900 SH Defined 57 2,900 HERSHEY CO COM Common Stocks 427866108 $162 4,500 SH Defined 80 4,500 HERSHEY CO COM Common Stocks 427866108 $3,798 105,504 SH Sole 88 105,504 HERTZ GLOBAL HOLDINGS INC Common Stocks 42805T105 $206 25,800 SH Defined 51 25,800 HERTZ GLOBAL HOLDINGS INC Common Stocks 42805T105 $113 14,155 SH Defined 81 14,155 HERTZ GLOBAL HOLDINGS INC Common Stocks 42805T105 $132 16,500 SH Sole 88 16,500 HESS CORP COM Common Stocks 42809H107 $5,546 103,172 SH Defined 1 103,172 HESS CORP COM Common Stocks 42809H107 $3,804 70,780 SH Defined 9 70,780 HESS CORP COM Common Stocks 42809H107 $6,736 125,300 SH Defined 14 125,300 HESS CORP COM Common Stocks 42809H107 $9,885 183,905 SH Defined 27 183,905 HESS CORP COM Common Stocks 42809H107 $366 6,800 SH Defined 51 6,800 HESS CORP COM Common Stocks 42809H107 $312 5,800 SH Defined 56 5,800 HESS CORP COM Common Stocks 42809H107 $608 11,310 SH Defined 58 11,310 HESS CORP COM Common Stocks 42809H107 $8,785 163,445 SH Defined 68 163,445 HESS CORP COM Common Stocks 42809H107 $1,688 31,400 SH Defined 69 31,400 HESS CORP COM Common Stocks 42809H107 $409 7,600 SH Defined 80 7,600 HESS CORP COM Common Stocks 42809H107 $12,870 239,443 SH Sole 88 239,443 HESS CORP COM Common Stocks 42809H107 $762 14,100 SH Defined 93 14,100 HESS CORP COM Common Stocks 42809H107 $1,887 35,100 SH Defined 93 35,100 HEWITT ASSOCS INC COM Common Stocks 42822Q100 $4,300 144,395 SH Defined 23 144,395 HEWITT ASSOCS INC COM Common Stocks 42822Q100 $113 3,800 SH Defined 51 3,800 HEWITT ASSOCS INC COM Common Stocks 42822Q100 $3,636 122,100 SH Defined 57 122,100 HEWITT ASSOCS INC COM Common Stocks 42822Q100 $6,135 206,000 SH Sole 88 206,000 HEWLETT PACKARD CO COM Common Stocks 428236103 $14,404 372,673 SH Defined 1 372,673 HEWLETT PACKARD CO COM Common Stocks 428236103 $557 14,400 SH Defined 4 14,400 HEWLETT PACKARD CO COM Common Stocks 428236103 $5,146 133,150 SH Defined 8 133,150 HEWLETT PACKARD CO COM Common Stocks 428236103 $15,101 390,700 SH Defined 10 390,700 HEWLETT PACKARD CO COM Common Stocks 428236103 $117 3,016 SH Defined 11 3,016 HEWLETT PACKARD CO COM Common Stocks 428236103 $4,479 115,880 SH Defined 12 115,880 HEWLETT PACKARD CO COM Common Stocks 428236103 $7,209 186,500 SH Defined 14 186,500 HEWLETT PACKARD CO COM Common Stocks 428236103 $6,744 174,500 SH Defined 17 174,500 HEWLETT PACKARD CO COM Common Stocks 428236103 $421 10,900 SH Defined 18 10,900 HEWLETT PACKARD CO COM Common Stocks 428236103 $40,831 1,056,186 SH Defined 23 1,056,186 HEWLETT PACKARD CO COM Common Stocks 428236103 $536 13,829 SH Defined 26 13,829 HEWLETT PACKARD CO COM Common Stocks 428236103 $17,807 460,635 SH Defined 26 460,635 HEWLETT PACKARD CO COM Common Stocks 428236103 $11,257 291,263 SH Defined 27 291,263 HEWLETT PACKARD CO COM Common Stocks 428236103 $1,140 29,499 SH Defined 32 29,499 HEWLETT PACKARD CO COM Common Stocks 428236103 $781 20,208 SH Defined 42 20,208 HEWLETT PACKARD CO COM Common Stocks 428236103 $7,775 200,600 SH Defined 47 200,600 HEWLETT PACKARD CO COM Common Stocks 428236103 $44,351 1,147,300 SH Defined 47 1,147,300 HEWLETT PACKARD CO COM Common Stocks 428236103 $1,457 37,600 SH Defined 50 37,600 HEWLETT PACKARD CO COM Common Stocks 428236103 $47,371 1,225,398 SH Defined 50 1,225,398 HEWLETT PACKARD CO COM Common Stocks 428236103 $8,464 219,000 SH Defined 51 219,000 HEWLETT PACKARD CO COM Common Stocks 428236103 $826 21,370 SH Defined 55 21,370 HEWLETT PACKARD CO COM Common Stocks 428236103 $1,778 46,000 SH Defined 56 46,000 HEWLETT PACKARD CO COM Common Stocks 428236103 $8,006 207,150 SH Defined 58 207,150 HEWLETT PACKARD CO COM Common Stocks 428236103 $2,333 60,200 SH Defined 66 60,200 HEWLETT PACKARD CO COM Common Stocks 428236103 $3,248 84,010 SH Defined 66 84,010 HEWLETT PACKARD CO COM Common Stocks 428236103 $3,943 102,013 SH Defined 68 102,013 HEWLETT PACKARD CO COM Common Stocks 428236103 $750 19,410 SH Defined 69 19,410 HEWLETT PACKARD CO COM Common Stocks 428236103 $28,288 731,890 SH Defined 72 731,890 HEWLETT PACKARD CO COM Common Stocks 428236103 $1,599 41,365 SH Defined 76 41,365 HEWLETT PACKARD CO COM Common Stocks 428236103 $764 19,700 SH Defined 79 19,700 HEWLETT PACKARD CO COM Common Stocks 428236103 $1,345 34,800 SH Defined 79 34,800 HEWLETT PACKARD CO COM Common Stocks 428236103 $2,455 63,521 SH Defined 80 63,521 HEWLETT PACKARD CO COM Common Stocks 428236103 $89,611 2,318,526 SH Sole 88 2,318,526 HEWLETT PACKARD CO COM Common Stocks 428236103 $16,891 437,034 SH Defined 94 437,034 HEWLETT PACKARD CO COM Common Stocks 428236103 $1,549 40,075 SH Defined 106 40,075 HEWLETT PACKARD CO COM Common Stocks 428236103 $14,112 364,965 SH Defined 364,965 HEXCEL CORP NEW COM Common Stocks 428291108 $810 85,001 SH Defined 52 85,001 HEXCEL CORP NEW COM Common Stocks 428291108 $769 80,742 SH Sole 88 80,742 HEXCEL CORP NEW COM Common Stocks 428291108 $327 34,350 SH Defined 101 34,350 HHGREGG INC COM Common Stocks 42833L108 $1,895 125,009 SH Defined 23 125,009 HHGREGG INC COM Common Stocks 42833L108 $36 2,400 SH Defined 65 2,400 HHGREGG INC COM Common Stocks 42833L108 $4,038 266,380 SH Defined 74 266,380 HHGREGG INC COM Common Stocks 42833L108 $6,089 401,630 SH Sole 88 401,630 HI-TECH PHARMACAL INC COM Common Stocks 42840B101 $8 900 SH Defined 65 900 HIBBETT SPORTS INC COM Common Stocks 428567101 $45 2,500 SH Defined 63 2,500 HIBBETT SPORTS INC COM Common Stocks 428567101 $318 17,660 SH Defined 74 17,660 HIBBETT SPORTS INC COM Common Stocks 428567101 $3,730 207,200 SH Sole 88 207,200 HIBBETT SPORTS INC COM Common Stocks 428567101 $509 28,300 SH Defined 95 28,300 HIGHWOODS PPTYS INC COM Common Stocks 431284108 $1,392 62,600 SH Defined 54 62,600 HIGHWOODS PPTYS INC COM Common Stocks 431284108 $12,491 558,300 SH Defined 54 558,300 HIGHWOODS PPTYS INC COM Common Stocks 431284108 $499 22,300 SH Sole 88 22,300 HILL ROM HLDGS INC COM Common Stocks 431475102 $121 7,446 SH Defined 42 7,446 HILL ROM HLDGS INC COM Common Stocks 431475102 $91 5,600 SH Defined 57 5,600 HILL ROM HLDGS INC COM Common Stocks 431475102 $66 4,050 SH Sole 88 4,050 HILLENBRAND INC COM Common Stocks 431571108 $358 21,500 SH Defined 51 21,500 HILLENBRAND INC COM Common Stocks 431571108 $225 13,500 SH Sole 88 13,500 HILLENBRAND INC COM Common Stocks 431571108 $145 8,720 SH Defined 8,720 HIMAX TECHNOLOGIES INC SPO Common Stocks 43289P106 $102 27,100 SH Defined 23 27,100 HIMAX TECHNOLOGIES INC SPO Common Stocks 43289P106 $170 45,300 SH Sole 88 45,300 HITACHI LIMITED ADR 10 COM Common Stocks 433578507 $65 2,100 SH Defined 32 2,100 HITTITE MICROWAVE CORP COM Common Stocks 43365Y104 $38 1,100 SH Defined 57 1,100 HITTITE MICROWAVE CORP COM Common Stocks 43365Y104 $3,182 91,579 SH Defined 74 91,579 HITTITE MICROWAVE CORP COM Common Stocks 43365Y104 $9,372 269,706 SH Sole 88 269,706 HITTITE MICROWAVE CORP COM Common Stocks 43365Y104 $605 17,400 SH Defined 95 17,400 HITTITE MICROWAVE CORP COM Common Stocks 43365Y104 $3,440 99,001 SH Defined 103 99,001 HOLLY CORP COM PAR $0.01 Common Stocks 435758305 $138 7,700 SH Defined 51 7,700 HOLLY CORP COM PAR $0.01 Common Stocks 435758305 $1,420 79,000 SH Defined 57 79,000 HOLLY CORP COM PAR $0.01 Common Stocks 435758305 $297 16,500 SH Defined 77 16,500 HOLLY CORP COM PAR $0.01 Common Stocks 435758305 $969 53,900 SH Sole 88 53,900 HOLOGIC INC COM Common Stocks 436440101 $841 59,129 SH Defined 42 59,129 HOLOGIC INC COM Common Stocks 436440101 $141 9,896 SH Defined 81 9,896 HOLOGIC INC COM Common Stocks 436440101 $463 32,506 SH Sole 88 32,506 HOME BANCSHARES INC COM Common Stocks 436893200 $53 2,800 SH Defined 65 2,800 HOME DEPOT INC COM Common Stocks 437076102 $5,158 218,300 SH Defined 4 218,300 HOME DEPOT INC COM Common Stocks 437076102 $1,085 45,900 SH Defined 10 45,900 HOME DEPOT INC COM Common Stocks 437076102 $8,002 338,600 SH Defined 14 338,600 HOME DEPOT INC COM Common Stocks 437076102 $4,123 174,500 SH Defined 17 174,500 HOME DEPOT INC COM Common Stocks 437076102 $517 21,800 SH Defined 18 21,800 HOME DEPOT INC COM Common Stocks 437076102 $1,096 46,400 SH Defined 18 46,400 HOME DEPOT INC COM Common Stocks 437076102 $408 17,200 SH Defined 26 17,200 HOME DEPOT INC COM Common Stocks 437076102 $15,158 641,358 SH Defined 26 641,358 HOME DEPOT INC COM Common Stocks 437076102 $454 19,200 SH Defined 32 19,200 HOME DEPOT INC COM Common Stocks 437076102 $2,285 96,700 SH Defined 37 96,700 HOME DEPOT INC COM Common Stocks 437076102 $16,399 694,000 SH Defined 38 694,000 HOME DEPOT INC COM Common Stocks 437076102 $2,623 111,000 SH Defined 51 111,000 HOME DEPOT INC COM Common Stocks 437076102 $399 16,900 SH Defined 55 16,900 HOME DEPOT INC COM Common Stocks 437076102 $132 5,600 SH Defined 56 5,600 HOME DEPOT INC COM Common Stocks 437076102 $4,298 181,206 SH Defined 64 181,206 HOME DEPOT INC COM Common Stocks 437076102 $18,408 778,696 SH Defined 64 778,696 HOME DEPOT INC COM Common Stocks 437076102 $39 1,630 SH Defined 68 1,630 HOME DEPOT INC COM Common Stocks 437076102 $3,910 165,468 SH Defined 76 165,468 HOME DEPOT INC COM Common Stocks 437076102 $1,068 45,177 SH Defined 80 45,177 HOME DEPOT INC COM Common Stocks 437076102 $18,372 777,496 SH Sole 88 777,496 HOME DEPOT INC COM Common Stocks 437076102 $636 26,900 SH Defined 97 26,900 HOME DEPOT INC COM Common Stocks 437076102 $239 9,997 SH Defined 9,997 HOME DIAGNOSTICS INC DEL COM Common Stocks 437080104 $6 900 SH Defined 65 900 HOME FED BANCORP INC MD COM Common Stocks 43710G105 $9 900 SH Defined 65 900 HOME PROPERTIES INC COM Common Stocks 437306103 $165 4,840 SH Defined 22 4,840 HOME PROPERTIES INC COM Common Stocks 437306103 $118 3,461 SH Defined 81 3,461 HOME PROPERTIES INC COM Common Stocks 437306103 $3,413 100,777 SH Defined 82 100,777 HOME PROPERTIES INC COM Common Stocks 437306103 $5,981 175,280 SH Defined 82 175,280 HOME PROPERTIES INC COM Common Stocks 437306103 $113 3,300 SH Defined 102 3,300 HONEYWELL INTL INC COM Common Stocks 438516106 $918 29,172 SH Defined 11 29,172 HONEYWELL INTL INC COM Common Stocks 438516106 $7,150 227,700 SH Defined 17 227,700 HONEYWELL INTL INC COM Common Stocks 438516106 $352 11,200 SH Defined 18 11,200 HONEYWELL INTL INC COM Common Stocks 438516106 $5,894 187,721 SH Defined 27 187,721 HONEYWELL INTL INC COM Common Stocks 438516106 $5,646 179,800 SH Defined 31 179,800 HONEYWELL INTL INC COM Common Stocks 438516106 $2,587 82,400 SH Defined 35 82,400 HONEYWELL INTL INC COM Common Stocks 438516106 $1,303 40,700 SH Defined 50 40,700 HONEYWELL INTL INC COM Common Stocks 438516106 $42,342 1,348,189 SH Defined 50 1,348,189 HONEYWELL INTL INC COM Common Stocks 438516106 $163 5,200 SH Defined 51 5,200 HONEYWELL INTL INC COM Common Stocks 438516106 $148 4,700 SH Defined 56 4,700 HONEYWELL INTL INC COM Common Stocks 438516106 $320 10,200 SH Defined 67 10,200 HONEYWELL INTL INC COM Common Stocks 438516106 $365 11,636 SH Defined 76 11,636 HONEYWELL INTL INC COM Common Stocks 438516106 $617 19,662 SH Defined 80 19,662 HONEYWELL INTL INC COM Common Stocks 438516106 $24,934 794,082 SH Sole 88 794,082 HONEYWELL INTL INC COM Common Stocks 438516106 $4,714 149,935 SH Defined 149,935 HOOKER FURNITURE CORP COM Common Stocks 439038100 $48 4,200 SH Defined 57 4,200 HOOKER FURNITURE CORP COM Common Stocks 439038100 $39 3,403 SH Sole 88 3,403 HORACE MANN EDUCATORS CORP Common Stocks 440327104 $28 2,788 SH Defined 1 2,788 HORACE MANN EDUCATORS CORP Common Stocks 440327104 $2,282 228,900 SH Defined 31 228,900 HORACE MANN EDUCATORS CORP Common Stocks 440327104 $383 38,400 SH Defined 57 38,400 HORACE MANN EDUCATORS CORP Common Stocks 440327104 $38 3,800 SH Defined 65 3,800 HORACE MANN EDUCATORS CORP Common Stocks 440327104 $2,705 271,300 SH Sole 88 271,300 HORIZON LINES INC COM Common Stocks 44044K101 $21 5,400 SH Defined 1 5,400 HORIZON LINES INC COM Common Stocks 44044K101 $76 19,800 SH Defined 19,800 HORMEL FOODS CORP COM Common Stocks 440452100 $1,803 52,200 SH Defined 35 52,200 HORMEL FOODS CORP COM Common Stocks 440452100 $1,569 45,437 SH Defined 42 45,437 HORMEL FOODS CORP COM Common Stocks 440452100 $373 10,800 SH Defined 57 10,800 HORMEL FOODS CORP COM Common Stocks 440452100 $225 6,500 SH Defined 67 6,500 HORMEL FOODS CORP COM Common Stocks 440452100 $62 1,800 SH Defined 80 1,800 HORMEL FOODS CORP COM Common Stocks 440452100 $1,820 52,680 SH Sole 88 52,680 HORNBECK OFFSHORE SVCS INC Common Stocks 440543106 $506 23,660 SH Defined 52 23,660 HORNBECK OFFSHORE SVCS INC Common Stocks 440543106 $92 4,292 SH Defined 81 4,292 HORNBECK OFFSHORE SVCS INC Common Stocks 440543106 $713 33,356 SH Sole 88 33,356 HORSEHEAD HLDG CORP COM Common Stocks 440694305 $31 4,100 SH Defined 57 4,100 HORSEHEAD HLDG CORP COM Common Stocks 440694305 $107 14,406 SH Defined 81 14,406 HOSPIRA INC COM Common Stocks 441060100 $164 4,250 SH Defined 80 4,250 HOSPITALITY PPTYS TR COM S Common Stocks 44106M102 $4,606 387,405 SH Defined 57 387,405 HOSPITALITY PPTYS TR COM S Common Stocks 44106M102 $118 9,900 SH Defined 65 9,900 HOSPITALITY PPTYS TR COM S Common Stocks 44106M102 $2,769 232,870 SH Sole 88 232,870 HOSPITALITY PPTYS TR COM S Common Stocks 44106M102 $114 9,605 SH Defined 9,605 HOST HOTELS & RESORTS INC Common Stocks 44107P104 $23,158 2,759,600 SH Defined 2 2,759,600 HOST HOTELS & RESORTS INC Common Stocks 44107P104 $4,136 496,498 SH Defined 25 496,498 HOST HOTELS & RESORTS INC Common Stocks 44107P104 $4,155 495,081 SH Defined 25 495,081 HOST HOTELS & RESORTS INC Common Stocks 44107P104 $183 21,800 SH Defined 51 21,800 HOST HOTELS & RESORTS INC Common Stocks 44107P104 $1,729 207,582 SH Defined 54 207,582 HOST HOTELS & RESORTS INC Common Stocks 44107P104 $17,122 2,040,480 SH Defined 54 2,040,480 HOST HOTELS & RESORTS INC Common Stocks 44107P104 $134 16,000 SH Defined 80 16,000 HOST HOTELS & RESORTS INC Common Stocks 44107P104 $3,251 387,535 SH Defined 87 387,535 HOST HOTELS & RESORTS INC Common Stocks 44107P104 $2,733 325,770 SH Sole 88 325,770 HOST HOTELS & RESORTS INC Common Stocks 44107P104 $689 82,153 SH Defined 101 82,153 HOT TOPIC INC COM Common Stocks 441339108 $383 52,400 SH Defined 57 52,400 HOT TOPIC INC COM Common Stocks 441339108 $198 27,100 SH Sole 88 27,100 HOUSTON WIRE & CABLE CO CO Common Stocks 44244K109 $116 9,700 SH Defined 31 9,700 HOUSTON WIRE & CABLE CO CO Common Stocks 44244K109 $19 1,600 SH Defined 57 1,600 HUANENG PWR INTL INC SPON Common Stocks 443304100 $190 6,773 SH Defined 100 6,773 HUB GROUP INC CL A Common Stocks 443320106 $567 27,470 SH Defined 101 27,470 HUB GROUP INC CL A Common Stocks 443320106 $353 17,115 SH Defined 17,115 HUBBELL INC CL B Common Stocks 443510201 $587 18,287 SH Defined 11 18,287 HUBBELL INC CL B Common Stocks 443510201 $1,952 60,900 SH Defined 35 60,900 HUBBELL INC CL B Common Stocks 443510201 $712 22,200 SH Defined 51 22,200 HUBBELL INC CL B Common Stocks 443510201 $244 7,600 SH Defined 67 7,600 HUBBELL INC CL B Common Stocks 443510201 $1,603 50,000 SH Sole 88 50,000 HUDSON CITY BANCORP COM Common Stocks 443683107 $10,170 765,200 SH Defined 10 765,200 HUDSON CITY BANCORP COM Common Stocks 443683107 $7,640 574,900 SH Defined 35 574,900 HUDSON CITY BANCORP COM Common Stocks 443683107 $996 74,975 SH Defined 42 74,975 HUDSON CITY BANCORP COM Common Stocks 443683107 $2,101 158,100 SH Defined 51 158,100 HUDSON CITY BANCORP COM Common Stocks 443683107 $982 73,900 SH Defined 57 73,900 HUDSON CITY BANCORP COM Common Stocks 443683107 $983 74,000 SH Defined 67 74,000 HUDSON CITY BANCORP COM Common Stocks 443683107 $185 13,900 SH Defined 80 13,900 HUDSON CITY BANCORP COM Common Stocks 443683107 $27,104 2,039,396 SH Sole 88 2,039,396 HUDSON CITY BANCORP COM Common Stocks 443683107 $18,997 1,429,387 SH Defined 1,429,387 HUMANA INC COM Common Stocks 444859102 $2,800 86,800 SH Defined 10 86,800 HUMANA INC COM Common Stocks 444859102 $573 18,387 SH Defined 11 18,387 HUMANA INC COM Common Stocks 444859102 $6,718 208,186 SH Defined 11 208,186 HUMANA INC COM Common Stocks 444859102 $6,199 192,130 SH Defined 23 192,130 HUMANA INC COM Common Stocks 444859102 $6,936 215,000 SH Defined 35 215,000 HUMANA INC COM Common Stocks 444859102 $1,437 44,550 SH Defined 42 44,550 HUMANA INC COM Common Stocks 444859102 $519 16,100 SH Defined 51 16,100 HUMANA INC COM Common Stocks 444859102 $7,588 235,200 SH Defined 57 235,200 HUMANA INC COM Common Stocks 444859102 $742 23,000 SH Defined 67 23,000 HUMANA INC COM Common Stocks 444859102 $546 16,938 SH Defined 76 16,938 HUMANA INC COM Common Stocks 444859102 $148 4,600 SH Defined 80 4,600 HUMANA INC COM Common Stocks 444859102 $23,613 731,967 SH Sole 88 731,967 HUMANA INC COM Common Stocks 444859102 $17,846 553,214 SH Defined 553,214 HUNT J B TRANS SVCS INC CO Common Stocks 445658107 $1,004 32,900 SH Defined 51 32,900 HUNT J B TRANS SVCS INC CO Common Stocks 445658107 $1,331 43,611 SH Defined 74 43,611 HUNT J B TRANS SVCS INC CO Common Stocks 445658107 $2,847 93,255 SH Sole 88 93,255 HUNT J B TRANS SVCS INC CO Common Stocks 445658107 $698 22,862 SH Defined 106 22,862 HUNTINGTON BANCSHARES INC Common Stocks 446150104 $1,497 348,146 SH Defined 11 348,146 HUNTINGTON BANCSHARES INC Common Stocks 446150104 $109 26,115 SH Defined 11 26,115 HUNTINGTON BANCSHARES INC Common Stocks 446150104 $3,232 773,200 SH Defined 14 773,200 HUNTINGTON BANCSHARES INC Common Stocks 446150104 $210 50,200 SH Defined 51 50,200 HUNTINGTON BANCSHARES INC Common Stocks 446150104 $60 14,465 SH Defined 80 14,465 HUNTINGTON BANCSHARES INC Common Stocks 446150104 $79 18,894 SH Defined 81 18,894 HUNTINGTON BANCSHARES INC Common Stocks 446150104 $134 32,000 SH Sole 88 32,000 HUNTSMAN CORP COM Common Stocks 447011107 $0 2 SH Defined 1 2 HUNTSMAN CORP COM Common Stocks 447011107 $334 66,350 SH Defined 42 66,350 HUNTSMAN CORP COM Common Stocks 447011107 $320 63,702 SH Defined 52 63,702 HUNTSMAN CORP COM Common Stocks 447011107 $990 196,832 SH Sole 88 196,832 HURCO COMPANIES INC COM Common Stocks 447324104 $1,078 68,959 SH Sole 88 68,959 HURON CONSULTING GROUP INC Common Stocks 447462102 $513 11,100 SH Defined 57 11,100 HURON CONSULTING GROUP INC Common Stocks 447462102 $1,353 29,275 SH Defined 74 29,275 HURON CONSULTING GROUP INC Common Stocks 447462102 $7,430 160,714 SH Sole 88 160,714 HURON CONSULTING GROUP INC Common Stocks 447462102 $749 16,200 SH Defined 95 16,200 HUTCHINSON TECHNOLOGY INC Common Stocks 448407106 $48 24,800 SH Sole 88 24,800 IAC INTERACTIVECORP COM PA Common Stocks 44919P508 $2,602 162,100 SH Defined 35 162,100 IAC INTERACTIVECORP COM PA Common Stocks 44919P508 $191 11,900 SH Defined 67 11,900 IAC INTERACTIVECORP COM PA Common Stocks 44919P508 $4,222 263,037 SH Defined 76 263,037 IAC INTERACTIVECORP COM PA Common Stocks 44919P508 $1,408 87,700 SH Sole 88 87,700 ICF INTL INC COM Common Stocks 44925C103 $55 2,000 SH Defined 57 2,000 ICF INTL INC COM Common Stocks 44925C103 $284 10,300 SH Defined 63 10,300 ICF INTL INC COM Common Stocks 44925C103 $164 5,960 SH Defined 74 5,960 ICU MED INC COM Common Stocks 44930G107 $472 11,475 SH Defined 44 11,475 ICU MED INC COM Common Stocks 44930G107 $1,192 28,971 SH Defined 73 28,971 ICU MED INC COM Common Stocks 44930G107 $4,985 121,142 SH Sole 88 121,142 IPG PHOTONICS CORP COM Common Stocks 44980X109 $85 7,740 SH Defined 81 7,740 IPCS INC COM NEW Common Stocks 44980Y305 $87 5,800 SH Defined 65 5,800 IPC THE HOSPITALIST CO INC C Common Stocks 44984A105 $853 31,975 SH Defined 44 31,975 IPC THE HOSPITALIST CO INC C Common Stocks 44984A105 $190 7,100 SH Defined 63 7,100 IPC THE HOSPITALIST CO INC C Common Stocks 44984A105 $5,546 207,800 SH Sole 88 207,800 IPC THE HOSPITALIST CO INC C Common Stocks 44984A105 $758 28,400 SH Defined 95 28,400 IMS HEALTH INC COM Common Stocks 449934108 $1,594 125,500 SH Defined 51 125,500 IMS HEALTH INC COM Common Stocks 449934108 $1,756 138,228 SH Defined 76 138,228 IMS HEALTH INC COM Common Stocks 449934108 $62 4,900 SH Defined 80 4,900 IMS HEALTH INC COM Common Stocks 449934108 $1,012 79,700 SH Sole 88 79,700 IRSA INVERSIONES Y REP S A G Common Stocks 450047204 $135 28,033 SH Defined 100 28,033 ISTAR FINL INC COM Common Stocks 45031U101 $914 318,082 SH Defined 11 318,082 ISTAR FINL INC COM Common Stocks 45031U101 $431 151,912 SH Defined 57 151,912 ISTAR FINL INC COM Common Stocks 45031U101 $308 108,600 SH Sole 88 108,600 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $1,824 18,122 SH Defined 23 18,122 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $876 8,700 SH Defined 35 8,700 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $916 9,100 SH Defined 51 9,100 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $201 2,000 SH Defined 56 2,000 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $2,794 27,760 SH Defined 57 27,760 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $477 4,740 SH Defined 58 4,740 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $121 1,200 SH Defined 67 1,200 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $1,162 11,543 SH Defined 76 11,543 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $157 1,556 SH Defined 81 1,556 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $4,973 49,407 SH Sole 88 49,407 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $2,145 21,306 SH Defined 103 21,306 ITT EDUCATIONAL SERVICES I Common Stocks 45068B109 $1,238 12,300 SH Defined 105 12,300 IXIA COM Common Stocks 45071R109 $26 3,900 SH Defined 57 3,900 IBERIABANK CORP COM Common Stocks 450828108 $1,340 34,000 SH Defined 31 34,000 IBERIABANK CORP COM Common Stocks 450828108 $271 6,880 SH Defined 52 6,880 IBERIABANK CORP COM Common Stocks 450828108 $105 2,656 SH Defined 81 2,656 IBERIABANK CORP COM Common Stocks 450828108 $1,857 47,126 SH Sole 88 47,126 ITT CORP NEW COM Common Stocks 450911102 $3,148 70,740 SH Defined 8 70,740 ITT CORP NEW COM Common Stocks 450911102 $1,117 25,100 SH Defined 51 25,100 ITT CORP NEW COM Common Stocks 450911102 $6,323 142,100 SH Defined 57 142,100 ITT CORP NEW COM Common Stocks 450911102 $214 4,800 SH Defined 80 4,800 ITT CORP NEW COM Common Stocks 450911102 $5,140 115,500 SH Sole 88 115,500 IAMGOLD CORP COM Common Stocks 450913108 $1,505 146,600 SH Defined 3 146,600 IAMGOLD CORP COM Common Stocks 450913108 $1,419 140,179 SH Defined 92 140,179 IAMGOLD CORP COM Common Stocks 450913108 $33 3,258 SH Defined 3,258 ICON PUB LTD CO SPONSORED Common Stocks 45103T107 $1,533 71,048 SH Defined 85 71,048 ICON PUB LTD CO SPONSORED Common Stocks 45103T107 $1,696 78,599 SH Sole 88 78,599 ICICI BK LTD ADR Common Stocks 45104G104 $5,732 194,300 SH Defined 14 194,300 ICICI BK LTD ADR Common Stocks 45104G104 $6,994 228,337 SH Defined 64 228,337 ICICI BK LTD ADR Common Stocks 45104G104 $35,831 1,214,249 SH Defined 64 1,214,249 ICICI BK LTD ADR Common Stocks 45104G104 $1,587 51,800 SH Defined 66 51,800 ICICI BK LTD ADR Common Stocks 45104G104 $1,671 56,600 SH Defined 66 56,600 ICICI BK LTD ADR Common Stocks 45104G104 $14,908 505,344 SH Sole 88 505,344 ICICI BK LTD ADR Common Stocks 45104G104 $7,825 265,249 SH Defined 100 265,249 ICICI BK LTD ADR Common Stocks 45104G104 $14,617 495,500 SH Defined 104 495,500 ICICI BK LTD ADR Common Stocks 45104G104 $1,590 53,647 SH Defined 53,647 ICONIX BRAND GROUP INC COM Common Stocks 451055107 $94 6,107 SH Defined 81 6,107 ICONIX BRAND GROUP INC COM Common Stocks 451055107 $915 59,475 SH Sole 88 59,475 IDACORP INC COM Common Stocks 451107106 $1,008 38,556 SH Defined 52 38,556 IDACORP INC COM Common Stocks 451107106 $1,337 51,166 SH Sole 88 51,166 IDACORP INC COM Common Stocks 451107106 $2,197 84,066 SH Defined 92 84,066 IDEX CORP COM Common Stocks 45167R104 $2,405 97,900 SH Defined 31 97,900 IDEX CORP COM Common Stocks 45167R104 $1,273 51,800 SH Defined 51 51,800 IDEX CORP COM Common Stocks 45167R104 $477 19,425 SH Defined 73 19,425 IDEX CORP COM Common Stocks 45167R104 $5,516 224,505 SH Sole 88 224,505 IDEX CORP COM Common Stocks 45167R104 $601 24,456 SH Defined 101 24,456 IDEXX LABS INC COM Common Stocks 45168D104 $26 561 SH Defined 11 561 IDEXX LABS INC COM Common Stocks 45168D104 $213 4,600 SH Defined 51 4,600 IDEXX LABS INC COM Common Stocks 45168D104 $1,951 42,226 SH Sole 88 42,226 IDEXX LABS INC COM Common Stocks 45168D104 $771 16,680 SH Defined 101 16,680 IDEXX LABS INC COM Common Stocks 45168D104 $3,651 79,030 SH Defined 103 79,030 IGATE CORP COM Common Stocks 45169U105 $203 30,611 SH Defined 74 30,611 IHS INC CL A Common Stocks 451734107 $294 5,900 SH Defined 44 5,900 IKANOS COMMUNICATIONS COM Common Stocks 45173E105 $40 25,100 SH Defined 63 25,100 ILLINOIS TOOL WKS INC COM Common Stocks 452308109 $239 6,400 SH Defined 4 6,400 ILLINOIS TOOL WKS INC COM Common Stocks 452308109 $9,544 255,600 SH Defined 17 255,600 ILLINOIS TOOL WKS INC COM Common Stocks 452308109 $3,406 90,300 SH Defined 47 90,300 ILLINOIS TOOL WKS INC COM Common Stocks 452308109 $19,585 524,400 SH Defined 47 524,400 ILLINOIS TOOL WKS INC COM Common Stocks 452308109 $1,176 31,500 SH Defined 51 31,500 ILLINOIS TOOL WKS INC COM Common Stocks 452308109 $381 10,200 SH Defined 80 10,200 ILLINOIS TOOL WKS INC COM Common Stocks 452308109 $1,251 33,500 SH Sole 88 33,500 ILLINOIS TOOL WKS INC COM Common Stocks 452308109 $1,333 35,700 SH Defined 105 35,700 ILLUMINA INC COM Common Stocks 452327109 $800 20,550 SH Defined 44 20,550 ILLUMINA INC COM Common Stocks 452327109 $199 5,100 SH Defined 51 5,100 ILLUMINA INC COM Common Stocks 452327109 $280 7,180 SH Defined 60 7,180 ILLUMINA INC COM Common Stocks 452327109 $5,421 139,203 SH Defined 74 139,203 ILLUMINA INC COM Common Stocks 452327109 $3,209 82,420 SH Defined 85 82,420 ILLUMINA INC COM Common Stocks 452327109 $14,334 368,103 SH Sole 88 368,103 ILLUMINA INC COM Common Stocks 452327109 $1,769 45,440 SH Defined 102 45,440 ILLUMINA INC COM Common Stocks 452327109 $5,113 131,314 SH Defined 103 131,314 IMATION CORP COM Common Stocks 45245A107 $216 28,400 SH Defined 57 28,400 IMATION CORP COM Common Stocks 45245A107 $150 19,700 SH Sole 88 19,700 IMAX CORP COM Common Stocks 45245E109 $196 24,150 SH Defined 44 24,150 IMAX CORP COM Common Stocks 45245E109 $383 47,125 SH Sole 88 47,125 IMAX CORP COM Common Stocks 45245E109 $123 15,020 SH Defined 15,020 IMMUCOR INC COM Common Stocks 452526106 $52 3,810 SH Defined 102 3,810 IMPAX LABORATORIES INC COM A Common Stocks 45256B101 $14 1,900 SH Defined 65 1,900 IMPERIAL OIL LTD COM NEW Common Stocks 453038408 $14,345 369,219 SH Defined 34 369,219 IMPERIAL OIL LTD COM NEW Common Stocks 453038408 $2,591 66,702 SH Defined 76 66,702 IMPERIAL OIL LTD COM NEW Common Stocks 453038408 $11,336 291,777 SH Defined 291,777 IMPERIAL SUGAR CO NEW COM Common Stocks 453096208 $258 21,341 SH Defined 57 21,341 IMPERIAL SUGAR CO NEW COM Common Stocks 453096208 $142 11,700 SH Sole 88 11,700 INDEPENDENT BANK CORP MASS Common Stocks 453836108 $1,007 51,100 SH Defined 31 51,100 INDEPENDENT BANK CORP MASS Common Stocks 453836108 $957 48,600 SH Sole 88 48,600 INDUSTRIAS BACHOCO S A B DE Common Stocks 456463108 $606 28,470 SH Defined 100 28,470 INFORMATICA CORP COM Common Stocks 45666Q102 $1,751 101,880 SH Defined 85 101,880 INFORMATICA CORP COM Common Stocks 45666Q102 $1,943 113,040 SH Sole 88 113,040 INFORMATICA CORP COM Common Stocks 45666Q102 $1,053 61,241 SH Defined 101 61,241 INFOSYS TECHNOLOGIES LTD S Common Stocks 456788108 $1,491 40,539 SH Defined 45 40,539 INFOSYS TECHNOLOGIES LTD S Common Stocks 456788108 $11,400 309,950 SH Defined 68 309,950 INFOSYS TECHNOLOGIES LTD S Common Stocks 456788108 $4,780 129,860 SH Defined 70 129,860 INFOSYS TECHNOLOGIES LTD S Common Stocks 456788108 $239 6,503 SH Defined 83 6,503 INFOSYS TECHNOLOGIES LTD S Common Stocks 456788108 $7,730 210,180 SH Sole 88 210,180 INFOSYS TECHNOLOGIES LTD S Common Stocks 456788108 $7,463 202,900 SH Defined 109 202,900 INFOSPACE INC COM PAR $.0001 Common Stocks 45678T300 $194 29,200 SH Defined 57 29,200 INFOSPACE INC COM PAR $.0001 Common Stocks 45678T300 $115 17,300 SH Sole 88 17,300 INGRAM MICRO INC CL A Common Stocks 457153104 $728 41,600 SH Defined 10 41,600 INGRAM MICRO INC CL A Common Stocks 457153104 $722 41,275 SH Defined 21 41,275 INGRAM MICRO INC CL A Common Stocks 457153104 $2,203 125,900 SH Defined 23 125,900 INGRAM MICRO INC CL A Common Stocks 457153104 $2,566 146,609 SH Defined 42 146,609 INGRAM MICRO INC CL A Common Stocks 457153104 $326 18,600 SH Defined 51 18,600 INGRAM MICRO INC CL A Common Stocks 457153104 $4,622 264,100 SH Defined 57 264,100 INGRAM MICRO INC CL A Common Stocks 457153104 $151 8,600 SH Defined 65 8,600 INGRAM MICRO INC CL A Common Stocks 457153104 $9,740 556,597 SH Sole 88 556,597 INLAND REAL ESTATE CORP CO Common Stocks 457461200 $228 32,612 SH Defined 52 32,612 INLAND REAL ESTATE CORP CO Common Stocks 457461200 $242 34,600 SH Defined 57 34,600 INLAND REAL ESTATE CORP CO Common Stocks 457461200 $113 16,183 SH Defined 81 16,183 INLAND REAL ESTATE CORP CO Common Stocks 457461200 $432 61,765 SH Sole 88 61,765 INSIGHT ENTERPRISES INC CO Common Stocks 45765U103 $413 42,800 SH Defined 57 42,800 INSIGHT ENTERPRISES INC CO Common Stocks 45765U103 $381 39,400 SH Sole 88 39,400 INSITUFORM TECHNOLOGIES IN Common Stocks 457667103 $2,300 135,550 SH Defined 92 135,550 INNOSPEC INC COM Common Stocks 45768S105 $17 1,600 SH Defined 57 1,600 INSPIRE PHARMACEUTICALS IN Common Stocks 457733103 $92 16,500 SH Defined 23 16,500 INSPIRE PHARMACEUTICALS IN Common Stocks 457733103 $139 25,000 SH Sole 88 25,000 INSPIRE PHARMACEUTICALS IN Common Stocks 457733103 $138 24,735 SH Defined 24,735 INNERWORKINGS INC COM Common Stocks 45773Y105 $2,474 520,800 SH Sole 88 520,800 INNERWORKINGS INC COM Common Stocks 45773Y105 $338 71,200 SH Defined 95 71,200 INNOPHOS HOLDINGS INC COM Common Stocks 45774N108 $37 2,200 SH Defined 1 2,200 INNOPHOS HOLDINGS INC COM Common Stocks 45774N108 $708 41,922 SH Defined 52 41,922 INNOPHOS HOLDINGS INC COM Common Stocks 45774N108 $390 23,100 SH Defined 57 23,100 INNOPHOS HOLDINGS INC COM Common Stocks 45774N108 $1,225 72,516 SH Sole 88 72,516 INSTEEL INDUSTRIES INC COM Common Stocks 45774W108 $975 118,323 SH Defined 30 118,323 INSTEEL INDUSTRIES INC COM Common Stocks 45774W108 $141 17,100 SH Defined 31 17,100 INSTEEL INDUSTRIES INC COM Common Stocks 45774W108 $1,129 136,987 SH Sole 88 136,987 INTEGRA LIFESCIENCES HLDGS Common Stocks 457985208 $113 4,260 SH Defined 21 4,260 INTEGRA LIFESCIENCES HLDGS Common Stocks 457985208 $366 13,810 SH Sole 88 13,810 INTEGRA LIFESCIENCES HLDGS Common Stocks 457985208 $425 16,040 SH Defined 16,040 INTEGRATED DEVICE TECHNOLO Common Stocks 458118106 $584 96,747 SH Defined 42 96,747 INTEGRATED DEVICE TECHNOLO Common Stocks 458118106 $206 34,100 SH Defined 51 34,100 INTEGRATED DEVICE TECHNOLO Common Stocks 458118106 $736 121,892 SH Defined 52 121,892 INTEGRATED DEVICE TECHNOLO Common Stocks 458118106 $173 28,700 SH Defined 57 28,700 INTEGRATED DEVICE TECHNOLO Common Stocks 458118106 $117 19,300 SH Defined 65 19,300 INTEGRATED DEVICE TECHNOLO Common Stocks 458118106 $1,808 299,344 SH Sole 88 299,344 INTEGRATED DEVICE TECHNOLO Common Stocks 458118106 $792 131,084 SH Defined 103 131,084 INTEL CORP COM Common Stocks 458140100 $8,915 538,656 SH Defined 1 538,656 INTEL CORP COM Common Stocks 458140100 $559 33,800 SH Defined 4 33,800 INTEL CORP COM Common Stocks 458140100 $8,265 499,400 SH Defined 10 499,400 INTEL CORP COM Common Stocks 458140100 $3,162 190,961 SH Defined 11 190,961 INTEL CORP COM Common Stocks 458140100 $3,992 241,230 SH Defined 12 241,230 INTEL CORP COM Common Stocks 458140100 $4,118 248,800 SH Defined 14 248,800 INTEL CORP COM Common Stocks 458140100 $6,223 376,000 SH Defined 17 376,000 INTEL CORP COM Common Stocks 458140100 $578 34,900 SH Defined 23 34,900 INTEL CORP COM Common Stocks 458140100 $5,103 308,357 SH Defined 31 308,357 INTEL CORP COM Common Stocks 458140100 $9,000 543,800 SH Defined 35 543,800 INTEL CORP COM Common Stocks 458140100 $602 36,400 SH Defined 41 36,400 INTEL CORP COM Common Stocks 458140100 $3,817 230,604 SH Defined 42 230,604 INTEL CORP COM Common Stocks 458140100 $11,866 729,000 SH Defined 47 729,000 INTEL CORP COM Common Stocks 458140100 $67,525 4,079,300 SH Defined 47 4,079,300 INTEL CORP COM Common Stocks 458140100 $1,189 73,050 SH Defined 50 73,050 INTEL CORP COM Common Stocks 458140100 $39,158 2,365,587 SH Defined 50 2,365,587 INTEL CORP COM Common Stocks 458140100 $5,857 353,900 SH Defined 51 353,900 INTEL CORP COM Common Stocks 458140100 $1,976 121,378 SH Defined 66 121,378 INTEL CORP COM Common Stocks 458140100 $2,639 159,388 SH Defined 66 159,388 INTEL CORP COM Common Stocks 458140100 $1,112 67,200 SH Defined 67 67,200 INTEL CORP COM Common Stocks 458140100 $16,394 990,445 SH Defined 68 990,445 INTEL CORP COM Common Stocks 458140100 $1,716 103,670 SH Defined 69 103,670 INTEL CORP COM Common Stocks 458140100 $3,201 196,630 SH Defined 70 196,630 INTEL CORP COM Common Stocks 458140100 $3,065 185,106 SH Defined 70 185,106 INTEL CORP COM Common Stocks 458140100 $5,084 307,167 SH Defined 76 307,167 INTEL CORP COM Common Stocks 458140100 $2,459 148,600 SH Defined 80 148,600 INTEL CORP COM Common Stocks 458140100 $59,537 3,597,373 SH Sole 88 3,597,373 INTEL CORP COM Common Stocks 458140100 $17,570 1,061,605 SH Defined 94 1,061,605 INTEL CORP COM Common Stocks 458140100 $920 55,619 SH Defined 106 55,619 INTEL CORP COM Common Stocks 458140100 $13,344 806,425 SH Defined 806,425 INTEGRYS ENERGY GROUP INC Common Stocks 45822P105 $801 26,700 SH Defined 51 26,700 INTEGRYS ENERGY GROUP INC Common Stocks 45822P105 $465 15,500 SH Defined 57 15,500 INTEGRYS ENERGY GROUP INC Common Stocks 45822P105 $58 1,925 SH Defined 80 1,925 INTEGRYS ENERGY GROUP INC Common Stocks 45822P105 $1,263 42,100 SH Sole 88 42,100 INTER PARFUMS INC COM Common Stocks 458334109 $84 11,400 SH Defined 31 11,400 INTER PARFUMS INC COM Common Stocks 458334109 $14 1,950 SH Defined 57 1,950 INTERACTIVE DATA CORP COM Common Stocks 45840J107 $196 8,480 SH Defined 102 8,480 INTERACTIVE BROKERS GROUP Common Stocks 45841N107 $45 2,900 SH Defined 65 2,900 INTERACTIVE BROKERS GROUP Common Stocks 45841N107 $101 6,500 SH Defined 81 6,500 INTERCONTINENTALEXCHANGE I Common Stocks 45865V100 $388 3,400 SH Defined 10 3,400 INTERCONTINENTALEXCHANGE I Common Stocks 45865V100 $2,890 25,294 SH Defined 27 25,294 INTERCONTINENTALEXCHANGE I Common Stocks 45865V100 $5,826 51,000 SH Defined 28 51,000 INTERCONTINENTALEXCHANGE I Common Stocks 45865V100 $1,097 9,600 SH Defined 29 9,600 INTERCONTINENTALEXCHANGE I Common Stocks 45865V100 $880 7,700 SH Defined 51 7,700 INTERCONTINENTALEXCHANGE I Common Stocks 45865V100 $206 1,800 SH Defined 80 1,800 INTERCONTINENTALEXCHANGE I Common Stocks 45865V100 $10,186 89,165 SH Sole 88 89,165 INTERCONTINENTALEXCHANGE I Common Stocks 45865V100 $2,947 25,800 SH Defined 89 25,800 INTERCONTINENTALEXCHANGE I Common Stocks 45865V100 $97 850 SH Defined 102 850 INTERFACE INC CL A Common Stocks 458665106 $102 16,395 SH Defined 16,395 INTERDIGITAL INC COM Common Stocks 45867G101 $91 3,713 SH Defined 11 3,713 INTERDIGITAL INC COM Common Stocks 45867G101 $46 1,900 SH Defined 23 1,900 INTERDIGITAL INC COM Common Stocks 45867G101 $44 1,800 SH Defined 65 1,800 INTERDIGITAL INC COM Common Stocks 45867G101 $2,665 109,058 SH Defined 76 109,058 INTERDIGITAL INC COM Common Stocks 45867G101 $66 2,700 SH Sole 88 2,700 INTERLINE BRANDS INC COM Common Stocks 458743101 $349 25,515 SH Defined 22 25,515 INTERLINE BRANDS INC COM Common Stocks 458743101 $104 7,599 SH Defined 81 7,599 INTERMUNE INC COM Common Stocks 45884X103 $53 3,502 SH Defined 65 3,502 INTERNAP NETWORK SVCS CORP Common Stocks 45885A300 $73 20,900 SH Defined 57 20,900 INTERNAP NETWORK SVCS CORP Common Stocks 45885A300 $50 14,300 SH Sole 88 14,300 INTERNAP NETWORK SVCS CORP Common Stocks 45885A300 $149 42,665 SH Defined 42,665 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $4,960 47,500 SH Defined 1 47,500 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $4,567 43,740 SH Defined 8 43,740 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $15,348 146,982 SH Defined 9 146,982 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $4,198 40,200 SH Defined 10 40,200 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $4,211 40,311 SH Defined 11 40,311 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $6,419 61,470 SH Defined 12 61,470 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $7,466 71,500 SH Defined 17 71,500 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $710 6,800 SH Defined 18 6,800 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $46,643 446,582 SH Defined 23 446,582 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $15,183 145,400 SH Defined 35 145,400 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $3,669 35,134 SH Defined 42 35,134 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $14,713 140,900 SH Defined 51 140,900 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $1,216 11,650 SH Defined 55 11,650 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $1,441 13,800 SH Defined 56 13,800 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $18,566 177,800 SH Defined 57 177,800 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $3,107 29,750 SH Defined 58 29,750 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $3,529 33,800 SH Defined 60 33,800 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $5,758 55,144 SH Defined 62 55,144 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $10,334 98,961 SH Defined 64 98,961 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $1,361 12,939 SH Defined 66 12,939 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $1,870 17,903 SH Defined 66 17,903 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $1,806 17,300 SH Defined 67 17,300 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $9,477 90,760 SH Defined 68 90,760 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $1,783 17,080 SH Defined 69 17,080 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $6,915 66,227 SH Defined 76 66,227 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $905 8,600 SH Defined 79 8,600 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $1,493 14,300 SH Defined 79 14,300 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $3,676 35,200 SH Defined 80 35,200 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $102,536 981,960 SH Sole 88 981,960 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $17,170 164,428 SH Defined 94 164,428 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $18,950 181,480 SH Defined 102 181,480 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $1,336 12,790 SH Defined 106 12,790 INTERNATIONAL BUSINESS MAC Common Stocks 459200101 $4,686 44,831 SH Defined 44,831 INTERNATIONAL FLAVORS&FRAG Common Stocks 459506101 $189 5,775 SH Defined 21 5,775 INTERNATIONAL FLAVORS&FRAG Common Stocks 459506101 $376 11,500 SH Defined 51 11,500 INTERNATIONAL FLAVORS&FRAG Common Stocks 459506101 $3,256 99,516 SH Defined 57 99,516 INTERNATIONAL FLAVORS&FRAG Common Stocks 459506101 $4,627 141,370 SH Defined 68 141,370 INTERNATIONAL FLAVORS&FRAG Common Stocks 459506101 $1,994 61,030 SH Defined 70 61,030 INTERNATIONAL FLAVORS&FRAG Common Stocks 459506101 $1,946 59,430 SH Defined 70 59,430 INTERNATIONAL FLAVORS&FRAG Common Stocks 459506101 $72 2,200 SH Defined 80 2,200 INTERNATIONAL FLAVORS&FRAG Common Stocks 459506101 $3,092 94,496 SH Sole 88 94,496 INTERNATIONAL GAME TECHNOL Common Stocks 459902102 $239 15,000 SH Defined 51 15,000 INTERNATIONAL GAME TECHNOL Common Stocks 459902102 $409 25,700 SH Defined 56 25,700 INTERNATIONAL GAME TECHNOL Common Stocks 459902102 $1,148 72,170 SH Defined 58 72,170 INTERNATIONAL GAME TECHNOL Common Stocks 459902102 $669 42,090 SH Defined 60 42,090 INTERNATIONAL GAME TECHNOL Common Stocks 459902102 $124 7,800 SH Defined 80 7,800 INTERNATIONAL GAME TECHNOL Common Stocks 459902102 $2,180 137,080 SH Sole 88 137,080 INTERNATIONAL GAME TECHNOL Common Stocks 459902102 $2,634 165,630 SH Defined 102 165,630 INTL PAPER CO COM Common Stocks 460146103 $0 8 SH Defined 1 8 INTL PAPER CO COM Common Stocks 460146103 $197 13,000 SH Defined 51 13,000 INTL PAPER CO COM Common Stocks 460146103 $173 11,422 SH Defined 80 11,422 INTL PAPER CO COM Common Stocks 460146103 $126 8,300 SH Sole 88 8,300 INTERNATIONAL RECTIFIER CO Common Stocks 460254105 $161 10,900 SH Defined 51 10,900 INTERNATIONAL RECTIFIER CO Common Stocks 460254105 $14,781 998,066 SH Sole 88 998,066 INTERNATIONAL RECTIFIER CO Common Stocks 460254105 $14,908 1,006,617 SH Defined 91 1,006,617 INTERNATIONAL RECTIFIER CO Common Stocks 460254105 $3,546 239,456 SH Defined 92 239,456 INTERNATIONAL SHIPHOLDING CO Common Stocks 460321201 $228 8,447 SH Defined 1 8,447 INTERNATIONAL SPEEDWAY COR Common Stocks 460335201 $172 6,720 SH Defined 21 6,720 INTERNATIONAL SPEEDWAY COR Common Stocks 460335201 $112 4,383 SH Defined 81 4,383 INTERNATIONAL SPEEDWAY COR Common Stocks 460335201 $656 25,615 SH Sole 88 25,615 INTERNATIONAL TOWER HILL MIN Common Stocks 46051L104 $489 153,500 SH Defined 153,500 INTERNET CAP GROUP INC COM Common Stocks 46059C205 $119 17,720 SH Defined 102 17,720 INTERPUBLIC GROUP COS INC Common Stocks 460690100 $81 16,100 SH Defined 32 16,100 INTERPUBLIC GROUP COS INC Common Stocks 460690100 $64 12,613 SH Defined 80 12,613 INTERSIL CORP CL A Common Stocks 46069S109 $8 600 SH Defined 31 600 INTERSIL CORP CL A Common Stocks 46069S109 $53 4,223 SH Defined 42 4,223 INTERSIL CORP CL A Common Stocks 46069S109 $495 39,360 SH Defined 58 39,360 INTERSIL CORP CL A Common Stocks 46069S109 $1,758 139,858 SH Defined 76 139,858 INTERSIL CORP CL A Common Stocks 46069S109 $110 8,768 SH Defined 81 8,768 INTERSIL CORP CL A Common Stocks 46069S109 $1,020 81,117 SH Sole 88 81,117 INTERSIL CORP CL A Common Stocks 46069S109 $3,069 244,132 SH Defined 103 244,132 INTERSECTIONS INC COM Common Stocks 460981301 $970 209,091 SH Defined 92 209,091 INTERVAL LEISURE GROUP INC Common Stocks 46113M108 $31 3,300 SH Defined 1 3,300 INTERVAL LEISURE GROUP INC Common Stocks 46113M108 $404 43,400 SH Defined 28 43,400 INTERVAL LEISURE GROUP INC Common Stocks 46113M108 $4 400 SH Defined 65 400 INTEVAC INC COM Common Stocks 461148108 $36 4,100 SH Defined 57 4,100 INTUIT COM Common Stocks 461202103 $3,033 107,700 SH Defined 10 107,700 INTUIT COM Common Stocks 461202103 $845 30,000 SH Defined 28 30,000 INTUIT COM Common Stocks 461202103 $873 31,000 SH Defined 29 31,000 INTUIT COM Common Stocks 461202103 $1,594 56,600 SH Defined 35 56,600 INTUIT COM Common Stocks 461202103 $1,397 49,600 SH Defined 51 49,600 INTUIT COM Common Stocks 461202103 $165 5,870 SH Defined 58 5,870 INTUIT COM Common Stocks 461202103 $200 7,100 SH Defined 67 7,100 INTUIT COM Common Stocks 461202103 $239 8,500 SH Defined 80 8,500 INTUIT COM Common Stocks 461202103 $9,099 323,100 SH Sole 88 323,100 INTUIT COM Common Stocks 461202103 $646 23,000 SH Defined 93 23,000 INTUIT COM Common Stocks 461202103 $1,605 57,000 SH Defined 93 57,000 INVACARE CORP COM Common Stocks 461203101 $92 5,200 SH Defined 23 5,200 INVACARE CORP COM Common Stocks 461203101 $554 31,400 SH Defined 57 31,400 INVACARE CORP COM Common Stocks 461203101 $169 9,600 SH Defined 65 9,600 INVACARE CORP COM Common Stocks 461203101 $471 26,700 SH Sole 88 26,700 INTUITIVE SURGICAL INC COM Common Stocks 46120E602 $371 2,285 SH Defined 26 2,285 INTUITIVE SURGICAL INC COM Common Stocks 46120E602 $14,217 86,854 SH Defined 26 86,854 INTUITIVE SURGICAL INC COM Common Stocks 46120E602 $556 3,400 SH Defined 28 3,400 INTUITIVE SURGICAL INC COM Common Stocks 46120E602 $229 1,400 SH Defined 29 1,400 INTUITIVE SURGICAL INC COM Common Stocks 46120E602 $262 1,600 SH Defined 60 1,600 INTUITIVE SURGICAL INC COM Common Stocks 46120E602 $147 900 SH Defined 80 900 INTUITIVE SURGICAL INC COM Common Stocks 46120E602 $10,456 63,888 SH Sole 88 63,888 INTUITIVE SURGICAL INC COM Common Stocks 46120E602 $2,897 17,700 SH Defined 89 17,700 INTUITIVE SURGICAL INC COM Common Stocks 46120E602 $2,164 13,222 SH Defined 102 13,222 INTUITIVE SURGICAL INC COM Common Stocks 46120E602 $73 447 SH Defined 447 INTREPID POTASH INC COM Common Stocks 46121Y102 $1,811 64,500 SH Defined 30 64,500 INTREPID POTASH INC COM Common Stocks 46121Y102 $177 6,300 SH Defined 51 6,300 INTREPID POTASH INC COM Common Stocks 46121Y102 $396 14,099 SH Defined 52 14,099 INTREPID POTASH INC COM Common Stocks 46121Y102 $1,672 59,540 SH Defined 85 59,540 INTREPID POTASH INC COM Common Stocks 46121Y102 $3,680 131,058 SH Sole 88 131,058 INVENTIV HEALTH INC COM Common Stocks 46122E105 $26 1,900 SH Defined 65 1,900 INVENTIV HEALTH INC COM Common Stocks 46122E105 $2,103 155,400 SH Sole 88 155,400 INVENTIV HEALTH INC COM Common Stocks 46122E105 $288 21,300 SH Defined 95 21,300 INVERNESS MED INNOVATIONS Common Stocks 46126P106 $580 16,300 SH Defined 51 16,300 INVERNESS MED INNOVATIONS Common Stocks 46126P106 $138 3,875 SH Defined 81 3,875 INVERNESS MED INNOVATIONS Common Stocks 46126P106 $2,342 65,820 SH Sole 88 65,820 INVESTMENT TECHNOLOGY GRP Common Stocks 46145F105 $182 8,917 SH Defined 42 8,917 INVESTMENT TECHNOLOGY GRP Common Stocks 46145F105 $533 26,127 SH Defined 52 26,127 INVESTMENT TECHNOLOGY GRP Common Stocks 46145F105 $2,666 130,773 SH Defined 57 130,773 INVESTMENT TECHNOLOGY GRP Common Stocks 46145F105 $82 4,000 SH Defined 65 4,000 INVESTMENT TECHNOLOGY GRP Common Stocks 46145F105 $401 19,650 SH Defined 77 19,650 INVESTMENT TECHNOLOGY GRP Common Stocks 46145F105 $2,403 117,828 SH Sole 88 117,828 INVESTORS REAL ESTATE TR S Common Stocks 461730103 $115 12,934 SH Defined 81 12,934 INX INC COM Common Stocks 46185W109 $131 24,300 SH Defined 63 24,300 ION GEOPHYSICAL CORP COM Common Stocks 462044108 $242 94,062 SH Defined 73 94,062 ION GEOPHYSICAL CORP COM Common Stocks 462044108 $1,060 412,291 SH Sole 88 412,291 IROBOT CORP COM Common Stocks 462726100 $13 1,000 SH Defined 57 1,000 IRON MTN INC COM Common Stocks 462846106 $138 4,800 SH Defined 80 4,800 IRON MTN INC COM Common Stocks 462846106 $126 4,379 SH Defined 81 4,379 IRON MTN INC COM Common Stocks 462846106 $893 31,050 SH Defined 89 31,050 ISHARES TR RUSSELL1000VAL Common Stocks 464287598 $3,785 79,509 SH Sole 88 79,509 ISHARES TR RUSSELL1000VAL Common Stocks 464287598 $4,259 89,475 SH Defined 91 89,475 ISIS PHARMACEUTICALS INC C Common Stocks 464330109 $1,418 85,929 SH Defined 57 85,929 ISIS PHARMACEUTICALS INC C Common Stocks 464330109 $79 4,800 SH Defined 65 4,800 ISIS PHARMACEUTICALS INC C Common Stocks 464330109 $1,088 65,955 SH Defined 76 65,955 ISIS PHARMACEUTICALS INC C Common Stocks 464330109 $896 54,315 SH Sole 88 54,315 ISLE OF CAPRI CASINOS INC Common Stocks 464592104 $2,469 185,327 SH Defined 23 185,327 ISLE OF CAPRI CASINOS INC Common Stocks 464592104 $2,374 178,255 SH Sole 88 178,255 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $783 49,450 SH Defined 3 49,450 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $7,851 495,958 SH Defined 4 495,958 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $450 28,400 SH Defined 14 28,400 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $2,351 148,493 SH Defined 40 148,493 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $1,617 102,122 SH Defined 45 102,122 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $7,366 465,300 SH Defined 46 465,300 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $5,944 372,800 SH Defined 64 372,800 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $35,793 2,260,467 SH Defined 64 2,260,467 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $19,352 1,222,493 SH Sole 88 1,222,493 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $427 27,000 SH Defined 90 27,000 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $7,132 450,556 SH Defined 104 450,556 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $1,279 80,800 SH Defined 105 80,800 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $5,048 318,900 SH Defined 109 318,900 ITAU UNIBANCO BANCO MULTIP Common Stocks 465562106 $134 8,357 SH Defined 8,357 ITC HLDGS CORP COM Common Stocks 465685105 $301 6,640 SH Defined 102 6,640 ITC HLDGS CORP COM Common Stocks 465685105 $1,521 33,540 SH Defined 33,540 ITRON INC COM Common Stocks 465741106 $1,142 20,700 SH Defined 49 20,700 ITRON INC COM Common Stocks 465741106 $600 10,900 SH Defined 51 10,900 ITRON INC COM Common Stocks 465741106 $374 6,800 SH Sole 88 6,800 I2 TECHNOLOGIES INC COM NE Common Stocks 465754208 $67 5,349 SH Defined 1 5,349 I2 TECHNOLOGIES INC COM NE Common Stocks 465754208 $20 1,600 SH Defined 57 1,600 I2 TECHNOLOGIES INC COM NE Common Stocks 465754208 $171 13,600 SH Defined 65 13,600 IVANHOE MINES LTD COM Common Stocks 46579N103 $2,472 441,489 SH Defined 100 441,489 J & J SNACK FOODS CORP COM Common Stocks 466032109 $664 18,500 SH Defined 23 18,500 J & J SNACK FOODS CORP COM Common Stocks 466032109 $704 19,600 SH Sole 88 19,600 JA SOLAR HOLDINGS CO LTD S Common Stocks 466090107 $417 88,600 SH Defined 41 88,600 JDS UNIPHASE CORP COM PAR Common Stocks 46612J507 $68 11,878 SH Defined 42 11,878 JDS UNIPHASE CORP COM PAR Common Stocks 46612J507 $390 68,200 SH Defined 51 68,200 JDS UNIPHASE CORP COM PAR Common Stocks 46612J507 $2,533 442,800 SH Defined 57 442,800 JDS UNIPHASE CORP COM PAR Common Stocks 46612J507 $33 5,837 SH Defined 80 5,837 JDS UNIPHASE CORP COM PAR Common Stocks 46612J507 $1,797 314,169 SH Sole 88 314,169 JDA SOFTWARE GROUP INC COM Common Stocks 46612K108 $155 10,368 SH Defined 65 10,368 JDA SOFTWARE GROUP INC COM Common Stocks 46612K108 $545 36,450 SH Defined 77 36,450 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $650 19,046 SH Defined 1 19,046 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $9,697 284,300 SH Defined 4 284,300 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $8,046 235,890 SH Defined 8 235,890 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $2,064 60,500 SH Defined 10 60,500 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $11,456 335,800 SH Defined 14 335,800 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $6,784 198,900 SH Defined 17 198,900 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $358 10,500 SH Defined 18 10,500 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $16,067 470,916 SH Defined 23 470,916 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $1,270 36,965 SH Defined 26 36,965 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $46,976 1,376,931 SH Defined 26 1,376,931 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $5,165 151,418 SH Defined 31 151,418 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $11,301 331,300 SH Defined 35 331,300 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $3,412 100,021 SH Defined 37 100,021 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $24,438 716,459 SH Defined 38 716,459 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $4,044 118,556 SH Defined 42 118,556 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $6,044 177,200 SH Defined 43 177,200 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $5,276 153,500 SH Defined 47 153,500 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $29,241 857,100 SH Defined 47 857,100 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $1,949 56,700 SH Defined 50 56,700 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $61,962 1,816,147 SH Defined 50 1,816,147 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $5,471 160,400 SH Defined 51 160,400 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $1,502 44,030 SH Defined 55 44,030 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $590 17,300 SH Defined 57 17,300 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $3,185 93,380 SH Defined 59 93,380 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $5,914 173,367 SH Defined 62 173,367 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $12,497 363,607 SH Defined 64 363,607 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $58,165 1,704,654 SH Defined 64 1,704,654 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $1,696 49,360 SH Defined 66 49,360 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $1,967 57,650 SH Defined 66 57,650 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $1,409 41,300 SH Defined 67 41,300 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $15,093 442,470 SH Defined 68 442,470 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $2,843 83,360 SH Defined 69 83,360 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $7,784 228,211 SH Defined 72 228,211 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $5,800 170,025 SH Defined 76 170,025 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $1,330 38,700 SH Defined 79 38,700 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $2,313 67,800 SH Defined 79 67,800 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $3,541 103,824 SH Defined 80 103,824 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $463 13,565 SH Defined 84 13,565 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $136,475 4,001,033 SH Sole 88 4,001,033 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $2,012 58,985 SH Defined 91 58,985 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $18,391 539,164 SH Defined 94 539,164 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $3,428 100,506 SH Defined 97 100,506 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $5,994 175,600 SH Defined 98 175,600 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $35,689 1,046,300 SH Defined 99 1,046,300 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $839 24,606 SH Defined 106 24,606 JPMORGAN CHASE & CO COM Common Stocks 46625H100 $12,395 362,904 SH Defined 362,904 J2 GLOBAL COMMUNICATIONS I Common Stocks 46626E205 $120 5,300 SH Defined 23 5,300 J2 GLOBAL COMMUNICATIONS I Common Stocks 46626E205 $4,318 191,400 SH Defined 28 191,400 J2 GLOBAL COMMUNICATIONS I Common Stocks 46626E205 $59 2,600 SH Defined 57 2,600 J2 GLOBAL COMMUNICATIONS I Common Stocks 46626E205 $83 3,700 SH Defined 65 3,700 J2 GLOBAL COMMUNICATIONS I Common Stocks 46626E205 $870 38,564 SH Sole 88 38,564 J2 GLOBAL COMMUNICATIONS I Common Stocks 46626E205 $2,260 100,155 SH Defined 103 100,155 JMP GROUP INC COM Common Stocks 46629U107 $95 12,400 SH Defined 31 12,400 JABIL CIRCUIT INC COM Common Stocks 466313103 $8,309 1,119,772 SH Defined 31 1,119,772 JABIL CIRCUIT INC COM Common Stocks 466313103 $1,939 261,300 SH Defined 35 261,300 JABIL CIRCUIT INC COM Common Stocks 466313103 $792 106,800 SH Defined 51 106,800 JABIL CIRCUIT INC COM Common Stocks 466313103 $354 47,749 SH Defined 52 47,749 JABIL CIRCUIT INC COM Common Stocks 466313103 $4,792 645,800 SH Defined 57 645,800 JABIL CIRCUIT INC COM Common Stocks 466313103 $122 16,500 SH Defined 65 16,500 JABIL CIRCUIT INC COM Common Stocks 466313103 $256 34,500 SH Defined 67 34,500 JABIL CIRCUIT INC COM Common Stocks 466313103 $42 5,700 SH Defined 80 5,700 JABIL CIRCUIT INC COM Common Stocks 466313103 $114 15,347 SH Defined 81 15,347 JABIL CIRCUIT INC COM Common Stocks 466313103 $10,860 1,463,605 SH Sole 88 1,463,605 JACK IN THE BOX INC COM Common Stocks 466367109 $312 13,900 SH Defined 22 13,900 JACK IN THE BOX INC COM Common Stocks 466367109 $1,875 83,500 SH Defined 30 83,500 JACK IN THE BOX INC COM Common Stocks 466367109 $38 1,700 SH Defined 57 1,700 JACK IN THE BOX INC COM Common Stocks 466367109 $438 19,500 SH Defined 77 19,500 JACK IN THE BOX INC COM Common Stocks 466367109 $1,302 58,000 SH Sole 88 58,000 JACOBS ENGR GROUP INC DEL Common Stocks 469814107 $3,177 75,490 SH Defined 12 75,490 JACOBS ENGR GROUP INC DEL Common Stocks 469814107 $1,073 25,500 SH Defined 30 25,500 JACOBS ENGR GROUP INC DEL Common Stocks 469814107 $336 7,992 SH Defined 42 7,992 JACOBS ENGR GROUP INC DEL Common Stocks 469814107 $215 5,100 SH Defined 51 5,100 JACOBS ENGR GROUP INC DEL Common Stocks 469814107 $139 3,300 SH Defined 80 3,300 JACOBS ENGR GROUP INC DEL Common Stocks 469814107 $2,522 59,910 SH Sole 88 59,910 JACOBS ENGR GROUP INC DEL Common Stocks 469814107 $4,135 98,234 SH Defined 103 98,234 JAGUAR MNG INC COM Common Stocks 47009M103 $2,149 283,000 SH Defined 283,000 JAKKS PAC INC COM Common Stocks 47012E106 $36 2,800 SH Defined 57 2,800 JAMES RIVER COAL CO COM NE Common Stocks 470355207 $2,703 178,662 SH Defined 74 178,662 JAMES RIVER COAL CO COM NE Common Stocks 470355207 $2,758 182,268 SH Sole 88 182,268 JANUS CAP GROUP INC COM Common Stocks 47102X105 $49 4,300 SH Defined 80 4,300 JARDEN CORP COM Common Stocks 471109108 $3,417 182,212 SH Defined 23 182,212 JARDEN CORP COM Common Stocks 471109108 $210 11,200 SH Defined 51 11,200 JARDEN CORP COM Common Stocks 471109108 $5,169 275,700 SH Defined 57 275,700 JARDEN CORP COM Common Stocks 471109108 $4,760 253,851 SH Sole 88 253,851 JARDEN CORP COM Common Stocks 471109108 $1,719 91,700 SH Defined 105 91,700 JARDEN CORP COM Common Stocks 471109108 $24 1,268 SH Defined 1,268 JEFFERIES GROUP INC NEW CO Common Stocks 472319102 $1,175 55,100 SH Defined 51 55,100 JEFFERIES GROUP INC NEW CO Common Stocks 472319102 $136 6,369 SH Defined 81 6,369 JEFFERIES GROUP INC NEW CO Common Stocks 472319102 $761 35,700 SH Sole 88 35,700 JETBLUE AIRWAYS CORP COM Common Stocks 477143101 $2,833 663,400 SH Defined 14 663,400 JETBLUE AIRWAYS CORP COM Common Stocks 477143101 $1,148 268,900 SH Defined 57 268,900 JETBLUE AIRWAYS CORP COM Common Stocks 477143101 $629 147,300 SH Sole 88 147,300 JO-ANN STORES INC COM Common Stocks 47758P307 $211 10,200 SH Defined 57 10,200 JO-ANN STORES INC COM Common Stocks 47758P307 $48 2,300 SH Defined 65 2,300 JOHN BEAN TECHNOLOGIES COR Common Stocks 477839104 $48 3,800 SH Defined 1 3,800 JOHN BEAN TECHNOLOGIES COR Common Stocks 477839104 $8 600 SH Defined 65 600 JOHNSON & JOHNSON COM Common Stocks 478160104 $17,927 315,610 SH Defined 1 315,610 JOHNSON & JOHNSON COM Common Stocks 478160104 $8,094 142,500 SH Defined 4 142,500 JOHNSON & JOHNSON COM Common Stocks 478160104 $18,182 320,100 SH Defined 10 320,100 JOHNSON & JOHNSON COM Common Stocks 478160104 $153 2,688 SH Defined 11 2,688 JOHNSON & JOHNSON COM Common Stocks 478160104 $5,339 93,995 SH Defined 12 93,995 JOHNSON & JOHNSON COM Common Stocks 478160104 $3,618 63,700 SH Defined 17 63,700 JOHNSON & JOHNSON COM Common Stocks 478160104 $24,401 429,600 SH Defined 35 429,600 JOHNSON & JOHNSON COM Common Stocks 478160104 $6,791 119,553 SH Defined 42 119,553 JOHNSON & JOHNSON COM Common Stocks 478160104 $22,129 389,600 SH Defined 51 389,600 JOHNSON & JOHNSON COM Common Stocks 478160104 $471 8,290 SH Defined 55 8,290 JOHNSON & JOHNSON COM Common Stocks 478160104 $612 10,768 SH Defined 56 10,768 JOHNSON & JOHNSON COM Common Stocks 478160104 $17,472 307,600 SH Defined 57 307,600 JOHNSON & JOHNSON COM Common Stocks 478160104 $1,079 18,990 SH Defined 58 18,990 JOHNSON & JOHNSON COM Common Stocks 478160104 $6,132 107,958 SH Defined 62 107,958 JOHNSON & JOHNSON COM Common Stocks 478160104 $546 9,620 SH Defined 66 9,620 JOHNSON & JOHNSON COM Common Stocks 478160104 $3,056 53,800 SH Defined 67 53,800 JOHNSON & JOHNSON COM Common Stocks 478160104 $18,743 329,926 SH Defined 68 329,926 JOHNSON & JOHNSON COM Common Stocks 478160104 $1,708 30,070 SH Defined 69 30,070 JOHNSON & JOHNSON COM Common Stocks 478160104 $4,226 74,612 SH Defined 70 74,612 JOHNSON & JOHNSON COM Common Stocks 478160104 $4,052 71,300 SH Defined 70 71,300 JOHNSON & JOHNSON COM Common Stocks 478160104 $6,471 113,918 SH Defined 76 113,918 JOHNSON & JOHNSON COM Common Stocks 478160104 $425 7,500 SH Defined 79 7,500 JOHNSON & JOHNSON COM Common Stocks 478160104 $795 14,000 SH Defined 79 14,000 JOHNSON & JOHNSON COM Common Stocks 478160104 $4,162 73,276 SH Defined 80 73,276 JOHNSON & JOHNSON COM Common Stocks 478160104 $853 15,010 SH Defined 84 15,010 JOHNSON & JOHNSON COM Common Stocks 478160104 $94,007 1,655,059 SH Sole 88 1,655,059 JOHNSON & JOHNSON COM Common Stocks 478160104 $15,613 274,882 SH Defined 94 274,882 JOHNSON & JOHNSON COM Common Stocks 478160104 $2,147 37,798 SH Defined 97 37,798 JOHNSON & JOHNSON COM Common Stocks 478160104 $2,027 35,690 SH Defined 35,690 JOHNSON CTLS INC COM Common Stocks 478366107 $739 33,955 SH Defined 39 33,955 JOHNSON CTLS INC COM Common Stocks 478366107 $1,899 87,442 SH Defined 42 87,442 JOHNSON CTLS INC COM Common Stocks 478366107 $1,271 58,400 SH Defined 49 58,400 JOHNSON CTLS INC COM Common Stocks 478366107 $820 37,850 SH Defined 50 37,850 JOHNSON CTLS INC COM Common Stocks 478366107 $25,567 1,176,902 SH Defined 50 1,176,902 JOHNSON CTLS INC COM Common Stocks 478366107 $1,536 70,700 SH Defined 51 70,700 JOHNSON CTLS INC COM Common Stocks 478366107 $656 30,200 SH Defined 56 30,200 JOHNSON CTLS INC COM Common Stocks 478366107 $1,657 76,280 SH Defined 58 76,280 JOHNSON CTLS INC COM Common Stocks 478366107 $99 4,538 SH Defined 68 4,538 JOHNSON CTLS INC COM Common Stocks 478366107 $343 15,800 SH Defined 80 15,800 JOHNSON CTLS INC COM Common Stocks 478366107 $12,642 582,026 SH Sole 88 582,026 JOHNSON CTLS INC COM Common Stocks 478366107 $502 23,100 SH Defined 97 23,100 JOHNSON CTLS INC COM Common Stocks 478366107 $454 20,888 SH Defined 106 20,888 JOHNSON CTLS INC COM Common Stocks 478366107 $121 5,567 SH Defined 5,567 JONES APPAREL GROUP INC CO Common Stocks 480074103 $881 82,100 SH Defined 4 82,100 JONES APPAREL GROUP INC CO Common Stocks 480074103 $1,689 160,545 SH Defined 11 160,545 JONES APPAREL GROUP INC CO Common Stocks 480074103 $1,874 174,664 SH Defined 23 174,664 JONES APPAREL GROUP INC CO Common Stocks 480074103 $4,083 380,500 SH Defined 35 380,500 JONES APPAREL GROUP INC CO Common Stocks 480074103 $798 74,371 SH Defined 52 74,371 JONES APPAREL GROUP INC CO Common Stocks 480074103 $2,984 278,100 SH Defined 57 278,100 JONES APPAREL GROUP INC CO Common Stocks 480074103 $510 47,500 SH Defined 67 47,500 JONES APPAREL GROUP INC CO Common Stocks 480074103 $7,653 713,262 SH Sole 88 713,262 JONES LANG LASALLE INC COM Common Stocks 48020Q107 $842 25,685 SH Defined 39 25,685 JONES LANG LASALLE INC COM Common Stocks 48020Q107 $458 14,000 SH Defined 51 14,000 JONES LANG LASALLE INC COM Common Stocks 48020Q107 $291 8,900 SH Sole 88 8,900 JOS A BANK CLOTHIERS INC C Common Stocks 480838101 $2,858 82,930 SH Defined 30 82,930 JOS A BANK CLOTHIERS INC C Common Stocks 480838101 $246 7,150 SH Defined 44 7,150 JOS A BANK CLOTHIERS INC C Common Stocks 480838101 $2,134 61,921 SH Sole 88 61,921 JOURNAL COMMUNICATIONS INC Common Stocks 481130102 $101 96,500 SH Defined 57 96,500 JOURNAL COMMUNICATIONS INC Common Stocks 481130102 $71 67,400 SH Sole 88 67,400 JOY GLOBAL INC COM Common Stocks 481165108 $2,349 65,766 SH Defined 1 65,766 JOY GLOBAL INC COM Common Stocks 481165108 $472 13,200 SH Defined 10 13,200 JOY GLOBAL INC COM Common Stocks 481165108 $5,802 162,400 SH Defined 14 162,400 JOY GLOBAL INC COM Common Stocks 481165108 $4,873 136,411 SH Defined 27 136,411 JOY GLOBAL INC COM Common Stocks 481165108 $2,640 73,900 SH Defined 35 73,900 JOY GLOBAL INC COM Common Stocks 481165108 $298 8,330 SH Defined 60 8,330 JOY GLOBAL INC COM Common Stocks 481165108 $332 9,300 SH Defined 67 9,300 JOY GLOBAL INC COM Common Stocks 481165108 $3,958 110,807 SH Defined 74 110,807 JOY GLOBAL INC COM Common Stocks 481165108 $11,254 315,053 SH Sole 88 315,053 JOY GLOBAL INC COM Common Stocks 481165108 $2,057 57,580 SH Defined 102 57,580 JOY GLOBAL INC COM Common Stocks 481165108 $1,440 40,316 SH Defined 103 40,316 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $5,855 248,100 SH Defined 10 248,100 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $115 4,892 SH Defined 11 4,892 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $193 8,200 SH Defined 26 8,200 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $7,164 303,516 SH Defined 26 303,516 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $732 31,000 SH Defined 51 31,000 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $274 11,600 SH Defined 56 11,600 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $1,405 59,520 SH Defined 58 59,520 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $1,460 61,880 SH Defined 60 61,880 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $4,695 199,836 SH Defined 64 199,836 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $20,459 866,572 SH Defined 64 866,572 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $18,905 801,056 SH Defined 72 801,056 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $330 14,000 SH Defined 80 14,000 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $29,143 1,234,877 SH Sole 88 1,234,877 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $6,330 268,000 SH Defined 98 268,000 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $36,526 1,547,700 SH Defined 99 1,547,700 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $6,554 277,730 SH Defined 102 277,730 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $214 9,082 SH Defined 106 9,082 JUNIPER NETWORKS INC COM Common Stocks 48203R104 $571 24,200 SH Defined 24,200 KB FINANCIAL GROUP INC SPO Common Stocks 48241A105 $110 3,300 SH Defined 4 3,300 KB FINANCIAL GROUP INC SPO Common Stocks 48241A105 $1,782 53,507 SH Defined 6 53,507 KB FINANCIAL GROUP INC SPO Common Stocks 48241A105 $3,191 95,810 SH Defined 46 95,810 KB FINANCIAL GROUP INC SPO Common Stocks 48241A105 $293 8,800 SH Defined 84 8,800 KB FINANCIAL GROUP INC SPO Common Stocks 48241A105 $668 20,050 SH Sole 88 20,050 KB FINANCIAL GROUP INC SPO Common Stocks 48241A105 $506 15,200 SH Defined 104 15,200 KBW INC COM Common Stocks 482423100 $562 19,546 SH Defined 52 19,546 KBW INC COM Common Stocks 482423100 $773 26,883 SH Sole 88 26,883 KBR INC COM Common Stocks 48242W106 $2,753 149,302 SH Defined 1 149,302 KBR INC COM Common Stocks 48242W106 $291 15,805 SH Defined 42 15,805 KBR INC COM Common Stocks 48242W106 $666 36,100 SH Defined 51 36,100 KBR INC COM Common Stocks 48242W106 $7,642 414,400 SH Defined 57 414,400 KBR INC COM Common Stocks 48242W106 $76 4,100 SH Defined 65 4,100 KBR INC COM Common Stocks 48242W106 $137 7,435 SH Defined 81 7,435 KBR INC COM Common Stocks 48242W106 $5,606 304,012 SH Sole 88 304,012 KBR INC COM Common Stocks 48242W106 $2,199 119,230 SH Defined 92 119,230 KLA-TENCOR CORP COM Common Stocks 482480100 $390 15,450 SH Defined 58 15,450 KLA-TENCOR CORP COM Common Stocks 482480100 $655 25,950 SH Defined 60 25,950 KLA-TENCOR CORP COM Common Stocks 482480100 $114 4,500 SH Defined 80 4,500 KLA-TENCOR CORP COM Common Stocks 482480100 $1,151 45,580 SH Defined 102 45,580 KMG CHEMICALS INC COM Common Stocks 482564101 $8 1,100 SH Defined 31 1,100 K-SWISS INC CL A Common Stocks 482686102 $133 15,650 SH Defined 21 15,650 K-SWISS INC CL A Common Stocks 482686102 $20 2,300 SH Defined 57 2,300 K-SWISS INC CL A Common Stocks 482686102 $320 37,619 SH Sole 88 37,619 KT CORP SPONSORED ADR Common Stocks 48268K101 $111 7,700 SH Defined 20 7,700 KT CORP SPONSORED ADR Common Stocks 48268K101 $3,488 242,910 SH Defined 100 242,910 K SEA TRANSN PARTNERS LP C Common Stocks 48268Y101 $1,392 71,000 SH Defined 30 71,000 K SEA TRANSN PARTNERS LP C Common Stocks 48268Y101 $1,117 56,940 SH Sole 88 56,940 K12 INC COM Common Stocks 48273U102 $3,448 160,000 SH Sole 88 160,000 K12 INC COM Common Stocks 48273U102 $472 21,900 SH Defined 95 21,900 KADANT INC COM Common Stocks 48282T104 $137 12,120 SH Defined 22 12,120 KADANT INC COM Common Stocks 48282T104 $11 1,000 SH Defined 57 1,000 KAISER ALUMINUM CORP COM P Common Stocks 483007704 $133 3,700 SH Defined 57 3,700 KAMAN CORP COM Common Stocks 483548103 $2,992 179,184 SH Defined 31 179,184 KAMAN CORP COM Common Stocks 483548103 $3,380 202,400 SH Sole 88 202,400 KANSAS CITY SOUTHERN COM N Common Stocks 485170302 $255 15,800 SH Defined 51 15,800 KANSAS CITY SOUTHERN COM N Common Stocks 485170302 $475 29,460 SH Defined 73 29,460 KANSAS CITY SOUTHERN COM N Common Stocks 485170302 $99 6,150 SH Defined 81 6,150 KANSAS CITY SOUTHERN COM N Common Stocks 485170302 $2,163 134,257 SH Sole 88 134,257 KANSAS CITY SOUTHERN COM N Common Stocks 485170302 $852 52,885 SH Defined 101 52,885 KAYDON CORP COM Common Stocks 486587108 $1,117 34,300 SH Defined 31 34,300 KAYDON CORP COM Common Stocks 486587108 $574 17,641 SH Defined 73 17,641 KAYDON CORP COM Common Stocks 486587108 $3,683 113,122 SH Sole 88 113,122 KAYNE ANDERSON ENERGY DEV CO Common Stocks 48660Q102 $90 6,813 SH Defined 81 6,813 KB HOME COM Common Stocks 48666K109 $233 17,000 SH Defined 51 17,000 KB HOME COM Common Stocks 48666K109 $193 14,100 SH Defined 56 14,100 KB HOME COM Common Stocks 48666K109 $484 35,410 SH Defined 58 35,410 KB HOME COM Common Stocks 48666K109 $319 23,337 SH Defined 76 23,337 KB HOME COM Common Stocks 48666K109 $27 1,946 SH Defined 80 1,946 KB HOME COM Common Stocks 48666K109 $148 10,800 SH Sole 88 10,800 KEITHLEY INSTRS INC COM Common Stocks 487584104 $99 24,800 SH Defined 31 24,800 KELLOGG CO COM Common Stocks 487836108 $6,501 139,600 SH Defined 51 139,600 KELLOGG CO COM Common Stocks 487836108 $182 3,913 SH Defined 68 3,913 KELLOGG CO COM Common Stocks 487836108 $317 6,800 SH Defined 80 6,800 KELLOGG CO COM Common Stocks 487836108 $4,070 87,400 SH Sole 88 87,400 KELLY SVCS INC CL A Common Stocks 488152208 $30 2,700 SH Defined 57 2,700 KENEXA CORP COM Common Stocks 488879107 $20 1,700 SH Defined 57 1,700 KENEXA CORP COM Common Stocks 488879107 $43 3,700 SH Defined 65 3,700 KENEXA CORP COM Common Stocks 488879107 $579 50,068 SH Sole 88 50,068 KENNAMETAL INC COM Common Stocks 489170100 $555 28,950 SH Defined 21 28,950 KENNAMETAL INC COM Common Stocks 489170100 $260 13,565 SH Defined 22 13,565 KENNAMETAL INC COM Common Stocks 489170100 $1,860 97,000 SH Defined 31 97,000 KENNAMETAL INC COM Common Stocks 489170100 $1,114 58,100 SH Defined 51 58,100 KENNAMETAL INC COM Common Stocks 489170100 $4,756 247,941 SH Sole 88 247,941 KENNAMETAL INC COM Common Stocks 489170100 $746 38,872 SH Defined 101 38,872 KENSEY NASH CORP COM Common Stocks 490057106 $107 4,100 SH Defined 23 4,100 KENSEY NASH CORP COM Common Stocks 490057106 $29 1,100 SH Defined 57 1,100 KENSEY NASH CORP COM Common Stocks 490057106 $39 1,500 SH Defined 65 1,500 KENSEY NASH CORP COM Common Stocks 490057106 $160 6,100 SH Sole 88 6,100 KEY ENERGY SVCS INC COM Common Stocks 492914106 $37 6,470 SH Defined 42 6,470 KEY ENERGY SVCS INC COM Common Stocks 492914106 $449 78,000 SH Defined 57 78,000 KEY ENERGY SVCS INC COM Common Stocks 492914106 $163 28,319 SH Sole 88 28,319 KEY ENERGY SVCS INC COM Common Stocks 492914106 $185 32,200 SH Defined 32,200 KEYCORP NEW COM Common Stocks 493267108 $3,202 611,065 SH Defined 31 611,065 KEYCORP NEW COM Common Stocks 493267108 $607 115,900 SH Defined 51 115,900 KEYCORP NEW COM Common Stocks 493267108 $139 26,600 SH Defined 56 26,600 KEYCORP NEW COM Common Stocks 493267108 $111 21,200 SH Defined 58 21,200 KEYCORP NEW COM Common Stocks 493267108 $322 61,440 SH Defined 76 61,440 KEYCORP NEW COM Common Stocks 493267108 $99 18,800 SH Defined 80 18,800 KEYCORP NEW COM Common Stocks 493267108 $95 18,159 SH Defined 81 18,159 KEYCORP NEW COM Common Stocks 493267108 $1,287 245,700 SH Sole 88 245,700 KEYNOTE SYS INC COM Common Stocks 493308100 $12 1,621 SH Defined 23 1,621 KEYNOTE SYS INC COM Common Stocks 493308100 $30 3,948 SH Sole 88 3,948 KFORCE INC COM Common Stocks 493732101 $215 25,967 SH Defined 57 25,967 KFORCE INC COM Common Stocks 493732101 $138 16,700 SH Sole 88 16,700 KIMBALL INTL INC CL B Common Stocks 494274103 $1,049 168,132 SH Defined 92 168,132 KILROY RLTY CORP COM Common Stocks 49427F108 $15,277 743,600 SH Defined 2 743,600 KILROY RLTY CORP COM Common Stocks 49427F108 $1,406 68,839 SH Defined 25 68,839 KILROY RLTY CORP COM Common Stocks 49427F108 $1,684 81,962 SH Defined 25 81,962 KILROY RLTY CORP COM Common Stocks 49427F108 $635 31,100 SH Defined 54 31,100 KILROY RLTY CORP COM Common Stocks 49427F108 $6,713 326,800 SH Defined 54 326,800 KILROY RLTY CORP COM Common Stocks 49427F108 $6,316 307,500 SH Defined 87 307,500 KILROY RLTY CORP COM Common Stocks 49427F108 $1,238 60,295 SH Sole 88 60,295 KIMBERLY CLARK CORP COM Common Stocks 494368103 $3,319 63,300 SH Defined 10 63,300 KIMBERLY CLARK CORP COM Common Stocks 494368103 $15,530 296,138 SH Defined 23 296,138 KIMBERLY CLARK CORP COM Common Stocks 494368103 $2,737 52,200 SH Defined 35 52,200 KIMBERLY CLARK CORP COM Common Stocks 494368103 $2,422 46,200 SH Defined 51 46,200 KIMBERLY CLARK CORP COM Common Stocks 494368103 $910 17,360 SH Defined 55 17,360 KIMBERLY CLARK CORP COM Common Stocks 494368103 $199 3,800 SH Defined 56 3,800 KIMBERLY CLARK CORP COM Common Stocks 494368103 $5,343 101,900 SH Defined 57 101,900 KIMBERLY CLARK CORP COM Common Stocks 494368103 $341 6,500 SH Defined 67 6,500 KIMBERLY CLARK CORP COM Common Stocks 494368103 $249 4,700 SH Defined 79 4,700 KIMBERLY CLARK CORP COM Common Stocks 494368103 $435 8,299 SH Defined 79 8,299 KIMBERLY CLARK CORP COM Common Stocks 494368103 $580 11,056 SH Defined 80 11,056 KIMBERLY CLARK CORP COM Common Stocks 494368103 $24,850 473,960 SH Sole 88 473,960 KIMBERLY CLARK CORP COM Common Stocks 494368103 $889 16,800 SH Defined 93 16,800 KIMBERLY CLARK CORP COM Common Stocks 494368103 $2,192 41,800 SH Defined 93 41,800 KIMBERLY CLARK CORP COM Common Stocks 494368103 $17,228 328,587 SH Defined 94 328,587 KIMBERLY CLARK CORP COM Common Stocks 494368103 $113 2,125 SH Defined 2,125 KIMCO REALTY CORP COM Common Stocks 49446R109 $9,941 988,902 SH Defined 2 988,902 KIMCO REALTY CORP COM Common Stocks 49446R109 $53 5,242 SH Defined 42 5,242 KIMCO REALTY CORP COM Common Stocks 49446R109 $541 54,200 SH Defined 54 54,200 KIMCO REALTY CORP COM Common Stocks 49446R109 $5,943 591,230 SH Defined 54 591,230 KIMCO REALTY CORP COM Common Stocks 49446R109 $121 12,000 SH Defined 56 12,000 KIMCO REALTY CORP COM Common Stocks 49446R109 $281 27,980 SH Defined 58 27,980 KIMCO REALTY CORP COM Common Stocks 49446R109 $86 8,600 SH Defined 80 8,600 KIMCO REALTY CORP COM Common Stocks 49446R109 $2,444 244,730 SH Defined 82 244,730 KIMCO REALTY CORP COM Common Stocks 49446R109 $4,718 469,143 SH Defined 82 469,143 KIMCO REALTY CORP COM Common Stocks 49446R109 $15,429 1,535,200 SH Defined 87 1,535,200 KIMCO REALTY CORP COM Common Stocks 49446R109 $563 55,995 SH Sole 88 55,995 KINDER MORGAN MANAGEMENT L Common Stocks 49455U100 $1 32 SH Defined 15 32 KINDRED HEALTHCARE INC COM Common Stocks 494580103 $192 15,486 SH Defined 1 15,486 KINDRED HEALTHCARE INC COM Common Stocks 494580103 $188 15,195 SH Defined 22 15,195 KINDRED HEALTHCARE INC COM Common Stocks 494580103 $89 7,200 SH Defined 23 7,200 KINDRED HEALTHCARE INC COM Common Stocks 494580103 $808 65,300 SH Defined 57 65,300 KINDRED HEALTHCARE INC COM Common Stocks 494580103 $627 50,700 SH Sole 88 50,700 KINDRED HEALTHCARE INC COM Common Stocks 494580103 $1,180 95,384 SH Defined 92 95,384 KINETIC CONCEPTS INC COM N Common Stocks 49460W208 $3,191 117,100 SH Defined 57 117,100 KINETIC CONCEPTS INC COM N Common Stocks 49460W208 $60 2,200 SH Defined 65 2,200 KINETIC CONCEPTS INC COM N Common Stocks 49460W208 $1,719 63,100 SH Sole 88 63,100 KING PHARMACEUTICALS INC C Common Stocks 495582108 $4,601 477,733 SH Defined 23 477,733 KING PHARMACEUTICALS INC C Common Stocks 495582108 $1,433 148,800 SH Defined 51 148,800 KING PHARMACEUTICALS INC C Common Stocks 495582108 $528 54,877 SH Defined 52 54,877 KING PHARMACEUTICALS INC C Common Stocks 495582108 $8,229 854,500 SH Defined 57 854,500 KING PHARMACEUTICALS INC C Common Stocks 495582108 $193 20,000 SH Defined 65 20,000 KING PHARMACEUTICALS INC C Common Stocks 495582108 $64 6,666 SH Defined 80 6,666 KING PHARMACEUTICALS INC C Common Stocks 495582108 $11,289 1,172,322 SH Sole 88 1,172,322 KINROSS GOLD CORP COM NO P Common Stocks 496902404 $3,488 191,100 SH Defined 43 191,100 KINROSS GOLD CORP COM NO P Common Stocks 496902404 $949 52,000 SH Defined 104 52,000 KINROSS GOLD CORP COM NO P Common Stocks 496902404 $9,137 500,512 SH Defined 500,512 KIRBY CORP COM Common Stocks 497266106 $339 10,650 SH Defined 77 10,650 KIRBY CORP COM Common Stocks 497266106 $643 20,222 SH Sole 88 20,222 KIRBY CORP COM Common Stocks 497266106 $2,097 65,961 SH Defined 103 65,961 KIRKLANDS INC COM Common Stocks 497498105 $40 3,300 SH Defined 57 3,300 KIRKLANDS INC COM Common Stocks 497498105 $31 2,600 SH Defined 65 2,600 KITE RLTY GROUP TR COM Common Stocks 49803T102 $4,190 1,434,800 SH Defined 2 1,434,800 KITE RLTY GROUP TR COM Common Stocks 49803T102 $57 19,600 SH Defined 57 19,600 KITE RLTY GROUP TR COM Common Stocks 49803T102 $26 8,750 SH Defined 87 8,750 KITE RLTY GROUP TR COM Common Stocks 49803T102 $31 10,700 SH Sole 88 10,700 KNOLL INC COM NEW Common Stocks 498904200 $88 11,600 SH Defined 65 11,600 KNIGHT CAPITAL GROUP INC C Common Stocks 499005106 $49 2,900 SH Defined 23 2,900 KNIGHT CAPITAL GROUP INC C Common Stocks 499005106 $1,538 90,200 SH Defined 30 90,200 KNIGHT CAPITAL GROUP INC C Common Stocks 499005106 $604 35,410 SH Defined 52 35,410 KNIGHT CAPITAL GROUP INC C Common Stocks 499005106 $142 8,300 SH Defined 57 8,300 KNIGHT CAPITAL GROUP INC C Common Stocks 499005106 $264 15,500 SH Defined 65 15,500 KNIGHT CAPITAL GROUP INC C Common Stocks 499005106 $1,132 66,384 SH Defined 76 66,384 KNIGHT CAPITAL GROUP INC C Common Stocks 499005106 $312 18,300 SH Defined 77 18,300 KNIGHT CAPITAL GROUP INC C Common Stocks 499005106 $2,159 126,655 SH Sole 88 126,655 KNIGHT CAPITAL GROUP INC C Common Stocks 499005106 $3,063 179,641 SH Defined 92 179,641 KNIGHT TRANSN INC COM Common Stocks 499064103 $4,296 259,565 SH Defined 74 259,565 KNIGHT TRANSN INC COM Common Stocks 499064103 $9,905 598,482 SH Sole 88 598,482 KNIGHT TRANSN INC COM Common Stocks 499064103 $538 32,500 SH Defined 95 32,500 KNIGHT TRANSN INC COM Common Stocks 499064103 $2,676 161,677 SH Defined 103 161,677 KOHLBERG CAPITAL CORP COM Common Stocks 500233101 $895 141,681 SH Defined 30 141,681 KOHLBERG CAPITAL CORP COM Common Stocks 500233101 $900 142,473 SH Sole 88 142,473 KOHLS CORP COM Common Stocks 500255104 $402 9,400 SH Defined 4 9,400 KOHLS CORP COM Common Stocks 500255104 $915 21,200 SH Defined 18 21,200 KOHLS CORP COM Common Stocks 500255104 $2,073 48,500 SH Defined 18 48,500 KOHLS CORP COM Common Stocks 500255104 $527 12,200 SH Defined 26 12,200 KOHLS CORP COM Common Stocks 500255104 $19,469 455,327 SH Defined 26 455,327 KOHLS CORP COM Common Stocks 500255104 $2,356 55,100 SH Defined 51 55,100 KOHLS CORP COM Common Stocks 500255104 $286 6,700 SH Defined 56 6,700 KOHLS CORP COM Common Stocks 500255104 $659 15,410 SH Defined 58 15,410 KOHLS CORP COM Common Stocks 500255104 $1,176 27,500 SH Defined 60 27,500 KOHLS CORP COM Common Stocks 500255104 $342 8,000 SH Defined 80 8,000 KOHLS CORP COM Common Stocks 500255104 $16,976 397,089 SH Sole 88 397,089 KOHLS CORP COM Common Stocks 500255104 $928 21,700 SH Defined 97 21,700 KOHLS CORP COM Common Stocks 500255104 $6,971 163,065 SH Defined 102 163,065 KOHLS CORP COM Common Stocks 500255104 $4,255 99,491 SH Defined 99,491 KONINKLIJKE PHILIPS ELECTR Common Stocks 500472303 $42 2,300 SH Defined 32 2,300 KONINKLIJKE PHILIPS ELECTR Common Stocks 500472303 $1,246 67,642 SH Defined 45 67,642 KONINKLIJKE PHILIPS ELECTR Common Stocks 500472303 $3,002 163,000 SH Sole 88 163,000 KONINKLIJKE PHILIPS ELECTR Common Stocks 500472303 $5,738 311,500 SH Defined 104 311,500 KOPPERS HOLDINGS INC COM Common Stocks 50060P106 $55 2,100 SH Defined 1 2,100 KOREA ELECTRIC PWR SPONSOR Common Stocks 500631106 $317 27,600 SH Defined 20 27,600 KOREA ELECTRIC PWR SPONSOR Common Stocks 500631106 $86 7,482 SH Defined 40 7,482 KOREA ELECTRIC PWR SPONSOR Common Stocks 500631106 $357 31,000 SH Defined 84 31,000 KOREA ELECTRIC PWR SPONSOR Common Stocks 500631106 $20,184 1,755,100 SH Defined 100 1,755,100 KRAFT FOODS INC CL A Common Stocks 50075N104 $2,088 82,400 SH Defined 4 82,400 KRAFT FOODS INC CL A Common Stocks 50075N104 $4,138 163,310 SH Defined 8 163,310 KRAFT FOODS INC CL A Common Stocks 50075N104 $7,072 279,100 SH Defined 35 279,100 KRAFT FOODS INC CL A Common Stocks 50075N104 $4,460 176,000 SH Defined 51 176,000 KRAFT FOODS INC CL A Common Stocks 50075N104 $915 36,094 SH Defined 56 36,094 KRAFT FOODS INC CL A Common Stocks 50075N104 $1,703 67,200 SH Defined 57 67,200 KRAFT FOODS INC CL A Common Stocks 50075N104 $1,358 53,610 SH Defined 58 53,610 KRAFT FOODS INC CL A Common Stocks 50075N104 $879 34,700 SH Defined 67 34,700 KRAFT FOODS INC CL A Common Stocks 50075N104 $994 39,223 SH Defined 80 39,223 KRAFT FOODS INC CL A Common Stocks 50075N104 $639 25,210 SH Defined 84 25,210 KRAFT FOODS INC CL A Common Stocks 50075N104 $9,350 369,000 SH Sole 88 369,000 KROGER CO COM Common Stocks 501044101 $840 38,100 SH Defined 4 38,100 KROGER CO COM Common Stocks 501044101 $9,845 446,500 SH Defined 10 446,500 KROGER CO COM Common Stocks 501044101 $4,549 206,300 SH Defined 51 206,300 KROGER CO COM Common Stocks 501044101 $7,389 335,100 SH Defined 57 335,100 KROGER CO COM Common Stocks 501044101 $7,218 327,345 SH Defined 68 327,345 KROGER CO COM Common Stocks 501044101 $1,386 62,840 SH Defined 69 62,840 KROGER CO COM Common Stocks 501044101 $384 17,400 SH Defined 80 17,400 KROGER CO COM Common Stocks 501044101 $35,953 1,630,500 SH Sole 88 1,630,500 KROGER CO COM Common Stocks 501044101 $7,405 335,810 SH Defined 100 335,810 KROGER CO COM Common Stocks 501044101 $2,995 135,849 SH Defined 135,849 LDK SOLAR CO LTD SPONSORED Common Stocks 50183L107 $611 54,100 SH Defined 41 54,100 LG DISPLAY CO LTD SPONS AD Common Stocks 50186V102 $265 21,200 SH Defined 14 21,200 LHC GROUP INC COM Common Stocks 50187A107 $73 3,300 SH Defined 65 3,300 LKQ CORP COM Common Stocks 501889208 $1,485 90,100 SH Defined 49 90,100 LKQ CORP COM Common Stocks 501889208 $86 5,200 SH Defined 57 5,200 LKQ CORP COM Common Stocks 501889208 $7,214 438,551 SH Sole 88 438,551 LKQ CORP COM Common Stocks 501889208 $880 53,500 SH Defined 95 53,500 LKQ CORP COM Common Stocks 501889208 $2,534 154,066 SH Defined 103 154,066 LSB INDS INC COM Common Stocks 502160104 $40 2,500 SH Defined 57 2,500 LSB INDS INC COM Common Stocks 502160104 $302 18,700 SH Defined 63 18,700 LSB INDS INC COM Common Stocks 502160104 $112 6,900 SH Defined 65 6,900 LSI CORPORATION COM Common Stocks 502161102 $522 114,569 SH Defined 42 114,569 LSI CORPORATION COM Common Stocks 502161102 $576 126,400 SH Defined 56 126,400 LSI CORPORATION COM Common Stocks 502161102 $571 125,310 SH Defined 58 125,310 LSI CORPORATION COM Common Stocks 502161102 $79 17,300 SH Defined 80 17,300 LSI CORPORATION COM Common Stocks 502161102 $167 36,536 SH Defined 81 36,536 LSI CORPORATION COM Common Stocks 502161102 $299 65,653 SH Sole 88 65,653 LSI INDS INC COM Common Stocks 50216C108 $49 8,959 SH Defined 31 8,959 LSI INDS INC COM Common Stocks 50216C108 $2 300 SH Defined 57 300 LTC PPTYS INC COM Common Stocks 502175102 $18 900 SH Defined 57 900 LTC PPTYS INC COM Common Stocks 502175102 $1,482 72,450 SH Defined 87 72,450 LTX-CREDENCE CORP COM Common Stocks 502403108 $25 53,639 SH Defined 57 53,639 LTX-CREDENCE CORP COM Common Stocks 502403108 $6 13,329 SH Sole 88 13,329 L-3 COMMUNICATIONS HLDGS I Common Stocks 502424104 $8,520 122,800 SH Defined 10 122,800 L-3 COMMUNICATIONS HLDGS I Common Stocks 502424104 $3,691 53,200 SH Defined 17 53,200 L-3 COMMUNICATIONS HLDGS I Common Stocks 502424104 $3,039 43,800 SH Defined 35 43,800 L-3 COMMUNICATIONS HLDGS I Common Stocks 502424104 $109 1,573 SH Defined 42 1,573 L-3 COMMUNICATIONS HLDGS I Common Stocks 502424104 $833 12,000 SH Defined 57 12,000 L-3 COMMUNICATIONS HLDGS I Common Stocks 502424104 $333 4,800 SH Defined 67 4,800 L-3 COMMUNICATIONS HLDGS I Common Stocks 502424104 $222 3,200 SH Defined 80 3,200 L-3 COMMUNICATIONS HLDGS I Common Stocks 502424104 $561 8,085 SH Defined 84 8,085 L-3 COMMUNICATIONS HLDGS I Common Stocks 502424104 $6,856 98,825 SH Sole 88 98,825 L-3 COMMUNICATIONS HLDGS I Common Stocks 502424104 $1,457 21,000 SH Defined 21,000 LA BARGE INC COM Common Stocks 502470107 $53 5,700 SH Defined 65 5,700 LA Z BOY INC COM Common Stocks 505336107 $19 4,100 SH Defined 57 4,100 LABORATORY CORP AMER HLDGS Common Stocks 50540R409 $129 1,900 SH Defined 51 1,900 LABORATORY CORP AMER HLDGS Common Stocks 50540R409 $203 3,000 SH Defined 80 3,000 LABORATORY CORP AMER HLDGS Common Stocks 50540R409 $12,606 185,953 SH Sole 88 185,953 LABORATORY CORP AMER HLDGS Common Stocks 50540R409 $17,230 254,161 SH Defined 94 254,161 LABORATORY CORP AMER HLDGS Common Stocks 50540R409 $3,236 47,741 SH Defined 103 47,741 LACLEDE GROUP INC COM Common Stocks 505597104 $1,683 50,800 SH Defined 31 50,800 LACLEDE GROUP INC COM Common Stocks 505597104 $1,768 53,369 SH Defined 57 53,369 LACLEDE GROUP INC COM Common Stocks 505597104 $114 3,448 SH Defined 81 3,448 LACLEDE GROUP INC COM Common Stocks 505597104 $2,805 84,659 SH Sole 88 84,659 LADISH INC COM NEW Common Stocks 505754200 $324 24,980 SH Defined 24,980 LAM RESEARCH CORP COM Common Stocks 512807108 $693 27,397 SH Defined 18 27,397 LAM RESEARCH CORP COM Common Stocks 512807108 $1,400 53,848 SH Defined 18 53,848 LAM RESEARCH CORP COM Common Stocks 512807108 $751 28,900 SH Defined 51 28,900 LAM RESEARCH CORP COM Common Stocks 512807108 $317 12,200 SH Defined 56 12,200 LAM RESEARCH CORP COM Common Stocks 512807108 $918 35,290 SH Defined 58 35,290 LAM RESEARCH CORP COM Common Stocks 512807108 $3,438 132,240 SH Defined 59 132,240 LAM RESEARCH CORP COM Common Stocks 512807108 $909 34,950 SH Defined 60 34,950 LAM RESEARCH CORP COM Common Stocks 512807108 $393 15,100 SH Defined 84 15,100 LAM RESEARCH CORP COM Common Stocks 512807108 $13,184 507,068 SH Sole 88 507,068 LAM RESEARCH CORP COM Common Stocks 512807108 $5,992 230,450 SH Defined 91 230,450 LAM RESEARCH CORP COM Common Stocks 512807108 $6,824 262,450 SH Defined 102 262,450 LAM RESEARCH CORP COM Common Stocks 512807108 $3,565 137,100 SH Defined 103 137,100 LAMAR ADVERTISING CO CL A Common Stocks 512815101 $136 8,900 SH Defined 28 8,900 LANCASTER COLONY CORP COM Common Stocks 513847103 $67 1,524 SH Defined 1 1,524 LANCASTER COLONY CORP COM Common Stocks 513847103 $3,477 78,908 SH Defined 23 78,908 LANCASTER COLONY CORP COM Common Stocks 513847103 $79 1,800 SH Defined 57 1,800 LANCASTER COLONY CORP COM Common Stocks 513847103 $3,349 76,000 SH Sole 88 76,000 LANCE INC COM Common Stocks 514606102 $620 26,821 SH Defined 52 26,821 LANCE INC COM Common Stocks 514606102 $1,059 45,778 SH Defined 73 45,778 LANCE INC COM Common Stocks 514606102 $96 4,130 SH Defined 85 4,130 LANCE INC COM Common Stocks 514606102 $5,281 228,306 SH Sole 88 228,306 LANDSTAR SYS INC COM Common Stocks 515098101 $180 5,000 SH Defined 51 5,000 LANDSTAR SYS INC COM Common Stocks 515098101 $2,388 66,488 SH Defined 74 66,488 LANDSTAR SYS INC COM Common Stocks 515098101 $3,907 108,797 SH Sole 88 108,797 LANDSTAR SYS INC COM Common Stocks 515098101 $771 21,477 SH Defined 101 21,477 LAS VEGAS SANDS CORP COM Common Stocks 517834107 $1,499 190,699 SH Defined 1 190,699 LAS VEGAS SANDS CORP COM Common Stocks 517834107 $1,688 214,820 SH Defined 89 214,820 LASALLE HOTEL PPTYS COM SH Common Stocks 517942108 $6,091 493,598 SH Defined 48 493,598 LASALLE HOTEL PPTYS COM SH Common Stocks 517942108 $565 45,800 SH Defined 57 45,800 LASALLE HOTEL PPTYS COM SH Common Stocks 517942108 $152 12,300 SH Defined 63 12,300 LASALLE HOTEL PPTYS COM SH Common Stocks 517942108 $3,724 301,800 SH Defined 87 301,800 LASALLE HOTEL PPTYS COM SH Common Stocks 517942108 $373 30,200 SH Sole 88 30,200 LAUDER ESTEE COS INC CL A Common Stocks 518439104 $2 71 SH Defined 1 71 LAUDER ESTEE COS INC CL A Common Stocks 518439104 $257 7,800 SH Defined 26 7,800 LAUDER ESTEE COS INC CL A Common Stocks 518439104 $9,423 288,378 SH Defined 26 288,378 LAUDER ESTEE COS INC CL A Common Stocks 518439104 $2,976 91,099 SH Defined 27 91,099 LAUDER ESTEE COS INC CL A Common Stocks 518439104 $908 27,800 SH Defined 51 27,800 LAUDER ESTEE COS INC CL A Common Stocks 518439104 $101 3,100 SH Defined 80 3,100 LAUDER ESTEE COS INC CL A Common Stocks 518439104 $6,383 195,385 SH Sole 88 195,385 LAUDER ESTEE COS INC CL A Common Stocks 518439104 $51 1,532 SH Defined 1,532 LAYNE CHRISTENSEN CO COM Common Stocks 521050104 $65 3,200 SH Defined 63 3,200 LAYNE CHRISTENSEN CO COM Common Stocks 521050104 $1,746 85,402 SH Defined 92 85,402 LEAP WIRELESS INTL INC COM Common Stocks 521863308 $975 29,600 SH Defined 51 29,600 LEAP WIRELESS INTL INC COM Common Stocks 521863308 $1,259 38,243 SH Defined 74 38,243 LEAP WIRELESS INTL INC COM Common Stocks 521863308 $107 3,255 SH Defined 81 3,255 LEAP WIRELESS INTL INC COM Common Stocks 521863308 $2,709 82,258 SH Sole 88 82,258 LEAP WIRELESS INTL INC COM Common Stocks 521863308 $381 11,580 SH Defined 102 11,580 LEAP WIRELESS INTL INC COM Common Stocks 521863308 $1,906 57,876 SH Defined 103 57,876 LEAPFROG ENTERPRISES INC C Common Stocks 52186N106 $40 17,635 SH Defined 57 17,635 LEAPFROG ENTERPRISES INC C Common Stocks 52186N106 $28 12,400 SH Sole 88 12,400 LECG CORP COM Common Stocks 523234102 $8 2,400 SH Defined 57 2,400 LEGGETT & PLATT INC COM Common Stocks 524660107 $1,831 120,200 SH Defined 51 120,200 LEGGETT & PLATT INC COM Common Stocks 524660107 $64 4,200 SH Defined 80 4,200 LEGGETT & PLATT INC COM Common Stocks 524660107 $1,186 77,900 SH Sole 88 77,900 LEGG MASON INC COM Common Stocks 524901105 $112 4,600 SH Defined 32 4,600 LEGG MASON INC COM Common Stocks 524901105 $93 3,800 SH Defined 80 3,800 LENDER PROCESSING SVCS INC Common Stocks 52602E102 $6 200 SH Defined 51 200 LENDER PROCESSING SVCS INC Common Stocks 52602E102 $768 27,651 SH Defined 76 27,651 LENNAR CORP CL A Common Stocks 526057104 $1,912 197,300 SH Defined 31 197,300 LENNAR CORP CL A Common Stocks 526057104 $308 31,800 SH Defined 37 31,800 LENNAR CORP CL A Common Stocks 526057104 $2,215 228,600 SH Defined 38 228,600 LENNAR CORP CL A Common Stocks 526057104 $608 62,700 SH Defined 51 62,700 LENNAR CORP CL A Common Stocks 526057104 $4,984 514,300 SH Defined 57 514,300 LENNAR CORP CL A Common Stocks 526057104 $503 51,898 SH Defined 76 51,898 LENNAR CORP CL A Common Stocks 526057104 $36 3,700 SH Defined 80 3,700 LENNAR CORP CL A Common Stocks 526057104 $6,185 638,237 SH Sole 88 638,237 LENNOX INTL INC COM Common Stocks 526107107 $106 3,300 SH Defined 57 3,300 LENNOX INTL INC COM Common Stocks 526107107 $131 4,085 SH Defined 81 4,085 LEUCADIA NATL CORP COM Common Stocks 527288104 $1,137 53,900 SH Defined 51 53,900 LEUCADIA NATL CORP COM Common Stocks 527288104 $101 4,800 SH Defined 80 4,800 LEUCADIA NATL CORP COM Common Stocks 527288104 $721 34,200 SH Sole 88 34,200 LEXINGTON REALTY TRUST COM Common Stocks 529043101 $549 161,505 SH Defined 57 161,505 LEXINGTON REALTY TRUST COM Common Stocks 529043101 $321 94,376 SH Sole 88 94,376 LEXMARK INTL NEW CL A Common Stocks 529771107 $1,063 68,541 SH Defined 11 68,541 LEXMARK INTL NEW CL A Common Stocks 529771107 $8,522 537,518 SH Defined 11 537,518 LEXMARK INTL NEW CL A Common Stocks 529771107 $368 23,196 SH Defined 42 23,196 LEXMARK INTL NEW CL A Common Stocks 529771107 $130 8,200 SH Defined 51 8,200 LEXMARK INTL NEW CL A Common Stocks 529771107 $6,329 399,300 SH Defined 57 399,300 LEXMARK INTL NEW CL A Common Stocks 529771107 $32 2,000 SH Defined 80 2,000 LEXMARK INTL NEW CL A Common Stocks 529771107 $89 5,588 SH Defined 81 5,588 LEXMARK INTL NEW CL A Common Stocks 529771107 $4,004 252,589 SH Sole 88 252,589 LIBERTY GLOBAL INC COM SER Common Stocks 530555101 $2,048 128,900 SH Defined 10 128,900 LIBERTY GLOBAL INC COM SER Common Stocks 530555101 $22 1,400 SH Defined 32 1,400 LIBERTY GLOBAL INC COM SER Common Stocks 530555101 $397 25,000 SH Defined 51 25,000 LIBERTY GLOBAL INC COM SER Common Stocks 530555101 $253 15,900 SH Sole 88 15,900 LIBERTY GLOBAL INC COM SER Common Stocks 530555309 $22 1,400 SH Defined 32 1,400 LIBERTY MEDIA CORP NEW INT Common Stocks 53071M104 $129 25,650 SH Defined 32 25,650 LIBERTY MEDIA CORP NEW INT Common Stocks 53071M104 $473 94,314 SH Defined 42 94,314 LIBERTY MEDIA CORP NEW INT Common Stocks 53071M104 $249 49,701 SH Sole 88 49,701 LIBERTY MEDIA CORP NEW CAP Common Stocks 53071M302 $228 16,800 SH Defined 51 16,800 LIBERTY MEDIA CORP NEW CAP Common Stocks 53071M302 $3,290 242,626 SH Sole 88 242,626 LIBERTY MEDIA CORP NEW CAP Common Stocks 53071M302 $3,173 233,986 SH Defined 91 233,986 LIBERTY MEDIA CORP NEW ENT Common Stocks 53071M500 $227 8,486 SH Defined 4 8,486 LIBERTY MEDIA CORP NEW ENT Common Stocks 53071M500 $96 3,580 SH Defined 32 3,580 LIBERTY MEDIA CORP NEW ENT Common Stocks 53071M500 $2,060 77,000 SH Defined 51 77,000 LIBERTY MEDIA CORP NEW ENT Common Stocks 53071M500 $232 8,690 SH Defined 55 8,690 LIBERTY MEDIA CORP NEW ENT Common Stocks 53071M500 $1,877 70,160 SH Sole 88 70,160 LIBERTY PPTY TR SH BEN INT Common Stocks 531172104 $24,566 1,066,000 SH Defined 2 1,066,000 LIBERTY PPTY TR SH BEN INT Common Stocks 531172104 $2,930 128,006 SH Defined 25 128,006 LIBERTY PPTY TR SH BEN INT Common Stocks 531172104 $3,249 140,969 SH Defined 25 140,969 LIBERTY PPTY TR SH BEN INT Common Stocks 531172104 $694 30,103 SH Defined 42 30,103 LIBERTY PPTY TR SH BEN INT Common Stocks 531172104 $1,410 61,200 SH Defined 51 61,200 LIBERTY PPTY TR SH BEN INT Common Stocks 531172104 $1,531 66,900 SH Defined 54 66,900 LIBERTY PPTY TR SH BEN INT Common Stocks 531172104 $13,384 580,824 SH Defined 54 580,824 LIBERTY PPTY TR SH BEN INT Common Stocks 531172104 $223 9,700 SH Defined 57 9,700 LIBERTY PPTY TR SH BEN INT Common Stocks 531172104 $150 6,500 SH Defined 65 6,500 LIBERTY PPTY TR SH BEN INT Common Stocks 531172104 $3,595 156,015 SH Sole 88 156,015 LIFE PARTNERS HOLDINGS INC Common Stocks 53215T106 $176 12,400 SH Defined 57 12,400 LIFE PARTNERS HOLDINGS INC Common Stocks 53215T106 $78 5,500 SH Sole 88 5,500 LIFE TIME FITNESS INC COM Common Stocks 53217R207 $247 12,320 SH Defined 12,320 LIFE TECHNOLOGIES CORP COM Common Stocks 53217V109 $193 4,615 SH Defined 80 4,615 LIFE TECHNOLOGIES CORP COM Common Stocks 53217V109 $938 22,476 SH Sole 88 22,476 LIFE TECHNOLOGIES CORP COM Common Stocks 53217V109 $1,981 47,485 SH Defined 97 47,485 LIFE TECHNOLOGIES CORP COM Common Stocks 53217V109 $3,044 72,961 SH Defined 103 72,961 LIFEPOINT HOSPITALS INC CO Common Stocks 53219L109 $277 10,537 SH Defined 42 10,537 LIFEPOINT HOSPITALS INC CO Common Stocks 53219L109 $987 37,600 SH Defined 51 37,600 LIFEPOINT HOSPITALS INC CO Common Stocks 53219L109 $854 32,534 SH Defined 52 32,534 LIFEPOINT HOSPITALS INC CO Common Stocks 53219L109 $349 13,300 SH Defined 77 13,300 LIFEPOINT HOSPITALS INC CO Common Stocks 53219L109 $1,973 75,152 SH Sole 88 75,152 LILLY ELI & CO COM Common Stocks 532457108 $2,958 85,400 SH Defined 4 85,400 LILLY ELI & CO COM Common Stocks 532457108 $6,218 179,500 SH Defined 10 179,500 LILLY ELI & CO COM Common Stocks 532457108 $1,926 55,572 SH Defined 11 55,572 LILLY ELI & CO COM Common Stocks 532457108 $2,563 74,000 SH Defined 35 74,000 LILLY ELI & CO COM Common Stocks 532457108 $5,145 148,541 SH Defined 42 148,541 LILLY ELI & CO COM Common Stocks 532457108 $1,992 57,500 SH Defined 51 57,500 LILLY ELI & CO COM Common Stocks 532457108 $8,871 256,100 SH Defined 57 256,100 LILLY ELI & CO COM Common Stocks 532457108 $322 9,300 SH Defined 67 9,300 LILLY ELI & CO COM Common Stocks 532457108 $2,480 71,605 SH Defined 76 71,605 LILLY ELI & CO COM Common Stocks 532457108 $932 26,900 SH Defined 80 26,900 LILLY ELI & CO COM Common Stocks 532457108 $20,678 596,954 SH Sole 88 596,954 LILLY ELI & CO COM Common Stocks 532457108 $904 26,100 SH Defined 97 26,100 LILLY ELI & CO COM Common Stocks 532457108 $589 17,000 SH Defined 17,000 LIMITED BRANDS INC COM Common Stocks 532716107 $1,038 86,700 SH Defined 4 86,700 LIMITED BRANDS INC COM Common Stocks 532716107 $4,828 403,356 SH Defined 31 403,356 LIMITED BRANDS INC COM Common Stocks 532716107 $1,535 128,200 SH Defined 51 128,200 LIMITED BRANDS INC COM Common Stocks 532716107 $87 7,262 SH Defined 80 7,262 LIMITED BRANDS INC COM Common Stocks 532716107 $3,422 285,900 SH Sole 88 285,900 LINCARE HLDGS INC COM Common Stocks 532791100 $1,945 88,231 SH Defined 11 88,231 LINCARE HLDGS INC COM Common Stocks 532791100 $219 9,307 SH Defined 11 9,307 LINCARE HLDGS INC COM Common Stocks 532791100 $7,392 314,262 SH Defined 23 314,262 LINCARE HLDGS INC COM Common Stocks 532791100 $2,171 92,300 SH Defined 35 92,300 LINCARE HLDGS INC COM Common Stocks 532791100 $1,145 48,700 SH Defined 51 48,700 LINCARE HLDGS INC COM Common Stocks 532791100 $270 11,500 SH Defined 67 11,500 LINCARE HLDGS INC COM Common Stocks 532791100 $5,101 216,900 SH Sole 88 216,900 LINCARE HLDGS INC COM Common Stocks 532791100 $37 1,670 SH Defined 1,670 LINCOLN EDL SVCS CORP COM Common Stocks 533535100 $161 7,700 SH Defined 23 7,700 LINCOLN EDL SVCS CORP COM Common Stocks 533535100 $547 26,150 SH Defined 44 26,150 LINCOLN EDL SVCS CORP COM Common Stocks 533535100 $13 600 SH Defined 57 600 LINCOLN EDL SVCS CORP COM Common Stocks 533535100 $65 3,100 SH Defined 65 3,100 LINCOLN EDL SVCS CORP COM Common Stocks 533535100 $237 11,300 SH Sole 88 11,300 LINCOLN ELEC HLDGS INC COM Common Stocks 533900106 $908 25,200 SH Defined 51 25,200 LINCOLN ELEC HLDGS INC COM Common Stocks 533900106 $642 17,800 SH Sole 88 17,800 LINCOLN NATL CORP IND COM Common Stocks 534187109 $2,191 127,300 SH Defined 4 127,300 LINCOLN NATL CORP IND COM Common Stocks 534187109 $385 22,370 SH Defined 42 22,370 LINCOLN NATL CORP IND COM Common Stocks 534187109 $1,074 62,400 SH Defined 51 62,400 LINCOLN NATL CORP IND COM Common Stocks 534187109 $6,117 355,420 SH Defined 57 355,420 LINCOLN NATL CORP IND COM Common Stocks 534187109 $75 4,380 SH Defined 58 4,380 LINCOLN NATL CORP IND COM Common Stocks 534187109 $5,819 338,130 SH Defined 59 338,130 LINCOLN NATL CORP IND COM Common Stocks 534187109 $462 26,825 SH Defined 76 26,825 LINCOLN NATL CORP IND COM Common Stocks 534187109 $136 7,880 SH Defined 80 7,880 LINCOLN NATL CORP IND COM Common Stocks 534187109 $7,602 441,693 SH Sole 88 441,693 LINEAR TECHNOLOGY CORP COM Common Stocks 535678106 $2,825 121,000 SH Defined 51 121,000 LINEAR TECHNOLOGY CORP COM Common Stocks 535678106 $2,318 99,286 SH Defined 76 99,286 LINEAR TECHNOLOGY CORP COM Common Stocks 535678106 $138 5,900 SH Defined 80 5,900 LINEAR TECHNOLOGY CORP COM Common Stocks 535678106 $1,870 80,100 SH Sole 88 80,100 LIQUIDITY SERVICES INC COM Common Stocks 53635B107 $21 2,100 SH Defined 65 2,100 LITTELFUSE INC COM Common Stocks 537008104 $110 5,526 SH Defined 81 5,526 LIZ CLAIBORNE INC COM Common Stocks 539320101 $61 21,100 SH Defined 4 21,100 LIZ CLAIBORNE INC COM Common Stocks 539320101 $247 85,900 SH Defined 57 85,900 LIZ CLAIBORNE INC COM Common Stocks 539320101 $142 49,200 SH Sole 88 49,200 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $8,225 101,990 SH Defined 1 101,990 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $476 5,900 SH Defined 4 5,900 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $35,216 436,646 SH Defined 9 436,646 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $186 2,300 SH Defined 10 2,300 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $10,034 124,394 SH Defined 23 124,394 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $2,157 26,750 SH Defined 42 26,750 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $1,215 14,900 SH Defined 50 14,900 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $39,253 486,610 SH Defined 50 486,610 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $2,129 26,400 SH Defined 51 26,400 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $1,214 15,050 SH Defined 55 15,050 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $8,210 101,800 SH Defined 57 101,800 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $11,177 138,588 SH Defined 64 138,588 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $23,871 295,983 SH Defined 68 295,983 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $4,477 55,510 SH Defined 69 55,510 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $3,438 42,631 SH Defined 76 42,631 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $700 8,680 SH Defined 80 8,680 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $82,810 1,026,788 SH Sole 88 1,026,788 LOCKHEED MARTIN CORP COM Common Stocks 539830109 $7,480 92,676 SH Defined 92,676 LODGENET INTERACTIVE CORP Common Stocks 540211109 $465 136,718 SH Defined 136,718 LOEWS CORP COM Common Stocks 540424108 $85 3,100 SH Defined 32 3,100 LOEWS CORP COM Common Stocks 540424108 $1,784 65,100 SH Defined 35 65,100 LOEWS CORP COM Common Stocks 540424108 $4,269 155,800 SH Defined 51 155,800 LOEWS CORP COM Common Stocks 540424108 $225 8,200 SH Defined 67 8,200 LOEWS CORP COM Common Stocks 540424108 $1,175 42,892 SH Defined 76 42,892 LOEWS CORP COM Common Stocks 540424108 $260 9,506 SH Defined 80 9,506 LOEWS CORP COM Common Stocks 540424108 $3,644 133,000 SH Sole 88 133,000 LOEWS CORP COM Common Stocks 540424108 $5,806 211,890 SH Defined 100 211,890 LONGTOP FINL TECHNOLOGIES Common Stocks 54318P108 $257 10,475 SH Defined 44 10,475 LORILLARD INC COM Common Stocks 544147101 $2,250 33,200 SH Defined 4 33,200 LORILLARD INC COM Common Stocks 544147101 $3,640 53,707 SH Defined 31 53,707 LORILLARD INC COM Common Stocks 544147101 $8,462 124,870 SH Defined 42 124,870 LORILLARD INC COM Common Stocks 544147101 $258 3,800 SH Defined 51 3,800 LORILLARD INC COM Common Stocks 544147101 $6,804 100,392 SH Sole 88 100,392 LORILLARD INC COM Common Stocks 544147101 $1,111 16,400 SH Defined 97 16,400 LOWES COS INC COM Common Stocks 548661107 $8 433 SH Defined 1 433 LOWES COS INC COM Common Stocks 548661107 $3,214 165,600 SH Defined 4 165,600 LOWES COS INC COM Common Stocks 548661107 $5,549 285,900 SH Defined 8 285,900 LOWES COS INC COM Common Stocks 548661107 $4,356 224,426 SH Defined 27 224,426 LOWES COS INC COM Common Stocks 548661107 $1,361 70,300 SH Defined 50 70,300 LOWES COS INC COM Common Stocks 548661107 $43,677 2,249,749 SH Defined 50 2,249,749 LOWES COS INC COM Common Stocks 548661107 $1,891 97,400 SH Defined 51 97,400 LOWES COS INC COM Common Stocks 548661107 $134 6,900 SH Defined 56 6,900 LOWES COS INC COM Common Stocks 548661107 $1,262 65,030 SH Defined 60 65,030 LOWES COS INC COM Common Stocks 548661107 $7,600 391,571 SH Defined 64 391,571 LOWES COS INC COM Common Stocks 548661107 $763 39,300 SH Defined 80 39,300 LOWES COS INC COM Common Stocks 548661107 $565 29,105 SH Defined 84 29,105 LOWES COS INC COM Common Stocks 548661107 $41,732 2,150,007 SH Sole 88 2,150,007 LOWES COS INC COM Common Stocks 548661107 $606 31,300 SH Defined 96 31,300 LOWES COS INC COM Common Stocks 548661107 $1,696 87,400 SH Defined 96 87,400 LOWES COS INC COM Common Stocks 548661107 $6,703 345,360 SH Defined 102 345,360 LOWES COS INC COM Common Stocks 548661107 $635 32,698 SH Defined 106 32,698 LOWES COS INC COM Common Stocks 548661107 $11,677 601,564 SH Defined 601,564 LUBRIZOL CORP COM Common Stocks 549271104 $984 20,800 SH Defined 10 20,800 LUBRIZOL CORP COM Common Stocks 549271104 $232 4,900 SH Defined 57 4,900 LUBRIZOL CORP COM Common Stocks 549271104 $156 3,300 SH Defined 65 3,300 LUBRIZOL CORP COM Common Stocks 549271104 $2,751 58,141 SH Defined 76 58,141 LUBRIZOL CORP COM Common Stocks 549271104 $894 18,891 SH Sole 88 18,891 LUBRIZOL CORP COM Common Stocks 549271104 $134 2,830 SH Defined 102 2,830 LUBRIZOL CORP COM Common Stocks 549271104 $2,942 62,176 SH Defined 103 62,176 LUFKIN INDS INC COM Common Stocks 549764108 $113 2,685 SH Defined 81 2,685 LULULEMON ATHLETICA INC CO Common Stocks 550021109 $34 2,600 SH Defined 63 2,600 LULULEMON ATHLETICA INC CO Common Stocks 550021109 $1,718 130,570 SH Defined 64 130,570 LULULEMON ATHLETICA INC CO Common Stocks 550021109 $6,960 533,941 SH Defined 64 533,941 LULULEMON ATHLETICA INC CO Common Stocks 550021109 $1,321 101,352 SH Defined 74 101,352 LULULEMON ATHLETICA INC CO Common Stocks 550021109 $1,597 122,589 SH Sole 88 122,589 LULULEMON ATHLETICA INC CO Common Stocks 550021109 $45 3,394 SH Defined 3,394 LUMBER LIQUIDATORS INC COM Common Stocks 55003Q103 $163 10,350 SH Defined 74 10,350 LUNDIN MINING CORP COM DEL Common Stocks 550372106 $1,863 645,690 SH Defined 645,690 M & F WORLDWIDE CORP COM Common Stocks 552541104 $106 5,300 SH Defined 1 5,300 M & F WORLDWIDE CORP COM Common Stocks 552541104 $218 10,900 SH Defined 65 10,900 M & T BK CORP COM Common Stocks 55261F104 $1,426 28,000 SH Defined 30 28,000 M & T BK CORP COM Common Stocks 55261F104 $937 18,400 SH Defined 51 18,400 M & T BK CORP COM Common Stocks 55261F104 $112 2,200 SH Defined 80 2,200 M & T BK CORP COM Common Stocks 55261F104 $1,849 36,300 SH Sole 88 36,300 MBIA INC COM Common Stocks 55262C100 $0 1 SH Defined 1 1 MBIA INC COM Common Stocks 55262C100 $297 68,500 SH Defined 51 68,500 MBIA INC COM Common Stocks 55262C100 $19 4,500 SH Defined 80 4,500 MBIA INC COM Common Stocks 55262C100 $191 44,000 SH Sole 88 44,000 M D C HLDGS INC COM Common Stocks 552676108 $3,493 116,000 SH Defined 14 116,000 M D C HLDGS INC COM Common Stocks 552676108 $910 30,231 SH Defined 76 30,231 M D C HLDGS INC COM Common Stocks 552676108 $107 3,551 SH Defined 81 3,551 MDU RES GROUP INC COM Common Stocks 552690109 $2,094 110,400 SH Defined 51 110,400 MDU RES GROUP INC COM Common Stocks 552690109 $1,313 69,200 SH Sole 88 69,200 MDU RES GROUP INC COM Common Stocks 552690109 $173 9,110 SH Defined 102 9,110 MDS INC COM Common Stocks 55269P302 $415 79,800 SH Defined 11 79,800 MDS INC COM Common Stocks 55269P302 $631 119,300 SH Defined 11 119,300 MDS INC COM Common Stocks 55269P302 $471 88,162 SH Defined 92 88,162 MEMC ELECTR MATLS INC COM Common Stocks 552715104 $487 27,300 SH Defined 41 27,300 MEMC ELECTR MATLS INC COM Common Stocks 552715104 $176 9,900 SH Defined 51 9,900 MEMC ELECTR MATLS INC COM Common Stocks 552715104 $103 5,800 SH Defined 80 5,800 MEMC ELECTR MATLS INC COM Common Stocks 552715104 $116 6,500 SH Sole 88 6,500 MFA FINANCIAL INC COM Common Stocks 55272X102 $443 64,010 SH Defined 21 64,010 MFA FINANCIAL INC COM Common Stocks 55272X102 $136 19,700 SH Defined 23 19,700 MFA FINANCIAL INC COM Common Stocks 55272X102 $818 118,212 SH Defined 52 118,212 MFA FINANCIAL INC COM Common Stocks 55272X102 $461 66,600 SH Defined 57 66,600 MFA FINANCIAL INC COM Common Stocks 55272X102 $12,386 1,789,850 SH Sole 88 1,789,850 MFA FINANCIAL INC COM Common Stocks 55272X102 $8,488 1,226,577 SH Defined 91 1,226,577 MGIC INVT CORP WIS COM Common Stocks 552848103 $23 5,316 SH Defined 1 5,316 MGIC INVT CORP WIS COM Common Stocks 552848103 $599 136,030 SH Defined 73 136,030 MGIC INVT CORP WIS COM Common Stocks 552848103 $2,672 607,315 SH Sole 88 607,315 MGM MIRAGE COM Common Stocks 552953101 $185 28,900 SH Defined 43 28,900 MGM MIRAGE COM Common Stocks 552953101 $160 25,000 SH Defined 51 25,000 MGM MIRAGE COM Common Stocks 552953101 $102 15,900 SH Sole 88 15,900 M/I HOMES INC COM Common Stocks 55305B101 $139 14,200 SH Defined 65 14,200 MKS INSTRUMENT INC COM Common Stocks 55306N104 $399 30,224 SH Defined 52 30,224 MKS INSTRUMENT INC COM Common Stocks 55306N104 $570 43,212 SH Sole 88 43,212 MPS GROUP INC COM Common Stocks 553409103 $320 41,845 SH Defined 21 41,845 MPS GROUP INC COM Common Stocks 553409103 $611 80,000 SH Defined 57 80,000 MPS GROUP INC COM Common Stocks 553409103 $93 12,173 SH Defined 81 12,173 MPS GROUP INC COM Common Stocks 553409103 $1,877 245,676 SH Sole 88 245,676 MSC INDL DIRECT INC CL A Common Stocks 553530106 $695 19,600 SH Defined 51 19,600 MSC INDL DIRECT INC CL A Common Stocks 553530106 $397 11,200 SH Sole 88 11,200 MSCI INC CL A Common Stocks 55354G100 $186 7,600 SH Defined 51 7,600 MSCI INC CL A Common Stocks 55354G100 $408 16,700 SH Defined 60 16,700 MSCI INC CL A Common Stocks 55354G100 $2,737 111,990 SH Sole 88 111,990 MSCI INC CL A Common Stocks 55354G100 $2,868 117,360 SH Defined 102 117,360 MTS SYS CORP COM Common Stocks 553777103 $58 2,826 SH Defined 31 2,826 MWI VETERINARY SUPPLY INC CO Common Stocks 55402X105 $6,227 178,625 SH Sole 88 178,625 MWI VETERINARY SUPPLY INC CO Common Stocks 55402X105 $955 27,400 SH Defined 95 27,400 MYR GROUP INC DEL COM Common Stocks 55405W104 $348 17,200 SH Defined 63 17,200 MACERICH CO COM Common Stocks 554382101 $14,851 843,165 SH Defined 2 843,165 MACERICH CO COM Common Stocks 554382101 $1,273 72,827 SH Defined 25 72,827 MACERICH CO COM Common Stocks 554382101 $1,497 84,988 SH Defined 25 84,988 MACERICH CO COM Common Stocks 554382101 $878 50,224 SH Defined 54 50,224 MACERICH CO COM Common Stocks 554382101 $8,824 501,005 SH Defined 54 501,005 MACERICH CO COM Common Stocks 554382101 $1,449 82,255 SH Defined 87 82,255 MACERICH CO COM Common Stocks 554382101 $1,274 72,322 SH Sole 88 72,322 MACK CALI RLTY CORP COM Common Stocks 554489104 $3,418 149,900 SH Defined 2 149,900 MACK CALI RLTY CORP COM Common Stocks 554489104 $628 27,716 SH Defined 25 27,716 MACK CALI RLTY CORP COM Common Stocks 554489104 $758 33,257 SH Defined 25 33,257 MACK CALI RLTY CORP COM Common Stocks 554489104 $80 3,500 SH Defined 51 3,500 MACK CALI RLTY CORP COM Common Stocks 554489104 $906 40,000 SH Defined 54 40,000 MACK CALI RLTY CORP COM Common Stocks 554489104 $10,391 455,700 SH Defined 54 455,700 MACK CALI RLTY CORP COM Common Stocks 554489104 $3,600 157,900 SH Defined 57 157,900 MACK CALI RLTY CORP COM Common Stocks 554489104 $155 6,800 SH Defined 65 6,800 MACK CALI RLTY CORP COM Common Stocks 554489104 $2,551 111,892 SH Sole 88 111,892 MACROVISION SOLUTIONS CORP Common Stocks 55611C108 $495 22,700 SH Defined 57 22,700 MACROVISION SOLUTIONS CORP Common Stocks 55611C108 $4,645 212,960 SH Defined 85 212,960 MACROVISION SOLUTIONS CORP Common Stocks 55611C108 $6,671 305,860 SH Sole 88 305,860 MACROVISION SOLUTIONS CORP Common Stocks 55611C108 $711 32,580 SH Defined 101 32,580 MACROVISION SOLUTIONS CORP Common Stocks 55611C108 $26 1,172 SH Defined 1,172 MACYS INC COM Common Stocks 55616P104 $2,238 190,300 SH Defined 4 190,300 MACYS INC COM Common Stocks 55616P104 $4,804 408,500 SH Defined 10 408,500 MACYS INC COM Common Stocks 55616P104 $4,475 380,564 SH Defined 31 380,564 MACYS INC COM Common Stocks 55616P104 $107 9,078 SH Defined 32 9,078 MACYS INC COM Common Stocks 55616P104 $69 5,881 SH Defined 68 5,881 MACYS INC COM Common Stocks 55616P104 $1,341 114,056 SH Defined 76 114,056 MACYS INC COM Common Stocks 55616P104 $131 11,130 SH Defined 80 11,130 MACYS INC COM Common Stocks 55616P104 $6,121 520,500 SH Sole 88 520,500 MADDEN STEVEN LTD COM Common Stocks 556269108 $64 2,500 SH Defined 57 2,500 MADDEN STEVEN LTD COM Common Stocks 556269108 $1,588 62,410 SH Defined 85 62,410 MADDEN STEVEN LTD COM Common Stocks 556269108 $1,803 70,850 SH Sole 88 70,850 MAGELLAN HEALTH SVCS INC C Common Stocks 559079207 $108 3,300 SH Defined 23 3,300 MAGELLAN HEALTH SVCS INC C Common Stocks 559079207 $374 11,408 SH Defined 52 11,408 MAGELLAN HEALTH SVCS INC C Common Stocks 559079207 $3,946 120,233 SH Defined 57 120,233 MAGELLAN HEALTH SVCS INC C Common Stocks 559079207 $3,031 92,347 SH Sole 88 92,347 MAGELLAN HEALTH SVCS INC C Common Stocks 559079207 $327 9,970 SH Defined 9,970 MAGNA INTL INC CL A Common Stocks 559222401 $586 13,800 SH Defined 1 13,800 MAGNA INTL INC CL A Common Stocks 559222401 $1,385 32,200 SH Defined 3 32,200 MAGNA INTL INC CL A Common Stocks 559222401 $3,153 74,400 SH Defined 4 74,400 MAGNA INTL INC CL A Common Stocks 559222401 $4,972 117,700 SH Defined 59 117,700 MAGNA INTL INC CL A Common Stocks 559222401 $2,529 59,865 SH Defined 84 59,865 MAGNA INTL INC CL A Common Stocks 559222401 $19,157 453,291 SH Sole 88 453,291 MAGNA INTL INC CL A Common Stocks 559222401 $11,602 274,680 SH Defined 91 274,680 MAGNA INTL INC CL A Common Stocks 559222401 $34 810 SH Defined 810 MAGUIRE PPTYS INC COM Common Stocks 559775101 $66 77,700 SH Defined 57 77,700 MAGUIRE PPTYS INC COM Common Stocks 559775101 $47 55,700 SH Sole 88 55,700 MAIDENFORM BRANDS INC COM Common Stocks 560305104 $127 11,100 SH Defined 23 11,100 MAIDENFORM BRANDS INC COM Common Stocks 560305104 $303 26,400 SH Defined 57 26,400 MAIDENFORM BRANDS INC COM Common Stocks 560305104 $252 22,000 SH Sole 88 22,000 MAINE & MARITIMES CORP COM Common Stocks 560377103 $3 100 SH Defined 65 100 MAINSOURCE FINANCIAL GP INC Common Stocks 56062Y102 $8 1,100 SH Defined 57 1,100 MAINSOURCE FINANCIAL GP INC Common Stocks 56062Y102 $0 18 SH Sole 88 18 MANHATTAN ASSOCS INC COM Common Stocks 562750109 $118 6,500 SH Defined 77 6,500 MANITOWOC INC COM Common Stocks 563571108 $336 63,930 SH Defined 52 63,930 MANITOWOC INC COM Common Stocks 563571108 $2,438 463,500 SH Defined 57 463,500 MANITOWOC INC COM Common Stocks 563571108 $18 3,500 SH Defined 80 3,500 MANITOWOC INC COM Common Stocks 563571108 $2,231 424,124 SH Sole 88 424,124 MANPOWER INC COM Common Stocks 56418H100 $152 3,600 SH Defined 18 3,600 MANPOWER INC COM Common Stocks 56418H100 $1,405 33,180 SH Defined 42 33,180 MANPOWER INC COM Common Stocks 56418H100 $470 11,100 SH Defined 51 11,100 MANPOWER INC COM Common Stocks 56418H100 $7,257 171,400 SH Defined 57 171,400 MANPOWER INC COM Common Stocks 56418H100 $6,554 154,799 SH Sole 88 154,799 MANTECH INTL CORP CL A Common Stocks 564563104 $1,834 42,600 SH Defined 57 42,600 MANTECH INTL CORP CL A Common Stocks 564563104 $954 22,160 SH Defined 73 22,160 MANTECH INTL CORP CL A Common Stocks 564563104 $557 12,950 SH Defined 77 12,950 MANTECH INTL CORP CL A Common Stocks 564563104 $5,329 123,820 SH Sole 88 123,820 MANULIFE FINL CORP COM Common Stocks 56501R106 $708 40,700 SH Defined 11 40,700 MANULIFE FINL CORP COM Common Stocks 56501R106 $23,909 1,375,264 SH Defined 34 1,375,264 MANULIFE FINL CORP COM Common Stocks 56501R106 $1,915 110,353 SH Defined 45 110,353 MANULIFE FINL CORP COM Common Stocks 56501R106 $1,360 78,239 SH Defined 76 78,239 MANULIFE FINL CORP COM Common Stocks 56501R106 $24,379 1,402,327 SH Defined 1,402,327 MARATHON OIL CORP COM Common Stocks 565849106 $12,269 407,200 SH Defined 10 407,200 MARATHON OIL CORP COM Common Stocks 565849106 $64 2,124 SH Defined 11 2,124 MARATHON OIL CORP COM Common Stocks 565849106 $4,809 159,600 SH Defined 17 159,600 MARATHON OIL CORP COM Common Stocks 565849106 $7,099 235,600 SH Defined 31 235,600 MARATHON OIL CORP COM Common Stocks 565849106 $1,242 41,950 SH Defined 50 41,950 MARATHON OIL CORP COM Common Stocks 565849106 $39,959 1,325,970 SH Defined 50 1,325,970 MARATHON OIL CORP COM Common Stocks 565849106 $1,720 57,100 SH Defined 51 57,100 MARATHON OIL CORP COM Common Stocks 565849106 $7,162 237,700 SH Defined 57 237,700 MARATHON OIL CORP COM Common Stocks 565849106 $569 18,898 SH Defined 80 18,898 MARATHON OIL CORP COM Common Stocks 565849106 $32,117 1,065,950 SH Sole 88 1,065,950 MARATHON OIL CORP COM Common Stocks 565849106 $748 24,914 SH Defined 24,914 MARINER ENERGY INC COM Common Stocks 56845T305 $265 22,520 SH Defined 42 22,520 MARINER ENERGY INC COM Common Stocks 56845T305 $32 2,700 SH Defined 57 2,700 MARINER ENERGY INC COM Common Stocks 56845T305 $149 12,674 SH Sole 88 12,674 MARKEL CORP COM Common Stocks 570535104 $130 462 SH Defined 81 462 MARKETAXESS HLDGS INC COM Common Stocks 57060D108 $2,327 244,138 SH Defined 92 244,138 MARLIN BUSINESS SVCS CORP CO Common Stocks 571157106 $225 40,200 SH Defined 63 40,200 MARSH & MCLENNAN COS INC C Common Stocks 571748102 $5,836 289,900 SH Defined 31 289,900 MARSH & MCLENNAN COS INC C Common Stocks 571748102 $2,526 125,500 SH Defined 51 125,500 MARSH & MCLENNAN COS INC C Common Stocks 571748102 $280 13,900 SH Defined 80 13,900 MARSH & MCLENNAN COS INC C Common Stocks 571748102 $4,221 209,700 SH Sole 88 209,700 MARSH & MCLENNAN COS INC C Common Stocks 571748102 $1,028 50,600 SH Defined 93 50,600 MARSH & MCLENNAN COS INC C Common Stocks 571748102 $2,518 125,100 SH Defined 93 125,100 MARSHALL & ILSLEY CORP NEW Common Stocks 571837103 $395 82,300 SH Defined 51 82,300 MARSHALL & ILSLEY CORP NEW Common Stocks 571837103 $97 20,200 SH Defined 56 20,200 MARSHALL & ILSLEY CORP NEW Common Stocks 571837103 $480 100,000 SH Defined 57 100,000 MARSHALL & ILSLEY CORP NEW Common Stocks 571837103 $45 9,399 SH Defined 80 9,399 MARSHALL & ILSLEY CORP NEW Common Stocks 571837103 $591 123,200 SH Sole 88 123,200 MARRIOTT INTL INC NEW CL A Common Stocks 571903202 $2,285 103,541 SH Defined 42 103,541 MARRIOTT INTL INC NEW CL A Common Stocks 571903202 $173 7,828 SH Defined 80 7,828 MARRIOTT INTL INC NEW CL A Common Stocks 571903202 $1,815 82,257 SH Sole 88 82,257 MARRIOTT INTL INC NEW CL A Common Stocks 571903202 $365 16,560 SH Defined 96 16,560 MARRIOTT INTL INC NEW CL A Common Stocks 571903202 $1,070 48,477 SH Defined 96 48,477 MARTEK BIOSCIENCES CORP CO Common Stocks 572901106 $53 2,500 SH Defined 65 2,500 MARTEK BIOSCIENCES CORP CO Common Stocks 572901106 $564 26,689 SH Defined 101 26,689 MARTEN TRANS LTD COM Common Stocks 573075108 $78 3,734 SH Defined 23 3,734 MARTEN TRANS LTD COM Common Stocks 573075108 $162 7,800 SH Defined 63 7,800 MARTEN TRANS LTD COM Common Stocks 573075108 $162 7,800 SH Defined 65 7,800 MARTEN TRANS LTD COM Common Stocks 573075108 $221 10,655 SH Defined 74 10,655 MARTEN TRANS LTD COM Common Stocks 573075108 $118 5,690 SH Sole 88 5,690 MARTIN MARIETTA MATLS INC Common Stocks 573284106 $189 2,400 SH Defined 51 2,400 MARTIN MARIETTA MATLS INC Common Stocks 573284106 $132 1,674 SH Defined 81 1,674 MARTIN MARIETTA MATLS INC Common Stocks 573284106 $118 1,500 SH Sole 88 1,500 MARVEL ENTERTAINMENT INC C Common Stocks 57383T103 $411 11,545 SH Defined 21 11,545 MARVEL ENTERTAINMENT INC C Common Stocks 57383T103 $1,516 42,595 SH Sole 88 42,595 MASCO CORP COM Common Stocks 574599106 $1,309 136,600 SH Defined 4 136,600 MASCO CORP COM Common Stocks 574599106 $723 75,403 SH Defined 11 75,403 MASCO CORP COM Common Stocks 574599106 $2,737 285,702 SH Defined 31 285,702 MASCO CORP COM Common Stocks 574599106 $204 21,300 SH Defined 51 21,300 MASCO CORP COM Common Stocks 574599106 $92 9,600 SH Defined 80 9,600 MASCO CORP COM Common Stocks 574599106 $2,196 229,200 SH Sole 88 229,200 MASIMO CORP COM Common Stocks 574795100 $177 7,330 SH Defined 85 7,330 MASIMO CORP COM Common Stocks 574795100 $207 8,590 SH Sole 88 8,590 MASIMO CORP COM Common Stocks 574795100 $251 10,430 SH Defined 101 10,430 MASSEY ENERGY CORP COM Common Stocks 576206106 $705 36,100 SH Defined 51 36,100 MASSEY ENERGY CORP COM Common Stocks 576206106 $43 2,200 SH Defined 80 2,200 MASSEY ENERGY CORP COM Common Stocks 576206106 $399 20,400 SH Sole 88 20,400 MASTEC INC COM Common Stocks 576323109 $1,126 96,106 SH Defined 23 96,106 MASTEC INC COM Common Stocks 576323109 $93 7,900 SH Defined 65 7,900 MASTEC INC COM Common Stocks 576323109 $1,051 89,700 SH Sole 88 89,700 MASTERCARD INC CL A Common Stocks 57636Q104 $74 440 SH Defined 1 440 MASTERCARD INC CL A Common Stocks 57636Q104 $3,045 18,200 SH Defined 10 18,200 MASTERCARD INC CL A Common Stocks 57636Q104 $2,910 17,390 SH Defined 23 17,390 MASTERCARD INC CL A Common Stocks 57636Q104 $709 4,245 SH Defined 26 4,245 MASTERCARD INC CL A Common Stocks 57636Q104 $26,254 156,893 SH Defined 26 156,893 MASTERCARD INC CL A Common Stocks 57636Q104 $5,181 30,969 SH Defined 27 30,969 MASTERCARD INC CL A Common Stocks 57636Q104 $3,580 21,400 SH Defined 28 21,400 MASTERCARD INC CL A Common Stocks 57636Q104 $753 4,500 SH Defined 29 4,500 MASTERCARD INC CL A Common Stocks 57636Q104 $3,597 21,500 SH Defined 43 21,500 MASTERCARD INC CL A Common Stocks 57636Q104 $420 2,510 SH Defined 55 2,510 MASTERCARD INC CL A Common Stocks 57636Q104 $318 1,900 SH Defined 56 1,900 MASTERCARD INC CL A Common Stocks 57636Q104 $442 2,640 SH Defined 58 2,640 MASTERCARD INC CL A Common Stocks 57636Q104 $5,877 35,193 SH Defined 64 35,193 MASTERCARD INC CL A Common Stocks 57636Q104 $34,361 205,316 SH Defined 64 205,316 MASTERCARD INC CL A Common Stocks 57636Q104 $1,516 9,075 SH Defined 66 9,075 MASTERCARD INC CL A Common Stocks 57636Q104 $1,677 10,020 SH Defined 66 10,020 MASTERCARD INC CL A Common Stocks 57636Q104 $1,355 8,100 SH Defined 76 8,100 MASTERCARD INC CL A Common Stocks 57636Q104 $301 1,800 SH Defined 80 1,800 MASTERCARD INC CL A Common Stocks 57636Q104 $36,753 219,672 SH Sole 88 219,672 MASTERCARD INC CL A Common Stocks 57636Q104 $2,763 16,500 SH Defined 98 16,500 MASTERCARD INC CL A Common Stocks 57636Q104 $16,731 100,000 SH Defined 99 100,000 MASTERCARD INC CL A Common Stocks 57636Q104 $339 2,025 SH Defined 106 2,025 MASTERCARD INC CL A Common Stocks 57636Q104 $490 2,916 SH Defined 2,916 MATRIX SVC CO COM Common Stocks 576853105 $48 4,200 SH Defined 57 4,200 MATRIX SVC CO COM Common Stocks 576853105 $127 11,100 SH Defined 65 11,100 MATRIX SVC CO COM Common Stocks 576853105 $170 14,850 SH Defined 85 14,850 MATRIX SVC CO COM Common Stocks 576853105 $213 18,530 SH Sole 88 18,530 MATRIXX INITIATIVES INC CO Common Stocks 57685L105 $10 1,700 SH Defined 1 1,700 MATRIXX INITIATIVES INC CO Common Stocks 57685L105 $25 4,500 SH Defined 65 4,500 MATRIXX INITIATIVES INC CO Common Stocks 57685L105 $115 20,575 SH Defined 81 20,575 MATTEL INC COM Common Stocks 577081102 $173 10,800 SH Defined 51 10,800 MATTEL INC COM Common Stocks 577081102 $154 9,588 SH Defined 80 9,588 MATTEL INC COM Common Stocks 577081102 $772 48,105 SH Defined 84 48,105 MATTEL INC COM Common Stocks 577081102 $111 6,900 SH Sole 88 6,900 MATTHEWS INTL CORP CL A Common Stocks 577128101 $255 8,200 SH Defined 22 8,200 MAXIM INTEGRATED PRODS INC Common Stocks 57772K101 $7,472 476,200 SH Defined 10 476,200 MAXIM INTEGRATED PRODS INC Common Stocks 57772K101 $3,434 218,874 SH Defined 31 218,874 MAXIM INTEGRATED PRODS INC Common Stocks 57772K101 $259 16,500 SH Defined 32 16,500 MAXIM INTEGRATED PRODS INC Common Stocks 57772K101 $15,193 968,300 SH Sole 88 968,300 MAXIM INTEGRATED PRODS INC Common Stocks 57772K101 $14,134 900,841 SH Defined 94 900,841 MAXWELL TECHNOLOGIES INC C Common Stocks 577767106 $235 16,965 SH Defined 74 16,965 MAXWELL TECHNOLOGIES INC C Common Stocks 577767106 $613 44,355 SH Sole 88 44,355 MAXYGEN INC COM Common Stocks 577776107 $28 4,209 SH Defined 1 4,209 MAXYGEN INC COM Common Stocks 577776107 $118 17,600 SH Defined 23 17,600 MAXYGEN INC COM Common Stocks 577776107 $179 26,600 SH Sole 88 26,600 MAXIMUS INC COM Common Stocks 577933104 $592 14,350 SH Defined 77 14,350 MAXIMUS INC COM Common Stocks 577933104 $121 2,933 SH Defined 81 2,933 MCAFEE INC COM Common Stocks 579064106 $452 10,725 SH Defined 44 10,725 MCAFEE INC COM Common Stocks 579064106 $211 5,000 SH Defined 51 5,000 MCAFEE INC COM Common Stocks 579064106 $477 11,300 SH Defined 60 11,300 MCAFEE INC COM Common Stocks 579064106 $173 4,100 SH Defined 80 4,100 MCAFEE INC COM Common Stocks 579064106 $3,149 74,640 SH Sole 88 74,640 MCAFEE INC COM Common Stocks 579064106 $3,359 79,620 SH Defined 102 79,620 MCAFEE INC COM Common Stocks 579064106 $861 20,400 SH Defined 105 20,400 MCCORMICK & CO INC COM NON Common Stocks 579780206 $660 20,300 SH Defined 51 20,300 MCCORMICK & CO INC COM NON Common Stocks 579780206 $114 3,500 SH Defined 80 3,500 MCCORMICK & CO INC COM NON Common Stocks 579780206 $416 12,800 SH Sole 88 12,800 MCCORMICK & SCHMICKS SEAFD R Common Stocks 579793100 $117 15,320 SH Defined 15,320 MCDERMOTT INTL INC COM Common Stocks 580037109 $660 32,500 SH Defined 51 32,500 MCDERMOTT INTL INC COM Common Stocks 580037109 $2,435 119,907 SH Sole 88 119,907 MCDERMOTT INTL INC COM Common Stocks 580037109 $6,550 322,519 SH Defined 103 322,519 MCDONALDS CORP COM Common Stocks 580135101 $8,767 152,500 SH Defined 10 152,500 MCDONALDS CORP COM Common Stocks 580135101 $6,477 112,665 SH Defined 12 112,665 MCDONALDS CORP COM Common Stocks 580135101 $11,166 194,200 SH Defined 14 194,200 MCDONALDS CORP COM Common Stocks 580135101 $753 13,100 SH Defined 18 13,100 MCDONALDS CORP COM Common Stocks 580135101 $35,077 609,984 SH Defined 23 609,984 MCDONALDS CORP COM Common Stocks 580135101 $595 10,466 SH Defined 26 10,466 MCDONALDS CORP COM Common Stocks 580135101 $22,462 390,638 SH Defined 26 390,638 MCDONALDS CORP COM Common Stocks 580135101 $5,036 87,600 SH Defined 35 87,600 MCDONALDS CORP COM Common Stocks 580135101 $3,495 60,800 SH Defined 37 60,800 MCDONALDS CORP COM Common Stocks 580135101 $25,089 436,404 SH Defined 38 436,404 MCDONALDS CORP COM Common Stocks 580135101 $6,307 109,700 SH Defined 51 109,700 MCDONALDS CORP COM Common Stocks 580135101 $993 17,270 SH Defined 55 17,270 MCDONALDS CORP COM Common Stocks 580135101 $650 11,300 SH Defined 56 11,300 MCDONALDS CORP COM Common Stocks 580135101 $10,446 181,705 SH Defined 62 181,705 MCDONALDS CORP COM Common Stocks 580135101 $29,511 513,283 SH Defined 64 513,283 MCDONALDS CORP COM Common Stocks 580135101 $2,550 44,820 SH Defined 66 44,820 MCDONALDS CORP COM Common Stocks 580135101 $3,081 53,570 SH Defined 66 53,570 MCDONALDS CORP COM Common Stocks 580135101 $650 11,300 SH Defined 67 11,300 MCDONALDS CORP COM Common Stocks 580135101 $24,601 427,912 SH Defined 72 427,912 MCDONALDS CORP COM Common Stocks 580135101 $1,690 29,400 SH Defined 80 29,400 MCDONALDS CORP COM Common Stocks 580135101 $81,079 1,410,318 SH Sole 88 1,410,318 MCDONALDS CORP COM Common Stocks 580135101 $9,555 166,200 SH Defined 94 166,200 MCDONALDS CORP COM Common Stocks 580135101 $9,127 158,799 SH Defined 158,799 MCGRATH RENTCORP COM Common Stocks 580589109 $252 13,200 SH Defined 63 13,200 MCGRAW HILL COS INC COM Common Stocks 580645109 $295 9,800 SH Defined 10 9,800 MCGRAW HILL COS INC COM Common Stocks 580645109 $3,402 113,000 SH Defined 35 113,000 MCGRAW HILL COS INC COM Common Stocks 580645109 $1,177 39,100 SH Defined 51 39,100 MCGRAW HILL COS INC COM Common Stocks 580645109 $422 14,000 SH Defined 67 14,000 MCGRAW HILL COS INC COM Common Stocks 580645109 $10,588 351,649 SH Defined 72 351,649 MCGRAW HILL COS INC COM Common Stocks 580645109 $253 8,400 SH Defined 80 8,400 MCGRAW HILL COS INC COM Common Stocks 580645109 $9,897 328,700 SH Sole 88 328,700 MCGRAW HILL COS INC COM Common Stocks 580645109 $1,213 40,300 SH Defined 97 40,300 MCKESSON CORP COM Common Stocks 58155Q103 $8,997 204,474 SH Defined 1 204,474 MCKESSON CORP COM Common Stocks 58155Q103 $11,075 251,700 SH Defined 10 251,700 MCKESSON CORP COM Common Stocks 58155Q103 $6,826 155,098 SH Defined 23 155,098 MCKESSON CORP COM Common Stocks 58155Q103 $110 2,500 SH Defined 51 2,500 MCKESSON CORP COM Common Stocks 58155Q103 $444 10,100 SH Defined 56 10,100 MCKESSON CORP COM Common Stocks 58155Q103 $7,379 167,700 SH Defined 57 167,700 MCKESSON CORP COM Common Stocks 58155Q103 $869 19,740 SH Defined 58 19,740 MCKESSON CORP COM Common Stocks 58155Q103 $317 7,197 SH Defined 80 7,197 MCKESSON CORP COM Common Stocks 58155Q103 $15,862 360,500 SH Sole 88 360,500 MCKESSON CORP COM Common Stocks 58155Q103 $1,347 30,603 SH Defined 30,603 MEADOWBROOK INS GROUP INC Common Stocks 58319P108 $344 52,685 SH Defined 57 52,685 MEADOWBROOK INS GROUP INC Common Stocks 58319P108 $265 40,552 SH Sole 88 40,552 MEADWESTVACO CORP COM Common Stocks 583334107 $0 1 SH Defined 1 1 MEADWESTVACO CORP COM Common Stocks 583334107 $1,045 63,700 SH Defined 4 63,700 MEADWESTVACO CORP COM Common Stocks 583334107 $75 4,573 SH Defined 80 4,573 MEADWESTVACO CORP COM Common Stocks 583334107 $1,301 79,300 SH Sole 88 79,300 MECHEL OAO SPONSORED ADR Common Stocks 583840103 $2,386 285,784 SH Defined 11 285,784 MECHEL OAO SPONSORED ADR Common Stocks 583840103 $422 50,565 SH Sole 88 50,565 MEDAREX INC COM Common Stocks 583916101 $126 15,113 SH Defined 81 15,113 MEDALLION FINL CORP COM Common Stocks 583928106 $8 1,100 SH Defined 65 1,100 MEDASSETS INC COM Common Stocks 584045108 $522 26,825 SH Defined 44 26,825 MEDCATH CORP COM Common Stocks 58404W109 $59 5,000 SH Defined 57 5,000 MEDCATH CORP COM Common Stocks 58404W109 $7 600 SH Defined 65 600 MEDCATH CORP COM Common Stocks 58404W109 $39 3,300 SH Sole 88 3,300 MEDCO HEALTH SOLUTIONS INC Common Stocks 58405U102 $566 12,400 SH Defined 4 12,400 MEDCO HEALTH SOLUTIONS INC Common Stocks 58405U102 $575 12,600 SH Defined 18 12,600 MEDCO HEALTH SOLUTIONS INC Common Stocks 58405U102 $3,617 79,300 SH Defined 28 79,300 MEDCO HEALTH SOLUTIONS INC Common Stocks 58405U102 $821 18,000 SH Defined 29 18,000 MEDCO HEALTH SOLUTIONS INC Common Stocks 58405U102 $287 6,287 SH Defined 42 6,287 MEDCO HEALTH SOLUTIONS INC Common Stocks 58405U102 $4,456 97,700 SH Defined 51 97,700 MEDCO HEALTH SOLUTIONS INC Common Stocks 58405U102 $585 12,816 SH Defined 80 12,816 MEDCO HEALTH SOLUTIONS INC Common Stocks 58405U102 $6,618 145,097 SH Sole 88 145,097 MEDIA GEN INC CL A Common Stocks 584404107 $52 24,704 SH Defined 52 24,704 MEDIA GEN INC CL A Common Stocks 584404107 $75 35,418 SH Sole 88 35,418 MEDIACOM COMMUNICATIONS CO Common Stocks 58446K105 $26 5,000 SH Defined 65 5,000 MEDICAL ACTION INDS INC COM Common Stocks 58449L100 $726 63,371 SH Defined 63 63,371 MEDICAL ACTION INDS INC COM Common Stocks 58449L100 $704 61,524 SH Defined 73 61,524 MEDICAL ACTION INDS INC COM Common Stocks 58449L100 $2,908 253,930 SH Sole 88 253,930 MEDICAL PPTYS TRUST INC CO Common Stocks 58463J304 $505 83,200 SH Defined 57 83,200 MEDICAL PPTYS TRUST INC CO Common Stocks 58463J304 $3,852 634,517 SH Defined 87 634,517 MEDICAL PPTYS TRUST INC CO Common Stocks 58463J304 $368 60,700 SH Sole 88 60,700 MEDICINES CO COM Common Stocks 584688105 $492 58,700 SH Defined 57 58,700 MEDICINES CO COM Common Stocks 584688105 $335 39,900 SH Sole 88 39,900 MEDICIS PHARMACEUTICAL COR Common Stocks 584690309 $191 11,700 SH Defined 65 11,700 MEDICIS PHARMACEUTICAL COR Common Stocks 584690309 $379 23,250 SH Defined 77 23,250 MEDIVATION INC COM Common Stocks 58501N101 $573 25,580 SH Sole 88 25,580 MEDNAX INC COM Common Stocks 58502B106 $72 1,700 SH Defined 23 1,700 MEDNAX INC COM Common Stocks 58502B106 $113 2,682 SH Defined 81 2,682 MEDNAX INC COM Common Stocks 58502B106 $1,924 45,678 SH Sole 88 45,678 MEDNAX INC COM Common Stocks 58502B106 $3,076 73,023 SH Defined 103 73,023 MEDTRONIC INC COM Common Stocks 585055106 $2,345 67,200 SH Defined 17 67,200 MEDTRONIC INC COM Common Stocks 585055106 $5,080 145,587 SH Defined 27 145,587 MEDTRONIC INC COM Common Stocks 585055106 $6,071 174,000 SH Defined 35 174,000 MEDTRONIC INC COM Common Stocks 585055106 $517 14,829 SH Defined 42 14,829 MEDTRONIC INC COM Common Stocks 585055106 $2,307 66,700 SH Defined 47 66,700 MEDTRONIC INC COM Common Stocks 585055106 $13,002 372,600 SH Defined 47 372,600 MEDTRONIC INC COM Common Stocks 585055106 $2,833 81,200 SH Defined 51 81,200 MEDTRONIC INC COM Common Stocks 585055106 $433 12,400 SH Defined 56 12,400 MEDTRONIC INC COM Common Stocks 585055106 $618 17,700 SH Defined 58 17,700 MEDTRONIC INC COM Common Stocks 585055106 $754 21,600 SH Defined 67 21,600 MEDTRONIC INC COM Common Stocks 585055106 $17,491 501,210 SH Defined 68 501,210 MEDTRONIC INC COM Common Stocks 585055106 $1,026 29,420 SH Defined 69 29,420 MEDTRONIC INC COM Common Stocks 585055106 $5,212 150,721 SH Defined 70 150,721 MEDTRONIC INC COM Common Stocks 585055106 $5,035 144,245 SH Defined 70 144,245 MEDTRONIC INC COM Common Stocks 585055106 $960 27,526 SH Defined 76 27,526 MEDTRONIC INC COM Common Stocks 585055106 $1,040 29,800 SH Defined 80 29,800 MEDTRONIC INC COM Common Stocks 585055106 $12,330 353,399 SH Sole 88 353,399 MEDTRONIC INC COM Common Stocks 585055106 $401 11,600 SH Defined 96 11,600 MEDTRONIC INC COM Common Stocks 585055106 $1,228 35,200 SH Defined 96 35,200 MENTOR GRAPHICS CORP COM Common Stocks 587200106 $184 33,600 SH Defined 22 33,600 MENTOR GRAPHICS CORP COM Common Stocks 587200106 $551 100,687 SH Defined 52 100,687 MENTOR GRAPHICS CORP COM Common Stocks 587200106 $81 14,853 SH Defined 81 14,853 MENTOR GRAPHICS CORP COM Common Stocks 587200106 $735 134,431 SH Sole 88 134,431 MERCK & CO INC COM Common Stocks 589331107 $2,751 98,397 SH Defined 1 98,397 MERCK & CO INC COM Common Stocks 589331107 $6,710 240,000 SH Defined 4 240,000 MERCK & CO INC COM Common Stocks 589331107 $268 9,600 SH Defined 10 9,600 MERCK & CO INC COM Common Stocks 589331107 $2,334 84,229 SH Defined 11 84,229 MERCK & CO INC COM Common Stocks 589331107 $5,927 211,917 SH Defined 11 211,917 MERCK & CO INC COM Common Stocks 589331107 $537 19,200 SH Defined 23 19,200 MERCK & CO INC COM Common Stocks 589331107 $657 23,500 SH Defined 32 23,500 MERCK & CO INC COM Common Stocks 589331107 $509 18,200 SH Defined 41 18,200 MERCK & CO INC COM Common Stocks 589331107 $3,205 114,616 SH Defined 42 114,616 MERCK & CO INC COM Common Stocks 589331107 $5,167 184,800 SH Defined 51 184,800 MERCK & CO INC COM Common Stocks 589331107 $1,202 43,000 SH Defined 56 43,000 MERCK & CO INC COM Common Stocks 589331107 $5,055 180,790 SH Defined 58 180,790 MERCK & CO INC COM Common Stocks 589331107 $13,038 466,309 SH Defined 68 466,309 MERCK & CO INC COM Common Stocks 589331107 $2,457 87,860 SH Defined 69 87,860 MERCK & CO INC COM Common Stocks 589331107 $4,691 167,759 SH Defined 76 167,759 MERCK & CO INC COM Common Stocks 589331107 $1,569 56,100 SH Defined 80 56,100 MERCK & CO INC COM Common Stocks 589331107 $27,378 979,186 SH Sole 88 979,186 MERCK & CO INC COM Common Stocks 589331107 $5,659 202,400 SH Defined 94 202,400 MERCURY COMPUTER SYS COM Common Stocks 589378108 $184 19,900 SH Defined 63 19,900 MERCURY GENL CORP NEW COM Common Stocks 589400100 $4,844 144,899 SH Defined 31 144,899 MERCURY GENL CORP NEW COM Common Stocks 589400100 $1,046 31,300 SH Sole 88 31,300 MEREDITH CORP COM Common Stocks 589433101 $491 19,210 SH Defined 22 19,210 MEREDITH CORP COM Common Stocks 589433101 $184 7,200 SH Defined 51 7,200 MEREDITH CORP COM Common Stocks 589433101 $23 900 SH Defined 80 900 MEREDITH CORP COM Common Stocks 589433101 $120 4,700 SH Sole 88 4,700 MERIDIAN BIOSCIENCE INC CO Common Stocks 589584101 $3,498 154,900 SH Sole 88 154,900 MERIDIAN BIOSCIENCE INC CO Common Stocks 589584101 $479 21,200 SH Defined 95 21,200 MERIT MED SYS INC COM Common Stocks 589889104 $29 1,800 SH Defined 57 1,800 MERIT MED SYS INC COM Common Stocks 589889104 $1,231 75,520 SH Defined 73 75,520 MERIT MED SYS INC COM Common Stocks 589889104 $5,112 313,638 SH Sole 88 313,638 MERITAGE HOMES CORP COM Common Stocks 59001A102 $1,410 74,758 SH Defined 23 74,758 MERITAGE HOMES CORP COM Common Stocks 59001A102 $813 43,100 SH Defined 57 43,100 MERITAGE HOMES CORP COM Common Stocks 59001A102 $2,056 109,000 SH Sole 88 109,000 MET PRO CORP COM Common Stocks 590876306 $38 3,524 SH Defined 31 3,524 METALICO INC COM Common Stocks 591176102 $113 24,319 SH Defined 63 24,319 METAVANTE TECHNOLOGIES INC Common Stocks 591407101 $1,218 47,100 SH Defined 51 47,100 METAVANTE TECHNOLOGIES INC Common Stocks 591407101 $776 30,000 SH Sole 88 30,000 METHANEX CORP COM Common Stocks 59151K108 $3,802 312,900 SH Defined 312,900 METHODE ELECTRS INC COM Common Stocks 591520200 $36 5,100 SH Defined 31 5,100 METHODE ELECTRS INC COM Common Stocks 591520200 $225 32,100 SH Defined 57 32,100 METHODE ELECTRS INC COM Common Stocks 591520200 $180 25,600 SH Defined 63 25,600 METHODE ELECTRS INC COM Common Stocks 591520200 $156 22,200 SH Sole 88 22,200 METLIFE INC COM Common Stocks 59156R108 $4,347 144,850 SH Defined 4 144,850 METLIFE INC COM Common Stocks 59156R108 $4,193 139,710 SH Defined 8 139,710 METLIFE INC COM Common Stocks 59156R108 $601 20,100 SH Defined 18 20,100 METLIFE INC COM Common Stocks 59156R108 $1,215 40,500 SH Defined 18 40,500 METLIFE INC COM Common Stocks 59156R108 $437 14,568 SH Defined 42 14,568 METLIFE INC COM Common Stocks 59156R108 $1,495 49,800 SH Defined 51 49,800 METLIFE INC COM Common Stocks 59156R108 $231 7,700 SH Defined 56 7,700 METLIFE INC COM Common Stocks 59156R108 $1,514 50,448 SH Defined 57 50,448 METLIFE INC COM Common Stocks 59156R108 $394 13,130 SH Defined 58 13,130 METLIFE INC COM Common Stocks 59156R108 $1,229 40,950 SH Defined 59 40,950 METLIFE INC COM Common Stocks 59156R108 $14,163 471,949 SH Defined 68 471,949 METLIFE INC COM Common Stocks 59156R108 $2,689 89,590 SH Defined 69 89,590 METLIFE INC COM Common Stocks 59156R108 $1,254 41,773 SH Defined 76 41,773 METLIFE INC COM Common Stocks 59156R108 $654 21,800 SH Defined 80 21,800 METLIFE INC COM Common Stocks 59156R108 $447 14,885 SH Defined 84 14,885 METLIFE INC COM Common Stocks 59156R108 $33,894 1,129,423 SH Sole 88 1,129,423 METLIFE INC COM Common Stocks 59156R108 $14,659 488,486 SH Defined 94 488,486 METLIFE INC COM Common Stocks 59156R108 $10,856 361,731 SH Defined 361,731 METRO BANCORP INC PA COM ADD Common Stocks 59161R101 $243 12,610 SH Defined 63 12,610 METROPCS COMMUNICATIONS IN Common Stocks 591708102 $2,432 182,700 SH Defined 10 182,700 METROPCS COMMUNICATIONS IN Common Stocks 591708102 $198 14,900 SH Defined 18 14,900 METROPCS COMMUNICATIONS IN Common Stocks 591708102 $1,588 119,300 SH Defined 51 119,300 METROPCS COMMUNICATIONS IN Common Stocks 591708102 $89 6,700 SH Defined 80 6,700 METROPCS COMMUNICATIONS IN Common Stocks 591708102 $1,028 77,200 SH Sole 88 77,200 METROPCS COMMUNICATIONS IN Common Stocks 591708102 $184 13,800 SH Defined 105 13,800 MICREL INC COM Common Stocks 594793101 $2,102 287,126 SH Defined 31 287,126 MICREL INC COM Common Stocks 594793101 $2,353 321,444 SH Sole 88 321,444 MICROS SYS INC COM Common Stocks 594901100 $122 4,815 SH Defined 81 4,815 MICROS SYS INC COM Common Stocks 594901100 $2,057 81,255 SH Sole 88 81,255 MICROS SYS INC COM Common Stocks 594901100 $4,611 182,117 SH Defined 103 182,117 MICROSOFT CORP COM Common Stocks 594918104 $13,072 549,950 SH Defined 1 549,950 MICROSOFT CORP COM Common Stocks 594918104 $1,700 71,500 SH Defined 4 71,500 MICROSOFT CORP COM Common Stocks 594918104 $29,934 1,259,300 SH Defined 10 1,259,300 MICROSOFT CORP COM Common Stocks 594918104 $4,940 208,398 SH Defined 11 208,398 MICROSOFT CORP COM Common Stocks 594918104 $17,344 729,424 SH Defined 11 729,424 MICROSOFT CORP COM Common Stocks 594918104 $6,968 293,160 SH Defined 12 293,160 MICROSOFT CORP COM Common Stocks 594918104 $6,927 291,400 SH Defined 17 291,400 MICROSOFT CORP COM Common Stocks 594918104 $1,033 43,600 SH Defined 18 43,600 MICROSOFT CORP COM Common Stocks 594918104 $2,981 125,400 SH Defined 18 125,400 MICROSOFT CORP COM Common Stocks 594918104 $4,964 208,817 SH Defined 31 208,817 MICROSOFT CORP COM Common Stocks 594918104 $9,411 395,900 SH Defined 35 395,900 MICROSOFT CORP COM Common Stocks 594918104 $2,073 87,200 SH Defined 37 87,200 MICROSOFT CORP COM Common Stocks 594918104 $14,866 625,400 SH Defined 38 625,400 MICROSOFT CORP COM Common Stocks 594918104 $12,061 507,422 SH Defined 42 507,422 MICROSOFT CORP COM Common Stocks 594918104 $1,089 45,950 SH Defined 50 45,950 MICROSOFT CORP COM Common Stocks 594918104 $36,427 1,532,171 SH Defined 50 1,532,171 MICROSOFT CORP COM Common Stocks 594918104 $14,205 597,600 SH Defined 51 597,600 MICROSOFT CORP COM Common Stocks 594918104 $449 18,870 SH Defined 55 18,870 MICROSOFT CORP COM Common Stocks 594918104 $3,382 142,300 SH Defined 56 142,300 MICROSOFT CORP COM Common Stocks 594918104 $7,069 297,380 SH Defined 58 297,380 MICROSOFT CORP COM Common Stocks 594918104 $874 36,870 SH Defined 66 36,870 MICROSOFT CORP COM Common Stocks 594918104 $2,604 109,515 SH Defined 66 109,515 MICROSOFT CORP COM Common Stocks 594918104 $1,172 49,300 SH Defined 67 49,300 MICROSOFT CORP COM Common Stocks 594918104 $14,239 599,021 SH Defined 76 599,021 MICROSOFT CORP COM Common Stocks 594918104 $4,844 203,800 SH Defined 80 203,800 MICROSOFT CORP COM Common Stocks 594918104 $1,688 71,015 SH Defined 84 71,015 MICROSOFT CORP COM Common Stocks 594918104 $78,539 3,304,136 SH Sole 88 3,304,136 MICROSOFT CORP COM Common Stocks 594918104 $21,404 900,456 SH Defined 94 900,456 MICROSOFT CORP COM Common Stocks 594918104 $626 26,400 SH Defined 96 26,400 MICROSOFT CORP COM Common Stocks 594918104 $1,949 82,000 SH Defined 96 82,000 MICROSOFT CORP COM Common Stocks 594918104 $3,728 156,700 SH Defined 98 156,700 MICROSOFT CORP COM Common Stocks 594918104 $22,105 929,940 SH Defined 99 929,940 MICROSOFT CORP COM Common Stocks 594918104 $14,511 610,475 SH Defined 100 610,475 MICROSOFT CORP COM Common Stocks 594918104 $2,521 106,042 SH Defined 106 106,042 MICROSOFT CORP COM Common Stocks 594918104 $4,998 210,234 SH Defined 210,234 MICROCHIP TECHNOLOGY INC C Common Stocks 595017104 $970 43,000 SH Defined 51 43,000 MICROCHIP TECHNOLOGY INC C Common Stocks 595017104 $108 4,800 SH Defined 80 4,800 MICROCHIP TECHNOLOGY INC C Common Stocks 595017104 $1,615 71,630 SH Sole 88 71,630 MICROCHIP TECHNOLOGY INC C Common Stocks 595017104 $3,281 145,482 SH Defined 103 145,482 MICRON TECHNOLOGY INC COM Common Stocks 595112103 $228 45,000 SH Defined 18 45,000 MICRON TECHNOLOGY INC COM Common Stocks 595112103 $199 39,400 SH Defined 51 39,400 MICRON TECHNOLOGY INC COM Common Stocks 595112103 $114 22,600 SH Defined 80 22,600 MICRON TECHNOLOGY INC COM Common Stocks 595112103 $951 188,020 SH Sole 88 188,020 MICRON TECHNOLOGY INC COM Common Stocks 595112103 $188 37,240 SH Defined 102 37,240 MICRON TECHNOLOGY INC COM Common Stocks 595112103 $610 120,502 SH Defined 106 120,502 MICROSEMI CORP COM Common Stocks 595137100 $74 5,385 SH Defined 5,385 MID-AMER APT CMNTYS INC CO Common Stocks 59522J103 $239 6,507 SH Defined 22 6,507 MID-AMER APT CMNTYS INC CO Common Stocks 59522J103 $807 22,100 SH Defined 54 22,100 MID-AMER APT CMNTYS INC CO Common Stocks 59522J103 $6,947 189,203 SH Defined 54 189,203 MID-AMER APT CMNTYS INC CO Common Stocks 59522J103 $739 20,140 SH Defined 73 20,140 MID-AMER APT CMNTYS INC CO Common Stocks 59522J103 $124 3,387 SH Defined 81 3,387 MID-AMER APT CMNTYS INC CO Common Stocks 59522J103 $3,394 92,458 SH Sole 88 92,458 MIDDLEBURG FINANCIAL CORP CO Common Stocks 596094102 $56 4,100 SH Defined 31 4,100 MIDDLEBY CORP COM Common Stocks 596278101 $273 6,220 SH Defined 22 6,220 MILLER HERMAN INC COM Common Stocks 600544100 $1,509 98,345 SH Defined 57 98,345 MILLER HERMAN INC COM Common Stocks 600544100 $982 64,000 SH Sole 88 64,000 MILLIPORE CORP COM Common Stocks 601073109 $976 13,870 SH Defined 39 13,870 MILLIPORE CORP COM Common Stocks 601073109 $98 1,400 SH Defined 80 1,400 MINDRAY MEDICAL INTL LTD S Common Stocks 602675100 $843 30,143 SH Defined 39 30,143 MINDRAY MEDICAL INTL LTD S Common Stocks 602675100 $1,058 37,900 SH Defined 89 37,900 MINDRAY MEDICAL INTL LTD S Common Stocks 602675100 $3,403 121,900 SH Defined 104 121,900 MINERALS TECHNOLOGIES INC Common Stocks 603158106 $106 2,930 SH Defined 81 2,930 MIPS TECHNOLOGIES INC COM Common Stocks 604567107 $39 13,000 SH Defined 23 13,000 MIPS TECHNOLOGIES INC COM Common Stocks 604567107 $83 27,600 SH Sole 88 27,600 MIRANT CORP NEW COM Common Stocks 60467R100 $2,862 190,346 SH Defined 11 190,346 MIRANT CORP NEW COM Common Stocks 60467R100 $12,519 795,105 SH Defined 11 795,105 MIRANT CORP NEW COM Common Stocks 60467R100 $956 60,745 SH Defined 42 60,745 MIRANT CORP NEW COM Common Stocks 60467R100 $4,688 297,864 SH Defined 57 297,864 MIRANT CORP NEW COM Common Stocks 60467R100 $2,932 186,284 SH Defined 59 186,284 MIRANT CORP NEW COM Common Stocks 60467R100 $120 7,600 SH Defined 65 7,600 MIRANT CORP NEW COM Common Stocks 60467R100 $1,625 103,254 SH Defined 76 103,254 MIRANT CORP NEW COM Common Stocks 60467R100 $7,725 490,792 SH Sole 88 490,792 MOBILE TELESYSTEMS OJSC SP Common Stocks 607409109 $236 6,400 SH Defined 14 6,400 MOBILE TELESYSTEMS OJSC SP Common Stocks 607409109 $3,880 105,051 SH Defined 40 105,051 MOBILE TELESYSTEMS OJSC SP Common Stocks 607409109 $273 7,400 SH Defined 61 7,400 MOBILE TELESYSTEMS OJSC SP Common Stocks 607409109 $1,250 33,843 SH Sole 88 33,843 MOBILE TELESYSTEMS OJSC SP Common Stocks 607409109 $1,650 44,682 SH Defined 99 44,682 MODINE MFG CO COM Common Stocks 607828100 $397 82,460 SH Defined 11 82,460 MOHAWK INDS INC COM Common Stocks 608190104 $393 10,983 SH Defined 39 10,983 MOLEX INC COM Common Stocks 608554101 $1,214 78,100 SH Defined 51 78,100 MOLEX INC COM Common Stocks 608554101 $62 4,000 SH Defined 57 4,000 MOLEX INC COM Common Stocks 608554101 $56 3,625 SH Defined 80 3,625 MOLEX INC COM Common Stocks 608554101 $770 49,500 SH Sole 88 49,500 MOLEX INC CL A Common Stocks 608554200 $129 9,000 SH Defined 32 9,000 MOLINA HEALTHCARE INC COM Common Stocks 60855R100 $1,517 63,400 SH Defined 57 63,400 MOLINA HEALTHCARE INC COM Common Stocks 60855R100 $1,081 45,200 SH Sole 88 45,200 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $3,762 88,800 SH Defined 50 88,800 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $313 7,400 SH Defined 51 7,400 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $80 1,890 SH Defined 68 1,890 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $518 12,234 SH Defined 76 12,234 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $270 6,400 SH Defined 79 6,400 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $474 11,200 SH Defined 79 11,200 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $169 4,000 SH Defined 80 4,000 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $8,034 189,784 SH Sole 88 189,784 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $10,572 249,754 SH Defined 94 249,754 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $919 21,700 SH Defined 97 21,700 MOLSON COORS BREWING CO CL Common Stocks 60871R209 $84 1,970 SH Defined 1,970 MOMENTA PHARMACEUTICALS IN Common Stocks 60877T100 $29 2,400 SH Defined 65 2,400 MONOLITHIC PWR SYS INC COM Common Stocks 609839105 $4,143 184,861 SH Defined 85 184,861 MONOLITHIC PWR SYS INC COM Common Stocks 609839105 $4,602 205,362 SH Sole 88 205,362 MONRO MUFFLER BRAKE INC COM Common Stocks 610236101 $122 4,750 SH Defined 44 4,750 MONRO MUFFLER BRAKE INC COM Common Stocks 610236101 $377 14,650 SH Defined 63 14,650 MONRO MUFFLER BRAKE INC COM Common Stocks 610236101 $179 6,950 SH Defined 85 6,950 MONRO MUFFLER BRAKE INC COM Common Stocks 610236101 $206 8,020 SH Sole 88 8,020 MONSANTO CO NEW COM Common Stocks 61166W101 $268 3,600 SH Defined 4 3,600 MONSANTO CO NEW COM Common Stocks 61166W101 $3,234 43,500 SH Defined 10 43,500 MONSANTO CO NEW COM Common Stocks 61166W101 $5,196 69,900 SH Defined 12 69,900 MONSANTO CO NEW COM Common Stocks 61166W101 $6,885 92,600 SH Defined 14 92,600 MONSANTO CO NEW COM Common Stocks 61166W101 $202 2,672 SH Defined 26 2,672 MONSANTO CO NEW COM Common Stocks 61166W101 $5,935 79,812 SH Defined 26 79,812 MONSANTO CO NEW COM Common Stocks 61166W101 $8,678 116,740 SH Defined 27 116,740 MONSANTO CO NEW COM Common Stocks 61166W101 $4,847 65,200 SH Defined 35 65,200 MONSANTO CO NEW COM Common Stocks 61166W101 $2,186 29,400 SH Defined 37 29,400 MONSANTO CO NEW COM Common Stocks 61166W101 $15,686 211,000 SH Defined 38 211,000 MONSANTO CO NEW COM Common Stocks 61166W101 $907 12,204 SH Defined 42 12,204 MONSANTO CO NEW COM Common Stocks 61166W101 $4,350 58,516 SH Defined 43 58,516 MONSANTO CO NEW COM Common Stocks 61166W101 $617 8,300 SH Defined 51 8,300 MONSANTO CO NEW COM Common Stocks 61166W101 $238 3,200 SH Defined 56 3,200 MONSANTO CO NEW COM Common Stocks 61166W101 $480 6,460 SH Defined 58 6,460 MONSANTO CO NEW COM Common Stocks 61166W101 $1,171 15,750 SH Defined 60 15,750 MONSANTO CO NEW COM Common Stocks 61166W101 $5,714 75,429 SH Defined 64 75,429 MONSANTO CO NEW COM Common Stocks 61166W101 $32,959 443,227 SH Defined 64 443,227 MONSANTO CO NEW COM Common Stocks 61166W101 $610 8,200 SH Defined 67 8,200 MONSANTO CO NEW COM Common Stocks 61166W101 $12,666 170,378 SH Defined 72 170,378 MONSANTO CO NEW COM Common Stocks 61166W101 $1,079 14,512 SH Defined 80 14,512 MONSANTO CO NEW COM Common Stocks 61166W101 $44,952 604,682 SH Sole 88 604,682 MONSANTO CO NEW COM Common Stocks 61166W101 $1,977 26,600 SH Defined 89 26,600 MONSANTO CO NEW COM Common Stocks 61166W101 $10,599 142,579 SH Defined 94 142,579 MONSANTO CO NEW COM Common Stocks 61166W101 $355 4,690 SH Defined 96 4,690 MONSANTO CO NEW COM Common Stocks 61166W101 $1,033 13,900 SH Defined 96 13,900 MONSANTO CO NEW COM Common Stocks 61166W101 $6,636 89,259 SH Defined 102 89,259 MONSANTO CO NEW COM Common Stocks 61166W101 $6,842 91,955 SH Defined 91,955 MONSTER WORLDWIDE INC COM Common Stocks 611742107 $39 3,300 SH Defined 80 3,300 MOODYS CORP COM Common Stocks 615369105 $9,049 343,400 SH Defined 10 343,400 MOODYS CORP COM Common Stocks 615369105 $818 31,089 SH Defined 11 31,089 MOODYS CORP COM Common Stocks 615369105 $7,671 291,045 SH Defined 11 291,045 MOODYS CORP COM Common Stocks 615369105 $654 24,829 SH Defined 42 24,829 MOODYS CORP COM Common Stocks 615369105 $1,180 44,800 SH Defined 51 44,800 MOODYS CORP COM Common Stocks 615369105 $137 5,200 SH Defined 80 5,200 MOODYS CORP COM Common Stocks 615369105 $7,269 275,851 SH Sole 88 275,851 MOODYS CORP COM Common Stocks 615369105 $917 34,800 SH Defined 89 34,800 MOODYS CORP COM Common Stocks 615369105 $2,686 101,941 SH Defined 103 101,941 MORGAN STANLEY COM NEW Common Stocks 617446448 $5,463 191,600 SH Defined 4 191,600 MORGAN STANLEY COM NEW Common Stocks 617446448 $5,116 179,442 SH Defined 9 179,442 MORGAN STANLEY COM NEW Common Stocks 617446448 $6,030 211,500 SH Defined 10 211,500 MORGAN STANLEY COM NEW Common Stocks 617446448 $4,243 148,800 SH Defined 14 148,800 MORGAN STANLEY COM NEW Common Stocks 617446448 $2,489 87,294 SH Defined 23 87,294 MORGAN STANLEY COM NEW Common Stocks 617446448 $576 19,900 SH Defined 26 19,900 MORGAN STANLEY COM NEW Common Stocks 617446448 $20,853 731,292 SH Defined 26 731,292 MORGAN STANLEY COM NEW Common Stocks 617446448 $7,428 260,536 SH Defined 31 260,536 MORGAN STANLEY COM NEW Common Stocks 617446448 $3,846 134,900 SH Defined 35 134,900 MORGAN STANLEY COM NEW Common Stocks 617446448 $1,548 53,500 SH Defined 47 53,500 MORGAN STANLEY COM NEW Common Stocks 617446448 $5,184 181,800 SH Defined 47 181,800 MORGAN STANLEY COM NEW Common Stocks 617446448 $1,716 60,200 SH Defined 51 60,200 MORGAN STANLEY COM NEW Common Stocks 617446448 $1,157 40,580 SH Defined 55 40,580 MORGAN STANLEY COM NEW Common Stocks 617446448 $1,049 36,800 SH Defined 56 36,800 MORGAN STANLEY COM NEW Common Stocks 617446448 $2,364 82,910 SH Defined 58 82,910 MORGAN STANLEY COM NEW Common Stocks 617446448 $673 23,600 SH Defined 59 23,600 MORGAN STANLEY COM NEW Common Stocks 617446448 $855 29,990 SH Defined 60 29,990 MORGAN STANLEY COM NEW Common Stocks 617446448 $3,199 112,207 SH Defined 64 112,207 MORGAN STANLEY COM NEW Common Stocks 617446448 $479 16,800 SH Defined 67 16,800 MORGAN STANLEY COM NEW Common Stocks 617446448 $2,085 73,133 SH Defined 76 73,133 MORGAN STANLEY COM NEW Common Stocks 617446448 $1,025 35,944 SH Defined 80 35,944 MORGAN STANLEY COM NEW Common Stocks 617446448 $542 19,025 SH Defined 84 19,025 MORGAN STANLEY COM NEW Common Stocks 617446448 $58,009 2,034,696 SH Sole 88 2,034,696 MORGAN STANLEY COM NEW Common Stocks 617446448 $668 23,100 SH Defined 93 23,100 MORGAN STANLEY COM NEW Common Stocks 617446448 $1,654 58,000 SH Defined 93 58,000 MORGAN STANLEY COM NEW Common Stocks 617446448 $16,078 563,944 SH Defined 94 563,944 MORGAN STANLEY COM NEW Common Stocks 617446448 $4,305 151,010 SH Defined 102 151,010 MORGAN STANLEY COM NEW Common Stocks 617446448 $888 31,163 SH Defined 106 31,163 MORGAN STANLEY COM NEW Common Stocks 617446448 $13,538 474,763 SH Defined 474,763 MOSAIC CO COM Common Stocks 61945A107 $0 2 SH Defined 1 2 MOSAIC CO COM Common Stocks 61945A107 $5,507 124,300 SH Defined 14 124,300 MOSAIC CO COM Common Stocks 61945A107 $2,007 45,300 SH Defined 35 45,300 MOSAIC CO COM Common Stocks 61945A107 $1,081 24,400 SH Defined 43 24,400 MOSAIC CO COM Common Stocks 61945A107 $177 4,000 SH Defined 51 4,000 MOSAIC CO COM Common Stocks 61945A107 $740 16,700 SH Defined 60 16,700 MOSAIC CO COM Common Stocks 61945A107 $244 5,500 SH Defined 67 5,500 MOSAIC CO COM Common Stocks 61945A107 $1,092 24,639 SH Defined 76 24,639 MOSAIC CO COM Common Stocks 61945A107 $3,243 73,200 SH Sole 88 73,200 MOSAIC CO COM Common Stocks 61945A107 $300 6,780 SH Defined 102 6,780 MOTOROLA INC COM Common Stocks 620076109 $2,920 440,399 SH Defined 1 440,399 MOTOROLA INC COM Common Stocks 620076109 $3,986 601,200 SH Defined 4 601,200 MOTOROLA INC COM Common Stocks 620076109 $650 98,100 SH Defined 32 98,100 MOTOROLA INC COM Common Stocks 620076109 $569 85,800 SH Defined 51 85,800 MOTOROLA INC COM Common Stocks 620076109 $8,139 1,227,600 SH Defined 57 1,227,600 MOTOROLA INC COM Common Stocks 620076109 $4,625 697,540 SH Defined 59 697,540 MOTOROLA INC COM Common Stocks 620076109 $9,250 1,395,235 SH Defined 62 1,395,235 MOTOROLA INC COM Common Stocks 620076109 $404 60,960 SH Defined 80 60,960 MOTOROLA INC COM Common Stocks 620076109 $1,657 249,960 SH Defined 84 249,960 MOTOROLA INC COM Common Stocks 620076109 $15,842 2,389,474 SH Sole 88 2,389,474 MOTOROLA INC COM Common Stocks 620076109 $4,408 664,793 SH Defined 91 664,793 MOTOROLA INC COM Common Stocks 620076109 $359 54,100 SH Defined 105 54,100 MOVADO GROUP INC COM Common Stocks 624580106 $1,176 111,553 SH Defined 30 111,553 MOVADO GROUP INC COM Common Stocks 624580106 $110 10,400 SH Defined 63 10,400 MUELLER INDS INC COM Common Stocks 624756102 $146 7,004 SH Defined 11 7,004 MUELLER WTR PRODS INC COM Common Stocks 624758108 $1,902 508,500 SH Defined 31 508,500 MUELLER WTR PRODS INC COM Common Stocks 624758108 $560 149,860 SH Defined 52 149,860 MUELLER WTR PRODS INC COM Common Stocks 624758108 $2,836 758,365 SH Sole 88 758,365 MULTI COLOR CORP COM Common Stocks 625383104 $289 23,600 SH Defined 63 23,600 MULTI FINELINE ELECTRONIX Common Stocks 62541B101 $32 1,500 SH Defined 57 1,500 MULTI FINELINE ELECTRONIX Common Stocks 62541B101 $287 13,400 SH Defined 65 13,400 MURPHY OIL CORP COM Common Stocks 626717102 $10,114 186,200 SH Defined 10 186,200 MURPHY OIL CORP COM Common Stocks 626717102 $2,990 55,008 SH Defined 11 55,008 MURPHY OIL CORP COM Common Stocks 626717102 $9,725 178,983 SH Defined 11 178,983 MURPHY OIL CORP COM Common Stocks 626717102 $179 3,300 SH Defined 51 3,300 MURPHY OIL CORP COM Common Stocks 626717102 $8,348 153,688 SH Defined 57 153,688 MURPHY OIL CORP COM Common Stocks 626717102 $2,437 44,840 SH Defined 66 44,840 MURPHY OIL CORP COM Common Stocks 626717102 $272 5,000 SH Defined 80 5,000 MURPHY OIL CORP COM Common Stocks 626717102 $25,052 461,190 SH Sole 88 461,190 MURPHY OIL CORP COM Common Stocks 626717102 $2,968 54,600 SH Defined 98 54,600 MURPHY OIL CORP COM Common Stocks 626717102 $17,317 318,800 SH Defined 99 318,800 MURPHY OIL CORP COM Common Stocks 626717102 $16,223 298,650 SH Defined 298,650 MUTUALFIRST FINL INC COM Common Stocks 62845B104 $5 600 SH Defined 65 600 MYERS INDS INC COM Common Stocks 628464109 $422 50,765 SH Defined 52 50,765 MYERS INDS INC COM Common Stocks 628464109 $596 71,672 SH Sole 88 71,672 MYLAN INC COM Common Stocks 628530107 $420 31,900 SH Defined 26 31,900 MYLAN INC COM Common Stocks 628530107 $15,517 1,188,822 SH Defined 26 1,188,822 MYLAN INC COM Common Stocks 628530107 $286 21,900 SH Defined 51 21,900 MYLAN INC COM Common Stocks 628530107 $106 8,100 SH Defined 80 8,100 MYLAN INC COM Common Stocks 628530107 $8,615 660,169 SH Sole 88 660,169 MYLAN INC COM Common Stocks 628530107 $71 5,324 SH Defined 5,324 MYRIAD GENETICS INC COM Common Stocks 62855J104 $433 12,050 SH Defined 26 12,050 MYRIAD GENETICS INC COM Common Stocks 62855J104 $16,026 449,469 SH Defined 26 449,469 MYRIAD GENETICS INC COM Common Stocks 62855J104 $941 26,400 SH Defined 57 26,400 MYRIAD GENETICS INC COM Common Stocks 62855J104 $1,167 32,722 SH Defined 76 32,722 MYRIAD GENETICS INC COM Common Stocks 62855J104 $143 4,000 SH Defined 81 4,000 MYRIAD GENETICS INC COM Common Stocks 62855J104 $9,297 260,784 SH Sole 88 260,784 MYRIAD GENETICS INC COM Common Stocks 62855J104 $78 2,144 SH Defined 2,144 MYRIAD PHARMACEUTICALS INC C Common Stocks 62856H107 $6 1,200 SH Defined 10 1,200 MYRIAD PHARMACEUTICALS INC C Common Stocks 62856H107 $14 3,012 SH Defined 26 3,012 MYRIAD PHARMACEUTICALS INC C Common Stocks 62856H107 $521 112,033 SH Defined 26 112,033 MYRIAD PHARMACEUTICALS INC C Common Stocks 62856H107 $27 5,900 SH Defined 57 5,900 MYRIAD PHARMACEUTICALS INC C Common Stocks 62856H107 $0 100 SH Defined 65 100 MYRIAD PHARMACEUTICALS INC C Common Stocks 62856H107 $29 6,161 SH Defined 80 6,161 MYRIAD PHARMACEUTICALS INC C Common Stocks 62856H107 $5 1,000 SH Defined 81 1,000 MYRIAD PHARMACEUTICALS INC C Common Stocks 62856H107 $384 82,669 SH Sole 88 82,669 MYRIAD PHARMACEUTICALS INC C Common Stocks 62856H107 $3 682 SH Defined 102 682 MYRIAD PHARMACEUTICALS INC C Common Stocks 62856H107 $3 536 SH Defined 536 NBTY INC COM Common Stocks 628782104 $192 6,832 SH Defined 42 6,832 NBTY INC COM Common Stocks 628782104 $146 5,200 SH Defined 51 5,200 NBTY INC COM Common Stocks 628782104 $555 19,750 SH Defined 77 19,750 NBTY INC COM Common Stocks 628782104 $1,122 39,918 SH Sole 88 39,918 NCI BUILDING SYS INC COM Common Stocks 628852105 $9 3,400 SH Defined 57 3,400 NCR CORP NEW COM Common Stocks 62886E108 $2,100 175,293 SH Defined 11 175,293 NCR CORP NEW COM Common Stocks 62886E108 $102 8,611 SH Defined 11 8,611 NCR CORP NEW COM Common Stocks 62886E108 $338 28,600 SH Defined 51 28,600 NCR CORP NEW COM Common Stocks 62886E108 $490 41,386 SH Defined 52 41,386 NCR CORP NEW COM Common Stocks 62886E108 $890 75,253 SH Sole 88 75,253 NASB FINL INC COM Common Stocks 628968109 $6 200 SH Defined 65 200 NGP CAP RES CO COM Common Stocks 62912R107 $15 2,600 SH Defined 65 2,600 NII HLDGS INC CL B NEW Common Stocks 62913F201 $3,171 166,300 SH Defined 1 166,300 NII HLDGS INC CL B NEW Common Stocks 62913F201 $816 42,785 SH Defined 42 42,785 NII HLDGS INC CL B NEW Common Stocks 62913F201 $1,241 65,100 SH Defined 51 65,100 NII HLDGS INC CL B NEW Common Stocks 62913F201 $1,934 97,791 SH Defined 64 97,791 NII HLDGS INC CL B NEW Common Stocks 62913F201 $10,416 546,018 SH Defined 64 546,018 NII HLDGS INC CL B NEW Common Stocks 62913F201 $3,877 203,311 SH Sole 88 203,311 NII HLDGS INC CL B NEW Common Stocks 62913F201 $330 17,300 SH Defined 100 17,300 NII HLDGS INC NOTE 3.125% 6/ Common Stocks 62913FAJ1 $71 92,000 SH Defined 100 92,000 NN INC COM Common Stocks 629337106 $15 8,685 SH Defined 1 8,685 NRG ENERGY INC COM NEW Common Stocks 629377508 $4,972 191,522 SH Defined 1 191,522 NRG ENERGY INC COM NEW Common Stocks 629377508 $13,978 538,442 SH Defined 9 538,442 NRG ENERGY INC COM NEW Common Stocks 629377508 $8,639 332,800 SH Defined 10 332,800 NRG ENERGY INC COM NEW Common Stocks 629377508 $392 15,100 SH Defined 51 15,100 NRG ENERGY INC COM NEW Common Stocks 629377508 $16,924 651,937 SH Sole 88 651,937 NRG ENERGY INC COM NEW Common Stocks 629377508 $752 28,954 SH Defined 97 28,954 NVE CORP COM NEW Common Stocks 629445206 $73 1,500 SH Defined 23 1,500 NVE CORP COM NEW Common Stocks 629445206 $220 4,525 SH Defined 44 4,525 NVE CORP COM NEW Common Stocks 629445206 $83 1,714 SH Defined 81 1,714 NVE CORP COM NEW Common Stocks 629445206 $117 2,400 SH Sole 88 2,400 NVR INC COM Common Stocks 62944T105 $1,156 2,300 SH Defined 4 2,300 NVR INC COM Common Stocks 62944T105 $50 100 SH Defined 51 100 NVR INC COM Common Stocks 62944T105 $965 1,920 SH Defined 60 1,920 NVR INC COM Common Stocks 62944T105 $23,550 46,876 SH Sole 88 46,876 NVR INC COM Common Stocks 62944T105 $15,723 31,296 SH Defined 91 31,296 NVR INC COM Common Stocks 62944T105 $1,810 3,600 SH Defined 98 3,600 NVR INC COM Common Stocks 62944T105 $11,053 22,000 SH Defined 99 22,000 NVR INC COM Common Stocks 62944T105 $6,644 13,225 SH Defined 102 13,225 NYSE EURONEXT COM Common Stocks 629491101 $10,183 373,700 SH Defined 10 373,700 NYSE EURONEXT COM Common Stocks 629491101 $452 16,600 SH Defined 51 16,600 NYSE EURONEXT COM Common Stocks 629491101 $185 6,800 SH Defined 56 6,800 NYSE EURONEXT COM Common Stocks 629491101 $770 28,262 SH Defined 57 28,262 NYSE EURONEXT COM Common Stocks 629491101 $188 6,900 SH Defined 80 6,900 NYSE EURONEXT COM Common Stocks 629491101 $5,772 211,800 SH Sole 88 211,800 NABI BIOPHARMACEUTICALS CO Common Stocks 629519109 $30 12,528 SH Defined 23 12,528 NABI BIOPHARMACEUTICALS CO Common Stocks 629519109 $52 21,611 SH Sole 88 21,611 NACCO INDS INC CL A Common Stocks 629579103 $32 1,100 SH Defined 65 1,100 NACCO INDS INC CL A Common Stocks 629579103 $1,019 35,465 SH Defined 92 35,465 NALCO HOLDING COMPANY COM Common Stocks 62985Q101 $684 40,524 SH Defined 39 40,524 NALCO HOLDING COMPANY COM Common Stocks 62985Q101 $94 5,600 SH Defined 65 5,600 NALCO HOLDING COMPANY COM Common Stocks 62985Q101 $752 44,682 SH Sole 88 44,682 NALCO HOLDING COMPANY COM Common Stocks 62985Q101 $260 15,435 SH Defined 101 15,435 NALCO HOLDING COMPANY COM Common Stocks 62985Q101 $2,125 126,193 SH Defined 103 126,193 NAM TAI ELECTRS INC COM PA Common Stocks 629865205 $38 9,028 SH Defined 1 9,028 NAM TAI ELECTRS INC COM PA Common Stocks 629865205 $184 43,240 SH Defined 43,240 NARA BANCORP INC COM Common Stocks 63080P105 $5 1,000 SH Defined 57 1,000 NASDAQ OMX GROUP INC COM Common Stocks 631103108 $3,431 161,000 SH Defined 35 161,000 NASDAQ OMX GROUP INC COM Common Stocks 631103108 $205 9,600 SH Defined 51 9,600 NASDAQ OMX GROUP INC COM Common Stocks 631103108 $3,776 177,204 SH Defined 57 177,204 NASDAQ OMX GROUP INC COM Common Stocks 631103108 $428 20,100 SH Defined 67 20,100 NASDAQ OMX GROUP INC COM Common Stocks 631103108 $77 3,600 SH Defined 80 3,600 NASDAQ OMX GROUP INC COM Common Stocks 631103108 $5,356 251,350 SH Sole 88 251,350 NASH FINCH CO COM Common Stocks 631158102 $682 25,200 SH Defined 57 25,200 NASH FINCH CO COM Common Stocks 631158102 $441 16,300 SH Sole 88 16,300 NATCO GROUP INC CL A Common Stocks 63227W203 $270 8,215 SH Defined 22 8,215 NATIONAL CITY CORP NOTE 4.00 Common Stocks 635405AW3 $1,896 1,930,000 SH Sole 88 1,930,000 NATIONAL CITY CORP NOTE 4.00 Common Stocks 635405AW3 $5,157 5,245,000 SH Defined 5,245,000 NATIONAL FINL PARTNERS COR Common Stocks 63607P208 $394 53,800 SH Defined 57 53,800 NATIONAL FINL PARTNERS COR Common Stocks 63607P208 $91 12,400 SH Defined 65 12,400 NATIONAL FINL PARTNERS COR Common Stocks 63607P208 $287 39,200 SH Sole 88 39,200 NATIONAL FUEL GAS CO N J C Common Stocks 636180101 $429 11,900 SH Defined 51 11,900 NATIONAL FUEL GAS CO N J C Common Stocks 636180101 $141 3,916 SH Defined 81 3,916 NATIONAL FUEL GAS CO N J C Common Stocks 636180101 $278 7,700 SH Sole 88 7,700 NATIONAL INSTRS CORP COM Common Stocks 636518102 $2,479 109,900 SH Defined 31 109,900 NATIONAL INSTRS CORP COM Common Stocks 636518102 $848 37,600 SH Defined 51 37,600 NATIONAL INSTRS CORP COM Common Stocks 636518102 $3,409 151,100 SH Sole 88 151,100 NATIONAL INTERSTATE CORP COM Common Stocks 63654U100 $82 5,400 SH Defined 31 5,400 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $4,339 132,865 SH Defined 12 132,865 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $5,301 162,300 SH Defined 14 162,300 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $8,818 270,000 SH Defined 35 270,000 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $4,181 126,500 SH Defined 47 126,500 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $23,353 714,900 SH Defined 47 714,900 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $1,114 34,100 SH Defined 51 34,100 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $6,388 195,600 SH Defined 57 195,600 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $200 6,125 SH Defined 66 6,125 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $1,101 33,700 SH Defined 67 33,700 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $146 4,460 SH Defined 68 4,460 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $363 11,100 SH Defined 80 11,100 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $12,345 378,000 SH Sole 88 378,000 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $3,178 97,300 SH Defined 89 97,300 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $793 24,000 SH Defined 96 24,000 NATIONAL OILWELL VARCO INC Common Stocks 637071101 $2,273 69,600 SH Defined 96 69,600 NATIONAL PENN BANCSHARES I Common Stocks 637138108 $90 19,545 SH Defined 22 19,545 NATIONAL PENN BANCSHARES I Common Stocks 637138108 $63 13,600 SH Defined 57 13,600 NATIONAL PENN BANCSHARES I Common Stocks 637138108 $52 11,200 SH Sole 88 11,200 NATIONAL PRESTO INDS INC COM Common Stocks 637215104 $49 650 SH Defined 44 650 NATIONAL PRESTO INDS INC COM Common Stocks 637215104 $53 700 SH Defined 63 700 NATIONAL RETAIL PROPERTIES Common Stocks 637417106 $8,588 494,900 SH Defined 2 494,900 NATIONAL RETAIL PROPERTIES Common Stocks 637417106 $21 1,230 SH Defined 31 1,230 NATIONAL RETAIL PROPERTIES Common Stocks 637417106 $8,071 465,178 SH Defined 48 465,178 NATIONAL RETAIL PROPERTIES Common Stocks 637417106 $402 23,169 SH Defined 52 23,169 NATIONAL RETAIL PROPERTIES Common Stocks 637417106 $1,090 62,832 SH Sole 88 62,832 NATIONAL SEMICONDUCTOR COR Common Stocks 637640103 $11 885 SH Defined 11 885 NATIONAL SEMICONDUCTOR COR Common Stocks 637640103 $1,099 87,600 SH Defined 51 87,600 NATIONAL SEMICONDUCTOR COR Common Stocks 637640103 $665 53,000 SH Defined 56 53,000 NATIONAL SEMICONDUCTOR COR Common Stocks 637640103 $1,023 81,490 SH Defined 58 81,490 NATIONAL SEMICONDUCTOR COR Common Stocks 637640103 $64 5,100 SH Defined 80 5,100 NATIONAL SEMICONDUCTOR COR Common Stocks 637640103 $689 54,900 SH Sole 88 54,900 NATIONWIDE HEALTH PPTYS IN Common Stocks 638620104 $23,884 927,700 SH Defined 2 927,700 NATIONWIDE HEALTH PPTYS IN Common Stocks 638620104 $906 35,468 SH Defined 25 35,468 NATIONWIDE HEALTH PPTYS IN Common Stocks 638620104 $1,120 43,502 SH Defined 25 43,502 NATIONWIDE HEALTH PPTYS IN Common Stocks 638620104 $2,110 82,567 SH Defined 54 82,567 NATIONWIDE HEALTH PPTYS IN Common Stocks 638620104 $21,965 853,222 SH Defined 54 853,222 NATIONWIDE HEALTH PPTYS IN Common Stocks 638620104 $149 5,778 SH Defined 81 5,778 NATIONWIDE HEALTH PPTYS IN Common Stocks 638620104 $12,560 487,954 SH Defined 87 487,954 NATIONWIDE HEALTH PPTYS IN Common Stocks 638620104 $1,931 75,019 SH Sole 88 75,019 NATURAL GAS SERVICES GROUP Common Stocks 63886Q109 $17 1,300 SH Defined 57 1,300 NAVIGATORS GROUP INC COM Common Stocks 638904102 $477 10,727 SH Defined 52 10,727 NAVIGATORS GROUP INC COM Common Stocks 638904102 $71 1,600 SH Defined 57 1,600 NAVIGATORS GROUP INC COM Common Stocks 638904102 $440 9,900 SH Defined 77 9,900 NAVIGATORS GROUP INC COM Common Stocks 638904102 $112 2,522 SH Defined 81 2,522 NAVIGATORS GROUP INC COM Common Stocks 638904102 $660 14,844 SH Sole 88 14,844 NAUGATUCK VY FINL CORP COM Common Stocks 639067107 $32 5,200 SH Defined 31 5,200 NAVISTAR INTL CORP NEW COM Common Stocks 63934E108 $466 10,686 SH Defined 1 10,686 NAVISTAR INTL CORP NEW COM Common Stocks 63934E108 $2,235 51,262 SH Defined 23 51,262 NAVISTAR INTL CORP NEW COM Common Stocks 63934E108 $1,073 24,600 SH Defined 57 24,600 NAVISTAR INTL CORP NEW COM Common Stocks 63934E108 $5,241 120,210 SH Defined 59 120,210 NAVISTAR INTL CORP NEW COM Common Stocks 63934E108 $1,714 39,316 SH Defined 76 39,316 NAVISTAR INTL CORP NEW COM Common Stocks 63934E108 $102 2,342 SH Defined 81 2,342 NAVISTAR INTL CORP NEW COM Common Stocks 63934E108 $10,980 251,844 SH Sole 88 251,844 NAVISTAR INTL CORP NEW COM Common Stocks 63934E108 $6,880 157,795 SH Defined 91 157,795 NAVISTAR INTL CORP NEW COM Common Stocks 63934E108 $414 9,500 SH Defined 102 9,500 NAVISTAR INTL CORP NEW COM Common Stocks 63934E108 $2,084 47,796 SH Defined 103 47,796 NAVISITE INC COM NEW Common Stocks 63935M208 $311 227,335 SH Defined 227,335 NAVIGANT CONSULTING INC CO Common Stocks 63935N107 $97 7,474 SH Defined 81 7,474 NEKTAR THERAPEUTICS COM Common Stocks 640268108 $56 8,700 SH Defined 57 8,700 NELNET INC CL A Common Stocks 64031N108 $1,320 97,152 SH Defined 23 97,152 NELNET INC CL A Common Stocks 64031N108 $30 2,200 SH Defined 57 2,200 NELNET INC CL A Common Stocks 64031N108 $281 20,700 SH Defined 65 20,700 NELNET INC CL A Common Stocks 64031N108 $1,114 82,000 SH Sole 88 82,000 NEOGEN CORP COM Common Stocks 640491106 $6,103 210,600 SH Sole 88 210,600 NEOGEN CORP COM Common Stocks 640491106 $840 29,000 SH Defined 95 29,000 NESS TECHNOLOGIES INC COM Common Stocks 64104X108 $137 35,100 SH Defined 1 35,100 NESS TECHNOLOGIES INC COM Common Stocks 64104X108 $92 23,600 SH Defined 57 23,600 NESS TECHNOLOGIES INC COM Common Stocks 64104X108 $31 7,900 SH Sole 88 7,900 NET 1 UEPS TECHNOLOGIES IN Common Stocks 64107N206 $98 7,200 SH Defined 65 7,200 NET 1 UEPS TECHNOLOGIES IN Common Stocks 64107N206 $203 14,950 SH Defined 102 14,950 NETFLIX INC COM Common Stocks 64110L106 $773 18,700 SH Defined 10 18,700 NETFLIX INC COM Common Stocks 64110L106 $413 10,000 SH Defined 28 10,000 NETFLIX INC COM Common Stocks 64110L106 $1,004 24,275 SH Defined 44 24,275 NETFLIX INC COM Common Stocks 64110L106 $1,531 37,025 SH Defined 57 37,025 NETFLIX INC COM Common Stocks 64110L106 $54 1,300 SH Defined 65 1,300 NETFLIX INC COM Common Stocks 64110L106 $1,442 34,883 SH Defined 76 34,883 NETFLIX INC COM Common Stocks 64110L106 $901 21,800 SH Sole 88 21,800 NETEASE COM INC SPONSORED Common Stocks 64110W102 $1,580 44,900 SH Sole 88 44,900 NETEASE COM INC SPONSORED Common Stocks 64110W102 $2,125 60,400 SH Defined 109 60,400 NETEASE COM INC SPONSORED Common Stocks 64110W102 $3,305 91,900 SH Defined 91,900 NETGEAR INC COM Common Stocks 64111Q104 $58 4,000 SH Defined 57 4,000 NETSCOUT SYS INC COM Common Stocks 64115T104 $1,548 165,074 SH Defined 23 165,074 NETSCOUT SYS INC COM Common Stocks 64115T104 $118 12,600 SH Defined 65 12,600 NETSCOUT SYS INC COM Common Stocks 64115T104 $1,426 152,026 SH Sole 88 152,026 NETSCOUT SYS INC COM Common Stocks 64115T104 $216 23,015 SH Defined 23,015 NETLOGIC MICROSYSTEMS INC Common Stocks 64118B100 $713 19,550 SH Defined 44 19,550 NETLOGIC MICROSYSTEMS INC Common Stocks 64118B100 $380 10,420 SH Defined 74 10,420 NETLOGIC MICROSYSTEMS INC Common Stocks 64118B100 $2,604 71,409 SH Defined 85 71,409 NETLOGIC MICROSYSTEMS INC Common Stocks 64118B100 $3,020 82,830 SH Sole 88 82,830 NETLOGIC MICROSYSTEMS INC Common Stocks 64118B100 $291 7,970 SH Defined 102 7,970 NEUSTAR INC CL A Common Stocks 64126X201 $948 42,800 SH Defined 10 42,800 NEUSTAR INC CL A Common Stocks 64126X201 $312 14,082 SH Defined 42 14,082 NEUSTAR INC CL A Common Stocks 64126X201 $204 9,200 SH Defined 51 9,200 NEUSTAR INC CL A Common Stocks 64126X201 $309 13,953 SH Sole 88 13,953 NEUSTAR INC CL A Common Stocks 64126X201 $502 22,666 SH Defined 101 22,666 NEUTRAL TANDEM INC COM Common Stocks 64128B108 $415 14,075 SH Defined 44 14,075 NEUTRAL TANDEM INC COM Common Stocks 64128B108 $5,569 188,652 SH Defined 74 188,652 NEUTRAL TANDEM INC COM Common Stocks 64128B108 $11,854 401,543 SH Sole 88 401,543 NEUTRAL TANDEM INC COM Common Stocks 64128B108 $697 23,600 SH Defined 95 23,600 NEW JERSEY RES COM Common Stocks 646025106 $2,388 64,470 SH Defined 23 64,470 NEW JERSEY RES COM Common Stocks 646025106 $687 18,555 SH Defined 52 18,555 NEW JERSEY RES COM Common Stocks 646025106 $1,495 40,349 SH Defined 57 40,349 NEW JERSEY RES COM Common Stocks 646025106 $123 3,309 SH Defined 81 3,309 NEW JERSEY RES COM Common Stocks 646025106 $4,328 116,845 SH Sole 88 116,845 NEW YORK & CO INC COM Common Stocks 649295102 $160 51,800 SH Defined 57 51,800 NEW YORK & CO INC COM Common Stocks 649295102 $99 32,000 SH Sole 88 32,000 NEW YORK CMNTY BANCORP INC Common Stocks 649445103 $284 26,594 SH Defined 1 26,594 NEW YORK CMNTY BANCORP INC Common Stocks 649445103 $2,504 234,200 SH Defined 10 234,200 NEW YORK CMNTY BANCORP INC Common Stocks 649445103 $513 47,950 SH Defined 21 47,950 NEW YORK CMNTY BANCORP INC Common Stocks 649445103 $4,505 421,400 SH Defined 31 421,400 NEW YORK CMNTY BANCORP INC Common Stocks 649445103 $126 11,800 SH Defined 51 11,800 NEW YORK CMNTY BANCORP INC Common Stocks 649445103 $60 5,600 SH Defined 57 5,600 NEW YORK CMNTY BANCORP INC Common Stocks 649445103 $725 67,839 SH Defined 76 67,839 NEW YORK CMNTY BANCORP INC Common Stocks 649445103 $3,019 282,369 SH Sole 88 282,369 NEW YORK TIMES CO CL A Common Stocks 650111107 $17 3,100 SH Defined 80 3,100 NEWALLIANCE BANCSHARES INC Common Stocks 650203102 $2,049 178,200 SH Defined 31 178,200 NEWALLIANCE BANCSHARES INC Common Stocks 650203102 $113 9,824 SH Defined 81 9,824 NEWALLIANCE BANCSHARES INC Common Stocks 650203102 $2,323 202,000 SH Sole 88 202,000 NEWELL RUBBERMAID INC COM Common Stocks 651229106 $852 81,800 SH Defined 4 81,800 NEWELL RUBBERMAID INC COM Common Stocks 651229106 $2,890 277,613 SH Defined 31 277,613 NEWELL RUBBERMAID INC COM Common Stocks 651229106 $186 17,900 SH Defined 51 17,900 NEWELL RUBBERMAID INC COM Common Stocks 651229106 $4,971 477,535 SH Defined 57 477,535 NEWELL RUBBERMAID INC COM Common Stocks 651229106 $77 7,393 SH Defined 80 7,393 NEWELL RUBBERMAID INC COM Common Stocks 651229106 $5,749 552,271 SH Sole 88 552,271 NEWFIELD EXPL CO COM Common Stocks 651290108 $1,781 54,500 SH Defined 30 54,500 NEWFIELD EXPL CO COM Common Stocks 651290108 $173 5,300 SH Defined 51 5,300 NEWFIELD EXPL CO COM Common Stocks 651290108 $1,532 46,900 SH Sole 88 46,900 NEWFIELD EXPL CO COM Common Stocks 651290108 $898 27,500 SH Defined 97 27,500 NEWMARKET CORP COM Common Stocks 651587107 $94 1,400 SH Defined 23 1,400 NEWMARKET CORP COM Common Stocks 651587107 $74 1,100 SH Defined 57 1,100 NEWMARKET CORP COM Common Stocks 651587107 $101 1,500 SH Defined 65 1,500 NEWMARKET CORP COM Common Stocks 651587107 $148 2,200 SH Sole 88 2,200 NEWMONT MINING CORP COM Common Stocks 651639106 $1,838 44,973 SH Defined 1 44,973 NEWMONT MINING CORP COM Common Stocks 651639106 $20,535 502,457 SH Defined 9 502,457 NEWMONT MINING CORP COM Common Stocks 651639106 $3,859 94,400 SH Defined 23 94,400 NEWMONT MINING CORP COM Common Stocks 651639106 $556 13,200 SH Defined 26 13,200 NEWMONT MINING CORP COM Common Stocks 651639106 $20,026 489,913 SH Defined 26 489,913 NEWMONT MINING CORP COM Common Stocks 651639106 $47 1,155 SH Defined 42 1,155 NEWMONT MINING CORP COM Common Stocks 651639106 $1,130 26,850 SH Defined 50 26,850 NEWMONT MINING CORP COM Common Stocks 651639106 $35,336 864,435 SH Defined 50 864,435 NEWMONT MINING CORP COM Common Stocks 651639106 $533 13,051 SH Defined 80 13,051 NEWMONT MINING CORP COM Common Stocks 651639106 $38,689 946,630 SH Sole 88 946,630 NEWMONT MINING CORP COM Common Stocks 651639106 $30,625 749,325 SH Defined 100 749,325 NEWMONT MINING CORP COM Common Stocks 651639106 $315 7,442 SH Defined 7,442 NEWPORT CORP COM Common Stocks 651824104 $120 20,700 SH Defined 57 20,700 NEWPORT CORP COM Common Stocks 651824104 $93 16,117 SH Defined 81 16,117 NEWPORT CORP COM Common Stocks 651824104 $72 12,400 SH Sole 88 12,400 NEWS CORP CL A Common Stocks 65248E104 $3,318 364,200 SH Defined 4 364,200 NEWS CORP CL A Common Stocks 65248E104 $624 68,500 SH Defined 32 68,500 NEWS CORP CL A Common Stocks 65248E104 $597 65,564 SH Defined 42 65,564 NEWS CORP CL A Common Stocks 65248E104 $558 61,300 SH Defined 80 61,300 NEWS CORP CL A Common Stocks 65248E104 $3,300 362,290 SH Sole 88 362,290 NEWS CORP CL B Common Stocks 65248E203 $220 20,800 SH Defined 4 20,800 NEWS CORP CL B Common Stocks 65248E203 $28 2,614 SH Defined 42 2,614 NEXEN INC COM Common Stocks 65334H102 $2,201 99,909 SH Defined 3 99,909 NEXEN INC COM Common Stocks 65334H102 $2,692 123,833 SH Defined 4 123,833 NEXEN INC COM Common Stocks 65334H102 $3,554 163,600 SH Defined 14 163,600 NEXEN INC COM Common Stocks 65334H102 $10,484 482,700 SH Sole 88 482,700 NEXEN INC COM Common Stocks 65334H102 $5,924 272,270 SH Defined 272,270 NICE SYS LTD SPONSORED ADR Common Stocks 653656108 $785 34,045 SH Defined 85 34,045 NICE SYS LTD SPONSORED ADR Common Stocks 653656108 $2,635 114,212 SH Sole 88 114,212 NICE SYS LTD SPONSORED ADR Common Stocks 653656108 $4,796 207,892 SH Defined 103 207,892 NICOR INC COM Common Stocks 654086107 $1,721 49,700 SH Defined 57 49,700 NICOR INC COM Common Stocks 654086107 $1,530 44,200 SH Sole 88 44,200 NIKE INC CL B Common Stocks 654106103 $711 13,730 SH Defined 8 13,730 NIKE INC CL B Common Stocks 654106103 $2,990 57,735 SH Defined 12 57,735 NIKE INC CL B Common Stocks 654106103 $267 5,190 SH Defined 26 5,190 NIKE INC CL B Common Stocks 654106103 $10,020 193,469 SH Defined 26 193,469 NIKE INC CL B Common Stocks 654106103 $5,350 103,319 SH Defined 27 103,319 NIKE INC CL B Common Stocks 654106103 $652 12,600 SH Defined 28 12,600 NIKE INC CL B Common Stocks 654106103 $689 13,300 SH Defined 29 13,300 NIKE INC CL B Common Stocks 654106103 $694 13,400 SH Defined 51 13,400 NIKE INC CL B Common Stocks 654106103 $378 7,300 SH Defined 56 7,300 NIKE INC CL B Common Stocks 654106103 $563 10,870 SH Defined 58 10,870 NIKE INC CL B Common Stocks 654106103 $11,123 214,804 SH Defined 64 214,804 NIKE INC CL B Common Stocks 654106103 $1,873 36,400 SH Defined 66 36,400 NIKE INC CL B Common Stocks 654106103 $1,920 37,055 SH Defined 66 37,055 NIKE INC CL B Common Stocks 654106103 $14,223 274,611 SH Defined 68 274,611 NIKE INC CL B Common Stocks 654106103 $6,014 116,880 SH Defined 70 116,880 NIKE INC CL B Common Stocks 654106103 $5,858 113,071 SH Defined 70 113,071 NIKE INC CL B Common Stocks 654106103 $15,031 290,283 SH Defined 72 290,283 NIKE INC CL B Common Stocks 654106103 $533 10,300 SH Defined 80 10,300 NIKE INC CL B Common Stocks 654106103 $34,782 671,725 SH Sole 88 671,725 NIKE INC CL B Common Stocks 654106103 $1,098 21,200 SH Defined 89 21,200 NIKE INC CL B Common Stocks 654106103 $2,508 48,400 SH Defined 98 48,400 NIKE INC CL B Common Stocks 654106103 $15,121 292,030 SH Defined 99 292,030 NIKE INC CL B Common Stocks 654106103 $7,380 142,532 SH Defined 142,532 NIGHTHAWK RADIOLOGY HLDGS Common Stocks 65411N105 $74 20,100 SH Defined 23 20,100 NIGHTHAWK RADIOLOGY HLDGS Common Stocks 65411N105 $994 268,758 SH Sole 88 268,758 NIGHTHAWK RADIOLOGY HLDGS Common Stocks 65411N105 $478 129,118 SH Defined 101 129,118 99 CENTS ONLY STORES COM Common Stocks 65440K106 $3,672 270,415 SH Defined 85 270,415 99 CENTS ONLY STORES COM Common Stocks 65440K106 $4,077 300,242 SH Sole 88 300,242 NIPPON TELEG & TEL CORP SP Common Stocks 654624105 $5,473 268,950 SH Defined 100 268,950 NISOURCE INC COM Common Stocks 65473P105 $676 58,000 SH Defined 4 58,000 NISOURCE INC COM Common Stocks 65473P105 $899 77,118 SH Defined 42 77,118 NISOURCE INC COM Common Stocks 65473P105 $604 51,800 SH Defined 57 51,800 NISOURCE INC COM Common Stocks 65473P105 $84 7,229 SH Defined 80 7,229 NISOURCE INC COM Common Stocks 65473P105 $3,881 332,838 SH Sole 88 332,838 NOBILITY HOMES INC COM Common Stocks 654892108 $7 900 SH Defined 31 900 NOKIA CORP SPONSORED ADR Common Stocks 654902204 $776 53,200 SH Defined 4 53,200 NOKIA CORP SPONSORED ADR Common Stocks 654902204 $4,096 280,900 SH Defined 17 280,900 NOKIA CORP SPONSORED ADR Common Stocks 654902204 $266 17,800 SH Defined 26 17,800 NOKIA CORP SPONSORED ADR Common Stocks 654902204 $9,650 661,733 SH Defined 26 661,733 NOKIA CORP SPONSORED ADR Common Stocks 654902204 $4,387 300,866 SH Defined 31 300,866 NOKIA CORP SPONSORED ADR Common Stocks 654902204 $2,124 145,700 SH Defined 50 145,700 NOKIA CORP SPONSORED ADR Common Stocks 654902204 $7,021 481,516 SH Sole 88 481,516 NOKIA CORP SPONSORED ADR Common Stocks 654902204 $39 2,569 SH Defined 2,569 NOBLE ENERGY INC COM Common Stocks 655044105 $301 5,100 SH Defined 51 5,100 NOBLE ENERGY INC COM Common Stocks 655044105 $271 4,600 SH Defined 80 4,600 NOBLE ENERGY INC COM Common Stocks 655044105 $1,386 23,500 SH Sole 88 23,500 NOBLE ENERGY INC COM Common Stocks 655044105 $1,331 22,567 SH Defined 106 22,567 NORDSON CORP COM Common Stocks 655663102 $254 6,570 SH Defined 102 6,570 NORDSTROM INC COM Common Stocks 655664100 $84 4,200 SH Defined 80 4,200 NORDSTROM INC COM Common Stocks 655664100 $93 4,660 SH Defined 102 4,660 NORFOLK SOUTHERN CORP COM Common Stocks 655844108 $4,479 118,900 SH Defined 51 118,900 NORFOLK SOUTHERN CORP COM Common Stocks 655844108 $478 12,700 SH Defined 56 12,700 NORFOLK SOUTHERN CORP COM Common Stocks 655844108 $2,922 77,580 SH Defined 58 77,580 NORFOLK SOUTHERN CORP COM Common Stocks 655844108 $3,806 101,029 SH Defined 64 101,029 NORFOLK SOUTHERN CORP COM Common Stocks 655844108 $1,980 52,563 SH Defined 76 52,563 NORFOLK SOUTHERN CORP COM Common Stocks 655844108 $365 9,700 SH Defined 80 9,700 NORFOLK SOUTHERN CORP COM Common Stocks 655844108 $7,888 209,410 SH Sole 88 209,410 NORFOLK SOUTHERN CORP COM Common Stocks 655844108 $264 7,000 SH Defined 7,000 NORTH AMERN ENERGY PARTNER Common Stocks 656844107 $383 62,911 SH Defined 73 62,911 NORTH AMERN ENERGY PARTNER Common Stocks 656844107 $1,759 288,902 SH Sole 88 288,902 NORTH AMERN GALVANZNG & CTNG Common Stocks 65686Y109 $42 6,866 SH Defined 65 6,866 NORTHEAST CMNTY BANCORP INC Common Stocks 664112109 $67 8,300 SH Defined 31 8,300 NORTHEAST UTILS COM Common Stocks 664397106 $413 18,500 SH Defined 51 18,500 NORTHEAST UTILS COM Common Stocks 664397106 $103 4,600 SH Defined 80 4,600 NORTHEAST UTILS COM Common Stocks 664397106 $156 7,011 SH Defined 81 7,011 NORTHEAST UTILS COM Common Stocks 664397106 $263 11,800 SH Sole 88 11,800 NORTHEAST UTILS COM Common Stocks 664397106 $933 41,798 SH Defined 97 41,798 NORTHEAST UTILS COM Common Stocks 664397106 $890 39,900 SH Defined 39,900 NORTHERN DYNASTY MINERALS Common Stocks 66510M204 $2,287 327,155 SH Defined 327,155 NORTHERN OIL & GAS INC NEV Common Stocks 665531109 $581 91,151 SH Defined 74 91,151 NORTHERN TR CORP COM Common Stocks 665859104 $3,817 71,100 SH Defined 1 71,100 NORTHERN TR CORP COM Common Stocks 665859104 $3,546 66,065 SH Defined 12 66,065 NORTHERN TR CORP COM Common Stocks 665859104 $3,361 62,600 SH Defined 14 62,600 NORTHERN TR CORP COM Common Stocks 665859104 $3,736 69,600 SH Defined 35 69,600 NORTHERN TR CORP COM Common Stocks 665859104 $1,012 18,826 SH Defined 39 18,826 NORTHERN TR CORP COM Common Stocks 665859104 $1,734 32,300 SH Defined 51 32,300 NORTHERN TR CORP COM Common Stocks 665859104 $3,448 64,240 SH Defined 57 64,240 NORTHERN TR CORP COM Common Stocks 665859104 $467 8,700 SH Defined 67 8,700 NORTHERN TR CORP COM Common Stocks 665859104 $301 5,600 SH Defined 79 5,600 NORTHERN TR CORP COM Common Stocks 665859104 $526 9,800 SH Defined 79 9,800 NORTHERN TR CORP COM Common Stocks 665859104 $344 6,400 SH Defined 80 6,400 NORTHERN TR CORP COM Common Stocks 665859104 $6,388 119,000 SH Sole 88 119,000 NORTHERN TR CORP COM Common Stocks 665859104 $2,836 52,800 SH Defined 98 52,800 NORTHERN TR CORP COM Common Stocks 665859104 $16,936 315,500 SH Defined 99 315,500 NORTHERN TR CORP COM Common Stocks 665859104 $704 13,120 SH Defined 102 13,120 NORTHGATE MINERALS CORP CO Common Stocks 666416102 $27 12,700 SH Defined 1 12,700 NORTHGATE MINERALS CORP CO Common Stocks 666416102 $139 65,100 SH Defined 23 65,100 NORTHGATE MINERALS CORP CO Common Stocks 666416102 $206 96,300 SH Sole 88 96,300 NORTHRIM BANCORP INC COM Common Stocks 666762109 $3 200 SH Defined 65 200 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $2,362 51,700 SH Defined 4 51,700 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $11,004 240,900 SH Defined 10 240,900 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $2,034 44,505 SH Defined 11 44,505 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $5,491 120,211 SH Defined 31 120,211 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $2,853 62,450 SH Defined 42 62,450 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $380 8,310 SH Defined 55 8,310 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $512 11,200 SH Defined 56 11,200 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $8,113 177,600 SH Defined 57 177,600 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $17,270 378,066 SH Defined 68 378,066 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $3,276 71,710 SH Defined 69 71,710 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $2,950 64,571 SH Defined 76 64,571 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $394 8,628 SH Defined 80 8,628 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $1,490 32,620 SH Defined 84 32,620 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $48,431 1,060,229 SH Sole 88 1,060,229 NORTHROP GRUMMAN CORP COM Common Stocks 666807102 $21,946 480,434 SH Defined 480,434 NORTHSTAR RLTY FIN CORP CO Common Stocks 66704R100 $543 191,792 SH Defined 30 191,792 NORTHSTAR RLTY FIN CORP CO Common Stocks 66704R100 $548 193,532 SH Sole 88 193,532 NORTHWEST NAT GAS CO COM Common Stocks 667655104 $875 19,747 SH Defined 52 19,747 NORTHWEST NAT GAS CO COM Common Stocks 667655104 $89 2,000 SH Defined 57 2,000 NORTHWEST NAT GAS CO COM Common Stocks 667655104 $118 2,661 SH Defined 81 2,661 NORTHWEST NAT GAS CO COM Common Stocks 667655104 $1,311 29,573 SH Sole 88 29,573 NORTHWESTERN CORP COM NEW Common Stocks 668074305 $394 17,305 SH Defined 22 17,305 NORTHWESTERN CORP COM NEW Common Stocks 668074305 $1,429 62,800 SH Defined 23 62,800 NORTHWESTERN CORP COM NEW Common Stocks 668074305 $216 9,500 SH Defined 65 9,500 NORTHWESTERN CORP COM NEW Common Stocks 668074305 $118 5,167 SH Defined 81 5,167 NORTHWESTERN CORP COM NEW Common Stocks 668074305 $1,397 61,400 SH Sole 88 61,400 NOVA CHEMICALS CORP COM Common Stocks 66977W109 $189 31,800 SH Defined 11 31,800 NOVATEL WIRELESS INC COM N Common Stocks 66987M604 $59 6,500 SH Defined 23 6,500 NOVATEL WIRELESS INC COM N Common Stocks 66987M604 $274 30,400 SH Defined 57 30,400 NOVATEL WIRELESS INC COM N Common Stocks 66987M604 $87 9,600 SH Sole 88 9,600 NOVARTIS A G SPONSORED ADR Common Stocks 66987V109 $302 7,400 SH Defined 4 7,400 NOVARTIS A G SPONSORED ADR Common Stocks 66987V109 $571 14,000 SH Defined 32 14,000 NOVARTIS A G SPONSORED ADR Common Stocks 66987V109 $1,101 26,900 SH Defined 50 26,900 NOVARTIS A G SPONSORED ADR Common Stocks 66987V109 $29,424 721,171 SH Defined 50 721,171 NOVARTIS A G SPONSORED ADR Common Stocks 66987V109 $25,645 628,700 SH Sole 88 628,700 NOVARTIS A G SPONSORED ADR Common Stocks 66987V109 $835 20,400 SH Defined 93 20,400 NOVARTIS A G SPONSORED ADR Common Stocks 66987V109 $2,064 50,600 SH Defined 93 50,600 NOVARTIS A G SPONSORED ADR Common Stocks 66987V109 $15,557 381,400 SH Defined 94 381,400 NOVARTIS A G SPONSORED ADR Common Stocks 66987V109 $220 5,351 SH Defined 5,351 NOVELL INC COM Common Stocks 670006105 $77 17,100 SH Defined 23 17,100 NOVELL INC COM Common Stocks 670006105 $3,417 754,400 SH Defined 57 754,400 NOVELL INC COM Common Stocks 670006105 $42 9,200 SH Defined 80 9,200 NOVELL INC COM Common Stocks 670006105 $2,422 534,636 SH Sole 88 534,636 NOVELLUS SYS INC COM Common Stocks 670008101 $3,304 199,708 SH Defined 11 199,708 NOVELLUS SYS INC COM Common Stocks 670008101 $174 10,440 SH Defined 11 10,440 NOVELLUS SYS INC COM Common Stocks 670008101 $190 11,400 SH Defined 51 11,400 NOVELLUS SYS INC COM Common Stocks 670008101 $219 13,100 SH Defined 58 13,100 NOVELLUS SYS INC COM Common Stocks 670008101 $598 35,800 SH Defined 59 35,800 NOVELLUS SYS INC COM Common Stocks 670008101 $43 2,600 SH Defined 80 2,600 NOVELLUS SYS INC COM Common Stocks 670008101 $152 9,100 SH Sole 88 9,100 NOVELLUS SYS INC COM Common Stocks 670008101 $98 5,870 SH Defined 102 5,870 NOVEN PHARMACEUTICALS INC Common Stocks 670009109 $37 2,600 SH Defined 57 2,600 NOVO-NORDISK A S ADR Common Stocks 670100205 $572 10,500 SH Defined 28 10,500 NOVO-NORDISK A S ADR Common Stocks 670100205 $626 11,500 SH Defined 29 11,500 NOVO-NORDISK A S ADR Common Stocks 670100205 $2,810 51,600 SH Sole 88 51,600 NU SKIN ENTERPRISES INC CL Common Stocks 67018T105 $12 800 SH Defined 65 800 NSTAR COM Common Stocks 67019E107 $2,485 77,400 SH Defined 51 77,400 NSTAR COM Common Stocks 67019E107 $58 1,800 SH Defined 65 1,800 NSTAR COM Common Stocks 67019E107 $158 4,936 SH Defined 81 4,936 NSTAR COM Common Stocks 67019E107 $1,589 49,500 SH Sole 88 49,500 NSTAR COM Common Stocks 67019E107 $558 17,391 SH Defined 17,391 NTELOS HLDGS CORP COM Common Stocks 67020Q107 $13 700 SH Defined 65 700 NTELOS HLDGS CORP COM Common Stocks 67020Q107 $270 14,665 SH Defined 14,665 NUANCE COMMUNICATIONS INC Common Stocks 67020Y100 $152 12,550 SH Defined 44 12,550 NUANCE COMMUNICATIONS INC Common Stocks 67020Y100 $132 10,955 SH Defined 81 10,955 NUANCE COMMUNICATIONS INC Common Stocks 67020Y100 $601 49,675 SH Sole 88 49,675 NUANCE COMMUNICATIONS INC Common Stocks 67020Y100 $1,938 160,291 SH Defined 103 160,291 NUCOR CORP COM Common Stocks 670346105 $6,483 145,900 SH Defined 14 145,900 NUCOR CORP COM Common Stocks 670346105 $53 1,200 SH Defined 51 1,200 NUCOR CORP COM Common Stocks 670346105 $321 7,230 SH Defined 60 7,230 NUCOR CORP COM Common Stocks 670346105 $1,394 31,000 SH Defined 66 31,000 NUCOR CORP COM Common Stocks 670346105 $1,738 39,100 SH Defined 66 39,100 NUCOR CORP COM Common Stocks 670346105 $373 8,400 SH Defined 80 8,400 NUCOR CORP COM Common Stocks 670346105 $1,195 26,900 SH Sole 88 26,900 NUCOR CORP COM Common Stocks 670346105 $1,037 23,330 SH Defined 102 23,330 NUCOR CORP COM Common Stocks 670346105 $1,396 31,420 SH Defined 106 31,420 NVIDIA CORP COM Common Stocks 67066G104 $176 15,600 SH Defined 4 15,600 NVIDIA CORP COM Common Stocks 67066G104 $308 27,300 SH Defined 18 27,300 NVIDIA CORP COM Common Stocks 67066G104 $726 64,300 SH Defined 51 64,300 NVIDIA CORP COM Common Stocks 67066G104 $164 14,550 SH Defined 80 14,550 NVIDIA CORP COM Common Stocks 67066G104 $3,198 283,300 SH Defined 85 283,300 NVIDIA CORP COM Common Stocks 67066G104 $4,932 436,875 SH Sole 88 436,875 NVIDIA CORP COM Common Stocks 67066G104 $3,048 269,968 SH Defined 103 269,968 NUTRI SYS INC NEW COM Common Stocks 67069D108 $52 3,600 SH Defined 57 3,600 NUVASIVE INC COM Common Stocks 670704105 $2,359 52,884 SH Defined 74 52,884 NUVASIVE INC COM Common Stocks 670704105 $139 3,122 SH Defined 81 3,122 NUVASIVE INC COM Common Stocks 670704105 $3,776 84,673 SH Sole 88 84,673 NUVASIVE INC COM Common Stocks 670704105 $398 8,930 SH Defined 102 8,930 NUVASIVE INC COM Common Stocks 670704105 $2,820 63,227 SH Defined 103 63,227 NV ENERGY INC COM Common Stocks 67073Y106 $529 49,000 SH Defined 10 49,000 NV ENERGY INC COM Common Stocks 67073Y106 $260 24,100 SH Defined 23 24,100 NV ENERGY INC COM Common Stocks 67073Y106 $203 18,800 SH Defined 51 18,800 NV ENERGY INC COM Common Stocks 67073Y106 $481 44,600 SH Defined 56 44,600 NV ENERGY INC COM Common Stocks 67073Y106 $100 9,300 SH Defined 57 9,300 NV ENERGY INC COM Common Stocks 67073Y106 $836 77,510 SH Defined 58 77,510 NV ENERGY INC COM Common Stocks 67073Y106 $517 47,900 SH Sole 88 47,900 O CHARLEYS INC COM Common Stocks 670823103 $32 3,500 SH Defined 1 3,500 O CHARLEYS INC COM Common Stocks 670823103 $276 29,800 SH Defined 57 29,800 O CHARLEYS INC COM Common Stocks 670823103 $305 33,000 SH Sole 88 33,000 OGE ENERGY CORP COM Common Stocks 670837103 $728 25,700 SH Defined 51 25,700 OGE ENERGY CORP COM Common Stocks 670837103 $476 16,800 SH Sole 88 16,800 OM GROUP INC COM Common Stocks 670872100 $1,416 48,800 SH Defined 57 48,800 OM GROUP INC COM Common Stocks 670872100 $148 5,100 SH Defined 65 5,100 OM GROUP INC COM Common Stocks 670872100 $795 27,400 SH Sole 88 27,400 OM GROUP INC COM Common Stocks 670872100 $2,166 74,652 SH Defined 92 74,652 OSI PHARMACEUTICALS INC CO Common Stocks 671040103 $158 5,610 SH Defined 102 5,610 OSI SYSTEMS INC COM Common Stocks 671044105 $1,141 54,700 SH Defined 23 54,700 OSI SYSTEMS INC COM Common Stocks 671044105 $25 1,200 SH Defined 57 1,200 OSI SYSTEMS INC COM Common Stocks 671044105 $173 8,300 SH Defined 65 8,300 OSI SYSTEMS INC COM Common Stocks 671044105 $1,918 91,985 SH Sole 88 91,985 OSI SYSTEMS INC COM Common Stocks 671044105 $2,579 123,694 SH Defined 92 123,694 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $9,625 146,250 SH Defined 1 146,250 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $1,889 28,700 SH Defined 4 28,700 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $3,165 48,100 SH Defined 10 48,100 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $247 3,747 SH Defined 11 3,747 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $12,102 183,900 SH Defined 17 183,900 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $2,963 45,016 SH Defined 31 45,016 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $658 10,000 SH Defined 32 10,000 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $412 6,259 SH Defined 42 6,259 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $1,043 15,850 SH Defined 50 15,850 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $33,814 513,721 SH Defined 50 513,721 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $3,863 58,700 SH Defined 51 58,700 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $1,626 24,700 SH Defined 56 24,700 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $5,058 76,850 SH Defined 58 76,850 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $1,803 27,400 SH Defined 60 27,400 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $2,236 33,990 SH Defined 66 33,990 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $2,857 43,390 SH Defined 66 43,390 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $188 2,850 SH Defined 68 2,850 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $17,762 269,893 SH Defined 72 269,893 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $3,885 59,033 SH Defined 76 59,033 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $1,415 21,500 SH Defined 80 21,500 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $39,078 593,800 SH Sole 88 593,800 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $1,519 23,088 SH Defined 97 23,088 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $8,962 136,180 SH Defined 102 136,180 OCCIDENTAL PETE CORP DEL C Common Stocks 674599105 $8,845 134,376 SH Defined 134,376 OCEANEERING INTL INC COM Common Stocks 675232102 $728 16,100 SH Defined 51 16,100 OCEANEERING INTL INC COM Common Stocks 675232102 $118 2,603 SH Defined 81 2,603 OCEANEERING INTL INC COM Common Stocks 675232102 $2,342 51,806 SH Defined 85 51,806 OCEANEERING INTL INC COM Common Stocks 675232102 $3,717 82,232 SH Sole 88 82,232 OCEANEERING INTL INC COM Common Stocks 675232102 $306 6,780 SH Defined 101 6,780 OCEANEERING INTL INC COM Common Stocks 675232102 $2,028 44,860 SH Defined 103 44,860 OCEANFIRST FINL CORP COM Common Stocks 675234108 $38 3,200 SH Defined 65 3,200 OCH ZIFF CAP MGMT GROUP CL Common Stocks 67551U105 $207 23,180 SH Defined 102 23,180 OCLARO INC COM ADDED Common Stocks 67555N107 $11 17,300 SH Defined 57 17,300 OCWEN FINL CORP COM NEW Common Stocks 675746309 $189 14,600 SH Defined 23 14,600 OCWEN FINL CORP COM NEW Common Stocks 675746309 $276 21,300 SH Sole 88 21,300 ODYSSEY HEALTHCARE INC COM Common Stocks 67611V101 $1,330 129,389 SH Defined 23 129,389 ODYSSEY HEALTHCARE INC COM Common Stocks 67611V101 $31 3,000 SH Defined 57 3,000 ODYSSEY HEALTHCARE INC COM Common Stocks 67611V101 $382 37,200 SH Defined 63 37,200 ODYSSEY HEALTHCARE INC COM Common Stocks 67611V101 $1,264 123,000 SH Sole 88 123,000 OFFICE DEPOT INC COM Common Stocks 676220106 $1,862 391,520 SH Defined 11 391,520 OFFICE DEPOT INC COM Common Stocks 676220106 $1,149 251,646 SH Defined 11 251,646 OFFICE DEPOT INC COM Common Stocks 676220106 $181 39,600 SH Defined 51 39,600 OFFICE DEPOT INC COM Common Stocks 676220106 $16 3,400 SH Defined 65 3,400 OFFICE DEPOT INC COM Common Stocks 676220106 $34 7,400 SH Defined 80 7,400 OFFICE DEPOT INC COM Common Stocks 676220106 $115 25,200 SH Sole 88 25,200 OFFICEMAX INC DEL COM Common Stocks 67622P101 $87 13,900 SH Defined 65 13,900 OIL STS INTL INC COM Common Stocks 678026105 $959 39,600 SH Defined 35 39,600 OIL STS INTL INC COM Common Stocks 678026105 $4,682 193,400 SH Defined 57 193,400 OIL STS INTL INC COM Common Stocks 678026105 $114 4,700 SH Defined 67 4,700 OIL STS INTL INC COM Common Stocks 678026105 $540 22,300 SH Defined 77 22,300 OIL STS INTL INC COM Common Stocks 678026105 $143 5,894 SH Defined 81 5,894 OIL STS INTL INC COM Common Stocks 678026105 $3,576 147,700 SH Sole 88 147,700 OLD DOMINION FGHT LINES IN Common Stocks 679580100 $426 12,700 SH Defined 22 12,700 OLD DOMINION FGHT LINES IN Common Stocks 679580100 $596 17,766 SH Defined 52 17,766 OLD DOMINION FGHT LINES IN Common Stocks 679580100 $3,029 90,240 SH Defined 74 90,240 OLD DOMINION FGHT LINES IN Common Stocks 679580100 $1,007 29,991 SH Defined 85 29,991 OLD DOMINION FGHT LINES IN Common Stocks 679580100 $6,386 190,241 SH Sole 88 190,241 OLD NATL BANCORP IND COM Common Stocks 680033107 $2,854 290,600 SH Defined 31 290,600 OLD NATL BANCORP IND COM Common Stocks 680033107 $448 45,598 SH Defined 52 45,598 OLD NATL BANCORP IND COM Common Stocks 680033107 $601 61,227 SH Defined 73 61,227 OLD NATL BANCORP IND COM Common Stocks 680033107 $86 8,710 SH Defined 81 8,710 OLD NATL BANCORP IND COM Common Stocks 680033107 $6,345 646,108 SH Sole 88 646,108 OLD REP INTL CORP COM Common Stocks 680223104 $900 91,400 SH Defined 4 91,400 OLD REP INTL CORP COM Common Stocks 680223104 $4,152 421,534 SH Defined 57 421,534 OLD REP INTL CORP COM Common Stocks 680223104 $698 70,909 SH Defined 76 70,909 OLD REP INTL CORP COM Common Stocks 680223104 $3,065 311,200 SH Sole 88 311,200 OLIN CORP COM PAR $1 Common Stocks 680665205 $549 46,170 SH Defined 1 46,170 OLIN CORP COM PAR $1 Common Stocks 680665205 $894 75,171 SH Defined 30 75,171 OLIN CORP COM PAR $1 Common Stocks 680665205 $2,364 198,800 SH Defined 57 198,800 OLIN CORP COM PAR $1 Common Stocks 680665205 $1,757 147,800 SH Sole 88 147,800 OMNICARE INC COM Common Stocks 681904108 $6,970 270,545 SH Defined 23 270,545 OMNICARE INC COM Common Stocks 681904108 $1,401 54,400 SH Defined 35 54,400 OMNICARE INC COM Common Stocks 681904108 $1,486 57,700 SH Defined 51 57,700 OMNICARE INC COM Common Stocks 681904108 $1,600 62,100 SH Defined 57 62,100 OMNICARE INC COM Common Stocks 681904108 $162 6,300 SH Defined 59 6,300 OMNICARE INC COM Common Stocks 681904108 $23 900 SH Defined 65 900 OMNICARE INC COM Common Stocks 681904108 $167 6,500 SH Defined 67 6,500 OMNICARE INC COM Common Stocks 681904108 $348 13,508 SH Defined 76 13,508 OMNICARE INC COM Common Stocks 681904108 $12,472 484,166 SH Sole 88 484,166 OMNICARE INC COM Common Stocks 681904108 $6,342 246,200 SH Defined 91 246,200 OMNICARE INC COM Common Stocks 681904108 $474 18,400 SH Defined 97 18,400 OMNICARE INC COM Common Stocks 681904108 $20 785 SH Defined 785 OMNICOM GROUP INC COM Common Stocks 681919106 $7,241 229,300 SH Defined 10 229,300 OMNICOM GROUP INC COM Common Stocks 681919106 $1,645 52,100 SH Defined 35 52,100 OMNICOM GROUP INC COM Common Stocks 681919106 $2,587 81,850 SH Defined 50 81,850 OMNICOM GROUP INC COM Common Stocks 681919106 $1,838 58,200 SH Defined 57 58,200 OMNICOM GROUP INC COM Common Stocks 681919106 $205 6,500 SH Defined 67 6,500 OMNICOM GROUP INC COM Common Stocks 681919106 $19,642 621,860 SH Defined 68 621,860 OMNICOM GROUP INC COM Common Stocks 681919106 $1,645 52,080 SH Defined 69 52,080 OMNICOM GROUP INC COM Common Stocks 681919106 $4,754 150,080 SH Defined 70 150,080 OMNICOM GROUP INC COM Common Stocks 681919106 $4,605 145,733 SH Defined 70 145,733 OMNICOM GROUP INC COM Common Stocks 681919106 $554 17,500 SH Defined 79 17,500 OMNICOM GROUP INC COM Common Stocks 681919106 $966 30,600 SH Defined 79 30,600 OMNICOM GROUP INC COM Common Stocks 681919106 $262 8,300 SH Defined 80 8,300 OMNICOM GROUP INC COM Common Stocks 681919106 $1,717 54,385 SH Defined 84 54,385 OMNICOM GROUP INC COM Common Stocks 681919106 $17,432 552,010 SH Sole 88 552,010 OMNICOM GROUP INC COM Common Stocks 681919106 $4,265 135,025 SH Defined 135,025 OMEGA HEALTHCARE INVS INC Common Stocks 681936100 $19,898 1,281,800 SH Defined 2 1,281,800 OMEGA HEALTHCARE INVS INC Common Stocks 681936100 $855 55,391 SH Defined 54 55,391 OMEGA HEALTHCARE INVS INC Common Stocks 681936100 $9,774 629,672 SH Defined 54 629,672 OMEGA HEALTHCARE INVS INC Common Stocks 681936100 $980 63,115 SH Sole 88 63,115 OMEGA PROTEIN CORP COM Common Stocks 68210P107 $2 500 SH Defined 57 500 OMEGA PROTEIN CORP COM Common Stocks 68210P107 $7 1,800 SH Sole 88 1,800 OMEGA PROTEIN CORP COM Common Stocks 68210P107 $229 56,430 SH Defined 56,430 OMNIVISION TECHNOLOGIES IN Common Stocks 682128103 $730 70,297 SH Defined 57 70,297 OMNIVISION TECHNOLOGIES IN Common Stocks 682128103 $430 41,400 SH Sole 88 41,400 OMNITURE INC COM Common Stocks 68212S109 $165 13,150 SH Defined 102 13,150 OMNITURE INC COM Common Stocks 68212S109 $334 26,620 SH Defined 26,620 OMNICELL INC COM Common Stocks 68213N109 $38 3,500 SH Defined 57 3,500 OMNICELL INC COM Common Stocks 68213N109 $95 8,793 SH Defined 81 8,793 ON SEMICONDUCTOR CORP COM Common Stocks 682189105 $819 119,365 SH Defined 21 119,365 ON SEMICONDUCTOR CORP COM Common Stocks 682189105 $301 43,900 SH Defined 51 43,900 ON SEMICONDUCTOR CORP COM Common Stocks 682189105 $172 25,040 SH Defined 81 25,040 ON SEMICONDUCTOR CORP COM Common Stocks 682189105 $3,207 467,525 SH Sole 88 467,525 ON SEMICONDUCTOR CORP COM Common Stocks 682189105 $196 28,530 SH Defined 102 28,530 ONEOK INC NEW COM Common Stocks 682680103 $307 10,400 SH Defined 51 10,400 ONEOK INC NEW COM Common Stocks 682680103 $195 6,600 SH Sole 88 6,600 ONYX PHARMACEUTICALS INC C Common Stocks 683399109 $65 2,300 SH Defined 65 2,300 OPEN JT STK CO-VIMPEL COMM Common Stocks 68370R109 $55 4,700 SH Defined 4 4,700 OPEN JT STK CO-VIMPEL COMM Common Stocks 68370R109 $8,012 680,700 SH Defined 104 680,700 OPEN TEXT CORP COM Common Stocks 683715106 $2,161 58,846 SH Defined 23 58,846 OPEN TEXT CORP COM Common Stocks 683715106 $1,261 34,459 SH Defined 76 34,459 OPEN TEXT CORP COM Common Stocks 683715106 $51 1,400 SH Sole 88 1,400 OPEN TEXT CORP COM Common Stocks 683715106 $11,272 308,012 SH Defined 308,012 OPENWAVE SYS INC COM NEW Common Stocks 683718308 $15 6,900 SH Defined 57 6,900 OPENTABLE INC COM ADDED Common Stocks 68372A104 $171 5,676 SH Defined 64 5,676 OPENTABLE INC COM ADDED Common Stocks 68372A104 $693 22,948 SH Defined 64 22,948 OPLINK COMMUNICATIONS INC Common Stocks 68375Q403 $1,467 128,698 SH Defined 23 128,698 OPLINK COMMUNICATIONS INC Common Stocks 68375Q403 $29 2,500 SH Defined 57 2,500 OPLINK COMMUNICATIONS INC Common Stocks 68375Q403 $1,416 124,186 SH Sole 88 124,186 OPNEXT INC COM Common Stocks 68375V105 $359 167,730 SH Defined 167,730 OPPENHEIMER HLDGS INC CL A N Common Stocks 683797104 $133 6,300 SH Defined 65 6,300 ORACLE CORP COM Common Stocks 68389X105 $5,259 245,500 SH Defined 8 245,500 ORACLE CORP COM Common Stocks 68389X105 $16,821 785,300 SH Defined 10 785,300 ORACLE CORP COM Common Stocks 68389X105 $378 17,625 SH Defined 11 17,625 ORACLE CORP COM Common Stocks 68389X105 $709 33,100 SH Defined 18 33,100 ORACLE CORP COM Common Stocks 68389X105 $34,720 1,620,538 SH Defined 23 1,620,538 ORACLE CORP COM Common Stocks 68389X105 $6,516 304,199 SH Defined 27 304,199 ORACLE CORP COM Common Stocks 68389X105 $2,984 139,300 SH Defined 35 139,300 ORACLE CORP COM Common Stocks 68389X105 $608 28,400 SH Defined 41 28,400 ORACLE CORP COM Common Stocks 68389X105 $1,241 57,936 SH Defined 42 57,936 ORACLE CORP COM Common Stocks 68389X105 $7,651 357,200 SH Defined 51 357,200 ORACLE CORP COM Common Stocks 68389X105 $1,309 61,100 SH Defined 55 61,100 ORACLE CORP COM Common Stocks 68389X105 $778 36,300 SH Defined 56 36,300 ORACLE CORP COM Common Stocks 68389X105 $2,392 111,660 SH Defined 58 111,660 ORACLE CORP COM Common Stocks 68389X105 $2,718 127,220 SH Defined 66 127,220 ORACLE CORP COM Common Stocks 68389X105 $3,506 163,590 SH Defined 66 163,590 ORACLE CORP COM Common Stocks 68389X105 $383 17,900 SH Defined 67 17,900 ORACLE CORP COM Common Stocks 68389X105 $29,830 1,392,365 SH Defined 68 1,392,365 ORACLE CORP COM Common Stocks 68389X105 $2,341 109,280 SH Defined 69 109,280 ORACLE CORP COM Common Stocks 68389X105 $7,465 349,359 SH Defined 70 349,359 ORACLE CORP COM Common Stocks 68389X105 $7,258 338,666 SH Defined 70 338,666 ORACLE CORP COM Common Stocks 68389X105 $2,805 130,950 SH Defined 76 130,950 ORACLE CORP COM Common Stocks 68389X105 $2,159 100,800 SH Defined 80 100,800 ORACLE CORP COM Common Stocks 68389X105 $44,201 2,063,517 SH Sole 88 2,063,517 ORACLE CORP COM Common Stocks 68389X105 $13,291 620,500 SH Defined 94 620,500 ORACLE CORP COM Common Stocks 68389X105 $564 26,400 SH Defined 96 26,400 ORACLE CORP COM Common Stocks 68389X105 $1,844 86,100 SH Defined 96 86,100 ORACLE CORP COM Common Stocks 68389X105 $1,789 83,500 SH Defined 105 83,500 ORACLE CORP COM Common Stocks 68389X105 $1,370 63,965 SH Defined 106 63,965 ORACLE CORP COM Common Stocks 68389X105 $301 13,982 SH Defined 13,982 OPTIONSXPRESS HLDGS INC CO Common Stocks 684010101 $3,678 236,800 SH Defined 28 236,800 OPTIONSXPRESS HLDGS INC CO Common Stocks 684010101 $735 47,300 SH Defined 57 47,300 OPTIONSXPRESS HLDGS INC CO Common Stocks 684010101 $14 900 SH Defined 65 900 OPTIONSXPRESS HLDGS INC CO Common Stocks 684010101 $1,737 111,840 SH Sole 88 111,840 ORBITAL SCIENCES CORP COM Common Stocks 685564106 $104 6,866 SH Defined 81 6,866 O REILLY AUTOMOTIVE INC CO Common Stocks 686091109 $216 5,675 SH Defined 44 5,675 O REILLY AUTOMOTIVE INC CO Common Stocks 686091109 $1,009 26,500 SH Defined 51 26,500 O REILLY AUTOMOTIVE INC CO Common Stocks 686091109 $137 3,600 SH Defined 80 3,600 O REILLY AUTOMOTIVE INC CO Common Stocks 686091109 $131 3,442 SH Defined 81 3,442 O REILLY AUTOMOTIVE INC CO Common Stocks 686091109 $8,425 221,249 SH Sole 88 221,249 O REILLY AUTOMOTIVE INC CO Common Stocks 686091109 $956 25,100 SH Defined 95 25,100 O REILLY AUTOMOTIVE INC CO Common Stocks 686091109 $2,587 67,927 SH Defined 103 67,927 ORIENTAL FINL GROUP INC CO Common Stocks 68618W100 $2,953 304,384 SH Defined 23 304,384 ORIENTAL FINL GROUP INC CO Common Stocks 68618W100 $35 3,600 SH Defined 65 3,600 ORIENTAL FINL GROUP INC CO Common Stocks 68618W100 $2,760 284,583 SH Sole 88 284,583 ORION MARINE GROUP INC COM Common Stocks 68628V308 $35 1,850 SH Defined 44 1,850 ORION MARINE GROUP INC COM Common Stocks 68628V308 $399 21,000 SH Defined 63 21,000 ORION MARINE GROUP INC COM Common Stocks 68628V308 $157 8,270 SH Defined 74 8,270 ORMAT TECHNOLOGIES INC COM Common Stocks 686688102 $1,236 30,600 SH Defined 49 30,600 OSHKOSH CORP COM Common Stocks 688239201 $63 4,300 SH Defined 65 4,300 OTTER TAIL CORP COM Common Stocks 689648103 $101 4,647 SH Defined 81 4,647 OVERHILL FARMS INC COM Common Stocks 690212105 $113 21,422 SH Defined 1 21,422 OVERHILL FARMS INC COM Common Stocks 690212105 $743 140,945 SH Defined 63 140,945 OVERHILL FARMS INC COM Common Stocks 690212105 $32 6,100 SH Defined 65 6,100 OVERSEAS SHIPHOLDING GROUP Common Stocks 690368105 $208 6,112 SH Defined 42 6,112 OVERSEAS SHIPHOLDING GROUP Common Stocks 690368105 $115 3,370 SH Defined 81 3,370 OVERSEAS SHIPHOLDING GROUP Common Stocks 690368105 $120 3,528 SH Sole 88 3,528 OWENS & MINOR INC NEW COM Common Stocks 690732102 $1,431 32,659 SH Defined 57 32,659 OWENS & MINOR INC NEW COM Common Stocks 690732102 $894 20,400 SH Sole 88 20,400 OWENS CORNING NEW COM Common Stocks 690742101 $235 18,400 SH Defined 10 18,400 OWENS CORNING NEW COM Common Stocks 690742101 $180 14,100 SH Defined 51 14,100 OWENS CORNING NEW COM Common Stocks 690742101 $121 9,500 SH Sole 88 9,500 OWENS ILL INC COM NEW Common Stocks 690768403 $566 20,200 SH Defined 4 20,200 OWENS ILL INC COM NEW Common Stocks 690768403 $4,776 170,500 SH Defined 10 170,500 OWENS ILL INC COM NEW Common Stocks 690768403 $2,216 79,100 SH Defined 23 79,100 OWENS ILL INC COM NEW Common Stocks 690768403 $4,510 161,000 SH Defined 35 161,000 OWENS ILL INC COM NEW Common Stocks 690768403 $563 20,100 SH Defined 67 20,100 OWENS ILL INC COM NEW Common Stocks 690768403 $1,266 45,181 SH Defined 76 45,181 OWENS ILL INC COM NEW Common Stocks 690768403 $123 4,400 SH Defined 80 4,400 OWENS ILL INC COM NEW Common Stocks 690768403 $7,129 254,500 SH Sole 88 254,500 OXFORD INDS INC COM Common Stocks 691497309 $114 9,800 SH Defined 31 9,800 P C CONNECTION COM Common Stocks 69318J100 $111 21,200 SH Defined 57 21,200 P C CONNECTION COM Common Stocks 69318J100 $99 18,936 SH Sole 88 18,936 PC MALL INC COM Common Stocks 69323K100 $3 400 SH Defined 57 400 PC MALL INC COM Common Stocks 69323K100 $8 1,200 SH Defined 65 1,200 PDL BIOPHARMA INC COM Common Stocks 69329Y104 $58 7,400 SH Defined 57 7,400 PG&E CORP COM Common Stocks 69331C108 $411 10,700 SH Defined 4 10,700 PG&E CORP COM Common Stocks 69331C108 $2,360 61,400 SH Defined 51 61,400 PG&E CORP COM Common Stocks 69331C108 $680 17,700 SH Defined 56 17,700 PG&E CORP COM Common Stocks 69331C108 $1,487 38,680 SH Defined 58 38,680 PG&E CORP COM Common Stocks 69331C108 $5,336 138,807 SH Defined 68 138,807 PG&E CORP COM Common Stocks 69331C108 $1,020 26,540 SH Defined 69 26,540 PG&E CORP COM Common Stocks 69331C108 $377 9,800 SH Defined 80 9,800 PG&E CORP COM Common Stocks 69331C108 $5,874 152,810 SH Sole 88 152,810 PHH CORP COM NEW Common Stocks 693320202 $754 41,486 SH Defined 1 41,486 PHH CORP COM NEW Common Stocks 693320202 $3,637 200,040 SH Defined 23 200,040 PHH CORP COM NEW Common Stocks 693320202 $42 2,300 SH Defined 65 2,300 PHH CORP COM NEW Common Stocks 693320202 $3,238 178,103 SH Sole 88 178,103 P F CHANGS CHINA BISTRO IN Common Stocks 69333Y108 $2,122 66,200 SH Defined 57 66,200 P F CHANGS CHINA BISTRO IN Common Stocks 69333Y108 $1,324 41,300 SH Sole 88 41,300 P F CHANGS CHINA BISTRO IN Common Stocks 69333Y108 $316 9,864 SH Defined 101 9,864 PHI INC COM NON VTG Common Stocks 69336T205 $2,684 156,564 SH Defined 92 156,564 PMA CAP CORP CL A Common Stocks 693419202 $57 12,600 SH Defined 23 12,600 PMA CAP CORP CL A Common Stocks 693419202 $8 1,700 SH Defined 57 1,700 PMA CAP CORP CL A Common Stocks 693419202 $85 18,628 SH Sole 88 18,628 PMC-SIERRA INC COM Common Stocks 69344F106 $822 102,437 SH Defined 18 102,437 PMC-SIERRA INC COM Common Stocks 69344F106 $1,594 200,300 SH Defined 18 200,300 PMC-SIERRA INC COM Common Stocks 69344F106 $425 53,420 SH Defined 102 53,420 PMI GROUP INC COM Common Stocks 69344M101 $47 23,600 SH Defined 1 23,600 PMI GROUP INC COM Common Stocks 69344M101 $67 33,727 SH Defined 81 33,727 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $3,057 78,738 SH Defined 23 78,738 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $355 9,017 SH Defined 26 9,017 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $13,080 336,958 SH Defined 26 336,958 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $5,646 145,466 SH Defined 31 145,466 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $1,459 37,600 SH Defined 51 37,600 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $373 9,600 SH Defined 57 9,600 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $865 22,300 SH Defined 60 22,300 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $142 3,660 SH Defined 68 3,660 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $671 17,283 SH Defined 76 17,283 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $1,180 30,000 SH Defined 79 30,000 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $2,030 52,300 SH Defined 79 52,300 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $477 12,287 SH Defined 80 12,287 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $876 22,569 SH Defined 84 22,569 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $18,930 487,764 SH Sole 88 487,764 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $660 17,000 SH Defined 97 17,000 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $4,336 111,720 SH Defined 102 111,720 PNC FINL SVCS GROUP INC CO Common Stocks 693475105 $4,275 110,107 SH Defined 110,107 PNM RES INC COM Common Stocks 69349H107 $506 47,258 SH Defined 52 47,258 PNM RES INC COM Common Stocks 69349H107 $48 4,500 SH Defined 65 4,500 PNM RES INC COM Common Stocks 69349H107 $617 57,575 SH Sole 88 57,575 PPG INDS INC COM Common Stocks 693506107 $4,690 106,825 SH Defined 31 106,825 PPG INDS INC COM Common Stocks 693506107 $4,350 99,100 SH Defined 51 99,100 PPG INDS INC COM Common Stocks 693506107 $193 4,400 SH Defined 56 4,400 PPG INDS INC COM Common Stocks 693506107 $11,489 261,718 SH Defined 68 261,718 PPG INDS INC COM Common Stocks 693506107 $2,181 49,690 SH Defined 69 49,690 PPG INDS INC COM Common Stocks 693506107 $193 4,400 SH Defined 80 4,400 PPG INDS INC COM Common Stocks 693506107 $13,235 301,490 SH Sole 88 301,490 PPL CORP COM Common Stocks 69351T106 $9,521 288,858 SH Defined 1 288,858 PPL CORP COM Common Stocks 69351T106 $1,981 60,100 SH Defined 51 60,100 PPL CORP COM Common Stocks 69351T106 $186 5,651 SH Defined 68 5,651 PPL CORP COM Common Stocks 69351T106 $675 20,489 SH Defined 76 20,489 PPL CORP COM Common Stocks 69351T106 $326 9,900 SH Defined 80 9,900 PPL CORP COM Common Stocks 69351T106 $1,276 38,700 SH Sole 88 38,700 PRG-SCHULTZ INTERNATIONAL IN Common Stocks 69357C503 $22 8,000 SH Defined 1 8,000 PS BUSINESS PKS INC CALIF Common Stocks 69360J107 $1,601 33,229 SH Defined 25 33,229 PS BUSINESS PKS INC CALIF Common Stocks 69360J107 $1,831 37,794 SH Defined 25 37,794 PS BUSINESS PKS INC CALIF Common Stocks 69360J107 $12,047 248,708 SH Defined 48 248,708 PS BUSINESS PKS INC CALIF Common Stocks 69360J107 $315 6,500 SH Defined 65 6,500 PS BUSINESS PKS INC CALIF Common Stocks 69360J107 $528 10,910 SH Sole 88 10,910 PS BUSINESS PKS INC CALIF Common Stocks 69360J107 $1,416 29,239 SH Defined 92 29,239 PSB HLDGS INC COM Common Stocks 69360W108 $40 8,000 SH Defined 31 8,000 PSS WORLD MED INC COM Common Stocks 69366A100 $987 53,338 SH Defined 73 53,338 PSS WORLD MED INC COM Common Stocks 69366A100 $5,228 282,429 SH Sole 88 282,429 PACCAR INC COM Common Stocks 693718108 $332 10,200 SH Defined 4 10,200 PACCAR INC COM Common Stocks 693718108 $3 100 SH Defined 51 100 PACCAR INC COM Common Stocks 693718108 $894 27,500 SH Defined 56 27,500 PACCAR INC COM Common Stocks 693718108 $958 29,470 SH Defined 58 29,470 PACCAR INC COM Common Stocks 693718108 $313 9,624 SH Defined 80 9,624 PACCAR INC COM Common Stocks 693718108 $7,852 241,524 SH Sole 88 241,524 PACCAR INC COM Common Stocks 693718108 $7,980 245,465 SH Defined 91 245,465 PACER INTL INC TENN COM Common Stocks 69373H106 $100 44,700 SH Defined 57 44,700 PACER INTL INC TENN COM Common Stocks 69373H106 $34 15,100 SH Sole 88 15,100 PACIFIC CAP BANCORP NEW CO Common Stocks 69404P101 $58 26,989 SH Defined 81 26,989 PACIFIC CONTINENTAL CORP COM Common Stocks 69412V108 $10 800 SH Defined 65 800 PACIFIC SUNWEAR CALIF INC Common Stocks 694873100 $392 116,200 SH Defined 57 116,200 PACIFIC SUNWEAR CALIF INC Common Stocks 694873100 $251 74,500 SH Sole 88 74,500 PACKAGING CORP AMER COM Common Stocks 695156109 $397 24,500 SH Defined 1 24,500 PACKAGING CORP AMER COM Common Stocks 695156109 $1,333 82,274 SH Defined 31 82,274 PACKAGING CORP AMER COM Common Stocks 695156109 $251 15,474 SH Defined 42 15,474 PACKAGING CORP AMER COM Common Stocks 695156109 $556 34,300 SH Defined 51 34,300 PACKAGING CORP AMER COM Common Stocks 695156109 $886 54,719 SH Sole 88 54,719 PACTIV CORP COM Common Stocks 695257105 $207 9,527 SH Defined 1 9,527 PACTIV CORP COM Common Stocks 695257105 $3,307 152,400 SH Defined 23 152,400 PACTIV CORP COM Common Stocks 695257105 $103 4,766 SH Defined 42 4,766 PACTIV CORP COM Common Stocks 695257105 $148 6,800 SH Defined 51 6,800 PACTIV CORP COM Common Stocks 695257105 $933 43,000 SH Defined 57 43,000 PACTIV CORP COM Common Stocks 695257105 $132 6,078 SH Defined 81 6,078 PACTIV CORP COM Common Stocks 695257105 $3,479 160,314 SH Sole 88 160,314 PACWEST BANCORP DEL COM Common Stocks 695263103 $294 22,347 SH Defined 52 22,347 PACWEST BANCORP DEL COM Common Stocks 695263103 $405 30,800 SH Defined 57 30,800 PACWEST BANCORP DEL COM Common Stocks 695263103 $11 800 SH Defined 65 800 PACWEST BANCORP DEL COM Common Stocks 695263103 $102 7,731 SH Defined 81 7,731 PACWEST BANCORP DEL COM Common Stocks 695263103 $680 51,695 SH Sole 88 51,695 PAETEC HOLDING CORP COM Common Stocks 695459107 $5 2,000 SH Defined 57 2,000 PAIN THERAPEUTICS INC COM Common Stocks 69562K100 $118 22,000 SH Defined 22,000 PALL CORP COM Common Stocks 696429307 $3,461 130,300 SH Defined 31 130,300 PALL CORP COM Common Stocks 696429307 $1,386 52,100 SH Defined 49 52,100 PALL CORP COM Common Stocks 696429307 $205 7,700 SH Defined 51 7,700 PALL CORP COM Common Stocks 696429307 $83 3,133 SH Defined 80 3,133 PALL CORP COM Common Stocks 696429307 $916 34,500 SH Sole 88 34,500 PALM INC NEW COM Common Stocks 696643105 $1,163 70,210 SH Sole 88 70,210 PALM INC NEW COM Common Stocks 696643105 $411 24,790 SH Defined 102 24,790 PAN AMERICAN SILVER CORP C Common Stocks 697900108 $587 32,043 SH Defined 92 32,043 PANERA BREAD CO CL A Common Stocks 69840W108 $3,036 60,900 SH Defined 35 60,900 PANERA BREAD CO CL A Common Stocks 69840W108 $608 12,200 SH Defined 51 12,200 PANERA BREAD CO CL A Common Stocks 69840W108 $2,879 57,750 SH Defined 57 57,750 PANERA BREAD CO CL A Common Stocks 69840W108 $379 7,600 SH Defined 67 7,600 PANERA BREAD CO CL A Common Stocks 69840W108 $3,055 61,264 SH Defined 74 61,264 PANERA BREAD CO CL A Common Stocks 69840W108 $142 2,840 SH Defined 85 2,840 PANERA BREAD CO CL A Common Stocks 69840W108 $7,856 157,567 SH Sole 88 157,567 PANHANDLE OIL AND GAS INC CL Common Stocks 698477106 $96 4,880 SH Defined 31 4,880 PANTRY INC COM Common Stocks 698657103 $95 5,700 SH Defined 1 5,700 PANTRY INC COM Common Stocks 698657103 $576 34,700 SH Defined 57 34,700 PANTRY INC COM Common Stocks 698657103 $196 11,800 SH Defined 65 11,800 PANTRY INC COM Common Stocks 698657103 $372 22,400 SH Sole 88 22,400 PAPA JOHNS INTL INC COM Common Stocks 698813102 $3,196 128,934 SH Defined 23 128,934 PAPA JOHNS INTL INC COM Common Stocks 698813102 $2,957 119,300 SH Sole 88 119,300 PAR PHARMACEUTICAL COS INC Common Stocks 69888P106 $76 5,000 SH Defined 23 5,000 PAR PHARMACEUTICAL COS INC Common Stocks 69888P106 $835 55,100 SH Defined 57 55,100 PAR PHARMACEUTICAL COS INC Common Stocks 69888P106 $203 13,400 SH Defined 65 13,400 PAR PHARMACEUTICAL COS INC Common Stocks 69888P106 $606 40,000 SH Sole 88 40,000 PAR PHARMACEUTICAL COS INC Common Stocks 69888P106 $1,530 100,982 SH Defined 92 100,982 PARAGON SHIPPING INC CL A Common Stocks 69913R309 $65 17,728 SH Defined 1 17,728 PARAMETRIC TECHNOLOGY CORP Common Stocks 699173209 $256 21,895 SH Defined 22 21,895 PARAMETRIC TECHNOLOGY CORP Common Stocks 699173209 $779 66,665 SH Defined 52 66,665 PARAMETRIC TECHNOLOGY CORP Common Stocks 699173209 $1,066 91,176 SH Sole 88 91,176 PAREXEL INTL CORP COM Common Stocks 699462107 $476 33,100 SH Defined 77 33,100 PAREXEL INTL CORP COM Common Stocks 699462107 $575 39,963 SH Defined 85 39,963 PAREXEL INTL CORP COM Common Stocks 699462107 $458 31,822 SH Sole 88 31,822 PAREXEL INTL CORP COM Common Stocks 699462107 $215 14,970 SH Defined 102 14,970 PARK ELECTROCHEMICAL CORP Common Stocks 700416209 $114 5,300 SH Defined 31 5,300 PARK NATL CORP COM Common Stocks 700658107 $17 300 SH Defined 65 300 PARKER DRILLING CO COM Common Stocks 701081101 $73 16,800 SH Defined 57 16,800 PARKER DRILLING CO COM Common Stocks 701081101 $110 25,381 SH Defined 81 25,381 PARKER DRILLING CO COM Common Stocks 701081101 $51 11,700 SH Sole 88 11,700 PARKER HANNIFIN CORP COM Common Stocks 701094104 $4,455 103,700 SH Defined 10 103,700 PARKER HANNIFIN CORP COM Common Stocks 701094104 $284 6,600 SH Defined 56 6,600 PARKER HANNIFIN CORP COM Common Stocks 701094104 $1,185 27,590 SH Defined 58 27,590 PARKER HANNIFIN CORP COM Common Stocks 701094104 $428 10,000 SH Defined 79 10,000 PARKER HANNIFIN CORP COM Common Stocks 701094104 $748 17,400 SH Defined 79 17,400 PARKER HANNIFIN CORP COM Common Stocks 701094104 $183 4,262 SH Defined 80 4,262 PARKER HANNIFIN CORP COM Common Stocks 701094104 $3,768 87,700 SH Sole 88 87,700 PARKWAY PPTYS INC COM Common Stocks 70159Q104 $430 33,100 SH Defined 57 33,100 PARKWAY PPTYS INC COM Common Stocks 70159Q104 $177 13,600 SH Sole 88 13,600 PATRIOT COAL CORP COM Common Stocks 70336T104 $2 366 SH Defined 366 PATTERSON COMPANIES INC CO Common Stocks 703395103 $1,163 53,580 SH Defined 30 53,580 PATTERSON COMPANIES INC CO Common Stocks 703395103 $4,423 203,812 SH Defined 57 203,812 PATTERSON COMPANIES INC CO Common Stocks 703395103 $54 2,500 SH Defined 80 2,500 PATTERSON COMPANIES INC CO Common Stocks 703395103 $1,738 80,114 SH Sole 88 80,114 PATTERSON COMPANIES INC CO Common Stocks 703395103 $2,097 96,616 SH Defined 103 96,616 PATTERSON UTI ENERGY INC C Common Stocks 703481101 $913 71,000 SH Defined 10 71,000 PATTERSON UTI ENERGY INC C Common Stocks 703481101 $881 68,501 SH Defined 11 68,501 PATTERSON UTI ENERGY INC C Common Stocks 703481101 $3,790 294,700 SH Defined 31 294,700 PATTERSON UTI ENERGY INC C Common Stocks 703481101 $1,838 142,906 SH Defined 42 142,906 PATTERSON UTI ENERGY INC C Common Stocks 703481101 $680 52,900 SH Defined 51 52,900 PATTERSON UTI ENERGY INC C Common Stocks 703481101 $5,359 416,722 SH Defined 57 416,722 PATTERSON UTI ENERGY INC C Common Stocks 703481101 $12,218 950,076 SH Sole 88 950,076 PATTERSON UTI ENERGY INC C Common Stocks 703481101 $1,595 124,013 SH Defined 92 124,013 PAYCHEX INC COM Common Stocks 704326107 $1,091 43,300 SH Defined 51 43,300 PAYCHEX INC COM Common Stocks 704326107 $484 19,200 SH Defined 56 19,200 PAYCHEX INC COM Common Stocks 704326107 $1,354 53,730 SH Defined 58 53,730 PAYCHEX INC COM Common Stocks 704326107 $214 8,500 SH Defined 80 8,500 PAYCHEX INC COM Common Stocks 704326107 $693 27,500 SH Sole 88 27,500 PEABODY ENERGY CORP COM Common Stocks 704549104 $5,643 187,100 SH Defined 35 187,100 PEABODY ENERGY CORP COM Common Stocks 704549104 $95 3,151 SH Defined 42 3,151 PEABODY ENERGY CORP COM Common Stocks 704549104 $748 24,800 SH Defined 51 24,800 PEABODY ENERGY CORP COM Common Stocks 704549104 $703 23,300 SH Defined 67 23,300 PEABODY ENERGY CORP COM Common Stocks 704549104 $217 7,200 SH Defined 80 7,200 PEABODY ENERGY CORP COM Common Stocks 704549104 $3,714 123,133 SH Sole 88 123,133 PEABODY ENERGY CORP COM Common Stocks 704549104 $11,226 372,221 SH Defined 100 372,221 PEABODY ENERGY CORP COM Common Stocks 704549104 $55 1,830 SH Defined 1,830 PEETS COFFEE & TEA INC COM Common Stocks 705560100 $370 14,700 SH Defined 28 14,700 PEETS COFFEE & TEA INC COM Common Stocks 705560100 $4,133 164,000 SH Sole 88 164,000 PEETS COFFEE & TEA INC COM Common Stocks 705560100 $564 22,400 SH Defined 95 22,400 PEETS COFFEE & TEA INC COM Common Stocks 705560100 $697 27,661 SH Defined 101 27,661 PEGASYSTEMS INC COM Common Stocks 705573103 $4,984 188,928 SH Defined 23 188,928 PEGASYSTEMS INC COM Common Stocks 705573103 $4,612 174,846 SH Sole 88 174,846 PENFORD CORP COM Common Stocks 707051108 $21 3,669 SH Defined 31 3,669 PENN NATL GAMING INC COM Common Stocks 707569109 $379 13,014 SH Defined 42 13,014 PENN NATL GAMING INC COM Common Stocks 707569109 $547 18,800 SH Defined 51 18,800 PENN NATL GAMING INC COM Common Stocks 707569109 $524 17,992 SH Defined 52 17,992 PENN NATL GAMING INC COM Common Stocks 707569109 $791 27,172 SH Defined 57 27,172 PENN NATL GAMING INC COM Common Stocks 707569109 $2,923 100,408 SH Sole 88 100,408 PENN NATL GAMING INC COM Common Stocks 707569109 $149 5,130 SH Defined 102 5,130 PENN NATL GAMING INC COM Common Stocks 707569109 $2,001 68,750 SH Defined 103 68,750 PENN VA CORP COM Common Stocks 707882106 $3,506 214,200 SH Defined 31 214,200 PENN VA CORP COM Common Stocks 707882106 $1,692 103,383 SH Defined 57 103,383 PENN VA CORP COM Common Stocks 707882106 $1,440 87,974 SH Defined 74 87,974 PENN VA CORP COM Common Stocks 707882106 $6,921 422,798 SH Sole 88 422,798 PENN VA CORP COM Common Stocks 707882106 $319 19,515 SH Defined 19,515 PENNANTPARK INVT CORP COM Common Stocks 708062104 $3,909 550,568 SH Defined 92 550,568 PENNEY J C INC COM Common Stocks 708160106 $2,351 81,900 SH Defined 4 81,900 PENNEY J C INC COM Common Stocks 708160106 $827 28,800 SH Defined 18 28,800 PENNEY J C INC COM Common Stocks 708160106 $1,490 51,900 SH Defined 18 51,900 PENNEY J C INC COM Common Stocks 708160106 $5,530 192,632 SH Defined 31 192,632 PENNEY J C INC COM Common Stocks 708160106 $675 23,500 SH Defined 51 23,500 PENNEY J C INC COM Common Stocks 708160106 $2,263 78,820 SH Defined 59 78,820 PENNEY J C INC COM Common Stocks 708160106 $167 5,800 SH Defined 80 5,800 PENNEY J C INC COM Common Stocks 708160106 $1,756 61,155 SH Defined 84 61,155 PENNEY J C INC COM Common Stocks 708160106 $10,240 356,677 SH Sole 88 356,677 PENNEY J C INC COM Common Stocks 708160106 $6,841 238,285 SH Defined 91 238,285 PENNEY J C INC COM Common Stocks 708160106 $870 30,300 SH Defined 97 30,300 PENNSYLVANIA RL ESTATE INV Common Stocks 709102107 $41 8,200 SH Defined 57 8,200 PENNSYLVANIA RL ESTATE INV Common Stocks 709102107 $85 16,900 SH Defined 65 16,900 PENSON WORLDWIDE INC COM Common Stocks 709600100 $41 4,605 SH Defined 23 4,605 PENSON WORLDWIDE INC COM Common Stocks 709600100 $541 60,396 SH Defined 52 60,396 PENSON WORLDWIDE INC COM Common Stocks 709600100 $21 2,300 SH Defined 57 2,300 PENSON WORLDWIDE INC COM Common Stocks 709600100 $99 11,100 SH Defined 65 11,100 PENSON WORLDWIDE INC COM Common Stocks 709600100 $905 101,145 SH Sole 88 101,145 PENTAIR INC COM Common Stocks 709631105 $1,222 47,600 SH Defined 49 47,600 PENTAIR INC COM Common Stocks 709631105 $1,519 59,300 SH Defined 51 59,300 PENTAIR INC COM Common Stocks 709631105 $146 5,705 SH Defined 81 5,705 PENTAIR INC COM Common Stocks 709631105 $940 36,700 SH Sole 88 36,700 PEOPLES BANCORP INC COM Common Stocks 709789101 $34 2,000 SH Defined 65 2,000 PEOPLES FINL CORP MISS COM Common Stocks 71103B102 $30 1,599 SH Defined 31 1,599 PEOPLES UNITED FINANCIAL I Common Stocks 712704105 $495 32,900 SH Defined 51 32,900 PEOPLES UNITED FINANCIAL I Common Stocks 712704105 $138 9,200 SH Defined 80 9,200 PEOPLES UNITED FINANCIAL I Common Stocks 712704105 $146 9,708 SH Defined 81 9,708 PEOPLES UNITED FINANCIAL I Common Stocks 712704105 $295 19,600 SH Sole 88 19,600 PEOPLES UNITED FINANCIAL I Common Stocks 712704105 $177 11,770 SH Defined 102 11,770 PEPCO HOLDINGS INC COM Common Stocks 713291102 $1,236 92,000 SH Defined 57 92,000 PEPCO HOLDINGS INC COM Common Stocks 713291102 $2,055 152,932 SH Defined 76 152,932 PEPCO HOLDINGS INC COM Common Stocks 713291102 $78 5,800 SH Defined 80 5,800 PEPCO HOLDINGS INC COM Common Stocks 713291102 $341 25,400 SH Sole 88 25,400 PEPSI BOTTLING GROUP INC C Common Stocks 713409100 $565 16,700 SH Defined 4 16,700 PEPSI BOTTLING GROUP INC C Common Stocks 713409100 $9,719 287,200 SH Defined 10 287,200 PEPSI BOTTLING GROUP INC C Common Stocks 713409100 $1,951 57,646 SH Defined 31 57,646 PEPSI BOTTLING GROUP INC C Common Stocks 713409100 $2,706 79,900 SH Defined 50 79,900 PEPSI BOTTLING GROUP INC C Common Stocks 713409100 $274 8,100 SH Defined 51 8,100 PEPSI BOTTLING GROUP INC C Common Stocks 713409100 $118 3,500 SH Defined 80 3,500 PEPSI BOTTLING GROUP INC C Common Stocks 713409100 $7,773 229,700 SH Sole 88 229,700 PEPSI BOTTLING GROUP INC C Common Stocks 713409100 $67 2,000 SH Defined 2,000 PEPSIAMERICAS INC COM Common Stocks 71343P200 $239 8,900 SH Defined 51 8,900 PEPSIAMERICAS INC COM Common Stocks 71343P200 $35 1,300 SH Defined 65 1,300 PEPSIAMERICAS INC COM Common Stocks 71343P200 $158 5,900 SH Sole 88 5,900 PEPSICO INC COM Common Stocks 713448108 $577 10,500 SH Defined 4 10,500 PEPSICO INC COM Common Stocks 713448108 $10,904 198,400 SH Defined 10 198,400 PEPSICO INC COM Common Stocks 713448108 $5,598 101,860 SH Defined 12 101,860 PEPSICO INC COM Common Stocks 713448108 $379 6,900 SH Defined 18 6,900 PEPSICO INC COM Common Stocks 713448108 $431 7,900 SH Defined 26 7,900 PEPSICO INC COM Common Stocks 713448108 $16,092 292,748 SH Defined 26 292,748 PEPSICO INC COM Common Stocks 713448108 $2,874 52,300 SH Defined 35 52,300 PEPSICO INC COM Common Stocks 713448108 $2,549 46,380 SH Defined 42 46,380 PEPSICO INC COM Common Stocks 713448108 $1,369 25,100 SH Defined 50 25,100 PEPSICO INC COM Common Stocks 713448108 $42,032 764,644 SH Defined 50 764,644 PEPSICO INC COM Common Stocks 713448108 $9,876 179,700 SH Defined 51 179,700 PEPSICO INC COM Common Stocks 713448108 $363 6,600 SH Defined 56 6,600 PEPSICO INC COM Common Stocks 713448108 $1,640 29,840 SH Defined 58 29,840 PEPSICO INC COM Common Stocks 713448108 $3,392 61,720 SH Defined 60 61,720 PEPSICO INC COM Common Stocks 713448108 $357 6,500 SH Defined 67 6,500 PEPSICO INC COM Common Stocks 713448108 $17,432 317,110 SH Defined 68 317,110 PEPSICO INC COM Common Stocks 713448108 $829 15,090 SH Defined 69 15,090 PEPSICO INC COM Common Stocks 713448108 $5,466 100,247 SH Defined 70 100,247 PEPSICO INC COM Common Stocks 713448108 $5,385 97,929 SH Defined 70 97,929 PEPSICO INC COM Common Stocks 713448108 $20,897 380,217 SH Defined 72 380,217 PEPSICO INC COM Common Stocks 713448108 $2,275 41,390 SH Defined 80 41,390 PEPSICO INC COM Common Stocks 713448108 $82,279 1,497,073 SH Sole 88 1,497,073 PEPSICO INC COM Common Stocks 713448108 $16,506 300,334 SH Defined 94 300,334 PEPSICO INC COM Common Stocks 713448108 $491 9,000 SH Defined 96 9,000 PEPSICO INC COM Common Stocks 713448108 $1,544 28,100 SH Defined 96 28,100 PEPSICO INC COM Common Stocks 713448108 $16,618 302,370 SH Defined 102 302,370 PEPSICO INC COM Common Stocks 713448108 $9,428 171,563 SH Defined 171,563 PERCEPTRON INC COM Common Stocks 71361F100 $1,622 471,394 SH Defined 92 471,394 PERFECT WORLD CO LTD SPON Common Stocks 71372U104 $3,693 129,100 SH Defined 14 129,100 PERFECT WORLD CO LTD SPON Common Stocks 71372U104 $197 6,900 SH Defined 44 6,900 PERFECT WORLD CO LTD SPON Common Stocks 71372U104 $898 31,400 SH Sole 88 31,400 PERFECT WORLD CO LTD SPON Common Stocks 71372U104 $3,471 115,500 SH Defined 115,500 PERFICIENT INC COM Common Stocks 71375U101 $62 8,800 SH Defined 23 8,800 PERFICIENT INC COM Common Stocks 71375U101 $93 13,300 SH Sole 88 13,300 PERKINELMER INC COM Common Stocks 714046109 $2,168 124,600 SH Defined 31 124,600 PERKINELMER INC COM Common Stocks 714046109 $399 22,900 SH Defined 41 22,900 PERKINELMER INC COM Common Stocks 714046109 $63 3,643 SH Defined 42 3,643 PERKINELMER INC COM Common Stocks 714046109 $134 7,700 SH Defined 51 7,700 PERKINELMER INC COM Common Stocks 714046109 $406 23,350 SH Defined 77 23,350 PERKINELMER INC COM Common Stocks 714046109 $56 3,200 SH Defined 80 3,200 PERKINELMER INC COM Common Stocks 714046109 $2,573 147,878 SH Sole 88 147,878 PERKINELMER INC COM Common Stocks 714046109 $1,372 78,839 SH Defined 92 78,839 PERMA-FIX ENVIRONMENTAL SVCS Common Stocks 714157104 $110 45,344 SH Defined 63 45,344 PEROT SYS CORP CL A Common Stocks 714265105 $269 18,780 SH Defined 21 18,780 PEROT SYS CORP CL A Common Stocks 714265105 $541 37,755 SH Defined 22 37,755 PEROT SYS CORP CL A Common Stocks 714265105 $479 33,400 SH Defined 57 33,400 PEROT SYS CORP CL A Common Stocks 714265105 $1,352 94,350 SH Sole 88 94,350 PERRIGO CO COM Common Stocks 714290103 $364 13,100 SH Defined 77 13,100 PERRIGO CO COM Common Stocks 714290103 $411 14,790 SH Defined 102 14,790 P T TELEKOMUNIKASI INDONES Common Stocks 715684106 $5,943 198,230 SH Defined 46 198,230 P T TELEKOMUNIKASI INDONES Common Stocks 715684106 $821 27,400 SH Sole 88 27,400 P T TELEKOMUNIKASI INDONES Common Stocks 715684106 $52 1,750 SH Defined 1,750 PETMED EXPRESS INC COM Common Stocks 716382106 $388 25,800 SH Defined 63 25,800 PETRO-CDA COM Common Stocks 71644E102 $1,408 36,400 SH Defined 1 36,400 PETRO-CDA COM Common Stocks 71644E102 $4,378 111,800 SH Defined 3 111,800 PETRO-CDA COM Common Stocks 71644E102 $7,087 183,400 SH Defined 4 183,400 PETRO-CDA COM Common Stocks 71644E102 $29,755 769,276 SH Defined 34 769,276 PETRO-CDA COM Common Stocks 71644E102 $67 1,721 SH Defined 42 1,721 PETRO-CDA COM Common Stocks 71644E102 $2,146 55,563 SH Defined 64 55,563 PETRO-CDA COM Common Stocks 71644E102 $9,527 246,791 SH Sole 88 246,791 PETRO-CDA COM Common Stocks 71644E102 $12,419 321,083 SH Defined 321,083 PETROCHINA CO LTD SPONSORE Common Stocks 71646E100 $4,096 37,079 SH Defined 11 37,079 PETROCHINA CO LTD SPONSORE Common Stocks 71646E100 $254 2,300 SH Defined 14 2,300 PETROCHINA CO LTD SPONSORE Common Stocks 71646E100 $1,389 12,570 SH Sole 88 12,570 PETROCHINA CO LTD SPONSORE Common Stocks 71646E100 $6,488 58,730 SH Defined 100 58,730 PETROBRAS ENERGIA PARTCPTN Common Stocks 71646M102 $545 91,732 SH Defined 100 91,732 PETROHAWK ENERGY CORP COM Common Stocks 716495106 $668 30,900 SH Defined 18 30,900 PETROHAWK ENERGY CORP COM Common Stocks 716495106 $1,521 68,200 SH Defined 18 68,200 PETROHAWK ENERGY CORP COM Common Stocks 716495106 $6,843 306,862 SH Defined 27 306,862 PETROHAWK ENERGY CORP COM Common Stocks 716495106 $1,927 86,400 SH Defined 43 86,400 PETROHAWK ENERGY CORP COM Common Stocks 716495106 $1,704 76,400 SH Defined 51 76,400 PETROHAWK ENERGY CORP COM Common Stocks 716495106 $2,650 118,848 SH Sole 88 118,848 PETROLEO BRASILEIRO SA PET Common Stocks 71654V101 $14,862 445,500 SH Defined 4 445,500 PETROLEO BRASILEIRO SA PET Common Stocks 71654V101 $969 29,059 SH Defined 11 29,059 PETROLEO BRASILEIRO SA PET Common Stocks 71654V101 $4,617 138,397 SH Defined 43 138,397 PETROLEO BRASILEIRO SA PET Common Stocks 71654V101 $5,478 164,200 SH Sole 88 164,200 PETROLEO BRASILEIRO SA PET Common Stocks 71654V101 $921 27,600 SH Defined 90 27,600 PETROLEO BRASILEIRO SA PET Common Stocks 71654V101 $4,457 133,500 SH Defined 98 133,500 PETROLEO BRASILEIRO SA PET Common Stocks 71654V101 $47,314 1,418,300 SH Defined 99 1,418,300 PETROLEO BRASILEIRO SA PET Common Stocks 71654V101 $668 20,014 SH Defined 100 20,014 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $2,508 61,195 SH Defined 12 61,195 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $21,238 518,200 SH Defined 14 518,200 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $654 15,900 SH Defined 18 15,900 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $1,348 32,900 SH Defined 18 32,900 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $2,056 50,167 SH Defined 45 50,167 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $21,159 516,330 SH Defined 46 516,330 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $10,284 250,080 SH Defined 64 250,080 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $70,870 1,728,964 SH Defined 64 1,728,964 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $1,152 28,123 SH Defined 83 28,123 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $2,074 50,600 SH Defined 84 50,600 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $61,805 1,508,178 SH Sole 88 1,508,178 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $12,167 296,900 SH Defined 99 296,900 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $10,421 254,300 SH Defined 104 254,300 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $10,938 266,900 SH Defined 109 266,900 PETROLEO BRASILEIRO SA PET Common Stocks 71654V408 $1,207 29,379 SH Defined 29,379 PETROLEUM DEV CORP COM Common Stocks 716578109 $424 27,000 SH Defined 57 27,000 PETROLEUM DEV CORP COM Common Stocks 716578109 $243 15,500 SH Sole 88 15,500 PETROQUEST ENERGY INC COM Common Stocks 716748108 $172 46,500 SH Defined 57 46,500 PETROQUEST ENERGY INC COM Common Stocks 716748108 $118 31,900 SH Sole 88 31,900 PETSMART INC COM Common Stocks 716768106 $2,684 125,060 SH Defined 42 125,060 PETSMART INC COM Common Stocks 716768106 $2,009 93,600 SH Defined 51 93,600 PETSMART INC COM Common Stocks 716768106 $3,784 176,347 SH Sole 88 176,347 PFIZER INC COM Common Stocks 717081103 $9,300 619,994 SH Defined 1 619,994 PFIZER INC COM Common Stocks 717081103 $10,797 719,800 SH Defined 4 719,800 PFIZER INC COM Common Stocks 717081103 $2,780 185,300 SH Defined 8 185,300 PFIZER INC COM Common Stocks 717081103 $9,849 656,605 SH Defined 9 656,605 PFIZER INC COM Common Stocks 717081103 $22,817 1,521,100 SH Defined 10 1,521,100 PFIZER INC COM Common Stocks 717081103 $2,272 149,708 SH Defined 11 149,708 PFIZER INC COM Common Stocks 717081103 $8,516 567,490 SH Defined 11 567,490 PFIZER INC COM Common Stocks 717081103 $4,700 313,300 SH Defined 14 313,300 PFIZER INC COM Common Stocks 717081103 $7,248 483,220 SH Defined 17 483,220 PFIZER INC COM Common Stocks 717081103 $461 30,700 SH Defined 18 30,700 PFIZER INC COM Common Stocks 717081103 $33,283 2,218,332 SH Defined 23 2,218,332 PFIZER INC COM Common Stocks 717081103 $548 36,540 SH Defined 32 36,540 PFIZER INC COM Common Stocks 717081103 $12,491 832,700 SH Defined 35 832,700 PFIZER INC COM Common Stocks 717081103 $2,189 145,900 SH Defined 37 145,900 PFIZER INC COM Common Stocks 717081103 $15,675 1,045,000 SH Defined 38 1,045,000 PFIZER INC COM Common Stocks 717081103 $5,453 363,533 SH Defined 42 363,533 PFIZER INC COM Common Stocks 717081103 $1,173 77,300 SH Defined 50 77,300 PFIZER INC COM Common Stocks 717081103 $38,964 2,597,057 SH Defined 50 2,597,057 PFIZER INC COM Common Stocks 717081103 $14,423 961,500 SH Defined 51 961,500 PFIZER INC COM Common Stocks 717081103 $1,689 112,600 SH Defined 56 112,600 PFIZER INC COM Common Stocks 717081103 $14,676 978,400 SH Defined 57 978,400 PFIZER INC COM Common Stocks 717081103 $3,638 242,560 SH Defined 58 242,560 PFIZER INC COM Common Stocks 717081103 $1,559 103,900 SH Defined 67 103,900 PFIZER INC COM Common Stocks 717081103 $7,501 500,055 SH Defined 68 500,055 PFIZER INC COM Common Stocks 717081103 $1,418 94,510 SH Defined 69 94,510 PFIZER INC COM Common Stocks 717081103 $9,594 639,600 SH Defined 76 639,600 PFIZER INC COM Common Stocks 717081103 $724 47,700 SH Defined 79 47,700 PFIZER INC COM Common Stocks 717081103 $1,251 83,400 SH Defined 79 83,400 PFIZER INC COM Common Stocks 717081103 $2,694 179,593 SH Defined 80 179,593 PFIZER INC COM Common Stocks 717081103 $98,272 6,551,444 SH Sole 88 6,551,444 PFIZER INC COM Common Stocks 717081103 $1,123 74,000 SH Defined 93 74,000 PFIZER INC COM Common Stocks 717081103 $2,756 183,700 SH Defined 93 183,700 PFIZER INC COM Common Stocks 717081103 $2,624 174,901 SH Defined 97 174,901 PFIZER INC COM Common Stocks 717081103 $17,601 1,173,425 SH Defined 100 1,173,425 PFIZER INC COM Common Stocks 717081103 $1,739 115,900 SH Defined 105 115,900 PFIZER INC COM Common Stocks 717081103 $20,027 1,334,620 SH Defined 1,334,620 PHARMACEUTICAL PROD DEV IN Common Stocks 717124101 $214 9,200 SH Defined 51 9,200 PHARMACEUTICAL PROD DEV IN Common Stocks 717124101 $188 8,100 SH Sole 88 8,100 PHARMERICA CORP COM Common Stocks 71714F104 $1,131 57,596 SH Defined 23 57,596 PHARMERICA CORP COM Common Stocks 71714F104 $1,084 55,200 SH Sole 88 55,200 PHARMERICA CORP COM Common Stocks 71714F104 $93 4,730 SH Defined 102 4,730 PHARMERICA CORP COM Common Stocks 71714F104 $140 7,120 SH Defined 7,120 PHASE FORWARD INC COM Common Stocks 71721R406 $2,170 143,600 SH Sole 88 143,600 PHASE FORWARD INC COM Common Stocks 71721R406 $298 19,700 SH Defined 95 19,700 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $12,389 284,017 SH Defined 1 284,017 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $375 8,600 SH Defined 4 8,600 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $6,879 157,700 SH Defined 6 157,700 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $310 7,100 SH Defined 10 7,100 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $2,900 67,233 SH Defined 11 67,233 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $10,010 229,399 SH Defined 11 229,399 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $17,784 407,700 SH Defined 17 407,700 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $13,091 300,040 SH Defined 23 300,040 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $6,316 144,800 SH Defined 24 144,800 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $6,436 147,536 SH Defined 27 147,536 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $5,313 121,800 SH Defined 35 121,800 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $4,221 96,771 SH Defined 42 96,771 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $5,906 135,400 SH Defined 51 135,400 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $685 15,700 SH Defined 56 15,700 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $3,090 70,840 SH Defined 58 70,840 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $2,571 58,900 SH Defined 66 58,900 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $663 15,200 SH Defined 67 15,200 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $24,074 551,900 SH Defined 68 551,900 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $4,163 95,430 SH Defined 69 95,430 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $2,912 66,768 SH Defined 76 66,768 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $32,066 735,116 SH Sole 88 735,116 PHILIP MORRIS INTL INC COM Common Stocks 718172109 $96 2,218 SH Defined 2,218 PHILIPPINE LONG DISTANCE T Common Stocks 718252604 $2,220 44,640 SH Defined 46 44,640 PHILIPPINE LONG DISTANCE T Common Stocks 718252604 $166 3,300 SH Defined 86 3,300 PHILIPPINE LONG DISTANCE T Common Stocks 718252604 $284 5,720 SH Sole 88 5,720 PHILLIPS VAN HEUSEN CORP C Common Stocks 718592108 $1,578 55,000 SH Defined 30 55,000 PHILLIPS VAN HEUSEN CORP C Common Stocks 718592108 $633 22,074 SH Defined 52 22,074 PHILLIPS VAN HEUSEN CORP C Common Stocks 718592108 $2,832 98,718 SH Sole 88 98,718 PHOENIX COS INC NEW COM Common Stocks 71902E109 $1 400 SH Defined 57 400 PHOTRONICS INC COM Common Stocks 719405102 $1,375 339,400 SH Defined 23 339,400 PHOTRONICS INC COM Common Stocks 719405102 $1,242 306,700 SH Sole 88 306,700 PINNACLE ENTMT INC COM Common Stocks 723456109 $173 18,610 SH Defined 18,610 PINNACLE FINL PARTNERS INC Common Stocks 72346Q104 $251 18,840 SH Defined 85 18,840 PINNACLE FINL PARTNERS INC Common Stocks 72346Q104 $293 22,020 SH Sole 88 22,020 PINNACLE WEST CAP CORP COM Common Stocks 723484101 $1,770 58,700 SH Defined 51 58,700 PINNACLE WEST CAP CORP COM Common Stocks 723484101 $4,486 148,800 SH Defined 57 148,800 PINNACLE WEST CAP CORP COM Common Stocks 723484101 $48 1,600 SH Defined 65 1,600 PINNACLE WEST CAP CORP COM Common Stocks 723484101 $740 24,536 SH Defined 76 24,536 PINNACLE WEST CAP CORP COM Common Stocks 723484101 $84 2,800 SH Defined 80 2,800 PINNACLE WEST CAP CORP COM Common Stocks 723484101 $4,022 133,400 SH Sole 88 133,400 PIONEER DRILLING CO COM Common Stocks 723655106 $14 3,000 SH Defined 57 3,000 PIONEER DRILLING CO COM Common Stocks 723655106 $75 15,700 SH Defined 63 15,700 PIONEER NAT RES CO COM Common Stocks 723787107 $694 27,200 SH Defined 51 27,200 PIONEER NAT RES CO COM Common Stocks 723787107 $77 3,000 SH Defined 80 3,000 PIONEER NAT RES CO COM Common Stocks 723787107 $446 17,500 SH Sole 88 17,500 PIPER JAFFRAY COS COM Common Stocks 724078100 $87 2,000 SH Defined 57 2,000 PIPER JAFFRAY COS COM Common Stocks 724078100 $119 2,717 SH Defined 81 2,717 PIPER JAFFRAY COS COM Common Stocks 724078100 $144 3,300 SH Sole 88 3,300 PIPER JAFFRAY COS COM Common Stocks 724078100 $3,213 73,585 SH Defined 92 73,585 PITNEY BOWES INC COM Common Stocks 724479100 $1,441 65,703 SH Defined 30 65,703 PITNEY BOWES INC COM Common Stocks 724479100 $5,295 241,437 SH Defined 31 241,437 PITNEY BOWES INC COM Common Stocks 724479100 $173 7,900 SH Defined 32 7,900 PITNEY BOWES INC COM Common Stocks 724479100 $1,717 78,300 SH Defined 35 78,300 PITNEY BOWES INC COM Common Stocks 724479100 $561 25,600 SH Defined 51 25,600 PITNEY BOWES INC COM Common Stocks 724479100 $8,335 380,089 SH Defined 62 380,089 PITNEY BOWES INC COM Common Stocks 724479100 $217 9,900 SH Defined 67 9,900 PITNEY BOWES INC COM Common Stocks 724479100 $3,086 140,704 SH Defined 76 140,704 PITNEY BOWES INC COM Common Stocks 724479100 $121 5,500 SH Defined 80 5,500 PITNEY BOWES INC COM Common Stocks 724479100 $3,818 174,100 SH Sole 88 174,100 PLAINS EXPL& PRODTN CO COM Common Stocks 726505100 $2,272 84,236 SH Defined 11 84,236 PLAINS EXPL& PRODTN CO COM Common Stocks 726505100 $6,808 248,747 SH Defined 11 248,747 PLAINS EXPL& PRODTN CO COM Common Stocks 726505100 $2,343 85,620 SH Defined 62 85,620 PLANTRONICS INC NEW COM Common Stocks 727493108 $213 11,277 SH Defined 11 11,277 PLANTRONICS INC NEW COM Common Stocks 727493108 $942 49,800 SH Defined 57 49,800 PLANTRONICS INC NEW COM Common Stocks 727493108 $711 37,600 SH Sole 88 37,600 PLEXUS CORP COM Common Stocks 729132100 $439 21,470 SH Defined 22 21,470 PLEXUS CORP COM Common Stocks 729132100 $613 29,947 SH Defined 52 29,947 PLEXUS CORP COM Common Stocks 729132100 $1,850 90,400 SH Defined 57 90,400 PLEXUS CORP COM Common Stocks 729132100 $128 6,254 SH Defined 81 6,254 PLEXUS CORP COM Common Stocks 729132100 $2,810 137,334 SH Sole 88 137,334 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $8,720 292,800 SH Defined 2 292,800 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $867 29,284 SH Defined 25 29,284 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $991 33,256 SH Defined 25 33,256 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $1,157 38,789 SH Defined 39 38,789 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $1,085 36,437 SH Defined 42 36,437 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $12,821 430,540 SH Defined 48 430,540 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $95 3,200 SH Defined 51 3,200 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $7,150 240,100 SH Defined 54 240,100 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $131 4,400 SH Defined 80 4,400 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $3,971 133,350 SH Defined 87 133,350 PLUM CREEK TIMBER CO INC C Common Stocks 729251108 $890 29,870 SH Sole 88 29,870 POLARIS INDS INC COM Common Stocks 731068102 $91 2,848 SH Defined 11 2,848 POLARIS INDS INC COM Common Stocks 731068102 $3,373 105,000 SH Defined 31 105,000 POLARIS INDS INC COM Common Stocks 731068102 $3,824 119,053 SH Sole 88 119,053 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $8,663 161,800 SH Defined 10 161,800 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $3,962 74,000 SH Defined 35 74,000 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $2,902 54,200 SH Defined 37 54,200 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $20,806 388,600 SH Defined 38 388,600 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $1,130 21,100 SH Defined 51 21,100 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $364 6,800 SH Defined 56 6,800 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $118 2,200 SH Defined 58 2,200 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $1,099 20,429 SH Defined 64 20,429 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $4,384 81,840 SH Defined 64 81,840 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $498 9,300 SH Defined 67 9,300 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $80 1,500 SH Defined 80 1,500 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $7,747 144,700 SH Sole 88 144,700 POLO RALPH LAUREN CORP CL Common Stocks 731572103 $37 677 SH Defined 677 POLYCOM INC COM Common Stocks 73172K104 $425 20,960 SH Defined 101 20,960 POLYONE CORP COM Common Stocks 73179P106 $75 27,800 SH Defined 57 27,800 POLYONE CORP COM Common Stocks 73179P106 $75 27,800 SH Sole 88 27,800 POLYPORE INTL INC COM Common Stocks 73179V103 $504 45,331 SH Defined 101 45,331 POOL CORPORATION COM Common Stocks 73278L105 $42 2,544 SH Defined 31 2,544 POOL CORPORATION COM Common Stocks 73278L105 $112 6,753 SH Defined 81 6,753 POOL CORPORATION COM Common Stocks 73278L105 $468 28,260 SH Sole 88 28,260 POOL CORPORATION COM Common Stocks 73278L105 $1,409 85,100 SH Defined 105 85,100 POPULAR INC COM Common Stocks 733174106 $617 265,300 SH Defined 11 265,300 POPULAR INC COM Common Stocks 733174106 $481 218,550 SH Defined 84 218,550 POPULAR INC COM Common Stocks 733174106 $1,451 659,500 SH Sole 88 659,500 PORTEC RAIL PRODS INC COM Common Stocks 736212101 $68 6,876 SH Defined 31 6,876 PORTEC RAIL PRODS INC COM Common Stocks 736212101 $319 32,400 SH Defined 63 32,400 PORTER BANCORP INC COM Common Stocks 736233107 $89 5,907 SH Defined 31 5,907 PORTLAND GEN ELEC CO COM N Common Stocks 736508847 $1,030 52,900 SH Defined 31 52,900 PORTLAND GEN ELEC CO COM N Common Stocks 736508847 $712 36,546 SH Defined 52 36,546 PORTLAND GEN ELEC CO COM N Common Stocks 736508847 $269 13,800 SH Defined 56 13,800 PORTLAND GEN ELEC CO COM N Common Stocks 736508847 $2,306 118,400 SH Defined 57 118,400 PORTLAND GEN ELEC CO COM N Common Stocks 736508847 $3,818 195,972 SH Sole 88 195,972 POST PPTYS INC COM Common Stocks 737464107 $87 6,500 SH Defined 57 6,500 POST PPTYS INC COM Common Stocks 737464107 $101 7,537 SH Defined 81 7,537 POST PPTYS INC COM Common Stocks 737464107 $4,099 305,000 SH Defined 87 305,000 POTASH CORP SASK INC COM Common Stocks 73755L107 $6,577 70,400 SH Defined 34 70,400 POTASH CORP SASK INC COM Common Stocks 73755L107 $109 1,156 SH Defined 42 1,156 POTASH CORP SASK INC COM Common Stocks 73755L107 $4,400 47,100 SH Defined 43 47,100 POTASH CORP SASK INC COM Common Stocks 73755L107 $20,754 223,036 SH Defined 64 223,036 POTASH CORP SASK INC COM Common Stocks 73755L107 $1,612 17,252 SH Defined 76 17,252 POTASH CORP SASK INC COM Common Stocks 73755L107 $26,329 282,954 SH Sole 88 282,954 POTASH CORP SASK INC COM Common Stocks 73755L107 $3,614 38,840 SH Defined 102 38,840 POTASH CORP SASK INC COM Common Stocks 73755L107 $2,959 31,800 SH Defined 104 31,800 POTASH CORP SASK INC COM Common Stocks 73755L107 $28,890 309,257 SH Defined 309,257 POWELL INDS INC COM Common Stocks 739128106 $312 8,412 SH Defined 30 8,412 POWELL INDS INC COM Common Stocks 739128106 $85 2,300 SH Defined 65 2,300 POWELL INDS INC COM Common Stocks 739128106 $1,264 34,096 SH Sole 88 34,096 POWER INTEGRATIONS INC COM Common Stocks 739276103 $3,902 164,000 SH Sole 88 164,000 POWER INTEGRATIONS INC COM Common Stocks 739276103 $533 22,400 SH Defined 95 22,400 POWERWAVE TECHNOLOGIES INC Common Stocks 739363109 $117 72,895 SH Defined 72,895 PRAXAIR INC COM Common Stocks 74005P104 $3,340 46,990 SH Defined 8 46,990 PRAXAIR INC COM Common Stocks 74005P104 $4,435 62,400 SH Defined 10 62,400 PRAXAIR INC COM Common Stocks 74005P104 $1,201 16,869 SH Defined 11 16,869 PRAXAIR INC COM Common Stocks 74005P104 $5,504 77,440 SH Defined 12 77,440 PRAXAIR INC COM Common Stocks 74005P104 $569 8,000 SH Defined 28 8,000 PRAXAIR INC COM Common Stocks 74005P104 $604 8,500 SH Defined 29 8,500 PRAXAIR INC COM Common Stocks 74005P104 $1,203 16,900 SH Defined 49 16,900 PRAXAIR INC COM Common Stocks 74005P104 $1,293 18,200 SH Defined 51 18,200 PRAXAIR INC COM Common Stocks 74005P104 $829 11,670 SH Defined 55 11,670 PRAXAIR INC COM Common Stocks 74005P104 $192 2,700 SH Defined 56 2,700 PRAXAIR INC COM Common Stocks 74005P104 $3,244 45,640 SH Defined 58 45,640 PRAXAIR INC COM Common Stocks 74005P104 $2,659 37,012 SH Defined 64 37,012 PRAXAIR INC COM Common Stocks 74005P104 $22,834 321,227 SH Defined 64 321,227 PRAXAIR INC COM Common Stocks 74005P104 $4,577 64,380 SH Defined 68 64,380 PRAXAIR INC COM Common Stocks 74005P104 $1,980 27,560 SH Defined 70 27,560 PRAXAIR INC COM Common Stocks 74005P104 $1,914 26,910 SH Defined 70 26,910 PRAXAIR INC COM Common Stocks 74005P104 $590 8,300 SH Defined 80 8,300 PRAXAIR INC COM Common Stocks 74005P104 $26,805 377,165 SH Sole 88 377,165 PRAXAIR INC COM Common Stocks 74005P104 $1,856 26,100 SH Defined 98 26,100 PRAXAIR INC COM Common Stocks 74005P104 $11,080 155,900 SH Defined 99 155,900 PRAXAIR INC COM Common Stocks 74005P104 $1,196 16,823 SH Defined 106 16,823 PRAXAIR INC COM Common Stocks 74005P104 $90 1,243 SH Defined 1,243 PRE PAID LEGAL SVCS INC CO Common Stocks 740065107 $44 1,000 SH Defined 1 1,000 PRECISION CASTPARTS CORP C Common Stocks 740189105 $3,498 47,900 SH Defined 35 47,900 PRECISION CASTPARTS CORP C Common Stocks 740189105 $380 5,200 SH Defined 51 5,200 PRECISION CASTPARTS CORP C Common Stocks 740189105 $856 11,720 SH Defined 55 11,720 PRECISION CASTPARTS CORP C Common Stocks 740189105 $3,056 41,755 SH Defined 64 41,755 PRECISION CASTPARTS CORP C Common Stocks 740189105 $12,672 173,446 SH Defined 64 173,446 PRECISION CASTPARTS CORP C Common Stocks 740189105 $438 6,000 SH Defined 67 6,000 PRECISION CASTPARTS CORP C Common Stocks 740189105 $270 3,700 SH Defined 80 3,700 PRECISION CASTPARTS CORP C Common Stocks 740189105 $4,290 58,740 SH Sole 88 58,740 PRECISION CASTPARTS CORP C Common Stocks 740189105 $99 1,339 SH Defined 1,339 PRECISION DRILLING TR TR U Common Stocks 740215108 $7,840 1,628,821 SH Defined 34 1,628,821 PRECISION DRILLING TR TR U Common Stocks 740215108 $1,490 309,500 SH Defined 309,500 PREMIERE GLOBAL SVCS INC C Common Stocks 740585104 $81 7,480 SH Defined 21 7,480 PREMIERE GLOBAL SVCS INC C Common Stocks 740585104 $98 9,000 SH Defined 65 9,000 PREMIERE GLOBAL SVCS INC C Common Stocks 740585104 $309 28,480 SH Sole 88 28,480 PRESTIGE BRANDS HLDGS INC Common Stocks 74112D101 $177 28,800 SH Defined 57 28,800 PRESTIGE BRANDS HLDGS INC Common Stocks 74112D101 $34 5,600 SH Defined 65 5,600 PRESTIGE BRANDS HLDGS INC Common Stocks 74112D101 $109 17,650 SH Sole 88 17,650 PRESTIGE BRANDS HLDGS INC Common Stocks 74112D101 $131 21,275 SH Defined 21,275 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $7,079 169,887 SH Defined 1 169,887 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $8,717 209,200 SH Defined 10 209,200 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $5,347 128,320 SH Defined 12 128,320 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $9,602 230,400 SH Defined 14 230,400 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $2,927 70,254 SH Defined 31 70,254 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $2,888 69,304 SH Defined 42 69,304 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $542 13,000 SH Defined 51 13,000 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $892 21,400 SH Defined 60 21,400 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $283 6,800 SH Defined 80 6,800 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $12,412 297,873 SH Sole 88 297,873 PRICE T ROWE GROUP INC COM Common Stocks 74144T108 $5,333 127,975 SH Defined 102 127,975 PRICELINE COM INC COM NEW Common Stocks 741503403 $5,476 49,090 SH Defined 12 49,090 PRICELINE COM INC COM NEW Common Stocks 741503403 $410 3,600 SH Defined 26 3,600 PRICELINE COM INC COM NEW Common Stocks 741503403 $14,845 133,057 SH Defined 26 133,057 PRICELINE COM INC COM NEW Common Stocks 741503403 $279 2,500 SH Defined 28 2,500 PRICELINE COM INC COM NEW Common Stocks 741503403 $167 1,500 SH Defined 44 1,500 PRICELINE COM INC COM NEW Common Stocks 741503403 $8,067 72,313 SH Sole 88 72,313 PRICELINE COM INC COM NEW Common Stocks 741503403 $155 1,390 SH Defined 102 1,390 PRICELINE COM INC COM NEW Common Stocks 741503403 $78 682 SH Defined 682 PRICESMART INC COM Common Stocks 741511109 $27 1,600 SH Defined 65 1,600 PRIDE INTL INC DEL COM Common Stocks 74153Q102 $1,032 41,200 SH Defined 51 41,200 PRIDE INTL INC DEL COM Common Stocks 74153Q102 $5,745 227,391 SH Defined 64 227,391 PRIDE INTL INC DEL COM Common Stocks 74153Q102 $22,977 916,509 SH Defined 64 916,509 PRIDE INTL INC DEL COM Common Stocks 74153Q102 $427 17,021 SH Defined 76 17,021 PRIDE INTL INC DEL COM Common Stocks 74153Q102 $664 26,500 SH Sole 88 26,500 PRIDE INTL INC DEL COM Common Stocks 74153Q102 $181 7,130 SH Defined 7,130 PRINCIPAL FINANCIAL GROUP Common Stocks 74251V102 $0 3 SH Defined 1 3 PRINCIPAL FINANCIAL GROUP Common Stocks 74251V102 $684 36,300 SH Defined 51 36,300 PRINCIPAL FINANCIAL GROUP Common Stocks 74251V102 $139 7,400 SH Defined 56 7,400 PRINCIPAL FINANCIAL GROUP Common Stocks 74251V102 $311 16,500 SH Defined 58 16,500 PRINCIPAL FINANCIAL GROUP Common Stocks 74251V102 $156 8,300 SH Defined 80 8,300 PRINCIPAL FINANCIAL GROUP Common Stocks 74251V102 $586 31,100 SH Sole 88 31,100 PROASSURANCE CORP COM Common Stocks 74267C106 $709 15,337 SH Defined 52 15,337 PROASSURANCE CORP COM Common Stocks 74267C106 $970 20,986 SH Sole 88 20,986 PROASSURANCE CORP COM Common Stocks 74267C106 $188 4,070 SH Defined 102 4,070 PROCTER & GAMBLE CO COM Common Stocks 742718109 $0 4 SH Defined 1 4 PROCTER & GAMBLE CO COM Common Stocks 742718109 $8,048 157,500 SH Defined 4 157,500 PROCTER & GAMBLE CO COM Common Stocks 742718109 $3,725 72,900 SH Defined 8 72,900 PROCTER & GAMBLE CO COM Common Stocks 742718109 $24,533 480,100 SH Defined 10 480,100 PROCTER & GAMBLE CO COM Common Stocks 742718109 $278 5,438 SH Defined 11 5,438 PROCTER & GAMBLE CO COM Common Stocks 742718109 $5,346 104,615 SH Defined 12 104,615 PROCTER & GAMBLE CO COM Common Stocks 742718109 $715 14,000 SH Defined 18 14,000 PROCTER & GAMBLE CO COM Common Stocks 742718109 $690 13,500 SH Defined 28 13,500 PROCTER & GAMBLE CO COM Common Stocks 742718109 $767 15,000 SH Defined 29 15,000 PROCTER & GAMBLE CO COM Common Stocks 742718109 $18,697 365,900 SH Defined 35 365,900 PROCTER & GAMBLE CO COM Common Stocks 742718109 $664 13,000 SH Defined 41 13,000 PROCTER & GAMBLE CO COM Common Stocks 742718109 $4,350 85,123 SH Defined 42 85,123 PROCTER & GAMBLE CO COM Common Stocks 742718109 $18,437 360,800 SH Defined 51 360,800 PROCTER & GAMBLE CO COM Common Stocks 742718109 $2,421 47,385 SH Defined 56 47,385 PROCTER & GAMBLE CO COM Common Stocks 742718109 $9,935 194,428 SH Defined 57 194,428 PROCTER & GAMBLE CO COM Common Stocks 742718109 $4,558 89,189 SH Defined 58 89,189 PROCTER & GAMBLE CO COM Common Stocks 742718109 $13,332 260,898 SH Defined 62 260,898 PROCTER & GAMBLE CO COM Common Stocks 742718109 $1,182 22,763 SH Defined 66 22,763 PROCTER & GAMBLE CO COM Common Stocks 742718109 $1,866 36,504 SH Defined 66 36,504 PROCTER & GAMBLE CO COM Common Stocks 742718109 $2,345 45,900 SH Defined 67 45,900 PROCTER & GAMBLE CO COM Common Stocks 742718109 $8,181 160,056 SH Defined 68 160,056 PROCTER & GAMBLE CO COM Common Stocks 742718109 $3,520 67,813 SH Defined 70 67,813 PROCTER & GAMBLE CO COM Common Stocks 742718109 $3,343 65,377 SH Defined 70 65,377 PROCTER & GAMBLE CO COM Common Stocks 742718109 $15,519 303,698 SH Defined 72 303,698 PROCTER & GAMBLE CO COM Common Stocks 742718109 $6,112 119,614 SH Defined 76 119,614 PROCTER & GAMBLE CO COM Common Stocks 742718109 $3,962 77,526 SH Defined 80 77,526 PROCTER & GAMBLE CO COM Common Stocks 742718109 $96,001 1,878,688 SH Sole 88 1,878,688 PROCTER & GAMBLE CO COM Common Stocks 742718109 $16,817 329,103 SH Defined 94 329,103 PROCTER & GAMBLE CO COM Common Stocks 742718109 $524 10,100 SH Defined 96 10,100 PROCTER & GAMBLE CO COM Common Stocks 742718109 $1,523 29,800 SH Defined 96 29,800 PROCTER & GAMBLE CO COM Common Stocks 742718109 $15,797 309,134 SH Defined 309,134 PRIVATEBANCORP INC COM Common Stocks 742962103 $3,387 152,300 SH Sole 88 152,300 PRIVATEBANCORP INC COM Common Stocks 742962103 $463 20,800 SH Defined 95 20,800 PRIVATEBANCORP INC COM Common Stocks 742962103 $520 23,390 SH Defined 101 23,390 PROGRESS ENERGY INC COM Common Stocks 743263105 $1,525 40,300 SH Defined 51 40,300 PROGRESS ENERGY INC COM Common Stocks 743263105 $280 7,400 SH Defined 80 7,400 PROGRESS ENERGY INC COM Common Stocks 743263105 $976 25,800 SH Sole 88 25,800 PROGRESS ENERGY INC COM Common Stocks 743263105 $1,180 31,200 SH Defined 31,200 PROGRESS SOFTWARE CORP COM Common Stocks 743312100 $515 24,330 SH Defined 22 24,330 PROGRESS SOFTWARE CORP COM Common Stocks 743312100 $211 9,956 SH Defined 52 9,956 PROGRESS SOFTWARE CORP COM Common Stocks 743312100 $286 13,494 SH Sole 88 13,494 PROGRESSIVE CORP OHIO COM Common Stocks 743315103 $691 45,700 SH Defined 4 45,700 PROGRESSIVE CORP OHIO COM Common Stocks 743315103 $5,988 396,300 SH Defined 10 396,300 PROGRESSIVE CORP OHIO COM Common Stocks 743315103 $1,322 87,500 SH Defined 51 87,500 PROGRESSIVE CORP OHIO COM Common Stocks 743315103 $272 18,000 SH Defined 80 18,000 PROGRESSIVE CORP OHIO COM Common Stocks 743315103 $6,210 411,000 SH Sole 88 411,000 PROGRESSIVE CORP OHIO COM Common Stocks 743315103 $724 47,500 SH Defined 93 47,500 PROGRESSIVE CORP OHIO COM Common Stocks 743315103 $1,781 117,900 SH Defined 93 117,900 PROLOGIS SH BEN INT Common Stocks 743410102 $2,839 354,309 SH Defined 25 354,309 PROLOGIS SH BEN INT Common Stocks 743410102 $3,574 443,302 SH Defined 25 443,302 PROLOGIS SH BEN INT Common Stocks 743410102 $139 17,200 SH Defined 51 17,200 PROLOGIS SH BEN INT Common Stocks 743410102 $1,430 178,500 SH Defined 54 178,500 PROLOGIS SH BEN INT Common Stocks 743410102 $15,177 1,882,804 SH Defined 54 1,882,804 PROLOGIS SH BEN INT Common Stocks 743410102 $24 3,000 SH Defined 56 3,000 PROLOGIS SH BEN INT Common Stocks 743410102 $4,384 543,934 SH Defined 57 543,934 PROLOGIS SH BEN INT Common Stocks 743410102 $148 18,300 SH Defined 58 18,300 PROLOGIS SH BEN INT Common Stocks 743410102 $95 11,800 SH Defined 80 11,800 PROLOGIS SH BEN INT Common Stocks 743410102 $12,535 1,555,150 SH Defined 87 1,555,150 PROLOGIS SH BEN INT Common Stocks 743410102 $6,896 855,582 SH Sole 88 855,582 PROLOGIS SH BEN INT Common Stocks 743410102 $513 63,700 SH Defined 97 63,700 PROSPECT CAPITAL CORPORATI Common Stocks 74348T102 $116 12,600 SH Defined 23 12,600 PROSPECT CAPITAL CORPORATI Common Stocks 74348T102 $172 18,700 SH Sole 88 18,700 PROSPERITY BANCSHARES INC Common Stocks 743606105 $256 8,582 SH Defined 1 8,582 PROSPERITY BANCSHARES INC Common Stocks 743606105 $1,779 59,627 SH Defined 31 59,627 PROSPERITY BANCSHARES INC Common Stocks 743606105 $268 9,000 SH Defined 65 9,000 PROSPERITY BANCSHARES INC Common Stocks 743606105 $465 15,574 SH Defined 73 15,574 PROSPERITY BANCSHARES INC Common Stocks 743606105 $3,732 125,101 SH Sole 88 125,101 PROSPERITY BANCSHARES INC Common Stocks 743606105 $167 5,590 SH Defined 102 5,590 PROTECTIVE LIFE CORP COM Common Stocks 743674103 $358 31,314 SH Defined 1 31,314 PROTECTIVE LIFE CORP COM Common Stocks 743674103 $200 17,500 SH Defined 51 17,500 PROTECTIVE LIFE CORP COM Common Stocks 743674103 $46 4,000 SH Defined 65 4,000 PROTECTIVE LIFE CORP COM Common Stocks 743674103 $127 11,100 SH Sole 88 11,100 PROVIDENCE & WORCESTER RR CO Common Stocks 743737108 $1 100 SH Defined 31 100 PROVIDENCE SVC CORP COM Common Stocks 743815102 $74 6,800 SH Defined 23 6,800 PROVIDENCE SVC CORP COM Common Stocks 743815102 $14 1,300 SH Defined 57 1,300 PROVIDENCE SVC CORP COM Common Stocks 743815102 $26 2,400 SH Defined 65 2,400 PROVIDENCE SVC CORP COM Common Stocks 743815102 $114 10,400 SH Sole 88 10,400 PROVIDENT FINL SVCS INC CO Common Stocks 74386T105 $97 10,700 SH Defined 23 10,700 PROVIDENT FINL SVCS INC CO Common Stocks 74386T105 $1,584 174,100 SH Defined 31 174,100 PROVIDENT FINL SVCS INC CO Common Stocks 74386T105 $636 69,900 SH Defined 57 69,900 PROVIDENT FINL SVCS INC CO Common Stocks 74386T105 $2,378 261,323 SH Sole 88 261,323 PRUDENTIAL FINL INC COM Common Stocks 744320102 $8,270 222,200 SH Defined 10 222,200 PRUDENTIAL FINL INC COM Common Stocks 744320102 $2,568 68,354 SH Defined 11 68,354 PRUDENTIAL FINL INC COM Common Stocks 744320102 $8,389 225,311 SH Defined 11 225,311 PRUDENTIAL FINL INC COM Common Stocks 744320102 $747 20,080 SH Defined 42 20,080 PRUDENTIAL FINL INC COM Common Stocks 744320102 $1,753 47,100 SH Defined 51 47,100 PRUDENTIAL FINL INC COM Common Stocks 744320102 $476 12,800 SH Defined 56 12,800 PRUDENTIAL FINL INC COM Common Stocks 744320102 $5,605 150,600 SH Defined 57 150,600 PRUDENTIAL FINL INC COM Common Stocks 744320102 $913 24,520 SH Defined 58 24,520 PRUDENTIAL FINL INC COM Common Stocks 744320102 $2,617 70,300 SH Defined 68 70,300 PRUDENTIAL FINL INC COM Common Stocks 744320102 $490 13,160 SH Defined 69 13,160 PRUDENTIAL FINL INC COM Common Stocks 744320102 $855 22,961 SH Defined 76 22,961 PRUDENTIAL FINL INC COM Common Stocks 744320102 $454 12,200 SH Defined 80 12,200 PRUDENTIAL FINL INC COM Common Stocks 744320102 $21,499 577,619 SH Sole 88 577,619 PRUDENTIAL FINL INC COM Common Stocks 744320102 $15,109 405,930 SH Defined 94 405,930 PRUDENTIAL FINL INC COM Common Stocks 744320102 $1,145 30,775 SH Defined 97 30,775 PSYCHEMEDICS CORP COM NEW Common Stocks 744375205 $103 15,030 SH Defined 31 15,030 PSYCHEMEDICS CORP COM NEW Common Stocks 744375205 $101 14,689 SH Defined 63 14,689 PSYCHIATRIC SOLUTIONS INC Common Stocks 74439H108 $97 4,270 SH Defined 102 4,270 PSYCHIATRIC SOLUTIONS INC Common Stocks 74439H108 $210 9,235 SH Defined 9,235 PUBLIC SVC ENTERPRISE GROU Common Stocks 744573106 $12,102 370,900 SH Defined 10 370,900 PUBLIC SVC ENTERPRISE GROU Common Stocks 744573106 $1,051 32,200 SH Defined 51 32,200 PUBLIC SVC ENTERPRISE GROU Common Stocks 744573106 $571 17,500 SH Defined 56 17,500 PUBLIC SVC ENTERPRISE GROU Common Stocks 744573106 $976 29,900 SH Defined 58 29,900 PUBLIC SVC ENTERPRISE GROU Common Stocks 744573106 $7,028 215,395 SH Defined 68 215,395 PUBLIC SVC ENTERPRISE GROU Common Stocks 744573106 $1,351 41,410 SH Defined 69 41,410 PUBLIC SVC ENTERPRISE GROU Common Stocks 744573106 $1,872 57,359 SH Defined 76 57,359 PUBLIC SVC ENTERPRISE GROU Common Stocks 744573106 $437 13,400 SH Defined 80 13,400 PUBLIC SVC ENTERPRISE GROU Common Stocks 744573106 $12,639 387,340 SH Sole 88 387,340 PUBLIC STORAGE COM Common Stocks 74460D109 $31,680 483,700 SH Defined 2 483,700 PUBLIC STORAGE COM Common Stocks 74460D109 $5,100 78,328 SH Defined 25 78,328 PUBLIC STORAGE COM Common Stocks 74460D109 $6,105 93,211 SH Defined 25 93,211 PUBLIC STORAGE COM Common Stocks 74460D109 $1,139 17,400 SH Defined 35 17,400 PUBLIC STORAGE COM Common Stocks 74460D109 $17,225 263,057 SH Defined 48 263,057 PUBLIC STORAGE COM Common Stocks 74460D109 $1,526 23,300 SH Defined 51 23,300 PUBLIC STORAGE COM Common Stocks 74460D109 $3,496 53,700 SH Defined 54 53,700 PUBLIC STORAGE COM Common Stocks 74460D109 $33,333 508,975 SH Defined 54 508,975 PUBLIC STORAGE COM Common Stocks 74460D109 $355 5,420 SH Defined 58 5,420 PUBLIC STORAGE COM Common Stocks 74460D109 $138 2,100 SH Defined 67 2,100 PUBLIC STORAGE COM Common Stocks 74460D109 $223 3,400 SH Defined 80 3,400 PUBLIC STORAGE COM Common Stocks 74460D109 $2,235 34,325 SH Defined 82 34,325 PUBLIC STORAGE COM Common Stocks 74460D109 $5,398 82,396 SH Defined 82 82,396 PUBLIC STORAGE COM Common Stocks 74460D109 $25,130 383,788 SH Defined 87 383,788 PUBLIC STORAGE COM Common Stocks 74460D109 $5,686 86,841 SH Sole 88 86,841 PULASKI FINL CORP COM Common Stocks 745548107 $3 500 SH Defined 65 500 PULTE HOMES INC COM Common Stocks 745867101 $737 83,458 SH Defined 23 83,458 PULTE HOMES INC COM Common Stocks 745867101 $1,113 126,100 SH Defined 35 126,100 PULTE HOMES INC COM Common Stocks 745867101 $143 16,200 SH Defined 51 16,200 PULTE HOMES INC COM Common Stocks 745867101 $2,950 334,120 SH Defined 59 334,120 PULTE HOMES INC COM Common Stocks 745867101 $642 72,700 SH Defined 60 72,700 PULTE HOMES INC COM Common Stocks 745867101 $147 16,600 SH Defined 67 16,600 PULTE HOMES INC COM Common Stocks 745867101 $80 9,020 SH Defined 68 9,020 PULTE HOMES INC COM Common Stocks 745867101 $903 102,288 SH Defined 76 102,288 PULTE HOMES INC COM Common Stocks 745867101 $49 5,600 SH Defined 80 5,600 PULTE HOMES INC COM Common Stocks 745867101 $5,579 631,800 SH Sole 88 631,800 PULTE HOMES INC COM Common Stocks 745867101 $5,007 567,050 SH Defined 102 567,050 QLOGIC CORP COM Common Stocks 747277101 $1,436 113,264 SH Defined 23 113,264 QLOGIC CORP COM Common Stocks 747277101 $67 5,296 SH Defined 42 5,296 QLOGIC CORP COM Common Stocks 747277101 $166 13,100 SH Defined 51 13,100 QLOGIC CORP COM Common Stocks 747277101 $28 2,200 SH Defined 65 2,200 QLOGIC CORP COM Common Stocks 747277101 $41 3,200 SH Defined 80 3,200 QLOGIC CORP COM Common Stocks 747277101 $1,553 122,489 SH Sole 88 122,489 QC HLDGS INC COM Common Stocks 74729T101 $2 400 SH Defined 65 400 QUAKER CHEM CORP COM Common Stocks 747316107 $75 5,610 SH Defined 31 5,610 QUAKER CHEM CORP COM Common Stocks 747316107 $130 9,800 SH Defined 57 9,800 QUAKER CHEM CORP COM Common Stocks 747316107 $183 13,800 SH Defined 63 13,800 QUAKER CHEM CORP COM Common Stocks 747316107 $74 5,600 SH Sole 88 5,600 QUALCOMM INC COM Common Stocks 747525103 $4,779 105,737 SH Defined 1 105,737 QUALCOMM INC COM Common Stocks 747525103 $466 10,300 SH Defined 4 10,300 QUALCOMM INC COM Common Stocks 747525103 $27,887 616,970 SH Defined 9 616,970 QUALCOMM INC COM Common Stocks 747525103 $4,077 90,200 SH Defined 10 90,200 QUALCOMM INC COM Common Stocks 747525103 $1,203 26,265 SH Defined 11 26,265 QUALCOMM INC COM Common Stocks 747525103 $8,702 192,431 SH Defined 11 192,431 QUALCOMM INC COM Common Stocks 747525103 $7,365 162,950 SH Defined 12 162,950 QUALCOMM INC COM Common Stocks 747525103 $6,017 133,100 SH Defined 14 133,100 QUALCOMM INC COM Common Stocks 747525103 $1,183 25,822 SH Defined 18 25,822 QUALCOMM INC COM Common Stocks 747525103 $3,029 67,024 SH Defined 18 67,024 QUALCOMM INC COM Common Stocks 747525103 $4,065 89,900 SH Defined 23 89,900 QUALCOMM INC COM Common Stocks 747525103 $997 21,758 SH Defined 26 21,758 QUALCOMM INC COM Common Stocks 747525103 $36,528 807,998 SH Defined 26 807,998 QUALCOMM INC COM Common Stocks 747525103 $13,310 294,474 SH Defined 27 294,474 QUALCOMM INC COM Common Stocks 747525103 $4,972 110,000 SH Defined 28 110,000 QUALCOMM INC COM Common Stocks 747525103 $1,356 30,000 SH Defined 29 30,000 QUALCOMM INC COM Common Stocks 747525103 $1,508 33,355 SH Defined 42 33,355 QUALCOMM INC COM Common Stocks 747525103 $3,263 72,200 SH Defined 43 72,200 QUALCOMM INC COM Common Stocks 747525103 $5,415 119,800 SH Defined 51 119,800 QUALCOMM INC COM Common Stocks 747525103 $872 19,300 SH Defined 56 19,300 QUALCOMM INC COM Common Stocks 747525103 $7,083 156,700 SH Defined 57 156,700 QUALCOMM INC COM Common Stocks 747525103 $3,116 68,930 SH Defined 58 68,930 QUALCOMM INC COM Common Stocks 747525103 $3,966 87,750 SH Defined 60 87,750 QUALCOMM INC COM Common Stocks 747525103 $7,327 159,964 SH Defined 64 159,964 QUALCOMM INC COM Common Stocks 747525103 $42,352 936,731 SH Defined 64 936,731 QUALCOMM INC COM Common Stocks 747525103 $2,896 63,215 SH Defined 66 63,215 QUALCOMM INC COM Common Stocks 747525103 $3,575 79,050 SH Defined 66 79,050 QUALCOMM INC COM Common Stocks 747525103 $29,827 659,894 SH Defined 72 659,894 QUALCOMM INC COM Common Stocks 747525103 $1,508 33,361 SH Defined 76 33,361 QUALCOMM INC COM Common Stocks 747525103 $1,989 44,000 SH Defined 80 44,000 QUALCOMM INC COM Common Stocks 747525103 $127,176 2,813,628 SH Sole 88 2,813,628 QUALCOMM INC COM Common Stocks 747525103 $2,323 51,400 SH Defined 89 51,400 QUALCOMM INC COM Common Stocks 747525103 $15,016 332,208 SH Defined 94 332,208 QUALCOMM INC COM Common Stocks 747525103 $774 16,900 SH Defined 96 16,900 QUALCOMM INC COM Common Stocks 747525103 $2,328 51,500 SH Defined 96 51,500 QUALCOMM INC COM Common Stocks 747525103 $20,409 451,531 SH Defined 102 451,531 QUALCOMM INC COM Common Stocks 747525103 $1,754 38,800 SH Defined 105 38,800 QUALCOMM INC COM Common Stocks 747525103 $2,094 46,335 SH Defined 106 46,335 QUALCOMM INC COM Common Stocks 747525103 $12,881 284,840 SH Defined 284,840 QUALITY SYS INC COM Common Stocks 747582104 $2,120 37,216 SH Defined 74 37,216 QUALITY SYS INC COM Common Stocks 747582104 $124 2,173 SH Defined 81 2,173 QUALITY SYS INC COM Common Stocks 747582104 $3,164 55,553 SH Sole 88 55,553 QUALITY SYS INC COM Common Stocks 747582104 $532 9,338 SH Defined 101 9,338 QUANEX BUILDING PRODUCTS C Common Stocks 747619104 $81 7,181 SH Defined 1 7,181 QUANEX BUILDING PRODUCTS C Common Stocks 747619104 $2,190 195,200 SH Defined 31 195,200 QUANEX BUILDING PRODUCTS C Common Stocks 747619104 $117 10,400 SH Defined 81 10,400 QUANEX BUILDING PRODUCTS C Common Stocks 747619104 $2,348 209,300 SH Sole 88 209,300 QUANTA SVCS INC COM Common Stocks 74762E102 $2,313 100,000 SH Defined 51 100,000 QUANTA SVCS INC COM Common Stocks 74762E102 $289 12,500 SH Defined 66 12,500 QUANTA SVCS INC COM Common Stocks 74762E102 $1,431 61,870 SH Defined 85 61,870 QUANTA SVCS INC COM Common Stocks 74762E102 $3,069 132,680 SH Sole 88 132,680 QUANTA SVCS INC COM Common Stocks 74762E102 $192 8,310 SH Defined 102 8,310 QUEST DIAGNOSTICS INC COM Common Stocks 74834L100 $5,547 98,300 SH Defined 51 98,300 QUEST DIAGNOSTICS INC COM Common Stocks 74834L100 $231 4,100 SH Defined 80 4,100 QUEST DIAGNOSTICS INC COM Common Stocks 74834L100 $3,482 61,700 SH Sole 88 61,700 QUEST SOFTWARE INC COM Common Stocks 74834T103 $102 7,300 SH Defined 65 7,300 QUESTAR CORP COM Common Stocks 748356102 $168 5,400 SH Defined 51 5,400 QUESTAR CORP COM Common Stocks 748356102 $143 4,600 SH Defined 80 4,600 QUESTAR CORP COM Common Stocks 748356102 $53 1,700 SH Sole 88 1,700 QUESTAR CORP COM Common Stocks 748356102 $132 4,260 SH Defined 102 4,260 QUICKSILVER RESOURCES INC Common Stocks 74837R104 $174 18,700 SH Defined 51 18,700 QUICKSILVER RESOURCES INC Common Stocks 74837R104 $113 12,200 SH Sole 88 12,200 QUIKSILVER INC COM Common Stocks 74838C106 $333 179,800 SH Defined 57 179,800 QUIKSILVER INC COM Common Stocks 74838C106 $225 121,700 SH Sole 88 121,700 QUIKSILVER INC COM Common Stocks 74838C106 $192 103,560 SH Defined 103,560 QUIDEL CORP COM Common Stocks 74838J101 $553 38,000 SH Sole 88 38,000 QWEST COMMUNICATIONS INTL Common Stocks 749121109 $194 46,800 SH Defined 4 46,800 QWEST COMMUNICATIONS INTL Common Stocks 749121109 $404 97,400 SH Defined 51 97,400 QWEST COMMUNICATIONS INTL Common Stocks 749121109 $3,440 829,000 SH Defined 57 829,000 QWEST COMMUNICATIONS INTL Common Stocks 749121109 $164 39,398 SH Defined 80 39,398 QWEST COMMUNICATIONS INTL Common Stocks 749121109 $3,077 741,400 SH Sole 88 741,400 QWEST COMMUNICATIONS INTL Common Stocks 749121109 $913 220,000 SH Defined 97 220,000 QWEST COMMUNICATIONS INTL IN Common Stocks 749121BY4 $367 371,000 SH Defined 33 371,000 RAIT FINANCIAL TRUST COM Common Stocks 749227104 $45 32,800 SH Defined 57 32,800 RAIT FINANCIAL TRUST COM Common Stocks 749227104 $86 62,500 SH Sole 88 62,500 RC2 CORP COM Common Stocks 749388104 $498 37,604 SH Defined 52 37,604 RC2 CORP COM Common Stocks 749388104 $287 21,700 SH Defined 63 21,700 RC2 CORP COM Common Stocks 749388104 $695 52,553 SH Sole 88 52,553 RLI CORP COM Common Stocks 749607107 $333 7,435 SH Defined 22 7,435 RLI CORP COM Common Stocks 749607107 $560 12,507 SH Defined 52 12,507 RLI CORP COM Common Stocks 749607107 $770 17,192 SH Sole 88 17,192 RPC INC COM Common Stocks 749660106 $1,403 167,991 SH Defined 31 167,991 RPC INC COM Common Stocks 749660106 $1,580 189,200 SH Sole 88 189,200 RPM INTL INC COM Common Stocks 749685103 $799 56,900 SH Defined 21 56,900 RPM INTL INC COM Common Stocks 749685103 $6,114 435,505 SH Defined 31 435,505 RPM INTL INC COM Common Stocks 749685103 $164 11,700 SH Defined 51 11,700 RPM INTL INC COM Common Stocks 749685103 $127 9,016 SH Defined 81 9,016 RPM INTL INC COM Common Stocks 749685103 $7,158 509,800 SH Sole 88 509,800 RRI ENERGY INC COM ADDED Common Stocks 74971X107 $712 142,200 SH Defined 4 142,200 RRI ENERGY INC COM ADDED Common Stocks 74971X107 $2,017 402,440 SH Defined 11 402,440 RRI ENERGY INC COM ADDED Common Stocks 74971X107 $171 34,200 SH Defined 57 34,200 RRI ENERGY INC COM ADDED Common Stocks 74971X107 $6,307 1,258,940 SH Defined 59 1,258,940 RRI ENERGY INC COM ADDED Common Stocks 74971X107 $97 19,410 SH Defined 81 19,410 RRI ENERGY INC COM ADDED Common Stocks 74971X107 $20,654 4,122,623 SH Sole 88 4,122,623 RRI ENERGY INC COM ADDED Common Stocks 74971X107 $20,023 3,996,545 SH Defined 91 3,996,545 RTI INTL METALS INC COM Common Stocks 74973W107 $318 17,995 SH Defined 74 17,995 RF MICRODEVICES INC COM Common Stocks 749941100 $96 25,500 SH Defined 23 25,500 RF MICRODEVICES INC COM Common Stocks 749941100 $1,117 297,200 SH Defined 57 297,200 RF MICRODEVICES INC COM Common Stocks 749941100 $112 29,902 SH Defined 81 29,902 RF MICRODEVICES INC COM Common Stocks 749941100 $863 229,500 SH Sole 88 229,500 RACKSPACE HOSTING INC COM Common Stocks 750086100 $482 34,775 SH Defined 44 34,775 RACKSPACE HOSTING INC COM Common Stocks 750086100 $76 5,500 SH Defined 65 5,500 RACKSPACE HOSTING INC COM Common Stocks 750086100 $561 40,504 SH Defined 85 40,504 RACKSPACE HOSTING INC COM Common Stocks 750086100 $576 41,540 SH Sole 88 41,540 RADIANT SYSTEMS INC COM Common Stocks 75025N102 $486 58,500 SH Defined 63 58,500 RADIOSHACK CORP COM Common Stocks 750438103 $50 3,546 SH Defined 11 3,546 RADIOSHACK CORP COM Common Stocks 750438103 $2,891 207,100 SH Defined 31 207,100 RADIOSHACK CORP COM Common Stocks 750438103 $3,402 243,700 SH Defined 35 243,700 RADIOSHACK CORP COM Common Stocks 750438103 $1,062 76,100 SH Defined 51 76,100 RADIOSHACK CORP COM Common Stocks 750438103 $2,506 179,503 SH Defined 57 179,503 RADIOSHACK CORP COM Common Stocks 750438103 $59 4,200 SH Defined 65 4,200 RADIOSHACK CORP COM Common Stocks 750438103 $424 30,400 SH Defined 67 30,400 RADIOSHACK CORP COM Common Stocks 750438103 $46 3,312 SH Defined 80 3,312 RADIOSHACK CORP COM Common Stocks 750438103 $141 10,133 SH Defined 81 10,133 RADIOSHACK CORP COM Common Stocks 750438103 $7,636 547,000 SH Sole 88 547,000 RADISYS CORP COM Common Stocks 750459109 $15 1,700 SH Defined 57 1,700 RADISYS CORP COM Common Stocks 750459109 $61 6,800 SH Defined 65 6,800 RAMBUS INC DEL COM Common Stocks 750917106 $322 20,800 SH Defined 51 20,800 RAMBUS INC DEL COM Common Stocks 750917106 $201 13,000 SH Sole 88 13,000 RALCORP HLDGS INC NEW COM Common Stocks 751028101 $299 4,900 SH Defined 57 4,900 RALCORP HLDGS INC NEW COM Common Stocks 751028101 $158 2,598 SH Defined 81 2,598 RALCORP HLDGS INC NEW COM Common Stocks 751028101 $664 10,900 SH Sole 88 10,900 RAMCO-GERSHENSON PPTYS TR Common Stocks 751452202 $22 2,200 SH Defined 57 2,200 RANGE RES CORP COM Common Stocks 75281A109 $248 6,000 SH Defined 18 6,000 RANGE RES CORP COM Common Stocks 75281A109 $170 4,100 SH Defined 80 4,100 RAYMOND JAMES FINANCIAL IN Common Stocks 754730109 $672 39,025 SH Defined 21 39,025 RAYMOND JAMES FINANCIAL IN Common Stocks 754730109 $6,588 382,800 SH Defined 35 382,800 RAYMOND JAMES FINANCIAL IN Common Stocks 754730109 $1,439 83,600 SH Defined 51 83,600 RAYMOND JAMES FINANCIAL IN Common Stocks 754730109 $821 47,700 SH Defined 67 47,700 RAYMOND JAMES FINANCIAL IN Common Stocks 754730109 $115 6,703 SH Defined 81 6,703 RAYMOND JAMES FINANCIAL IN Common Stocks 754730109 $7,158 415,895 SH Sole 88 415,895 RAYMOND JAMES FINANCIAL IN Common Stocks 754730109 $2,369 137,652 SH Defined 92 137,652 RAYONIER INC COM Common Stocks 754907103 $1,615 44,425 SH Defined 42 44,425 RAYONIER INC COM Common Stocks 754907103 $4,415 121,460 SH Defined 54 121,460 RAYONIER INC COM Common Stocks 754907103 $10,293 283,150 SH Defined 87 283,150 RAYONIER INC COM Common Stocks 754907103 $930 25,573 SH Sole 88 25,573 RAYTHEON CO COM NEW Common Stocks 755111507 $1,377 31,000 SH Defined 4 31,000 RAYTHEON CO COM NEW Common Stocks 755111507 $10,645 239,600 SH Defined 10 239,600 RAYTHEON CO COM NEW Common Stocks 755111507 $3,350 75,400 SH Defined 17 75,400 RAYTHEON CO COM NEW Common Stocks 755111507 $2,230 50,200 SH Defined 35 50,200 RAYTHEON CO COM NEW Common Stocks 755111507 $1,070 24,090 SH Defined 55 24,090 RAYTHEON CO COM NEW Common Stocks 755111507 $267 6,000 SH Defined 67 6,000 RAYTHEON CO COM NEW Common Stocks 755111507 $2,786 62,700 SH Defined 76 62,700 RAYTHEON CO COM NEW Common Stocks 755111507 $467 10,500 SH Defined 80 10,500 RAYTHEON CO COM NEW Common Stocks 755111507 $11,732 264,050 SH Sole 88 264,050 RBC BEARINGS INC COM Common Stocks 75524B104 $96 4,700 SH Defined 63 4,700 REALNETWORKS INC COM Common Stocks 75605L104 $21 7,000 SH Defined 57 7,000 REALTY INCOME CORP COM Common Stocks 756109104 $4,203 191,700 SH Defined 2 191,700 REALTY INCOME CORP COM Common Stocks 756109104 $752 34,319 SH Defined 52 34,319 REALTY INCOME CORP COM Common Stocks 756109104 $1,115 50,862 SH Sole 88 50,862 RED HAT INC COM Common Stocks 756577102 $203 10,100 SH Defined 4 10,100 RED HAT INC COM Common Stocks 756577102 $2,959 147,000 SH Defined 12 147,000 RED HAT INC COM Common Stocks 756577102 $1,198 59,500 SH Defined 23 59,500 RED HAT INC COM Common Stocks 756577102 $614 30,500 SH Defined 51 30,500 RED HAT INC COM Common Stocks 756577102 $143 7,105 SH Defined 81 7,105 RED HAT INC COM Common Stocks 756577102 $2,001 99,400 SH Sole 88 99,400 RED HAT INC COM Common Stocks 756577102 $1,322 65,620 SH Defined 98 65,620 RED HAT INC COM Common Stocks 756577102 $7,793 387,156 SH Defined 99 387,156 RED HAT INC COM Common Stocks 756577102 $126 6,260 SH Defined 102 6,260 RED HAT INC COM Common Stocks 756577102 $1,606 79,800 SH Defined 105 79,800 RED LION HOTELS CORP COM Common Stocks 756764106 $1,251 260,523 SH Defined 92 260,523 RED ROBIN GOURMET BURGERS Common Stocks 75689M101 $317 16,930 SH Defined 22 16,930 RED ROBIN GOURMET BURGERS Common Stocks 75689M101 $56 3,000 SH Defined 57 3,000 RED ROBIN GOURMET BURGERS Common Stocks 75689M101 $128 6,800 SH Defined 63 6,800 RED ROBIN GOURMET BURGERS Common Stocks 75689M101 $80 4,246 SH Defined 81 4,246 REDWOOD TR INC COM Common Stocks 758075402 $6,246 423,196 SH Sole 88 423,196 REDWOOD TR INC COM Common Stocks 758075402 $6,563 444,662 SH Defined 91 444,662 REGAL BELOIT CORP COM Common Stocks 758750103 $1,194 30,000 SH Defined 49 30,000 REGAL BELOIT CORP COM Common Stocks 758750103 $289 7,270 SH Defined 52 7,270 REGAL BELOIT CORP COM Common Stocks 758750103 $399 10,050 SH Sole 88 10,050 REGAL ENTMT GROUP CL A Common Stocks 758766109 $694 52,200 SH Defined 35 52,200 REGAL ENTMT GROUP CL A Common Stocks 758766109 $187 14,100 SH Defined 51 14,100 REGAL ENTMT GROUP CL A Common Stocks 758766109 $86 6,500 SH Defined 67 6,500 REGAL ENTMT GROUP CL A Common Stocks 758766109 $498 37,500 SH Sole 88 37,500 REGENCY CTRS CORP COM Common Stocks 758849103 $20,653 591,500 SH Defined 2 591,500 REGENCY CTRS CORP COM Common Stocks 758849103 $1,297 37,421 SH Defined 25 37,421 REGENCY CTRS CORP COM Common Stocks 758849103 $1,603 45,909 SH Defined 25 45,909 REGENCY CTRS CORP COM Common Stocks 758849103 $839 24,025 SH Defined 42 24,025 REGENCY CTRS CORP COM Common Stocks 758849103 $1,698 49,000 SH Defined 54 49,000 REGENCY CTRS CORP COM Common Stocks 758849103 $16,257 465,600 SH Defined 54 465,600 REGENCY CTRS CORP COM Common Stocks 758849103 $18,647 534,150 SH Defined 87 534,150 REGENCY CTRS CORP COM Common Stocks 758849103 $2,113 60,519 SH Sole 88 60,519 REGENERON PHARMACEUTICALS Common Stocks 75886F107 $23 1,300 SH Defined 65 1,300 REGIS CORP MINN COM Common Stocks 758932107 $78 4,500 SH Defined 23 4,500 REGIS CORP MINN COM Common Stocks 758932107 $200 11,500 SH Defined 65 11,500 REGIS CORP MINN COM Common Stocks 758932107 $115 6,600 SH Sole 88 6,600 REHABCARE GROUP INC COM Common Stocks 759148109 $110 4,600 SH Defined 1 4,600 REHABCARE GROUP INC COM Common Stocks 759148109 $340 14,200 SH Defined 23 14,200 REHABCARE GROUP INC COM Common Stocks 759148109 $558 23,300 SH Defined 44 23,300 REHABCARE GROUP INC COM Common Stocks 759148109 $81 3,400 SH Defined 57 3,400 REHABCARE GROUP INC COM Common Stocks 759148109 $519 21,700 SH Sole 88 21,700 REGIONS FINANCIAL CORP NEW Common Stocks 7591EP100 $1,072 265,372 SH Defined 9 265,372 REGIONS FINANCIAL CORP NEW Common Stocks 7591EP100 $693 171,518 SH Defined 11 171,518 REGIONS FINANCIAL CORP NEW Common Stocks 7591EP100 $4,287 1,060,863 SH Defined 11 1,060,863 REGIONS FINANCIAL CORP NEW Common Stocks 7591EP100 $192 47,500 SH Defined 56 47,500 REGIONS FINANCIAL CORP NEW Common Stocks 7591EP100 $4,247 1,051,200 SH Defined 57 1,051,200 REGIONS FINANCIAL CORP NEW Common Stocks 7591EP100 $124 30,734 SH Defined 80 30,734 REGIONS FINANCIAL CORP NEW Common Stocks 7591EP100 $3,671 908,577 SH Sole 88 908,577 REGIONS FINANCIAL CORP NEW Common Stocks 7591EP100 $849 210,100 SH Defined 97 210,100 REINSURANCE GROUP AMER INC Common Stocks 759351604 $1,065 30,500 SH Defined 35 30,500 REINSURANCE GROUP AMER INC Common Stocks 759351604 $133 3,800 SH Defined 67 3,800 REINSURANCE GROUP AMER INC Common Stocks 759351604 $126 3,610 SH Defined 81 3,610 REINSURANCE GROUP AMER INC Common Stocks 759351604 $580 16,600 SH Sole 88 16,600 RELIANCE STEEL & ALUMINUM Common Stocks 759509102 $560 14,600 SH Defined 10 14,600 RELIANCE STEEL & ALUMINUM Common Stocks 759509102 $2,222 57,870 SH Defined 42 57,870 RELIANCE STEEL & ALUMINUM Common Stocks 759509102 $269 7,000 SH Defined 51 7,000 RELIANCE STEEL & ALUMINUM Common Stocks 759509102 $537 14,000 SH Defined 57 14,000 RELIANCE STEEL & ALUMINUM Common Stocks 759509102 $35 900 SH Defined 65 900 RELIANCE STEEL & ALUMINUM Common Stocks 759509102 $2,265 58,997 SH Sole 88 58,997 RENAISSANCE LEARNING INC C Common Stocks 75968L105 $30 3,286 SH Defined 31 3,286 RENASANT CORP COM Common Stocks 75970E107 $197 13,100 SH Defined 57 13,100 RENASANT CORP COM Common Stocks 75970E107 $242 16,100 SH Sole 88 16,100 RENT A CTR INC NEW COM Common Stocks 76009N100 $468 26,242 SH Defined 1 26,242 RENT A CTR INC NEW COM Common Stocks 76009N100 $3,953 221,707 SH Defined 23 221,707 RENT A CTR INC NEW COM Common Stocks 76009N100 $2,988 167,600 SH Defined 57 167,600 RENT A CTR INC NEW COM Common Stocks 76009N100 $273 15,300 SH Defined 65 15,300 RENT A CTR INC NEW COM Common Stocks 76009N100 $2,009 112,656 SH Defined 76 112,656 RENT A CTR INC NEW COM Common Stocks 76009N100 $5,479 307,300 SH Sole 88 307,300 REPUBLIC AWYS HLDGS INC CO Common Stocks 760276105 $91 13,900 SH Defined 23 13,900 REPUBLIC AWYS HLDGS INC CO Common Stocks 760276105 $121 18,605 SH Defined 57 18,605 REPUBLIC AWYS HLDGS INC CO Common Stocks 760276105 $168 25,700 SH Defined 65 25,700 REPUBLIC AWYS HLDGS INC CO Common Stocks 760276105 $279 42,800 SH Sole 88 42,800 REPUBLIC BANCORP KY CL A Common Stocks 760281204 $86 3,816 SH Defined 1 3,816 REPUBLIC BANCORP KY CL A Common Stocks 760281204 $122 5,400 SH Defined 65 5,400 REPUBLIC SVCS INC COM Common Stocks 760759100 $882 36,150 SH Defined 21 36,150 REPUBLIC SVCS INC COM Common Stocks 760759100 $4,682 191,800 SH Defined 31 191,800 REPUBLIC SVCS INC COM Common Stocks 760759100 $2,105 86,074 SH Defined 49 86,074 REPUBLIC SVCS INC COM Common Stocks 760759100 $1,432 58,655 SH Defined 51 58,655 REPUBLIC SVCS INC COM Common Stocks 760759100 $1,083 44,860 SH Defined 79 44,860 REPUBLIC SVCS INC COM Common Stocks 760759100 $1,882 77,104 SH Defined 79 77,104 REPUBLIC SVCS INC COM Common Stocks 760759100 $206 8,435 SH Defined 80 8,435 REPUBLIC SVCS INC COM Common Stocks 760759100 $6,102 249,988 SH Sole 88 249,988 REPUBLIC SVCS INC COM Common Stocks 760759100 $2,966 121,499 SH Defined 103 121,499 RES-CARE INC COM Common Stocks 760943100 $1,012 70,749 SH Sole 88 70,749 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $1,063 15,300 SH Defined 11 15,300 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $3,347 46,900 SH Defined 11 46,900 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $11,192 157,500 SH Defined 14 157,500 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $708 10,227 SH Defined 26 10,227 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $27,026 380,317 SH Defined 26 380,317 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $4,557 64,122 SH Defined 27 64,122 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $8,446 118,737 SH Defined 43 118,737 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $1,418 19,940 SH Defined 66 19,940 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $27,892 392,547 SH Defined 72 392,547 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $1,800 25,290 SH Defined 76 25,290 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $40,323 567,530 SH Sole 88 567,530 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $1,741 24,504 SH Defined 109 24,504 RESEARCH IN MOTION LTD COM Common Stocks 760975102 $45,568 640,119 SH Defined 640,119 RESMED INC COM Common Stocks 761152107 $100 2,454 SH Defined 11 2,454 RESMED INC COM Common Stocks 761152107 $2,922 71,743 SH Sole 88 71,743 RESMED INC COM Common Stocks 761152107 $5,167 126,850 SH Defined 103 126,850 REX ENERGY CORPORATION COM Common Stocks 761565100 $269 47,170 SH Defined 47,170 REYNOLDS AMERICAN INC COM Common Stocks 761713106 $1,981 51,300 SH Defined 4 51,300 REYNOLDS AMERICAN INC COM Common Stocks 761713106 $8,222 212,900 SH Defined 10 212,900 REYNOLDS AMERICAN INC COM Common Stocks 761713106 $13,556 350,912 SH Defined 23 350,912 REYNOLDS AMERICAN INC COM Common Stocks 761713106 $189 4,900 SH Defined 51 4,900 REYNOLDS AMERICAN INC COM Common Stocks 761713106 $3,883 100,543 SH Defined 76 100,543 REYNOLDS AMERICAN INC COM Common Stocks 761713106 $178 4,600 SH Defined 80 4,600 REYNOLDS AMERICAN INC COM Common Stocks 761713106 $9,161 237,200 SH Sole 88 237,200 REYNOLDS AMERICAN INC COM Common Stocks 761713106 $108 2,797 SH Defined 2,797 RICHARDSON ELECTRS LTD COM Common Stocks 763165107 $128 39,202 SH Defined 31 39,202 RIGHTNOW TECHNOLOGIES INC Common Stocks 76657R106 $12 1,000 SH Defined 57 1,000 RIMAGE CORP COM Common Stocks 766721104 $378 22,752 SH Defined 63 22,752 RISKMETRICS GROUP INC COM Common Stocks 767735103 $106 6,025 SH Defined 6,025 RITCHIE BROS AUCTIONEERS C Common Stocks 767744105 $555 23,788 SH Defined 64 23,788 RITCHIE BROS AUCTIONEERS C Common Stocks 767744105 $3,386 144,316 SH Defined 64 144,316 RITCHIE BROS AUCTIONEERS C Common Stocks 767744105 $111 4,750 SH Defined 85 4,750 RITCHIE BROS AUCTIONEERS C Common Stocks 767744105 $130 5,540 SH Sole 88 5,540 RITCHIE BROS AUCTIONEERS C Common Stocks 767744105 $157 6,690 SH Defined 102 6,690 RITE AID CORP COM Common Stocks 767754104 $117 77,160 SH Defined 77,160 RIVERBED TECHNOLOGY INC CO Common Stocks 768573107 $683 29,450 SH Defined 44 29,450 ROBBINS & MYERS INC COM Common Stocks 770196103 $1,263 65,600 SH Defined 31 65,600 ROBBINS & MYERS INC COM Common Stocks 770196103 $402 20,860 SH Defined 52 20,860 ROBBINS & MYERS INC COM Common Stocks 770196103 $523 27,184 SH Defined 73 27,184 ROBBINS & MYERS INC COM Common Stocks 770196103 $4,192 217,785 SH Sole 88 217,785 ROBBINS & MYERS INC COM Common Stocks 770196103 $1,946 101,076 SH Defined 92 101,076 ROBERT HALF INTL INC COM Common Stocks 770323103 $605 25,623 SH Defined 42 25,623 ROBERT HALF INTL INC COM Common Stocks 770323103 $149 6,300 SH Defined 51 6,300 ROBERT HALF INTL INC COM Common Stocks 770323103 $515 21,790 SH Defined 60 21,790 ROBERT HALF INTL INC COM Common Stocks 770323103 $697 29,489 SH Defined 76 29,489 ROBERT HALF INTL INC COM Common Stocks 770323103 $94 4,000 SH Defined 80 4,000 ROBERT HALF INTL INC COM Common Stocks 770323103 $141 5,985 SH Defined 81 5,985 ROBERT HALF INTL INC COM Common Stocks 770323103 $3,878 164,171 SH Sole 88 164,171 ROBERT HALF INTL INC COM Common Stocks 770323103 $3,433 145,340 SH Defined 102 145,340 ROCK-TENN CO CL A Common Stocks 772739207 $92 2,400 SH Defined 1 2,400 ROCK-TENN CO CL A Common Stocks 772739207 $3,675 96,300 SH Defined 23 96,300 ROCK-TENN CO CL A Common Stocks 772739207 $1,336 35,020 SH Defined 57 35,020 ROCK-TENN CO CL A Common Stocks 772739207 $371 9,733 SH Defined 65 9,733 ROCK-TENN CO CL A Common Stocks 772739207 $4,129 108,200 SH Sole 88 108,200 ROCK-TENN CO CL A Common Stocks 772739207 $139 3,640 SH Defined 102 3,640 ROCKWELL AUTOMATION INC CO Common Stocks 773903109 $163 5,050 SH Defined 11 5,050 ROCKWELL AUTOMATION INC CO Common Stocks 773903109 $3,120 97,122 SH Defined 31 97,122 ROCKWELL AUTOMATION INC CO Common Stocks 773903109 $225 7,000 SH Defined 41 7,000 ROCKWELL AUTOMATION INC CO Common Stocks 773903109 $106 3,311 SH Defined 42 3,311 ROCKWELL AUTOMATION INC CO Common Stocks 773903109 $446 13,900 SH Defined 51 13,900 ROCKWELL AUTOMATION INC CO Common Stocks 773903109 $5,511 171,540 SH Defined 68 171,540 ROCKWELL AUTOMATION INC CO Common Stocks 773903109 $2,477 76,640 SH Defined 70 76,640 ROCKWELL AUTOMATION INC CO Common Stocks 773903109 $2,327 72,413 SH Defined 70 72,413 ROCKWELL AUTOMATION INC CO Common Stocks 773903109 $125 3,900 SH Defined 80 3,900 ROCKWELL AUTOMATION INC CO Common Stocks 773903109 $1,035 32,219 SH Sole 88 32,219 ROCKWELL COLLINS INC COM Common Stocks 774341101 $3,280 78,590 SH Defined 8 78,590 ROCKWELL COLLINS INC COM Common Stocks 774341101 $607 14,554 SH Defined 42 14,554 ROCKWELL COLLINS INC COM Common Stocks 774341101 $664 15,900 SH Defined 76 15,900 ROCKWELL COLLINS INC COM Common Stocks 774341101 $175 4,200 SH Defined 80 4,200 ROCKWELL COLLINS INC COM Common Stocks 774341101 $350 8,376 SH Sole 88 8,376 ROCKWOOD HLDGS INC COM Common Stocks 774415103 $726 49,601 SH Defined 52 49,601 ROCKWOOD HLDGS INC COM Common Stocks 774415103 $1,050 71,744 SH Sole 88 71,744 ROGERS COMMUNICATIONS INC Common Stocks 775109200 $19,631 762,500 SH Defined 34 762,500 ROGERS COMMUNICATIONS INC Common Stocks 775109200 $1,510 58,662 SH Defined 45 58,662 ROGERS COMMUNICATIONS INC Common Stocks 775109200 $40 1,540 SH Defined 68 1,540 ROGERS COMMUNICATIONS INC Common Stocks 775109200 $3,474 134,921 SH Defined 134,921 ROGERS CORP COM Common Stocks 775133101 $82 4,066 SH Defined 81 4,066 ROPER INDS INC NEW COM Common Stocks 776696106 $1,053 23,200 SH Defined 49 23,200 ROPER INDS INC NEW COM Common Stocks 776696106 $471 10,400 SH Defined 51 10,400 ROPER INDS INC NEW COM Common Stocks 776696106 $154 3,403 SH Defined 81 3,403 ROPER INDS INC NEW COM Common Stocks 776696106 $290 6,400 SH Sole 88 6,400 ROSETTA RESOURCES INC COM Common Stocks 777779307 $206 23,506 SH Defined 57 23,506 ROSETTA RESOURCES INC COM Common Stocks 777779307 $11 1,200 SH Defined 65 1,200 ROSETTA RESOURCES INC COM Common Stocks 777779307 $117 13,377 SH Defined 81 13,377 ROSETTA RESOURCES INC COM Common Stocks 777779307 $274 31,307 SH Defined 85 31,307 ROSETTA RESOURCES INC COM Common Stocks 777779307 $454 51,940 SH Sole 88 51,940 ROSETTA STONE INC COM ADDE Common Stocks 777780107 $3,301 120,300 SH Sole 88 120,300 ROSETTA STONE INC COM ADDE Common Stocks 777780107 $453 16,500 SH Defined 95 16,500 ROSS STORES INC COM Common Stocks 778296103 $6,207 160,800 SH Defined 10 160,800 ROSS STORES INC COM Common Stocks 778296103 $363 9,400 SH Defined 18 9,400 ROSS STORES INC COM Common Stocks 778296103 $13,848 358,676 SH Defined 23 358,676 ROSS STORES INC COM Common Stocks 778296103 $1,343 34,800 SH Defined 35 34,800 ROSS STORES INC COM Common Stocks 778296103 $2,686 69,581 SH Defined 42 69,581 ROSS STORES INC COM Common Stocks 778296103 $2,478 64,200 SH Defined 51 64,200 ROSS STORES INC COM Common Stocks 778296103 $332 8,600 SH Defined 66 8,600 ROSS STORES INC COM Common Stocks 778296103 $170 4,400 SH Defined 67 4,400 ROSS STORES INC COM Common Stocks 778296103 $128 3,309 SH Defined 81 3,309 ROSS STORES INC COM Common Stocks 778296103 $7,316 189,536 SH Sole 88 189,536 ROSS STORES INC COM Common Stocks 778296103 $96 2,455 SH Defined 2,455 ROWAN COS INC COM Common Stocks 779382100 $0 1 SH Defined 1 1 ROWAN COS INC COM Common Stocks 779382100 $5,991 310,080 SH Defined 57 310,080 ROWAN COS INC COM Common Stocks 779382100 $60 3,100 SH Defined 80 3,100 ROWAN COS INC COM Common Stocks 779382100 $4,028 208,500 SH Sole 88 208,500 ROWAN COS INC COM Common Stocks 779382100 $1,540 79,715 SH Defined 92 79,715 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $2,298 56,100 SH Defined 1 56,100 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $2,409 58,100 SH Defined 3 58,100 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $295 7,200 SH Defined 11 7,200 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $26,666 651,000 SH Defined 34 651,000 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $153 3,700 SH Defined 42 3,700 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $7,081 172,875 SH Defined 43 172,875 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $2,300 54,800 SH Defined 66 54,800 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $2,221 54,000 SH Defined 66 54,000 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $1,906 46,526 SH Defined 76 46,526 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $249 6,100 SH Sole 88 6,100 ROYAL BK CDA MONTREAL QUE Common Stocks 780087102 $61,812 1,509,008 SH Defined 1,509,008 ROYAL DUTCH SHELL PLC SPON Common Stocks 780259206 $743 14,800 SH Defined 4 14,800 ROYAL DUTCH SHELL PLC SPON Common Stocks 780259206 $146 2,902 SH Defined 11 2,902 ROYAL DUTCH SHELL PLC SPON Common Stocks 780259206 $110 2,200 SH Defined 32 2,200 ROYAL DUTCH SHELL PLC SPON Common Stocks 780259206 $217 4,300 SH Defined 79 4,300 ROYAL DUTCH SHELL PLC SPON Common Stocks 780259206 $346 6,900 SH Defined 79 6,900 ROYAL DUTCH SHELL PLC SPON Common Stocks 780259206 $733 14,600 SH Sole 88 14,600 ROYAL GOLD INC COM Common Stocks 780287108 $132 3,175 SH Defined 44 3,175 RUBIOS RESTAURANTS INC COM Common Stocks 78116B102 $258 41,400 SH Defined 63 41,400 RUBY TUESDAY INC COM Common Stocks 781182100 $42 6,300 SH Defined 1 6,300 RUBY TUESDAY INC COM Common Stocks 781182100 $1,998 300,000 SH Defined 23 300,000 RUBY TUESDAY INC COM Common Stocks 781182100 $1,783 267,700 SH Sole 88 267,700 RUDDICK CORP COM Common Stocks 781258108 $903 38,525 SH Defined 52 38,525 RUDDICK CORP COM Common Stocks 781258108 $305 13,000 SH Defined 77 13,000 RUDDICK CORP COM Common Stocks 781258108 $112 4,801 SH Defined 81 4,801 RUDDICK CORP COM Common Stocks 781258108 $1,214 51,813 SH Sole 88 51,813 RUSH ENTERPRISES INC CL B Common Stocks 781846308 $245 24,754 SH Defined 63 24,754 RYANAIR HLDGS PLC SPONSORE Common Stocks 783513104 $4,929 173,600 SH Sole 88 173,600 RYANAIR HLDGS PLC SPONSORE Common Stocks 783513104 $6,652 234,300 SH Defined 109 234,300 RYDER SYS INC COM Common Stocks 783549108 $993 35,575 SH Defined 30 35,575 RYDER SYS INC COM Common Stocks 783549108 $1,985 71,100 SH Defined 31 71,100 RYDER SYS INC COM Common Stocks 783549108 $89 3,200 SH Defined 51 3,200 RYDER SYS INC COM Common Stocks 783549108 $2,033 72,800 SH Defined 57 72,800 RYDER SYS INC COM Common Stocks 783549108 $42 1,500 SH Defined 80 1,500 RYDER SYS INC COM Common Stocks 783549108 $4,068 145,690 SH Sole 88 145,690 RYLAND GROUP INC COM Common Stocks 783764103 $541 32,299 SH Defined 52 32,299 RYLAND GROUP INC COM Common Stocks 783764103 $1,177 70,200 SH Defined 57 70,200 RYLAND GROUP INC COM Common Stocks 783764103 $2,199 131,200 SH Defined 59 131,200 RYLAND GROUP INC COM Common Stocks 783764103 $2,127 126,891 SH Sole 88 126,891 RYLAND GROUP INC COM Common Stocks 783764103 $186 11,110 SH Defined 102 11,110 SBA COMMUNICATIONS CORP CO Common Stocks 78388J106 $486 19,800 SH Defined 28 19,800 SBA COMMUNICATIONS CORP CO Common Stocks 78388J106 $537 21,900 SH Defined 51 21,900 SBA COMMUNICATIONS CORP CO Common Stocks 78388J106 $1,227 49,993 SH Sole 88 49,993 SBA COMMUNICATIONS CORP CO Common Stocks 78388J106 $2,654 108,166 SH Defined 103 108,166 SAIC INC COM Common Stocks 78390X101 $838 45,103 SH Defined 11 45,103 SAIC INC COM Common Stocks 78390X101 $3,147 169,670 SH Defined 23 169,670 SAIC INC COM Common Stocks 78390X101 $484 26,100 SH Defined 51 26,100 SAIC INC COM Common Stocks 78390X101 $6,437 347,000 SH Defined 57 347,000 SAIC INC COM Common Stocks 78390X101 $6,996 377,162 SH Sole 88 377,162 SCBT FINANCIAL CORP COM Common Stocks 78401V102 $88 3,700 SH Defined 31 3,700 SEI INVESTMENTS CO COM Common Stocks 784117103 $1,993 110,482 SH Defined 42 110,482 SEI INVESTMENTS CO COM Common Stocks 784117103 $215 11,900 SH Defined 51 11,900 SEI INVESTMENTS CO COM Common Stocks 784117103 $2,559 141,857 SH Defined 57 141,857 SEI INVESTMENTS CO COM Common Stocks 784117103 $2,896 160,536 SH Sole 88 160,536 SL GREEN RLTY CORP COM Common Stocks 78440X101 $2,477 108,683 SH Defined 25 108,683 SL GREEN RLTY CORP COM Common Stocks 78440X101 $2,674 116,513 SH Defined 25 116,513 SL GREEN RLTY CORP COM Common Stocks 78440X101 $184 8,000 SH Defined 51 8,000 SL GREEN RLTY CORP COM Common Stocks 78440X101 $952 41,780 SH Defined 54 41,780 SL GREEN RLTY CORP COM Common Stocks 78440X101 $8,143 354,929 SH Defined 54 354,929 SL GREEN RLTY CORP COM Common Stocks 78440X101 $4,044 176,300 SH Defined 87 176,300 SL GREEN RLTY CORP COM Common Stocks 78440X101 $1,248 54,389 SH Sole 88 54,389 SLM CORP COM Common Stocks 78442P106 $5,518 537,300 SH Defined 17 537,300 SLM CORP COM Common Stocks 78442P106 $169 16,500 SH Defined 32 16,500 SLM CORP COM Common Stocks 78442P106 $953 92,800 SH Defined 51 92,800 SLM CORP COM Common Stocks 78442P106 $127 12,400 SH Defined 80 12,400 SLM CORP COM Common Stocks 78442P106 $591 57,500 SH Sole 88 57,500 SPX CORP COM Common Stocks 784635104 $1,096 22,370 SH Defined 11 22,370 SPX CORP COM Common Stocks 784635104 $3,139 64,100 SH Defined 31 64,100 SPX CORP COM Common Stocks 784635104 $59 1,200 SH Defined 65 1,200 SPX CORP COM Common Stocks 784635104 $1,213 24,910 SH Defined 66 24,910 SPX CORP COM Common Stocks 784635104 $1,546 31,560 SH Defined 66 31,560 SPX CORP COM Common Stocks 784635104 $690 14,100 SH Sole 88 14,100 SPX CORP COM Common Stocks 784635104 $911 18,593 SH Defined 97 18,593 S1 CORPORATION COM Common Stocks 78463B101 $1,376 199,452 SH Defined 23 199,452 S1 CORPORATION COM Common Stocks 78463B101 $180 26,100 SH Defined 65 26,100 S1 CORPORATION COM Common Stocks 78463B101 $1,279 185,300 SH Sole 88 185,300 SRA INTL INC CL A Common Stocks 78464R105 $638 36,345 SH Sole 88 36,345 STEC INC COM Common Stocks 784774101 $550 23,700 SH Defined 44 23,700 STEC INC COM Common Stocks 784774101 $1,328 57,263 SH Defined 74 57,263 STEC INC COM Common Stocks 784774101 $2,237 96,477 SH Sole 88 96,477 SVB FINL GROUP COM Common Stocks 78486Q101 $3,031 111,334 SH Defined 85 111,334 SVB FINL GROUP COM Common Stocks 78486Q101 $3,421 125,695 SH Sole 88 125,695 SWS GROUP INC COM Common Stocks 78503N107 $123 8,800 SH Defined 57 8,800 SWS GROUP INC COM Common Stocks 78503N107 $115 8,200 SH Defined 65 8,200 SXC HEALTH SOLUTIONS CORP CO Common Stocks 78505P100 $526 20,700 SH Defined 44 20,700 SXC HEALTH SOLUTIONS CORP CO Common Stocks 78505P100 $400 15,720 SH Defined 74 15,720 SXC HEALTH SOLUTIONS CORP CO Common Stocks 78505P100 $3,241 127,510 SH Defined 85 127,510 SXC HEALTH SOLUTIONS CORP CO Common Stocks 78505P100 $4,069 160,060 SH Sole 88 160,060 S Y BANCORP INC COM Common Stocks 785060104 $22 900 SH Defined 57 900 SAFEWAY INC COM NEW Common Stocks 786514208 $1,408 69,100 SH Defined 4 69,100 SAFEWAY INC COM NEW Common Stocks 786514208 $7,749 380,400 SH Defined 10 380,400 SAFEWAY INC COM NEW Common Stocks 786514208 $605 29,700 SH Defined 56 29,700 SAFEWAY INC COM NEW Common Stocks 786514208 $8,802 432,100 SH Defined 57 432,100 SAFEWAY INC COM NEW Common Stocks 786514208 $2,183 107,170 SH Defined 58 107,170 SAFEWAY INC COM NEW Common Stocks 786514208 $388 19,029 SH Defined 76 19,029 SAFEWAY INC COM NEW Common Stocks 786514208 $230 11,300 SH Defined 80 11,300 SAFEWAY INC COM NEW Common Stocks 786514208 $25,350 1,244,500 SH Sole 88 1,244,500 SAFEWAY INC COM NEW Common Stocks 786514208 $484 23,700 SH Defined 93 23,700 SAFEWAY INC COM NEW Common Stocks 786514208 $1,200 58,900 SH Defined 93 58,900 SAFEWAY INC COM NEW Common Stocks 786514208 $14,560 714,760 SH Defined 714,760 SAIA INC COM Common Stocks 78709Y105 $41 2,300 SH Defined 57 2,300 SAIA INC COM Common Stocks 78709Y105 $199 11,035 SH Defined 74 11,035 ST JUDE MED INC COM Common Stocks 790849103 $678 16,500 SH Defined 4 16,500 ST JUDE MED INC COM Common Stocks 790849103 $15,952 388,116 SH Defined 9 388,116 ST JUDE MED INC COM Common Stocks 790849103 $9,093 221,200 SH Defined 14 221,200 ST JUDE MED INC COM Common Stocks 790849103 $668 16,155 SH Defined 26 16,155 ST JUDE MED INC COM Common Stocks 790849103 $24,698 600,817 SH Defined 26 600,817 ST JUDE MED INC COM Common Stocks 790849103 $226 5,500 SH Defined 51 5,500 ST JUDE MED INC COM Common Stocks 790849103 $7,854 191,100 SH Defined 57 191,100 ST JUDE MED INC COM Common Stocks 790849103 $1,637 39,820 SH Defined 60 39,820 ST JUDE MED INC COM Common Stocks 790849103 $378 9,200 SH Defined 80 9,200 ST JUDE MED INC COM Common Stocks 790849103 $37,354 908,862 SH Sole 88 908,862 ST JUDE MED INC COM Common Stocks 790849103 $8,548 207,970 SH Defined 102 207,970 ST JUDE MED INC COM Common Stocks 790849103 $778 18,935 SH Defined 106 18,935 ST JUDE MED INC COM Common Stocks 790849103 $110 2,648 SH Defined 2,648 ST MARY LD & EXPL CO COM Common Stocks 792228108 $615 29,477 SH Defined 42 29,477 ST MARY LD & EXPL CO COM Common Stocks 792228108 $478 22,900 SH Defined 51 22,900 ST MARY LD & EXPL CO COM Common Stocks 792228108 $594 28,450 SH Sole 88 28,450 SALESFORCE COM INC COM Common Stocks 79466L302 $181 4,745 SH Defined 4 4,745 SALESFORCE COM INC COM Common Stocks 79466L302 $562 14,535 SH Defined 18 14,535 SALESFORCE COM INC COM Common Stocks 79466L302 $1,219 31,941 SH Defined 18 31,941 SALESFORCE COM INC COM Common Stocks 79466L302 $4,448 116,537 SH Defined 27 116,537 SALESFORCE COM INC COM Common Stocks 79466L302 $350 9,180 SH Defined 58 9,180 SALESFORCE COM INC COM Common Stocks 79466L302 $412 10,790 SH Defined 60 10,790 SALESFORCE COM INC COM Common Stocks 79466L302 $3,944 103,322 SH Defined 74 103,322 SALESFORCE COM INC COM Common Stocks 79466L302 $107 2,800 SH Defined 80 2,800 SALESFORCE COM INC COM Common Stocks 79466L302 $1,369 35,860 SH Defined 85 35,860 SALESFORCE COM INC COM Common Stocks 79466L302 $9,931 260,175 SH Sole 88 260,175 SALESFORCE COM INC COM Common Stocks 79466L302 $1,805 47,300 SH Defined 89 47,300 SALESFORCE COM INC COM Common Stocks 79466L302 $3,174 83,160 SH Defined 102 83,160 SALLY BEAUTY HLDGS INC COM Common Stocks 79546E104 $1,198 188,360 SH Defined 68 188,360 SALLY BEAUTY HLDGS INC COM Common Stocks 79546E104 $470 74,500 SH Defined 70 74,500 SALLY BEAUTY HLDGS INC COM Common Stocks 79546E104 $460 72,242 SH Defined 70 72,242 SANDERS MORRIS HARRIS GROUP Common Stocks 80000Q104 $37 6,700 SH Defined 65 6,700 SANDERSON FARMS INC COM Common Stocks 800013104 $95 2,100 SH Defined 23 2,100 SANDERSON FARMS INC COM Common Stocks 800013104 $9 200 SH Defined 57 200 SANDERSON FARMS INC COM Common Stocks 800013104 $140 3,100 SH Sole 88 3,100 SANDISK CORP COM Common Stocks 80004C101 $60 4,083 SH Defined 42 4,083 SANDISK CORP COM Common Stocks 80004C101 $344 23,400 SH Defined 51 23,400 SANDISK CORP COM Common Stocks 80004C101 $250 17,000 SH Defined 56 17,000 SANDISK CORP COM Common Stocks 80004C101 $3,640 247,800 SH Defined 57 247,800 SANDISK CORP COM Common Stocks 80004C101 $195 13,280 SH Defined 58 13,280 SANDISK CORP COM Common Stocks 80004C101 $88 6,000 SH Defined 80 6,000 SANDISK CORP COM Common Stocks 80004C101 $4,937 336,046 SH Sole 88 336,046 SANDRIDGE ENERGY INC COM Common Stocks 80007P307 $176 20,700 SH Defined 51 20,700 SANDRIDGE ENERGY INC COM Common Stocks 80007P307 $149 17,500 SH Defined 57 17,500 SANDRIDGE ENERGY INC COM Common Stocks 80007P307 $439 51,500 SH Sole 88 51,500 SANDY SPRING BANCORP INC COM Common Stocks 800363103 $238 16,200 SH Defined 57 16,200 SANDY SPRING BANCORP INC COM Common Stocks 800363103 $207 14,100 SH Sole 88 14,100 SANMINA SCI CORP COM Common Stocks 800907107 $407 925,539 SH Defined 57 925,539 SANMINA SCI CORP COM Common Stocks 800907107 $261 594,091 SH Sole 88 594,091 SANMINA SCI CORP COM Common Stocks 800907107 $108 245,115 SH Defined 245,115 SANOFI AVENTIS SPONSORED A Common Stocks 80105N105 $398 13,500 SH Defined 32 13,500 SANOFI AVENTIS SPONSORED A Common Stocks 80105N105 $19,596 664,500 SH Defined 100 664,500 SANTANDER BANCORP COM Common Stocks 802809103 $84 12,000 SH Defined 57 12,000 SANTANDER BANCORP COM Common Stocks 802809103 $39 5,600 SH Defined 65 5,600 SAP AG SPON ADR Common Stocks 803054204 $3,761 93,581 SH Defined 12 93,581 SAP AG SPON ADR Common Stocks 803054204 $1,468 36,532 SH Defined 45 36,532 SAP AG SPON ADR Common Stocks 803054204 $1,427 35,500 SH Sole 88 35,500 SAP AG SPON ADR Common Stocks 803054204 $662 16,400 SH Defined 96 16,400 SAP AG SPON ADR Common Stocks 803054204 $1,969 49,000 SH Defined 96 49,000 SAPIENT CORP COM Common Stocks 803062108 $614 97,540 SH Sole 88 97,540 SARA LEE CORP COM Common Stocks 803111103 $1,331 136,348 SH Defined 1 136,348 SARA LEE CORP COM Common Stocks 803111103 $3,305 338,600 SH Defined 10 338,600 SARA LEE CORP COM Common Stocks 803111103 $333 34,100 SH Defined 51 34,100 SARA LEE CORP COM Common Stocks 803111103 $11,358 1,163,754 SH Defined 62 1,163,754 SARA LEE CORP COM Common Stocks 803111103 $610 62,455 SH Defined 76 62,455 SARA LEE CORP COM Common Stocks 803111103 $182 18,600 SH Defined 80 18,600 SARA LEE CORP COM Common Stocks 803111103 $559 57,275 SH Defined 84 57,275 SARA LEE CORP COM Common Stocks 803111103 $210 21,500 SH Sole 88 21,500 SAUER-DANFOSS INC COM Common Stocks 804137107 $191 31,200 SH Defined 57 31,200 SAUER-DANFOSS INC COM Common Stocks 804137107 $135 22,100 SH Sole 88 22,100 SAVIENT PHARMACEUTICALS IN Common Stocks 80517Q100 $14 1,000 SH Defined 65 1,000 SAVIENT PHARMACEUTICALS IN Common Stocks 80517Q100 $80 5,760 SH Defined 102 5,760 SAVVIS INC COM NEW Common Stocks 805423308 $96 8,410 SH Defined 81 8,410 SAVVIS INC COM NEW Common Stocks 805423308 $174 15,170 SH Defined 15,170 SCANA CORP NEW COM Common Stocks 80589M102 $831 25,600 SH Defined 51 25,600 SCANA CORP NEW COM Common Stocks 80589M102 $101 3,100 SH Defined 56 3,100 SCANA CORP NEW COM Common Stocks 80589M102 $107 3,300 SH Defined 80 3,300 SCANA CORP NEW COM Common Stocks 80589M102 $171 5,278 SH Defined 81 5,278 SCANA CORP NEW COM Common Stocks 80589M102 $529 16,300 SH Sole 88 16,300 SCANSOURCE INC COM Common Stocks 806037107 $44 1,800 SH Defined 57 1,800 SCHEIN HENRY INC COM Common Stocks 806407102 $5,836 121,700 SH Defined 12 121,700 SCHEIN HENRY INC COM Common Stocks 806407102 $556 11,600 SH Defined 60 11,600 SCHEIN HENRY INC COM Common Stocks 806407102 $164 3,410 SH Defined 81 3,410 SCHEIN HENRY INC COM Common Stocks 806407102 $5,371 112,013 SH Sole 88 112,013 SCHEIN HENRY INC COM Common Stocks 806407102 $384 8,100 SH Defined 96 8,100 SCHEIN HENRY INC COM Common Stocks 806407102 $1,218 25,400 SH Defined 96 25,400 SCHEIN HENRY INC COM Common Stocks 806407102 $3,517 73,340 SH Defined 102 73,340 SCHEIN HENRY INC COM Common Stocks 806407102 $943 19,657 SH Defined 103 19,657 SCHERING PLOUGH CORP COM Common Stocks 806605101 $1,499 59,677 SH Defined 1 59,677 SCHERING PLOUGH CORP COM Common Stocks 806605101 $2,251 89,600 SH Defined 4 89,600 SCHERING PLOUGH CORP COM Common Stocks 806605101 $1,979 79,300 SH Defined 50 79,300 SCHERING PLOUGH CORP COM Common Stocks 806605101 $60,394 2,403,786 SH Defined 50 2,403,786 SCHERING PLOUGH CORP COM Common Stocks 806605101 $2,668 106,200 SH Defined 51 106,200 SCHERING PLOUGH CORP COM Common Stocks 806605101 $1,359 54,100 SH Defined 56 54,100 SCHERING PLOUGH CORP COM Common Stocks 806605101 $2,719 108,240 SH Defined 58 108,240 SCHERING PLOUGH CORP COM Common Stocks 806605101 $26,228 1,044,091 SH Defined 72 1,044,091 SCHERING PLOUGH CORP COM Common Stocks 806605101 $1,085 43,200 SH Defined 80 43,200 SCHERING PLOUGH CORP COM Common Stocks 806605101 $46,020 1,832,000 SH Sole 88 1,832,000 SCHERING PLOUGH CORP COM Common Stocks 806605101 $9,340 371,819 SH Defined 371,819 SCHLUMBERGER LTD COM Common Stocks 806857108 $785 14,500 SH Defined 4 14,500 SCHLUMBERGER LTD COM Common Stocks 806857108 $131 2,412 SH Defined 11 2,412 SCHLUMBERGER LTD COM Common Stocks 806857108 $3,737 69,060 SH Defined 12 69,060 SCHLUMBERGER LTD COM Common Stocks 806857108 $352 6,500 SH Defined 18 6,500 SCHLUMBERGER LTD COM Common Stocks 806857108 $9,727 179,762 SH Defined 27 179,762 SCHLUMBERGER LTD COM Common Stocks 806857108 $590 10,900 SH Defined 32 10,900 SCHLUMBERGER LTD COM Common Stocks 806857108 $541 10,000 SH Defined 41 10,000 SCHLUMBERGER LTD COM Common Stocks 806857108 $3,129 57,829 SH Defined 42 57,829 SCHLUMBERGER LTD COM Common Stocks 806857108 $6,937 128,200 SH Defined 51 128,200 SCHLUMBERGER LTD COM Common Stocks 806857108 $574 10,600 SH Defined 56 10,600 SCHLUMBERGER LTD COM Common Stocks 806857108 $1,899 35,090 SH Defined 58 35,090 SCHLUMBERGER LTD COM Common Stocks 806857108 $23,322 431,006 SH Defined 72 431,006 SCHLUMBERGER LTD COM Common Stocks 806857108 $1,721 31,800 SH Defined 80 31,800 SCHLUMBERGER LTD COM Common Stocks 806857108 $27,175 502,214 SH Sole 88 502,214 SCHLUMBERGER LTD COM Common Stocks 806857108 $2,462 45,500 SH Defined 89 45,500 SCHLUMBERGER LTD COM Common Stocks 806857108 $797 14,600 SH Defined 93 14,600 SCHLUMBERGER LTD COM Common Stocks 806857108 $1,943 35,900 SH Defined 93 35,900 SCHLUMBERGER LTD COM Common Stocks 806857108 $1,699 31,400 SH Defined 94 31,400 SCHLUMBERGER LTD COM Common Stocks 806857108 $535 9,800 SH Defined 96 9,800 SCHLUMBERGER LTD COM Common Stocks 806857108 $1,612 29,800 SH Defined 96 29,800 SCHLUMBERGER LTD COM Common Stocks 806857108 $2,984 55,100 SH Defined 98 55,100 SCHLUMBERGER LTD COM Common Stocks 806857108 $17,683 326,800 SH Defined 99 326,800 SCHNITZER STL INDS CL A Common Stocks 806882106 $451 8,523 SH Defined 11 8,523 SCHNITZER STL INDS CL A Common Stocks 806882106 $1,612 30,500 SH Defined 35 30,500 SCHNITZER STL INDS CL A Common Stocks 806882106 $1,202 22,740 SH Defined 42 22,740 SCHNITZER STL INDS CL A Common Stocks 806882106 $174 3,300 SH Defined 51 3,300 SCHNITZER STL INDS CL A Common Stocks 806882106 $201 3,800 SH Defined 67 3,800 SCHNITZER STL INDS CL A Common Stocks 806882106 $2,861 54,122 SH Defined 85 54,122 SCHNITZER STL INDS CL A Common Stocks 806882106 $4,720 89,289 SH Sole 88 89,289 SCHOLASTIC CORP COM Common Stocks 807066105 $192 9,685 SH Defined 21 9,685 SCHOLASTIC CORP COM Common Stocks 807066105 $895 45,224 SH Defined 31 45,224 SCHOLASTIC CORP COM Common Stocks 807066105 $113 5,700 SH Defined 57 5,700 SCHOLASTIC CORP COM Common Stocks 807066105 $1,906 96,307 SH Sole 88 96,307 SCHOOL SPECIALTY INC COM Common Stocks 807863105 $494 24,444 SH Defined 73 24,444 SCHOOL SPECIALTY INC COM Common Stocks 807863105 $116 5,732 SH Defined 81 5,732 SCHOOL SPECIALTY INC COM Common Stocks 807863105 $2,106 104,205 SH Sole 88 104,205 SCHULMAN A INC COM Common Stocks 808194104 $122 8,068 SH Defined 1 8,068 SCHULMAN A INC COM Common Stocks 808194104 $2,131 141,000 SH Defined 31 141,000 SCHULMAN A INC COM Common Stocks 808194104 $444 29,400 SH Defined 57 29,400 SCHULMAN A INC COM Common Stocks 808194104 $147 9,700 SH Defined 65 9,700 SCHULMAN A INC COM Common Stocks 808194104 $2,526 167,200 SH Sole 88 167,200 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $9,052 516,052 SH Defined 1 516,052 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $3,831 218,400 SH Defined 10 218,400 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $2,321 132,350 SH Defined 12 132,350 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $2,899 165,300 SH Defined 35 165,300 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $19 1,088 SH Defined 42 1,088 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $1,366 77,900 SH Defined 51 77,900 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $6,998 399,000 SH Defined 57 399,000 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $500 28,500 SH Defined 60 28,500 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $361 20,600 SH Defined 67 20,600 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $26,243 1,496,178 SH Defined 72 1,496,178 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $839 47,825 SH Defined 76 47,825 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $790 44,400 SH Defined 79 44,400 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $1,308 74,600 SH Defined 79 74,600 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $436 24,850 SH Defined 80 24,850 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $26,626 1,518,000 SH Sole 88 1,518,000 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $604 33,900 SH Defined 93 33,900 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $1,491 85,000 SH Defined 93 85,000 SCHWAB CHARLES CORP NEW CO Common Stocks 808513105 $3,789 216,000 SH Defined 102 216,000 SCHWEITZER-MAUDUIT INTL IN Common Stocks 808541106 $93 3,400 SH Defined 1 3,400 SCHWEITZER-MAUDUIT INTL IN Common Stocks 808541106 $792 29,100 SH Defined 57 29,100 SCHWEITZER-MAUDUIT INTL IN Common Stocks 808541106 $512 18,800 SH Sole 88 18,800 SCIENTIFIC GAMES CORP CL A Common Stocks 80874P109 $699 44,300 SH Defined 51 44,300 SCIENTIFIC GAMES CORP CL A Common Stocks 80874P109 $442 28,000 SH Sole 88 28,000 SCIENTIFIC GAMES CORP CL A Common Stocks 80874P109 $346 21,950 SH Defined 102 21,950 SCOTTS MIRACLE GRO CO CL A Common Stocks 810186106 $155 4,435 SH Defined 22 4,435 SCOTTS MIRACLE GRO CO CL A Common Stocks 810186106 $210 6,000 SH Defined 51 6,000 SCOTTS MIRACLE GRO CO CL A Common Stocks 810186106 $1,766 50,379 SH Defined 76 50,379 SCOTTS MIRACLE GRO CO CL A Common Stocks 810186106 $137 3,900 SH Sole 88 3,900 SCRIPPS NETWORKS INTERACT Common Stocks 811065101 $2,690 96,674 SH Defined 27 96,674 SCRIPPS NETWORKS INTERACT Common Stocks 811065101 $895 32,153 SH Defined 42 32,153 SCRIPPS NETWORKS INTERACT Common Stocks 811065101 $289 10,400 SH Defined 51 10,400 SCRIPPS NETWORKS INTERACT Common Stocks 811065101 $1,738 62,463 SH Defined 76 62,463 SCRIPPS NETWORKS INTERACT Common Stocks 811065101 $70 2,500 SH Defined 80 2,500 SCRIPPS NETWORKS INTERACT Common Stocks 811065101 $1,280 46,005 SH Sole 88 46,005 SEACHANGE INTL INC COM Common Stocks 811699107 $14 1,800 SH Defined 57 1,800 SEACOR HOLDINGS INC COM Common Stocks 811904101 $414 5,500 SH Defined 10 5,500 SEALED AIR CORP NEW COM Common Stocks 81211K100 $107 5,800 SH Defined 51 5,800 SEALED AIR CORP NEW COM Common Stocks 81211K100 $148 8,000 SH Defined 65 8,000 SEALED AIR CORP NEW COM Common Stocks 81211K100 $80 4,330 SH Defined 80 4,330 SEALED AIR CORP NEW COM Common Stocks 81211K100 $66 3,600 SH Sole 88 3,600 SEARS HLDGS CORP COM Common Stocks 812350106 $3,186 47,900 SH Defined 35 47,900 SEARS HLDGS CORP COM Common Stocks 812350106 $373 5,600 SH Defined 51 5,600 SEARS HLDGS CORP COM Common Stocks 812350106 $379 5,700 SH Defined 67 5,700 SEARS HLDGS CORP COM Common Stocks 812350106 $99 1,494 SH Defined 80 1,494 SEARS HLDGS CORP COM Common Stocks 812350106 $2,055 30,900 SH Sole 88 30,900 SELECTIVE INS GROUP INC CO Common Stocks 816300107 $220 17,225 SH Defined 22 17,225 SELECTIVE INS GROUP INC CO Common Stocks 816300107 $95 7,449 SH Defined 81 7,449 SEMTECH CORP COM Common Stocks 816850101 $132 8,300 SH Defined 65 8,300 SEMPRA ENERGY COM Common Stocks 816851109 $10,879 219,200 SH Defined 10 219,200 SEMPRA ENERGY COM Common Stocks 816851109 $2,159 43,500 SH Defined 35 43,500 SEMPRA ENERGY COM Common Stocks 816851109 $278 5,600 SH Defined 51 5,600 SEMPRA ENERGY COM Common Stocks 816851109 $268 5,400 SH Defined 67 5,400 SEMPRA ENERGY COM Common Stocks 816851109 $324 6,524 SH Defined 80 6,524 SEMPRA ENERGY COM Common Stocks 816851109 $674 13,575 SH Defined 84 13,575 SEMPRA ENERGY COM Common Stocks 816851109 $7,196 145,000 SH Sole 88 145,000 SENIOR HSG PPTYS TR SH BEN Common Stocks 81721M109 $426 26,128 SH Defined 52 26,128 SENIOR HSG PPTYS TR SH BEN Common Stocks 81721M109 $1,548 95,636 SH Defined 54 95,636 SENIOR HSG PPTYS TR SH BEN Common Stocks 81721M109 $16,882 1,034,278 SH Defined 54 1,034,278 SENIOR HSG PPTYS TR SH BEN Common Stocks 81721M109 $10 600 SH Defined 65 600 SENIOR HSG PPTYS TR SH BEN Common Stocks 81721M109 $12,680 776,975 SH Defined 87 776,975 SENIOR HSG PPTYS TR SH BEN Common Stocks 81721M109 $1,131 69,298 SH Sole 88 69,298 SENIOR HSG PPTYS TR SH BEN Common Stocks 81721M109 $1,145 70,135 SH Defined 92 70,135 SEPRACOR INC COM Common Stocks 817315104 $73 4,200 SH Defined 23 4,200 SEPRACOR INC COM Common Stocks 817315104 $687 39,640 SH Defined 52 39,640 SEPRACOR INC COM Common Stocks 817315104 $1,013 58,488 SH Sole 88 58,488 SERVICE CORP INTL COM Common Stocks 817565104 $133 24,198 SH Defined 81 24,198 SHANDA INTERACTIVE ENTMT L Common Stocks 81941Q203 $89 1,700 SH Defined 14 1,700 SHANDA INTERACTIVE ENTMT L Common Stocks 81941Q203 $109 2,083 SH Defined 83 2,083 SHANDA INTERACTIVE ENTMT L Common Stocks 81941Q203 $2,301 44,000 SH Defined 44,000 SHAW GROUP INC COM Common Stocks 820280105 $418 15,233 SH Defined 1 15,233 SHAW GROUP INC COM Common Stocks 820280105 $2,950 107,600 SH Defined 14 107,600 SHAW GROUP INC COM Common Stocks 820280105 $6,895 251,512 SH Defined 23 251,512 SHAW GROUP INC COM Common Stocks 820280105 $401 14,600 SH Defined 41 14,600 SHAW GROUP INC COM Common Stocks 820280105 $543 19,800 SH Defined 51 19,800 SHAW GROUP INC COM Common Stocks 820280105 $102 3,731 SH Defined 81 3,731 SHAW GROUP INC COM Common Stocks 820280105 $2,193 80,000 SH Sole 88 80,000 SHAW GROUP INC COM Common Stocks 820280105 $39 1,408 SH Defined 1,408 SHAW COMMUNICATIONS INC CL Common Stocks 82028K200 $578 34,300 SH Defined 97 34,300 SHAW COMMUNICATIONS INC CL Common Stocks 82028K200 $9,998 593,020 SH Defined 593,020 SHERWIN WILLIAMS CO COM Common Stocks 824348106 $7,262 135,100 SH Defined 10 135,100 SHERWIN WILLIAMS CO COM Common Stocks 824348106 $724 13,475 SH Defined 21 13,475 SHERWIN WILLIAMS CO COM Common Stocks 824348106 $1,365 25,400 SH Defined 51 25,400 SHERWIN WILLIAMS CO COM Common Stocks 824348106 $1,215 22,600 SH Defined 57 22,600 SHERWIN WILLIAMS CO COM Common Stocks 824348106 $5,333 99,225 SH Defined 68 99,225 SHERWIN WILLIAMS CO COM Common Stocks 824348106 $1,014 18,860 SH Defined 69 18,860 SHERWIN WILLIAMS CO COM Common Stocks 824348106 $145 2,700 SH Defined 80 2,700 SHERWIN WILLIAMS CO COM Common Stocks 824348106 $13,465 250,505 SH Sole 88 250,505 SHERWIN WILLIAMS CO COM Common Stocks 824348106 $596 11,097 SH Defined 11,097 SHIRE PLC SPONSORED ADR Common Stocks 82481R106 $713 17,190 SH Defined 55 17,190 SHIRE PLC SPONSORED ADR Common Stocks 82481R106 $1,794 43,260 SH Sole 88 43,260 SHOE CARNIVAL INC COM Common Stocks 824889109 $126 10,600 SH Defined 57 10,600 SHOE CARNIVAL INC COM Common Stocks 824889109 $84 7,055 SH Defined 81 7,055 SHOE CARNIVAL INC COM Common Stocks 824889109 $93 7,800 SH Sole 88 7,800 SHORE BANCSHARES INC COM Common Stocks 825107105 $5 300 SH Defined 31 300 SHUFFLE MASTER INC COM Common Stocks 825549108 $28 4,200 SH Defined 57 4,200 SHUFFLE MASTER INC COM Common Stocks 825549108 $255 38,545 SH Defined 38,545 SIEMENS A G SPONSORED ADR Common Stocks 826197501 $5,848 84,525 SH Defined 62 84,525 SIGMA ALDRICH CORP COM Common Stocks 826552101 $337 6,800 SH Defined 51 6,800 SIGMA ALDRICH CORP COM Common Stocks 826552101 $164 3,300 SH Defined 80 3,300 SIGMA ALDRICH CORP COM Common Stocks 826552101 $213 4,300 SH Sole 88 4,300 SIGMA DESIGNS INC COM Common Stocks 826565103 $11 700 SH Defined 65 700 SIGMA DESIGNS INC COM Common Stocks 826565103 $644 40,145 SH Sole 88 40,145 SIGNATURE BK NEW YORK N Y Common Stocks 82669G104 $533 19,650 SH Defined 22 19,650 SIGNATURE BK NEW YORK N Y Common Stocks 82669G104 $122 4,483 SH Defined 81 4,483 SIGNATURE BK NEW YORK N Y Common Stocks 82669G104 $366 13,480 SH Defined 85 13,480 SIGNATURE BK NEW YORK N Y Common Stocks 82669G104 $426 15,710 SH Sole 88 15,710 SIGNATURE BK NEW YORK N Y Common Stocks 82669G104 $229 8,454 SH Defined 101 8,454 SIGNATURE BK NEW YORK N Y Common Stocks 82669G104 $112 4,115 SH Defined 4,115 SILICON LABORATORIES INC C Common Stocks 826919102 $601 15,828 SH Defined 11 15,828 SILICON LABORATORIES INC C Common Stocks 826919102 $1,593 42,000 SH Defined 57 42,000 SILICON LABORATORIES INC C Common Stocks 826919102 $3,934 103,684 SH Defined 74 103,684 SILICON LABORATORIES INC C Common Stocks 826919102 $7,068 186,302 SH Sole 88 186,302 SILGAN HOLDINGS INC COM Common Stocks 827048109 $843 17,194 SH Defined 52 17,194 SILGAN HOLDINGS INC COM Common Stocks 827048109 $4,964 101,250 SH Defined 57 101,250 SILGAN HOLDINGS INC COM Common Stocks 827048109 $83 1,700 SH Defined 65 1,700 SILGAN HOLDINGS INC COM Common Stocks 827048109 $4,156 84,757 SH Sole 88 84,757 SILICON IMAGE INC COM Common Stocks 82705T102 $165 71,600 SH Defined 57 71,600 SILICON IMAGE INC COM Common Stocks 82705T102 $108 46,900 SH Sole 88 46,900 SILICON GRAPHICS INTL CORP Common Stocks 82706L108 $86 18,920 SH Defined 18,920 SILICONWARE PRECISION INDS Common Stocks 827084864 $338 54,542 SH Defined 4 54,542 SILICONWARE PRECISION INDS Common Stocks 827084864 $61 9,800 SH Defined 11 9,800 SILICONWARE PRECISION INDS Common Stocks 827084864 $281 45,300 SH Defined 14 45,300 SILICONWARE PRECISION INDS Common Stocks 827084864 $101 16,500 SH Defined 86 16,500 SILICONWARE PRECISION INDS Common Stocks 827084864 $937 151,201 SH Sole 88 151,201 SILICONWARE PRECISION INDS Common Stocks 827084864 $417 67,204 SH Defined 90 67,204 SILICONWARE PRECISION INDS Common Stocks 827084864 $1,930 311,222 SH Defined 103 311,222 SILICONWARE PRECISION INDS Common Stocks 827084864 $2,536 408,981 SH Defined 104 408,981 SILVER STD RES INC COM Common Stocks 82823L106 $93 4,950 SH Defined 100 4,950 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $60,410 1,174,360 SH Defined 2 1,174,360 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $1 26 SH Defined 15 26 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $10,010 195,715 SH Defined 25 195,715 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $11,778 228,936 SH Defined 25 228,936 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $1,816 35,309 SH Defined 42 35,309 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $28,898 561,896 SH Defined 48 561,896 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $117 2,270 SH Defined 51 2,270 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $6,142 120,096 SH Defined 54 120,096 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $59,477 1,156,301 SH Defined 54 1,156,301 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $140 2,724 SH Defined 56 2,724 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $386 7,496 SH Defined 80 7,496 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $5,229 102,245 SH Defined 82 102,245 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $13,317 258,789 SH Defined 82 258,789 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $36,152 702,943 SH Defined 87 702,943 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $8,534 165,936 SH Sole 88 165,936 SIMON PPTY GROUP INC NEW C Common Stocks 828806109 $1,101 21,412 SH Defined 97 21,412 SIMS METAL MANAGEMENT LTD Common Stocks 829160100 $953 46,211 SH Sole 88 46,211 SIMS METAL MANAGEMENT LTD Common Stocks 829160100 $3,115 151,079 SH Defined 103 151,079 SIRONA DENTAL SYSTEMS INC Common Stocks 82966C103 $214 10,700 SH Defined 65 10,700 SKECHERS U S A INC CL A Common Stocks 830566105 $21 2,100 SH Defined 57 2,100 SKECHERS U S A INC CL A Common Stocks 830566105 $263 26,950 SH Defined 77 26,950 SKECHERS U S A INC CL A Common Stocks 830566105 $39 4,000 SH Sole 88 4,000 SKILLED HEALTHCARE GROUP INC Common Stocks 83066R107 $170 22,600 SH Defined 63 22,600 SKILLED HEALTHCARE GROUP INC Common Stocks 83066R107 $257 34,260 SH Defined 34,260 SKYLINE CORP COM Common Stocks 830830105 $89 4,075 SH Defined 31 4,075 SKYWEST INC COM Common Stocks 830879102 $200 19,636 SH Defined 52 19,636 SKYWEST INC COM Common Stocks 830879102 $2,055 201,500 SH Defined 57 201,500 SKYWEST INC COM Common Stocks 830879102 $128 12,500 SH Defined 65 12,500 SKYWEST INC COM Common Stocks 830879102 $79 7,732 SH Defined 81 7,732 SKYWEST INC COM Common Stocks 830879102 $1,696 166,258 SH Sole 88 166,258 SKYWORKS SOLUTIONS INC COM Common Stocks 83088M102 $235 24,000 SH Defined 23 24,000 SKYWORKS SOLUTIONS INC COM Common Stocks 83088M102 $302 30,900 SH Defined 65 30,900 SKYWORKS SOLUTIONS INC COM Common Stocks 83088M102 $3,558 363,850 SH Defined 85 363,850 SKYWORKS SOLUTIONS INC COM Common Stocks 83088M102 $5,253 537,070 SH Sole 88 537,070 SKILLSOFT PLC SPONSORED AD Common Stocks 830928107 $79 10,100 SH Defined 23 10,100 SKILLSOFT PLC SPONSORED AD Common Stocks 830928107 $121 15,500 SH Sole 88 15,500 SMART BALANCE INC COM Common Stocks 83169Y108 $154 22,635 SH Defined 74 22,635 SMART BALANCE INC COM Common Stocks 83169Y108 $109 16,030 SH Defined 102 16,030 SMITH & WESSON HLDG CORP C Common Stocks 831756101 $533 93,899 SH Defined 73 93,899 SMITH & WESSON HLDG CORP C Common Stocks 831756101 $2,289 403,070 SH Sole 88 403,070 SMITH A O COM Common Stocks 831865209 $307 9,430 SH Defined 22 9,430 SMITH A O COM Common Stocks 831865209 $374 11,480 SH Defined 52 11,480 SMITH A O COM Common Stocks 831865209 $2,880 88,425 SH Defined 57 88,425 SMITH A O COM Common Stocks 831865209 $2,151 66,050 SH Sole 88 66,050 SMITH INTL INC COM Common Stocks 832110100 $894 34,700 SH Defined 51 34,700 SMITH INTL INC COM Common Stocks 832110100 $149 5,800 SH Defined 56 5,800 SMITH INTL INC COM Common Stocks 832110100 $157 6,100 SH Defined 58 6,100 SMITH INTL INC COM Common Stocks 832110100 $149 5,800 SH Defined 80 5,800 SMITH INTL INC COM Common Stocks 832110100 $1,063 41,300 SH Sole 88 41,300 SMITH INTL INC COM Common Stocks 832110100 $1,721 66,800 SH Defined 98 66,800 SMITH INTL INC COM Common Stocks 832110100 $9,708 377,000 SH Defined 99 377,000 SMITH MICRO SOFTWARE INC C Common Stocks 832154108 $304 31,000 SH Defined 44 31,000 SMITHFIELD FOODS INC COM Common Stocks 832248108 $419 29,962 SH Defined 42 29,962 SMITHFIELD FOODS INC COM Common Stocks 832248108 $205 14,700 SH Defined 51 14,700 SMITHFIELD FOODS INC COM Common Stocks 832248108 $471 33,725 SH Sole 88 33,725 SMITHFIELD FOODS INC COM Common Stocks 832248108 $15,137 1,083,560 SH Defined 100 1,083,560 SMITHTOWN BANCORP INC COM Common Stocks 832449102 $13 1,000 SH Defined 65 1,000 SMUCKER J M CO COM NEW Common Stocks 832696405 $2,759 56,700 SH Defined 51 56,700 SMUCKER J M CO COM NEW Common Stocks 832696405 $808 16,600 SH Defined 57 16,600 SMUCKER J M CO COM NEW Common Stocks 832696405 $7,665 157,485 SH Defined 68 157,485 SMUCKER J M CO COM NEW Common Stocks 832696405 $3,279 67,508 SH Defined 70 67,508 SMUCKER J M CO COM NEW Common Stocks 832696405 $3,199 65,701 SH Defined 70 65,701 SMUCKER J M CO COM NEW Common Stocks 832696405 $154 3,164 SH Defined 80 3,164 SMUCKER J M CO COM NEW Common Stocks 832696405 $167 3,422 SH Defined 81 3,422 SMUCKER J M CO COM NEW Common Stocks 832696405 $2,523 51,859 SH Sole 88 51,859 SNAP ON INC COM Common Stocks 833034101 $2,713 94,399 SH Defined 31 94,399 SNAP ON INC COM Common Stocks 833034101 $647 22,500 SH Defined 51 22,500 SNAP ON INC COM Common Stocks 833034101 $43 1,500 SH Defined 80 1,500 SNAP ON INC COM Common Stocks 833034101 $3,463 120,500 SH Sole 88 120,500 SNAP ON INC COM Common Stocks 833034101 $537 18,697 SH Defined 97 18,697 SOCIEDAD QUIMICA MINERA DE Common Stocks 833635105 $7,466 206,300 SH Defined 46 206,300 SOCIEDAD QUIMICA MINERA DE Common Stocks 833635105 $948 26,200 SH Sole 88 26,200 SOHU COM INC COM Common Stocks 83408W103 $1,640 26,100 SH Defined 35 26,100 SOHU COM INC COM Common Stocks 83408W103 $320 5,100 SH Defined 51 5,100 SOHU COM INC COM Common Stocks 83408W103 $294 4,677 SH Defined 66 4,677 SOHU COM INC COM Common Stocks 83408W103 $226 3,600 SH Defined 67 3,600 SOHU COM INC COM Common Stocks 83408W103 $2,406 38,300 SH Defined 76 38,300 SOHU COM INC COM Common Stocks 83408W103 $1,131 18,000 SH Sole 88 18,000 SOLARWINDS INC COM ADDED Common Stocks 83416B109 $1,273 82,827 SH Defined 64 82,827 SOLARWINDS INC COM ADDED Common Stocks 83416B109 $5,536 335,584 SH Defined 64 335,584 SOLARWINDS INC COM ADDED Common Stocks 83416B109 $34 2,200 SH Defined 2,200 SOLERA HOLDINGS INC COM Common Stocks 83421A104 $2,492 98,110 SH Defined 85 98,110 SOLERA HOLDINGS INC COM Common Stocks 83421A104 $3,623 142,625 SH Sole 88 142,625 SOLERA HOLDINGS INC COM Common Stocks 83421A104 $846 33,300 SH Defined 105 33,300 SOLUTIA INC COM NEW Common Stocks 834376501 $490 84,993 SH Defined 52 84,993 SOLUTIA INC COM NEW Common Stocks 834376501 $744 129,184 SH Sole 88 129,184 SOMANETICS CORP COM NEW Common Stocks 834445405 $25 1,500 SH Defined 57 1,500 SOMANETICS CORP COM NEW Common Stocks 834445405 $276 16,700 SH Defined 63 16,700 SOMANETICS CORP COM NEW Common Stocks 834445405 $170 10,270 SH Defined 85 10,270 SOMERSET HILLS BANCORP COM Common Stocks 834728107 $5 600 SH Defined 31 600 SONIC CORP COM Common Stocks 835451105 $105 10,434 SH Defined 81 10,434 SONIC CORP COM Common Stocks 835451105 $456 45,470 SH Sole 88 45,470 SONIC AUTOMOTIVE INC CL A Common Stocks 83545G102 $94 9,300 SH Defined 23 9,300 SONIC AUTOMOTIVE INC CL A Common Stocks 83545G102 $175 17,200 SH Defined 65 17,200 SONIC AUTOMOTIVE INC CL A Common Stocks 83545G102 $137 13,500 SH Sole 88 13,500 SONICWALL INC COM Common Stocks 835470105 $24 4,300 SH Defined 57 4,300 SONOCO PRODS CO COM Common Stocks 835495102 $414 17,300 SH Defined 1 17,300 SONOCO PRODS CO COM Common Stocks 835495102 $1,423 59,400 SH Defined 4 59,400 SONOCO PRODS CO COM Common Stocks 835495102 $356 14,883 SH Defined 42 14,883 SONOCO PRODS CO COM Common Stocks 835495102 $1,679 70,100 SH Defined 51 70,100 SONOCO PRODS CO COM Common Stocks 835495102 $1,633 68,200 SH Defined 57 68,200 SONOCO PRODS CO COM Common Stocks 835495102 $41 1,700 SH Defined 65 1,700 SONOCO PRODS CO COM Common Stocks 835495102 $146 6,107 SH Defined 81 6,107 SONOCO PRODS CO COM Common Stocks 835495102 $3,621 151,171 SH Sole 88 151,171 SONY CORP ADR NEW Common Stocks 835699307 $414 16,000 SH Defined 32 16,000 SONUS NETWORKS INC COM Common Stocks 835916107 $124 77,300 SH Defined 57 77,300 SONUS NETWORKS INC COM Common Stocks 835916107 $79 48,800 SH Sole 88 48,800 SOURCEFIRE INC COM Common Stocks 83616T108 $302 24,350 SH Defined 44 24,350 SOUTH FINL GROUP INC COM Common Stocks 837841105 $52 43,675 SH Defined 22 43,675 SOUTHERN CO COM Common Stocks 842587107 $2,004 64,300 SH Defined 51 64,300 SOUTHERN CO COM Common Stocks 842587107 $720 23,100 SH Defined 56 23,100 SOUTHERN CO COM Common Stocks 842587107 $134 4,300 SH Defined 57 4,300 SOUTHERN CO COM Common Stocks 842587107 $648 20,800 SH Defined 80 20,800 SOUTHERN CO COM Common Stocks 842587107 $1,281 41,100 SH Sole 88 41,100 SOUTHERN CO COM Common Stocks 842587107 $760 24,400 SH Defined 24,400 SOUTHERN CMNTY FINL CORP COM Common Stocks 842632101 $25 9,060 SH Defined 31 9,060 SOUTHERN COPPER CORP COM Common Stocks 84265V105 $9,764 477,700 SH Defined 10 477,700 SOUTHERN COPPER CORP COM Common Stocks 84265V105 $9,837 481,200 SH Defined 14 481,200 SOUTHERN COPPER CORP COM Common Stocks 84265V105 $513 25,100 SH Defined 51 25,100 SOUTHERN COPPER CORP COM Common Stocks 84265V105 $5,866 287,000 SH Sole 88 287,000 SOUTHERN UN CO NEW COM Common Stocks 844030106 $603 32,800 SH Defined 10 32,800 SOUTHERN UN CO NEW COM Common Stocks 844030106 $474 25,800 SH Defined 51 25,800 SOUTHERN UN CO NEW COM Common Stocks 844030106 $90 4,900 SH Defined 65 4,900 SOUTHERN UN CO NEW COM Common Stocks 844030106 $302 16,400 SH Sole 88 16,400 SOUTHSIDE BANCSHARES INC COM Common Stocks 84470P109 $62 2,730 SH Defined 65 2,730 SOUTHWEST AIRLS CO COM Common Stocks 844741108 $5,048 750,088 SH Defined 1 750,088 SOUTHWEST AIRLS CO COM Common Stocks 844741108 $1,503 223,300 SH Defined 51 223,300 SOUTHWEST AIRLS CO COM Common Stocks 844741108 $133 19,693 SH Defined 80 19,693 SOUTHWEST AIRLS CO COM Common Stocks 844741108 $1,691 251,200 SH Sole 88 251,200 SOUTHWEST AIRLS CO COM Common Stocks 844741108 $1,216 180,669 SH Defined 92 180,669 SOUTHWEST AIRLS CO COM Common Stocks 844741108 $628 94,600 SH Defined 93 94,600 SOUTHWEST AIRLS CO COM Common Stocks 844741108 $1,593 236,700 SH Defined 93 236,700 SOUTHWEST BANCORP INC OKLA Common Stocks 844767103 $264 27,018 SH Defined 63 27,018 SOUTHWEST GAS CORP COM Common Stocks 844895102 $2,853 128,447 SH Defined 31 128,447 SOUTHWEST GAS CORP COM Common Stocks 844895102 $1,217 54,775 SH Defined 57 54,775 SOUTHWEST GAS CORP COM Common Stocks 844895102 $224 10,100 SH Defined 65 10,100 SOUTHWEST GAS CORP COM Common Stocks 844895102 $123 5,552 SH Defined 81 5,552 SOUTHWEST GAS CORP COM Common Stocks 844895102 $4,058 182,715 SH Sole 88 182,715 SOUTHWEST GAS CORP COM Common Stocks 844895102 $219 9,855 SH Defined 9,855 SOUTHWEST WTR CO COM Common Stocks 845331107 $67 12,100 SH Defined 57 12,100 SOUTHWEST WTR CO COM Common Stocks 845331107 $49 8,800 SH Sole 88 8,800 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $2,723 70,100 SH Defined 10 70,100 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $726 18,641 SH Defined 11 18,641 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $835 21,483 SH Defined 11 21,483 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $4,198 108,060 SH Defined 12 108,060 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $271 6,980 SH Defined 42 6,980 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $4,730 121,756 SH Defined 43 121,756 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $719 18,500 SH Defined 51 18,500 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $404 10,400 SH Defined 56 10,400 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $7,568 194,800 SH Defined 57 194,800 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $313 8,050 SH Defined 58 8,050 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $981 25,260 SH Defined 60 25,260 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $350 9,000 SH Defined 80 9,000 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $8,851 227,828 SH Sole 88 227,828 SOUTHWESTERN ENERGY CO COM Common Stocks 845467109 $4,686 120,630 SH Defined 102 120,630 SOVRAN SELF STORAGE INC CO Common Stocks 84610H108 $1,120 45,541 SH Defined 30 45,541 SOVRAN SELF STORAGE INC CO Common Stocks 84610H108 $1,053 42,800 SH Sole 88 42,800 SPARTAN MTRS INC COM Common Stocks 846819100 $83 7,300 SH Defined 1 7,300 SPARTAN MTRS INC COM Common Stocks 846819100 $205 18,100 SH Defined 65 18,100 SPARTAN STORES INC COM Common Stocks 846822104 $361 29,100 SH Defined 57 29,100 SPARTAN STORES INC COM Common Stocks 846822104 $381 30,690 SH Defined 77 30,690 SPARTAN STORES INC COM Common Stocks 846822104 $208 16,800 SH Sole 88 16,800 SPARTECH CORP COM NEW Common Stocks 847220209 $33 3,600 SH Defined 1 3,600 SPARTECH CORP COM NEW Common Stocks 847220209 $166 18,100 SH Defined 23 18,100 SPARTECH CORP COM NEW Common Stocks 847220209 $185 20,100 SH Defined 57 20,100 SPARTECH CORP COM NEW Common Stocks 847220209 $53 5,800 SH Defined 65 5,800 SPARTECH CORP COM NEW Common Stocks 847220209 $163 17,751 SH Defined 73 17,751 SPARTECH CORP COM NEW Common Stocks 847220209 $803 87,333 SH Sole 88 87,333 SPECTRA ENERGY CORP COM Common Stocks 847560109 $4,552 269,050 SH Defined 17 269,050 SPECTRA ENERGY CORP COM Common Stocks 847560109 $1,951 115,300 SH Defined 51 115,300 SPECTRA ENERGY CORP COM Common Stocks 847560109 $290 17,167 SH Defined 80 17,167 SPECTRA ENERGY CORP COM Common Stocks 847560109 $1,729 102,200 SH Sole 88 102,200 SPECTRA ENERGY CORP COM Common Stocks 847560109 $456 27,100 SH Defined 93 27,100 SPECTRA ENERGY CORP COM Common Stocks 847560109 $1,137 67,200 SH Defined 93 67,200 SPECTRA ENERGY CORP COM Common Stocks 847560109 $1,308 77,300 SH Defined 77,300 SPECTRUM CTL INC COM Common Stocks 847615101 $15 1,700 SH Defined 65 1,700 SPHERION CORP COM Common Stocks 848420105 $198 48,100 SH Defined 23 48,100 SPHERION CORP COM Common Stocks 848420105 $129 31,200 SH Defined 57 31,200 SPHERION CORP COM Common Stocks 848420105 $388 94,179 SH Sole 88 94,179 SPIRIT AEROSYSTEMS HLDGS I Common Stocks 848574109 $1,445 105,200 SH Defined 30 105,200 SPIRIT AEROSYSTEMS HLDGS I Common Stocks 848574109 $209 15,200 SH Defined 51 15,200 SPIRIT AEROSYSTEMS HLDGS I Common Stocks 848574109 $1,337 97,300 SH Sole 88 97,300 SPORT SUPPLY GROUP INC DEL Common Stocks 84916A104 $70 8,112 SH Defined 31 8,112 SPORT SUPPLY GROUP INC DEL Common Stocks 84916A104 $10 1,200 SH Defined 65 1,200 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $4,002 831,997 SH Defined 1 831,997 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $3,240 673,600 SH Defined 4 673,600 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $352 71,976 SH Defined 26 71,976 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $12,817 2,664,259 SH Defined 26 2,664,259 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $431 89,500 SH Defined 32 89,500 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $1,631 339,136 SH Defined 42 339,136 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $495 102,900 SH Defined 51 102,900 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $386 80,200 SH Defined 56 80,200 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $908 188,800 SH Defined 58 188,800 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $3,992 830,000 SH Defined 59 830,000 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $1,314 273,117 SH Defined 76 273,117 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $367 76,342 SH Defined 80 76,342 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $11,968 2,488,226 SH Sole 88 2,488,226 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $864 179,600 SH Defined 97 179,600 SPRINT NEXTEL CORP COM SER Common Stocks 852061100 $70 14,184 SH Defined 14,184 STAGE STORES INC COM NEW Common Stocks 85254C305 $1,471 132,500 SH Defined 23 132,500 STAGE STORES INC COM NEW Common Stocks 85254C305 $878 79,095 SH Defined 52 79,095 STAGE STORES INC COM NEW Common Stocks 85254C305 $233 21,000 SH Defined 65 21,000 STAGE STORES INC COM NEW Common Stocks 85254C305 $2,513 226,431 SH Sole 88 226,431 STAMPS COM INC COM NEW Common Stocks 852857200 $2 200 SH Defined 57 200 STANCORP FINL GROUP INC CO Common Stocks 852891100 $975 34,000 SH Defined 35 34,000 STANCORP FINL GROUP INC CO Common Stocks 852891100 $488 17,000 SH Defined 51 17,000 STANCORP FINL GROUP INC CO Common Stocks 852891100 $2,367 82,543 SH Defined 57 82,543 STANCORP FINL GROUP INC CO Common Stocks 852891100 $123 4,300 SH Defined 67 4,300 STANCORP FINL GROUP INC CO Common Stocks 852891100 $348 12,150 SH Defined 77 12,150 STANCORP FINL GROUP INC CO Common Stocks 852891100 $2,339 81,557 SH Sole 88 81,557 STANDARD MTR PRODS INC COM Common Stocks 853666105 $31 3,800 SH Defined 65 3,800 STANDARD PAC CORP NEW COM Common Stocks 85375C101 $148 72,875 SH Defined 52 72,875 STANDARD PAC CORP NEW COM Common Stocks 85375C101 $200 98,429 SH Sole 88 98,429 STANDARD PARKING CORP COM Common Stocks 853790103 $143 8,800 SH Defined 63 8,800 STANDARD REGISTER CO COM Common Stocks 853887107 $90 27,700 SH Defined 1 27,700 STANDARD REGISTER CO COM Common Stocks 853887107 $80 24,400 SH Defined 57 24,400 STANDARD REGISTER CO COM Common Stocks 853887107 $50 15,482 SH Sole 88 15,482 STANDEX INTL CORP COM Common Stocks 854231107 $119 10,300 SH Defined 31 10,300 STANLEY FURNITURE INC COM NE Common Stocks 854305208 $31 2,850 SH Defined 31 2,850 STANLEY INC COM Common Stocks 854532108 $5,442 165,517 SH Sole 88 165,517 STANLEY INC COM Common Stocks 854532108 $835 25,400 SH Defined 95 25,400 STANLEY WKS COM Common Stocks 854616109 $5,746 169,800 SH Defined 17 169,800 STANLEY WKS COM Common Stocks 854616109 $1,320 39,000 SH Defined 30 39,000 STANLEY WKS COM Common Stocks 854616109 $416 12,300 SH Defined 51 12,300 STANLEY WKS COM Common Stocks 854616109 $1,489 44,000 SH Sole 88 44,000 STAPLES INC COM Common Stocks 855030102 $718 35,600 SH Defined 28 35,600 STAPLES INC COM Common Stocks 855030102 $787 39,000 SH Defined 29 39,000 STAPLES INC COM Common Stocks 855030102 $595 29,451 SH Defined 39 29,451 STAPLES INC COM Common Stocks 855030102 $1,271 63,000 SH Defined 51 63,000 STAPLES INC COM Common Stocks 855030102 $450 22,300 SH Defined 56 22,300 STAPLES INC COM Common Stocks 855030102 $3,392 168,180 SH Defined 58 168,180 STAPLES INC COM Common Stocks 855030102 $10,352 513,216 SH Defined 62 513,216 STAPLES INC COM Common Stocks 855030102 $98 4,841 SH Defined 68 4,841 STAPLES INC COM Common Stocks 855030102 $126 6,200 SH Defined 79 6,200 STAPLES INC COM Common Stocks 855030102 $220 10,900 SH Defined 79 10,900 STAPLES INC COM Common Stocks 855030102 $385 19,100 SH Defined 80 19,100 STAPLES INC COM Common Stocks 855030102 $6,293 312,000 SH Sole 88 312,000 STAPLES INC COM Common Stocks 855030102 $961 47,100 SH Defined 96 47,100 STAPLES INC COM Common Stocks 855030102 $2,850 141,300 SH Defined 96 141,300 STAPLES INC COM Common Stocks 855030102 $1,727 85,600 SH Defined 105 85,600 STARBUCKS CORP COM Common Stocks 855244109 $289 19,900 SH Defined 26 19,900 STARBUCKS CORP COM Common Stocks 855244109 $10,283 740,208 SH Defined 26 740,208 STARBUCKS CORP COM Common Stocks 855244109 $329 23,700 SH Defined 41 23,700 STARBUCKS CORP COM Common Stocks 855244109 $850 61,200 SH Defined 51 61,200 STARBUCKS CORP COM Common Stocks 855244109 $272 19,600 SH Defined 80 19,600 STARBUCKS CORP COM Common Stocks 855244109 $1,421 102,280 SH Defined 85 102,280 STARBUCKS CORP COM Common Stocks 855244109 $8,749 629,912 SH Sole 88 629,912 STARBUCKS CORP COM Common Stocks 855244109 $1,490 107,300 SH Defined 89 107,300 STARBUCKS CORP COM Common Stocks 855244109 $561 38,600 SH Defined 96 38,600 STARBUCKS CORP COM Common Stocks 855244109 $1,714 123,400 SH Defined 96 123,400 STARBUCKS CORP COM Common Stocks 855244109 $57 3,900 SH Defined 3,900 STARENT NETWORKS CORP COM Common Stocks 85528P108 $2,702 110,710 SH Defined 85 110,710 STARENT NETWORKS CORP COM Common Stocks 85528P108 $3,018 123,640 SH Sole 88 123,640 STATE AUTO FINL CORP COM Common Stocks 855707105 $89 5,066 SH Defined 81 5,066 STATE BANCORP INC N.Y COM Common Stocks 855716106 $9 1,200 SH Defined 65 1,200 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $7,505 338,000 SH Defined 2 338,000 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $4,367 196,729 SH Defined 31 196,729 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $4,111 182,800 SH Defined 47 182,800 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $20,443 920,700 SH Defined 47 920,700 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $314 14,253 SH Defined 54 14,253 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $3,483 156,861 SH Defined 54 156,861 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $238 10,700 SH Defined 56 10,700 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $718 32,350 SH Defined 58 32,350 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $305 13,740 SH Defined 60 13,740 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $109 4,900 SH Defined 80 4,900 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $3,837 172,829 SH Sole 88 172,829 STARWOOD HOTELS&RESORTS WR Common Stocks 85590A401 $2,587 116,540 SH Defined 102 116,540 STATE STR CORP COM Common Stocks 857477103 $3,474 73,610 SH Defined 1 73,610 STATE STR CORP COM Common Stocks 857477103 $5,622 119,115 SH Defined 12 119,115 STATE STR CORP COM Common Stocks 857477103 $38 800 SH Defined 32 800 STATE STR CORP COM Common Stocks 857477103 $6,570 139,200 SH Defined 35 139,200 STATE STR CORP COM Common Stocks 857477103 $1,812 38,400 SH Defined 43 38,400 STATE STR CORP COM Common Stocks 857477103 $930 19,700 SH Defined 51 19,700 STATE STR CORP COM Common Stocks 857477103 $1,180 24,990 SH Defined 55 24,990 STATE STR CORP COM Common Stocks 857477103 $798 16,900 SH Defined 56 16,900 STATE STR CORP COM Common Stocks 857477103 $11,323 239,900 SH Defined 57 239,900 STATE STR CORP COM Common Stocks 857477103 $1,586 33,600 SH Defined 58 33,600 STATE STR CORP COM Common Stocks 857477103 $5,490 113,837 SH Defined 64 113,837 STATE STR CORP COM Common Stocks 857477103 $21,256 450,179 SH Defined 64 450,179 STATE STR CORP COM Common Stocks 857477103 $817 17,300 SH Defined 67 17,300 STATE STR CORP COM Common Stocks 857477103 $23,470 497,178 SH Defined 68 497,178 STATE STR CORP COM Common Stocks 857477103 $2,006 42,490 SH Defined 69 42,490 STATE STR CORP COM Common Stocks 857477103 $5,682 117,810 SH Defined 70 117,810 STATE STR CORP COM Common Stocks 857477103 $5,417 114,709 SH Defined 70 114,709 STATE STR CORP COM Common Stocks 857477103 $1,074 22,759 SH Defined 76 22,759 STATE STR CORP COM Common Stocks 857477103 $618 13,100 SH Defined 80 13,100 STATE STR CORP COM Common Stocks 857477103 $746 15,800 SH Defined 84 15,800 STATE STR CORP COM Common Stocks 857477103 $26,774 567,250 SH Sole 88 567,250 STATE STR CORP COM Common Stocks 857477103 $892 18,500 SH Defined 96 18,500 STATE STR CORP COM Common Stocks 857477103 $2,629 55,700 SH Defined 96 55,700 STATE STR CORP COM Common Stocks 857477103 $1,048 22,200 SH Defined 97 22,200 STATE STR CORP COM Common Stocks 857477103 $709 15,028 SH Defined 106 15,028 STATE STR CORP COM Common Stocks 857477103 $182 3,753 SH Defined 3,753 STATOILHYDRO ASA SPONSORED Common Stocks 85771P102 $7,018 355,000 SH Defined 100 355,000 STEEL DYNAMICS INC COM Common Stocks 858119100 $1,915 130,016 SH Defined 30 130,016 STEEL DYNAMICS INC COM Common Stocks 858119100 $1,999 135,700 SH Defined 31 135,700 STEEL DYNAMICS INC COM Common Stocks 858119100 $261 17,700 SH Defined 51 17,700 STEEL DYNAMICS INC COM Common Stocks 858119100 $768 52,129 SH Defined 52 52,129 STEEL DYNAMICS INC COM Common Stocks 858119100 $80 5,400 SH Defined 57 5,400 STEEL DYNAMICS INC COM Common Stocks 858119100 $6,684 453,735 SH Sole 88 453,735 STEEL DYNAMICS INC COM Common Stocks 858119100 $181 12,290 SH Defined 102 12,290 STEEL DYNAMICS INC COM Common Stocks 858119100 $4,046 274,654 SH Defined 103 274,654 STEEL DYNAMICS INC COM Common Stocks 858119100 $571 38,744 SH Defined 106 38,744 STEELCASE INC CL A Common Stocks 858155203 $20 3,452 SH Defined 42 3,452 STEELCASE INC CL A Common Stocks 858155203 $486 83,500 SH Defined 57 83,500 STEELCASE INC CL A Common Stocks 858155203 $259 44,500 SH Sole 88 44,500 STEIN MART INC COM Common Stocks 858375108 $27 3,000 SH Defined 57 3,000 STELLARONE CORP COM Common Stocks 85856G100 $299 23,062 SH Defined 52 23,062 STELLARONE CORP COM Common Stocks 85856G100 $398 30,763 SH Sole 88 30,763 STELLARONE CORP COM Common Stocks 85856G100 $1,723 133,083 SH Defined 92 133,083 STEPAN CO COM Common Stocks 858586100 $141 3,200 SH Defined 1 3,200 STEPAN CO COM Common Stocks 858586100 $31 700 SH Defined 57 700 STEPAN CO COM Common Stocks 858586100 $4 100 SH Sole 88 100 STERLING BANCSHARES INC CO Common Stocks 858907108 $1,241 196,000 SH Defined 31 196,000 STERLING BANCSHARES INC CO Common Stocks 858907108 $362 57,124 SH Defined 52 57,124 STERLING BANCSHARES INC CO Common Stocks 858907108 $95 15,016 SH Defined 81 15,016 STERLING BANCSHARES INC CO Common Stocks 858907108 $1,925 304,183 SH Sole 88 304,183 STERICYCLE INC COM Common Stocks 858912108 $1,704 33,000 SH Defined 49 33,000 STERICYCLE INC COM Common Stocks 858912108 $484 9,400 SH Defined 51 9,400 STERICYCLE INC COM Common Stocks 858912108 $119 2,300 SH Defined 80 2,300 STERICYCLE INC COM Common Stocks 858912108 $1,500 29,100 SH Defined 85 29,100 STERICYCLE INC COM Common Stocks 858912108 $3,066 59,504 SH Sole 88 59,504 STERICYCLE INC COM Common Stocks 858912108 $3,671 71,240 SH Defined 103 71,240 STERIS CORP COM Common Stocks 859152100 $3,931 150,730 SH Defined 31 150,730 STERIS CORP COM Common Stocks 859152100 $659 25,277 SH Defined 52 25,277 STERIS CORP COM Common Stocks 859152100 $123 4,700 SH Defined 65 4,700 STERIS CORP COM Common Stocks 859152100 $5,176 198,466 SH Sole 88 198,466 STERIS CORP COM Common Stocks 859152100 $1,419 54,403 SH Defined 92 54,403 STERLING BANCORP COM Common Stocks 859158107 $28 3,300 SH Defined 31 3,300 STERLING BANCORP COM Common Stocks 859158107 $180 21,600 SH Defined 57 21,600 STERLING BANCORP COM Common Stocks 859158107 $168 20,100 SH Sole 88 20,100 STERLING CONSTRUCTION CO I Common Stocks 859241101 $35 2,300 SH Defined 57 2,300 STERLING CONSTRUCTION CO I Common Stocks 859241101 $188 12,300 SH Defined 63 12,300 STERLING CONSTRUCTION CO I Common Stocks 859241101 $15 1,000 SH Defined 65 1,000 STERLITE INDS INDIA LTD AD Common Stocks 859737207 $3,721 299,100 SH Defined 104 299,100 STEWART ENTERPRISES INC CL Common Stocks 860370105 $4,061 842,500 SH Defined 31 842,500 STEWART ENTERPRISES INC CL Common Stocks 860370105 $4,504 934,453 SH Sole 88 934,453 STEWART INFORMATION SVCS C Common Stocks 860372101 $53 3,700 SH Defined 23 3,700 STEWART INFORMATION SVCS C Common Stocks 860372101 $221 15,543 SH Defined 52 15,543 STEWART INFORMATION SVCS C Common Stocks 860372101 $402 28,198 SH Defined 73 28,198 STEWART INFORMATION SVCS C Common Stocks 860372101 $2,104 147,617 SH Sole 88 147,617 STIFEL FINL CORP COM Common Stocks 860630102 $416 8,660 SH Defined 102 8,660 STILLWATER MNG CO COM Common Stocks 86074Q102 $68 11,900 SH Defined 57 11,900 STONE ENERGY CORP COM Common Stocks 861642106 $113 15,200 SH Defined 23 15,200 STONE ENERGY CORP COM Common Stocks 861642106 $0 2 SH Defined 44 2 STONE ENERGY CORP COM Common Stocks 861642106 $62 8,300 SH Defined 65 8,300 STONE ENERGY CORP COM Common Stocks 861642106 $166 22,400 SH Sole 88 22,400 STRATEGIC HOTELS & RESORTS Common Stocks 86272T106 $207 186,795 SH Defined 186,795 STRAYER ED INC COM Common Stocks 863236105 $305 1,400 SH Defined 28 1,400 STRAYER ED INC COM Common Stocks 863236105 $720 3,300 SH Defined 51 3,300 STRAYER ED INC COM Common Stocks 863236105 $720 3,300 SH Defined 57 3,300 STRAYER ED INC COM Common Stocks 863236105 $2,346 10,754 SH Defined 74 10,754 STRAYER ED INC COM Common Stocks 863236105 $3,892 17,844 SH Sole 88 17,844 STRAYER ED INC COM Common Stocks 863236105 $1,053 4,830 SH Defined 101 4,830 STRYKER CORP COM Common Stocks 863667101 $1,028 25,861 SH Defined 1 25,861 STRYKER CORP COM Common Stocks 863667101 $2,507 63,095 SH Defined 12 63,095 STRYKER CORP COM Common Stocks 863667101 $5,520 138,900 SH Defined 35 138,900 STRYKER CORP COM Common Stocks 863667101 $1,614 40,625 SH Defined 42 40,625 STRYKER CORP COM Common Stocks 863667101 $433 10,900 SH Defined 51 10,900 STRYKER CORP COM Common Stocks 863667101 $688 17,300 SH Defined 67 17,300 STRYKER CORP COM Common Stocks 863667101 $9,378 235,983 SH Defined 72 235,983 STRYKER CORP COM Common Stocks 863667101 $250 6,300 SH Defined 80 6,300 STRYKER CORP COM Common Stocks 863667101 $10,709 269,479 SH Sole 88 269,479 STRYKER CORP COM Common Stocks 863667101 $1,061 26,700 SH Defined 89 26,700 STURM RUGER & CO INC COM Common Stocks 864159108 $36 2,900 SH Defined 57 2,900 SUCAMPO PHARMACEUTICALS INC Common Stocks 864909106 $7 1,100 SH Defined 65 1,100 SUN BANCORP INC COM Common Stocks 86663B102 $90 17,418 SH Defined 57 17,418 SUN BANCORP INC COM Common Stocks 86663B102 $78 15,078 SH Sole 88 15,078 SUN COMMUNITIES INC COM Common Stocks 866674104 $40 2,900 SH Defined 57 2,900 SUN COMMUNITIES INC COM Common Stocks 866674104 $223 16,200 SH Defined 65 16,200 SUN COMMUNITIES INC COM Common Stocks 866674104 $554 40,185 SH Defined 73 40,185 SUN COMMUNITIES INC COM Common Stocks 866674104 $2,336 169,496 SH Sole 88 169,496 SUN LIFE FINL INC COM Common Stocks 866796105 $1,050 38,357 SH Defined 3 38,357 SUN LIFE FINL INC COM Common Stocks 866796105 $1,143 42,181 SH Defined 4 42,181 SUN LIFE FINL INC COM Common Stocks 866796105 $254 9,400 SH Defined 11 9,400 SUN LIFE FINL INC COM Common Stocks 866796105 $1,482 54,800 SH Defined 23 54,800 SUN LIFE FINL INC COM Common Stocks 866796105 $30,262 1,119,251 SH Defined 34 1,119,251 SUN LIFE FINL INC COM Common Stocks 866796105 $25 900 SH Defined 42 900 SUN LIFE FINL INC COM Common Stocks 866796105 $317 11,728 SH Defined 76 11,728 SUN LIFE FINL INC COM Common Stocks 866796105 $1,242 46,000 SH Sole 88 46,000 SUN LIFE FINL INC COM Common Stocks 866796105 $7,192 265,944 SH Defined 265,944 SUN MICROSYSTEMS INC COM N Common Stocks 866810203 $2,536 277,646 SH Defined 11 277,646 SUN MICROSYSTEMS INC COM N Common Stocks 866810203 $12,047 1,306,192 SH Defined 11 1,306,192 SUN MICROSYSTEMS INC COM N Common Stocks 866810203 $377 40,848 SH Defined 42 40,848 SUN MICROSYSTEMS INC COM N Common Stocks 866810203 $791 85,800 SH Defined 51 85,800 SUN MICROSYSTEMS INC COM N Common Stocks 866810203 $183 19,850 SH Defined 80 19,850 SUN MICROSYSTEMS INC COM N Common Stocks 866810203 $699 75,855 SH Sole 88 75,855 SUN HEALTHCARE GROUP INC C Common Stocks 866933401 $338 40,100 SH Defined 57 40,100 SUN HEALTHCARE GROUP INC C Common Stocks 866933401 $194 23,000 SH Sole 88 23,000 SUN HEALTHCARE GROUP INC C Common Stocks 866933401 $153 18,150 SH Defined 18,150 SUNCOR ENERGY INC COM Common Stocks 867229106 $7,235 237,571 SH Defined 43 237,571 SUNCOR ENERGY INC COM Common Stocks 867229106 $2,077 68,453 SH Defined 45 68,453 SUNCOR ENERGY INC COM Common Stocks 867229106 $5,016 164,907 SH Defined 64 164,907 SUNCOR ENERGY INC COM Common Stocks 867229106 $5,072 166,849 SH Sole 88 166,849 SUNCOR ENERGY INC COM Common Stocks 867229106 $1,314 43,300 SH Defined 105 43,300 SUNCOR ENERGY INC COM Common Stocks 867229106 $972 32,039 SH Defined 106 32,039 SUNCOR ENERGY INC COM Common Stocks 867229106 $27,837 914,004 SH Defined 914,004 SUNOCO LOGISTICS PRTNRS L Common Stocks 86764L108 $244 4,500 SH Defined 44 4,500 SUNOCO INC COM Common Stocks 86764P109 $517 22,272 SH Defined 1 22,272 SUNOCO INC COM Common Stocks 86764P109 $963 41,500 SH Defined 10 41,500 SUNOCO INC COM Common Stocks 86764P109 $2,372 102,249 SH Defined 31 102,249 SUNOCO INC COM Common Stocks 86764P109 $21 908 SH Defined 42 908 SUNOCO INC COM Common Stocks 86764P109 $144 6,200 SH Defined 51 6,200 SUNOCO INC COM Common Stocks 86764P109 $5,441 234,533 SH Defined 57 234,533 SUNOCO INC COM Common Stocks 86764P109 $347 14,936 SH Defined 76 14,936 SUNOCO INC COM Common Stocks 86764P109 $74 3,200 SH Defined 80 3,200 SUNOCO INC COM Common Stocks 86764P109 $4,222 182,000 SH Sole 88 182,000 SUNPOWER CORP COM CL A Common Stocks 867652109 $498 18,700 SH Defined 51 18,700 SUNPOWER CORP COM CL A Common Stocks 867652109 $312 11,700 SH Sole 88 11,700 SUNPOWER CORP COM CL A Common Stocks 867652109 $1,541 57,830 SH Defined 105 57,830 SUNPOWER CORP COM CL B Common Stocks 867652307 $1,305 54,400 SH Defined 49 54,400 SUNPOWER CORP COM CL B Common Stocks 867652307 $8,613 359,634 SH Sole 88 359,634 SUNPOWER CORP COM CL B Common Stocks 867652307 $12,607 526,384 SH Defined 94 526,384 SUNRISE SENIOR LIVING INC Common Stocks 86768K106 $150 91,015 SH Defined 73 91,015 SUNRISE SENIOR LIVING INC Common Stocks 86768K106 $624 378,355 SH Sole 88 378,355 SUNSTONE HOTEL INVS INC NE Common Stocks 867892101 $423 79,013 SH Defined 52 79,013 SUNSTONE HOTEL INVS INC NE Common Stocks 867892101 $436 81,477 SH Defined 57 81,477 SUNSTONE HOTEL INVS INC NE Common Stocks 867892101 $2,332 435,800 SH Defined 87 435,800 SUNSTONE HOTEL INVS INC NE Common Stocks 867892101 $944 176,429 SH Sole 88 176,429 SUNTRUST BKS INC COM Common Stocks 867914103 $2,124 129,100 SH Defined 17 129,100 SUNTRUST BKS INC COM Common Stocks 867914103 $6,165 374,747 SH Defined 31 374,747 SUNTRUST BKS INC COM Common Stocks 867914103 $206 12,500 SH Defined 51 12,500 SUNTRUST BKS INC COM Common Stocks 867914103 $53 3,200 SH Defined 56 3,200 SUNTRUST BKS INC COM Common Stocks 867914103 $436 26,500 SH Defined 57 26,500 SUNTRUST BKS INC COM Common Stocks 867914103 $184 11,200 SH Defined 58 11,200 SUNTRUST BKS INC COM Common Stocks 867914103 $204 12,400 SH Defined 80 12,400 SUNTRUST BKS INC COM Common Stocks 867914103 $1,490 90,600 SH Sole 88 90,600 SUNTECH PWR HLDGS CO LTD A Common Stocks 86800C104 $335 18,700 SH Defined 41 18,700 SUNTECH PWR HLDGS CO LTD A Common Stocks 86800C104 $1,465 82,000 SH Sole 88 82,000 SUNTECH PWR HLDGS CO LTD A Common Stocks 86800C104 $5,899 330,300 SH Defined 104 330,300 SUPERIOR ENERGY SVCS INC C Common Stocks 868157108 $513 29,700 SH Defined 51 29,700 SUPERIOR ENERGY SVCS INC C Common Stocks 868157108 $2,528 146,365 SH Defined 57 146,365 SUPERIOR ENERGY SVCS INC C Common Stocks 868157108 $3,257 188,594 SH Defined 85 188,594 SUPERIOR ENERGY SVCS INC C Common Stocks 868157108 $5,472 316,860 SH Sole 88 316,860 SUPERIOR INDS INTL INC COM Common Stocks 868168105 $385 27,294 SH Defined 57 27,294 SUPERIOR INDS INTL INC COM Common Stocks 868168105 $251 17,800 SH Sole 88 17,800 SUPERIOR INDS INTL INC COM Common Stocks 868168105 $2,087 148,030 SH Defined 92 148,030 SUPERVALU INC COM Common Stocks 868536103 $282 21,800 SH Defined 10 21,800 SUPERVALU INC COM Common Stocks 868536103 $5,628 434,600 SH Defined 57 434,600 SUPERVALU INC COM Common Stocks 868536103 $198 15,310 SH Defined 58 15,310 SUPERVALU INC COM Common Stocks 868536103 $1,246 96,229 SH Defined 76 96,229 SUPERVALU INC COM Common Stocks 868536103 $72 5,587 SH Defined 80 5,587 SUPERVALU INC COM Common Stocks 868536103 $3,633 280,530 SH Sole 88 280,530 SUPREME INDS INC CL A Common Stocks 868607102 $26 16,165 SH Defined 31 16,165 SURMODICS INC COM Common Stocks 868873100 $2 100 SH Defined 57 100 SUSQUEHANNA BANCSHARES INC Common Stocks 869099101 $192 39,345 SH Defined 52 39,345 SUSQUEHANNA BANCSHARES INC Common Stocks 869099101 $111 22,700 SH Defined 57 22,700 SUSQUEHANNA BANCSHARES INC Common Stocks 869099101 $287 58,590 SH Sole 88 58,590 SUSSER HLDGS CORP COM Common Stocks 869233106 $13 1,200 SH Defined 65 1,200 SWITCH & DATA FACILITIES C Common Stocks 871043105 $626 53,399 SH Defined 74 53,399 SYBASE INC COM Common Stocks 871130100 $523 16,700 SH Defined 10 16,700 SYBASE INC COM Common Stocks 871130100 $3,432 109,524 SH Defined 23 109,524 SYBASE INC COM Common Stocks 871130100 $120 3,825 SH Defined 44 3,825 SYBASE INC COM Common Stocks 871130100 $132 4,200 SH Defined 65 4,200 SYBASE INC COM Common Stocks 871130100 $230 7,300 SH Defined 79 7,300 SYBASE INC COM Common Stocks 871130100 $398 12,700 SH Defined 79 12,700 SYBASE INC COM Common Stocks 871130100 $3,071 98,000 SH Sole 88 98,000 SYBASE INC COM Common Stocks 871130100 $170 5,420 SH Defined 102 5,420 SYKES ENTERPRISES INC COM Common Stocks 871237103 $190 10,500 SH Defined 57 10,500 SYMANTEC CORP COM Common Stocks 871503108 $3,451 221,800 SH Defined 4 221,800 SYMANTEC CORP COM Common Stocks 871503108 $11,222 721,200 SH Defined 10 721,200 SYMANTEC CORP COM Common Stocks 871503108 $1,964 126,200 SH Defined 14 126,200 SYMANTEC CORP COM Common Stocks 871503108 $383 24,600 SH Defined 23 24,600 SYMANTEC CORP COM Common Stocks 871503108 $513 33,000 SH Defined 28 33,000 SYMANTEC CORP COM Common Stocks 871503108 $549 35,300 SH Defined 29 35,300 SYMANTEC CORP COM Common Stocks 871503108 $6 400 SH Defined 32 400 SYMANTEC CORP COM Common Stocks 871503108 $2,026 130,200 SH Defined 35 130,200 SYMANTEC CORP COM Common Stocks 871503108 $358 23,000 SH Defined 41 23,000 SYMANTEC CORP COM Common Stocks 871503108 $553 35,555 SH Defined 42 35,555 SYMANTEC CORP COM Common Stocks 871503108 $1,898 122,000 SH Defined 51 122,000 SYMANTEC CORP COM Common Stocks 871503108 $6,839 439,500 SH Defined 57 439,500 SYMANTEC CORP COM Common Stocks 871503108 $252 16,200 SH Defined 67 16,200 SYMANTEC CORP COM Common Stocks 871503108 $1,821 117,057 SH Defined 76 117,057 SYMANTEC CORP COM Common Stocks 871503108 $341 21,890 SH Defined 80 21,890 SYMANTEC CORP COM Common Stocks 871503108 $29,172 1,874,794 SH Sole 88 1,874,794 SYMANTEC CORP COM Common Stocks 871503108 $812 52,100 SH Defined 93 52,100 SYMANTEC CORP COM Common Stocks 871503108 $2,010 129,200 SH Defined 93 129,200 SYMANTEC CORP COM Common Stocks 871503108 $13,198 848,229 SH Defined 848,229 SYMMETRY MED INC COM Common Stocks 871546206 $14 1,500 SH Defined 57 1,500 SYMYX TECHNOLOGIES COM Common Stocks 87155S108 $74 12,600 SH Defined 57 12,600 SYMYX TECHNOLOGIES COM Common Stocks 87155S108 $75 12,800 SH Sole 88 12,800 SYNALLOY CP DEL COM Common Stocks 871565107 $4 500 SH Defined 65 500 SYNAPTICS INC COM Common Stocks 87157D109 $781 20,200 SH Defined 44 20,200 SYNAPTICS INC COM Common Stocks 87157D109 $81 2,100 SH Defined 65 2,100 SYNAPTICS INC COM Common Stocks 87157D109 $1,333 34,479 SH Defined 76 34,479 SYNAPTICS INC COM Common Stocks 87157D109 $393 10,160 SH Defined 102 10,160 SYNOPSYS INC COM Common Stocks 871607107 $588 30,093 SH Defined 11 30,093 SYNOPSYS INC COM Common Stocks 871607107 $1,587 81,339 SH Defined 23 81,339 SYNOPSYS INC COM Common Stocks 871607107 $109 5,600 SH Defined 32 5,600 SYNOPSYS INC COM Common Stocks 871607107 $338 17,300 SH Defined 57 17,300 SYNOPSYS INC COM Common Stocks 871607107 $60 3,100 SH Defined 65 3,100 SYNOPSYS INC COM Common Stocks 871607107 $2,086 106,900 SH Defined 76 106,900 SYNOPSYS INC COM Common Stocks 871607107 $2,728 139,800 SH Sole 88 139,800 SYNGENTA AG SPONSORED ADR Common Stocks 87160A100 $493 10,600 SH Defined 28 10,600 SYNGENTA AG SPONSORED ADR Common Stocks 87160A100 $549 11,800 SH Defined 29 11,800 SYNGENTA AG SPONSORED ADR Common Stocks 87160A100 $2,480 53,300 SH Sole 88 53,300 SYNOVUS FINL CORP COM Common Stocks 87161C105 $394 131,625 SH Defined 21 131,625 SYNOVUS FINL CORP COM Common Stocks 87161C105 $2,284 763,751 SH Defined 57 763,751 SYNOVUS FINL CORP COM Common Stocks 87161C105 $2,761 923,330 SH Sole 88 923,330 SYNOVUS FINL CORP COM Common Stocks 87161C105 $100 33,601 SH Defined 33,601 SYNOVIS LIFE TECHNOLOGIES Common Stocks 87162G105 $50 2,400 SH Defined 23 2,400 SYNOVIS LIFE TECHNOLOGIES Common Stocks 87162G105 $152 7,300 SH Defined 44 7,300 SYNOVIS LIFE TECHNOLOGIES Common Stocks 87162G105 $31 1,500 SH Defined 57 1,500 SYNOVIS LIFE TECHNOLOGIES Common Stocks 87162G105 $106 5,100 SH Sole 88 5,100 SYNTEL INC COM Common Stocks 87162H103 $446 14,200 SH Defined 77 14,200 SYNTEL INC COM Common Stocks 87162H103 $117 3,725 SH Defined 81 3,725 SYNTEL INC COM Common Stocks 87162H103 $3,436 109,300 SH Sole 88 109,300 SYNTEL INC COM Common Stocks 87162H103 $472 15,000 SH Defined 95 15,000 SYNNEX CORP COM Common Stocks 87162W100 $2,024 81,000 SH Defined 23 81,000 SYNNEX CORP COM Common Stocks 87162W100 $1,617 64,700 SH Defined 57 64,700 SYNNEX CORP COM Common Stocks 87162W100 $52 2,100 SH Defined 65 2,100 SYNNEX CORP COM Common Stocks 87162W100 $3,201 128,100 SH Sole 88 128,100 SYNIVERSE HLDGS INC COM Common Stocks 87163F106 $3,041 189,646 SH Defined 23 189,646 SYNIVERSE HLDGS INC COM Common Stocks 87163F106 $290 18,070 SH Defined 52 18,070 SYNIVERSE HLDGS INC COM Common Stocks 87163F106 $842 52,500 SH Defined 57 52,500 SYNIVERSE HLDGS INC COM Common Stocks 87163F106 $269 16,800 SH Defined 65 16,800 SYNIVERSE HLDGS INC COM Common Stocks 87163F106 $1,945 121,320 SH Defined 85 121,320 SYNIVERSE HLDGS INC COM Common Stocks 87163F106 $3,331 207,785 SH Sole 88 207,785 SYNIVERSE HLDGS INC COM Common Stocks 87163F106 $26 1,582 SH Defined 1,582 SYSCO CORP COM Common Stocks 871829107 $9,890 439,934 SH Defined 1 439,934 SYSCO CORP COM Common Stocks 871829107 $10,255 456,200 SH Defined 10 456,200 SYSCO CORP COM Common Stocks 871829107 $6,847 304,600 SH Defined 35 304,600 SYSCO CORP COM Common Stocks 871829107 $1,661 73,900 SH Defined 51 73,900 SYSCO CORP COM Common Stocks 871829107 $441 19,600 SH Defined 56 19,600 SYSCO CORP COM Common Stocks 871829107 $8,374 372,500 SH Defined 57 372,500 SYSCO CORP COM Common Stocks 871829107 $2,133 94,870 SH Defined 58 94,870 SYSCO CORP COM Common Stocks 871829107 $787 35,010 SH Defined 60 35,010 SYSCO CORP COM Common Stocks 871829107 $852 37,900 SH Defined 67 37,900 SYSCO CORP COM Common Stocks 871829107 $355 15,800 SH Defined 80 15,800 SYSCO CORP COM Common Stocks 871829107 $33,271 1,480,014 SH Sole 88 1,480,014 SYSCO CORP COM Common Stocks 871829107 $636 28,200 SH Defined 96 28,200 SYSCO CORP COM Common Stocks 871829107 $2,019 89,800 SH Defined 96 89,800 SYSCO CORP COM Common Stocks 871829107 $4,221 187,780 SH Defined 102 187,780 SYSCO CORP COM Common Stocks 871829107 $16,692 742,505 SH Defined 742,505 TCF FINL CORP COM Common Stocks 872275102 $2,078 155,400 SH Defined 31 155,400 TCF FINL CORP COM Common Stocks 872275102 $825 61,700 SH Defined 51 61,700 TCF FINL CORP COM Common Stocks 872275102 $178 13,300 SH Defined 58 13,300 TCF FINL CORP COM Common Stocks 872275102 $2,872 214,800 SH Sole 88 214,800 TD AMERITRADE HLDG CORP CO Common Stocks 87236Y108 $8,082 460,800 SH Defined 10 460,800 TD AMERITRADE HLDG CORP CO Common Stocks 87236Y108 $302 17,200 SH Defined 51 17,200 TD AMERITRADE HLDG CORP CO Common Stocks 87236Y108 $218 12,400 SH Defined 56 12,400 TD AMERITRADE HLDG CORP CO Common Stocks 87236Y108 $5,636 321,300 SH Defined 57 321,300 TD AMERITRADE HLDG CORP CO Common Stocks 87236Y108 $737 41,990 SH Defined 58 41,990 TD AMERITRADE HLDG CORP CO Common Stocks 87236Y108 $860 48,100 SH Defined 79 48,100 TD AMERITRADE HLDG CORP CO Common Stocks 87236Y108 $1,428 81,400 SH Defined 79 81,400 TD AMERITRADE HLDG CORP CO Common Stocks 87236Y108 $9,756 556,200 SH Sole 88 556,200 TECO ENERGY INC COM Common Stocks 872375100 $735 61,600 SH Defined 51 61,600 TECO ENERGY INC COM Common Stocks 872375100 $216 18,100 SH Defined 57 18,100 TECO ENERGY INC COM Common Stocks 872375100 $68 5,700 SH Defined 80 5,700 TECO ENERGY INC COM Common Stocks 872375100 $696 58,300 SH Sole 88 58,300 TEPPCO PARTNERS L P UT LTD Common Stocks 872384102 $1,971 66,000 SH Defined 30 66,000 TEPPCO PARTNERS L P UT LTD Common Stocks 872384102 $1,553 52,000 SH Sole 88 52,000 TFS FINL CORP COM Common Stocks 87240R107 $188 17,700 SH Defined 51 17,700 TFS FINL CORP COM Common Stocks 87240R107 $121 11,400 SH Sole 88 11,400 TJX COS INC NEW COM Common Stocks 872540109 $632 20,085 SH Defined 1 20,085 TJX COS INC NEW COM Common Stocks 872540109 $11,719 372,500 SH Defined 10 372,500 TJX COS INC NEW COM Common Stocks 872540109 $3,732 118,600 SH Defined 14 118,600 TJX COS INC NEW COM Common Stocks 872540109 $30,812 979,172 SH Defined 23 979,172 TJX COS INC NEW COM Common Stocks 872540109 $1,466 46,596 SH Defined 42 46,596 TJX COS INC NEW COM Common Stocks 872540109 $1,007 32,000 SH Defined 51 32,000 TJX COS INC NEW COM Common Stocks 872540109 $2,208 70,840 SH Defined 66 70,840 TJX COS INC NEW COM Common Stocks 872540109 $2,816 89,470 SH Defined 66 89,470 TJX COS INC NEW COM Common Stocks 872540109 $346 11,000 SH Defined 80 11,000 TJX COS INC NEW COM Common Stocks 872540109 $8,797 279,629 SH Sole 88 279,629 TJX COS INC NEW COM Common Stocks 872540109 $223 7,124 SH Defined 7,124 TRW AUTOMOTIVE HLDGS CORP Common Stocks 87264S106 $611 54,100 SH Defined 42 54,100 TRW AUTOMOTIVE HLDGS CORP Common Stocks 87264S106 $1,960 173,431 SH Defined 57 173,431 TRW AUTOMOTIVE HLDGS CORP Common Stocks 87264S106 $1,845 163,264 SH Sole 88 163,264 TNS INC COM Common Stocks 872960109 $154 8,200 SH Defined 23 8,200 TNS INC COM Common Stocks 872960109 $189 10,100 SH Defined 65 10,100 TNS INC COM Common Stocks 872960109 $2,165 115,455 SH Sole 88 115,455 TTM TECHNOLOGIES INC COM Common Stocks 87305R109 $365 45,900 SH Defined 57 45,900 TTM TECHNOLOGIES INC COM Common Stocks 87305R109 $173 21,700 SH Sole 88 21,700 T-3 ENERGY SRVCS INC COM Common Stocks 87306E107 $271 22,745 SH Defined 52 22,745 T-3 ENERGY SRVCS INC COM Common Stocks 87306E107 $288 24,200 SH Defined 57 24,200 T-3 ENERGY SRVCS INC COM Common Stocks 87306E107 $438 36,801 SH Sole 88 36,801 TW TELECOM INC COM Common Stocks 87311L104 $108 10,467 SH Defined 81 10,467 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $144 15,308 SH Defined 4 15,308 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $6,550 689,200 SH Defined 11 689,200 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $14,088 1,496,900 SH Defined 11 1,496,900 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $3,900 414,500 SH Defined 14 414,500 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $793 84,323 SH Defined 41 84,323 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $942 100,120 SH Defined 61 100,120 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $1,165 122,583 SH Defined 64 122,583 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $24,516 2,605,120 SH Defined 64 2,605,120 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $1,946 204,800 SH Defined 66 204,800 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $199 21,100 SH Defined 66 21,100 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $11,831 1,257,251 SH Defined 68 1,257,251 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $3,379 358,788 SH Defined 70 358,788 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $1,056 112,200 SH Defined 71 112,200 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $529 56,167 SH Defined 83 56,167 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $251 26,328 SH Defined 86 26,328 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $36,041 3,830,104 SH Sole 88 3,830,104 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $7,195 764,560 SH Defined 102 764,560 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $5,573 592,200 SH Defined 104 592,200 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $280 29,736 SH Defined 106 29,736 TAIWAN SEMICONDUCTOR MFG L Common Stocks 874039100 $902 95,873 SH Defined 95,873 TAKE-TWO INTERACTIVE SOFTW Common Stocks 874054109 $170 18,000 SH Defined 23 18,000 TAKE-TWO INTERACTIVE SOFTW Common Stocks 874054109 $1,508 159,200 SH Defined 57 159,200 TAKE-TWO INTERACTIVE SOFTW Common Stocks 874054109 $1,321 139,470 SH Sole 88 139,470 TALEO CORP CL A Common Stocks 87424N104 $896 49,029 SH Defined 101 49,029 TALISMAN ENERGY INC COM Common Stocks 87425E103 $1,400 97,300 SH Defined 1 97,300 TALISMAN ENERGY INC COM Common Stocks 87425E103 $1,889 129,700 SH Defined 3 129,700 TALISMAN ENERGY INC COM Common Stocks 87425E103 $8,425 584,200 SH Defined 14 584,200 TALISMAN ENERGY INC COM Common Stocks 87425E103 $36 2,500 SH Defined 42 2,500 TALISMAN ENERGY INC COM Common Stocks 87425E103 $227 15,800 SH Sole 88 15,800 TALISMAN ENERGY INC COM Common Stocks 87425E103 $20,374 1,416,000 SH Defined 1,416,000 TAM SA SP ADR REP PFD Common Stocks 87484D103 $420 40,300 SH Sole 88 40,300 TAM SA SP ADR REP PFD Common Stocks 87484D103 $1,478 141,900 SH Defined 98 141,900 TAM SA SP ADR REP PFD Common Stocks 87484D103 $8,339 801,100 SH Defined 99 801,100 TAM SA SP ADR REP PFD Common Stocks 87484D103 $1,457 140,000 SH Defined 105 140,000 TANGER FACTORY OUTLET CTRS Common Stocks 875465106 $1,003 31,100 SH Defined 54 31,100 TANGER FACTORY OUTLET CTRS Common Stocks 875465106 $9,043 278,800 SH Defined 54 278,800 TANGER FACTORY OUTLET CTRS Common Stocks 875465106 $130 4,001 SH Defined 81 4,001 TANGER FACTORY OUTLET CTRS Common Stocks 875465106 $1,160 35,963 SH Defined 82 35,963 TANGER FACTORY OUTLET CTRS Common Stocks 875465106 $3,391 104,514 SH Defined 82 104,514 TANGER FACTORY OUTLET CTRS Common Stocks 875465106 $360 11,100 SH Sole 88 11,100 TANGER FACTORY OUTLET CTRS Common Stocks 875465106 $135 4,160 SH Defined 102 4,160 TARGET CORP COM Common Stocks 87612E106 $0 3 SH Defined 1 3 TARGET CORP COM Common Stocks 87612E106 $201 5,100 SH Defined 4 5,100 TARGET CORP COM Common Stocks 87612E106 $18,204 461,100 SH Defined 23 461,100 TARGET CORP COM Common Stocks 87612E106 $6,261 158,637 SH Defined 27 158,637 TARGET CORP COM Common Stocks 87612E106 $1,520 38,500 SH Defined 51 38,500 TARGET CORP COM Common Stocks 87612E106 $28 700 SH Defined 56 700 TARGET CORP COM Common Stocks 87612E106 $328 8,300 SH Defined 57 8,300 TARGET CORP COM Common Stocks 87612E106 $472 11,970 SH Defined 58 11,970 TARGET CORP COM Common Stocks 87612E106 $329 8,342 SH Defined 76 8,342 TARGET CORP COM Common Stocks 87612E106 $785 19,900 SH Defined 79 19,900 TARGET CORP COM Common Stocks 87612E106 $1,401 35,500 SH Defined 79 35,500 TARGET CORP COM Common Stocks 87612E106 $789 20,000 SH Defined 80 20,000 TARGET CORP COM Common Stocks 87612E106 $15,794 400,154 SH Sole 88 400,154 TARGET CORP COM Common Stocks 87612E106 $13,640 345,587 SH Defined 94 345,587 TARGET CORP COM Common Stocks 87612E106 $132 3,332 SH Defined 3,332 TASER INTL INC COM Common Stocks 87651B104 $83 18,117 SH Defined 81 18,117 TASTY BAKING CO COM Common Stocks 876553306 $112 16,132 SH Defined 16,132 TATA MTRS LTD SPONSORED AD Common Stocks 876568502 $300 35,200 SH Defined 1 35,200 TATA MTRS LTD SPONSORED AD Common Stocks 876568502 $7,315 858,540 SH Defined 100 858,540 TAUBMAN CTRS INC COM Common Stocks 876664103 $2,963 110,300 SH Defined 2 110,300 TAUBMAN CTRS INC COM Common Stocks 876664103 $2,890 107,600 SH Defined 54 107,600 TAUBMAN CTRS INC COM Common Stocks 876664103 $2,441 91,303 SH Defined 82 91,303 TAUBMAN CTRS INC COM Common Stocks 876664103 $5,298 197,153 SH Defined 82 197,153 TAUBMAN CTRS INC COM Common Stocks 876664103 $97 3,600 SH Sole 88 3,600 TEAM INC COM Common Stocks 878155100 $299 19,100 SH Defined 63 19,100 TECH DATA CORP COM Common Stocks 878237106 $563 17,200 SH Defined 1 17,200 TECH DATA CORP COM Common Stocks 878237106 $481 14,700 SH Defined 10 14,700 TECH DATA CORP COM Common Stocks 878237106 $160 4,900 SH Defined 23 4,900 TECH DATA CORP COM Common Stocks 878237106 $2,421 74,000 SH Defined 35 74,000 TECH DATA CORP COM Common Stocks 878237106 $620 18,954 SH Defined 42 18,954 TECH DATA CORP COM Common Stocks 878237106 $301 9,200 SH Defined 67 9,200 TECH DATA CORP COM Common Stocks 878237106 $2,038 62,308 SH Sole 88 62,308 TECH DATA CORP COM Common Stocks 878237106 $7,611 232,680 SH Defined 100 232,680 TECHTEAM GLOBAL INC COM Common Stocks 878311109 $259 39,534 SH Defined 63 39,534 TECHNE CORP COM Common Stocks 878377100 $593 9,300 SH Defined 28 9,300 TECHNE CORP COM Common Stocks 878377100 $121 1,900 SH Defined 51 1,900 TECHNE CORP COM Common Stocks 878377100 $155 2,424 SH Defined 81 2,424 TECHNE CORP COM Common Stocks 878377100 $77 1,200 SH Sole 88 1,200 TECHNITROL INC COM Common Stocks 878555101 $190 29,302 SH Defined 57 29,302 TECHNITROL INC COM Common Stocks 878555101 $46 7,100 SH Sole 88 7,100 TECK RESOURCES LTD CL B Common Stocks 878742204 $14,524 909,300 SH Defined 34 909,300 TECK RESOURCES LTD CL B Common Stocks 878742204 $68 4,200 SH Defined 42 4,200 TECK RESOURCES LTD CL B Common Stocks 878742204 $696 43,637 SH Sole 88 43,637 TECK RESOURCES LTD CL B Common Stocks 878742204 $892 55,924 SH Defined 104 55,924 TECK RESOURCES LTD CL B Common Stocks 878742204 $1,051 65,800 SH Defined 65,800 TECHWELL INC COM Common Stocks 87874D101 $272 32,000 SH Defined 63 32,000 TELE NORTE LESTE PART S A Common Stocks 879246106 $1,285 86,396 SH Defined 40 86,396 TELE NORTE LESTE PART S A Common Stocks 879246106 $179 12,061 SH Sole 88 12,061 TELECOM ARGENTINA S A SPON Common Stocks 879273209 $510 39,758 SH Defined 1 39,758 TELECOMMUNICATION SYS INC Common Stocks 87929J103 $57 8,000 SH Defined 23 8,000 TELECOMMUNICATION SYS INC Common Stocks 87929J103 $28 3,900 SH Defined 57 3,900 TELECOMMUNICATION SYS INC Common Stocks 87929J103 $60 8,500 SH Defined 65 8,500 TELECOMMUNICATION SYS INC Common Stocks 87929J103 $85 12,000 SH Sole 88 12,000 TELEDYNE TECHNOLOGIES INC Common Stocks 879360105 $69 2,100 SH Defined 57 2,100 TELEFLEX INC COM Common Stocks 879369106 $1,358 30,300 SH Defined 23 30,300 TELEFLEX INC COM Common Stocks 879369106 $6,902 153,970 SH Defined 31 153,970 TELEFLEX INC COM Common Stocks 879369106 $1,345 30,000 SH Defined 51 30,000 TELEFLEX INC COM Common Stocks 879369106 $6,039 134,700 SH Sole 88 134,700 TELEFONOS DE MEXICO S A B Common Stocks 879403780 $1,679 103,600 SH Defined 4 103,600 TELEFONOS DE MEXICO S A B Common Stocks 879403780 $261 16,114 SH Defined 20 16,114 TELEFONOS DE MEXICO S A B Common Stocks 879403780 $170 10,500 SH Sole 88 10,500 TELEFONOS DE MEXICO S A B Common Stocks 879403780 $113 7,000 SH Defined 90 7,000 TELEFONOS DE MEXICO S A B Common Stocks 879403780 $156 9,600 SH Defined 9,600 TELEPHONE & DATA SYS INC C Common Stocks 879433100 $1,177 41,578 SH Defined 42 41,578 TELEPHONE & DATA SYS INC C Common Stocks 879433100 $178 6,300 SH Defined 51 6,300 TELEPHONE & DATA SYS INC C Common Stocks 879433100 $126 4,443 SH Defined 81 4,443 TELEPHONE & DATA SYS INC C Common Stocks 879433100 $774 27,352 SH Sole 88 27,352 TELLABS INC COM Common Stocks 879664100 $762 132,902 SH Defined 42 132,902 TELLABS INC COM Common Stocks 879664100 $444 77,500 SH Defined 51 77,500 TELLABS INC COM Common Stocks 879664100 $348 60,706 SH Defined 52 60,706 TELLABS INC COM Common Stocks 879664100 $9,719 1,696,116 SH Defined 57 1,696,116 TELLABS INC COM Common Stocks 879664100 $61 10,600 SH Defined 80 10,600 TELLABS INC COM Common Stocks 879664100 $159 27,696 SH Defined 81 27,696 TELLABS INC COM Common Stocks 879664100 $7,609 1,327,946 SH Sole 88 1,327,946 TELMEX INTERNACIONAL SAB D Common Stocks 879690105 $315 24,921 SH Defined 24,921 TELUS CORP NON-VTG SHS Common Stocks 87971M202 $1,768 67,600 SH Defined 3 67,600 TELUS CORP NON-VTG SHS Common Stocks 87971M202 $2,038 79,000 SH Defined 4 79,000 TELUS CORP NON-VTG SHS Common Stocks 87971M202 $31,244 1,209,500 SH Defined 34 1,209,500 TELUS CORP NON-VTG SHS Common Stocks 87971M202 $2,486 96,400 SH Sole 88 96,400 TELUS CORP NON-VTG SHS Common Stocks 87971M202 $3,152 122,000 SH Defined 122,000 TEMPLE INLAND INC COM Common Stocks 879868107 $77 5,900 SH Defined 1 5,900 TEMPLE INLAND INC COM Common Stocks 879868107 $9,794 746,403 SH Defined 14 746,403 TEMPLE INLAND INC COM Common Stocks 879868107 $112 8,500 SH Defined 23 8,500 TEMPLE INLAND INC COM Common Stocks 879868107 $1,027 78,300 SH Defined 35 78,300 TEMPLE INLAND INC COM Common Stocks 879868107 $197 15,000 SH Defined 51 15,000 TEMPLE INLAND INC COM Common Stocks 879868107 $129 9,800 SH Defined 67 9,800 TEMPLE INLAND INC COM Common Stocks 879868107 $846 64,500 SH Sole 88 64,500 TELETECH HOLDINGS INC COM Common Stocks 879939106 $901 59,500 SH Defined 57 59,500 TELETECH HOLDINGS INC COM Common Stocks 879939106 $89 5,900 SH Defined 65 5,900 TELETECH HOLDINGS INC COM Common Stocks 879939106 $401 26,500 SH Sole 88 26,500 TEMPUR PEDIC INTL INC COM Common Stocks 88023U101 $77 5,890 SH Defined 23 5,890 TEMPUR PEDIC INTL INC COM Common Stocks 88023U101 $316 24,172 SH Defined 57 24,172 TEMPUR PEDIC INTL INC COM Common Stocks 88023U101 $488 37,332 SH Sole 88 37,332 TENARIS S A SPONSORED ADR Common Stocks 88031M109 $268 9,900 SH Defined 14 9,900 TENARIS S A SPONSORED ADR Common Stocks 88031M109 $714 26,400 SH Sole 88 26,400 TENARIS S A SPONSORED ADR Common Stocks 88031M109 $5,264 194,688 SH Defined 99 194,688 TENET HEALTHCARE CORP COM Common Stocks 88033G100 $31 11,000 SH Defined 80 11,000 TENET HEALTHCARE CORP COM Common Stocks 88033G100 $99 35,230 SH Defined 81 35,230 TENNANT CO COM Common Stocks 880345103 $284 15,465 SH Defined 22 15,465 TENNANT CO COM Common Stocks 880345103 $193 10,500 SH Defined 63 10,500 TENNECO INC COM Common Stocks 880349105 $225 21,170 SH Defined 11 21,170 TENNECO INC COM Common Stocks 880349105 $442 41,681 SH Defined 52 41,681 TENNECO INC COM Common Stocks 880349105 $575 54,200 SH Defined 57 54,200 TENNECO INC COM Common Stocks 880349105 $505 47,645 SH Defined 73 47,645 TENNECO INC COM Common Stocks 880349105 $127 11,952 SH Defined 81 11,952 TENNECO INC COM Common Stocks 880349105 $3,083 290,803 SH Sole 88 290,803 TENNECO INC COM Common Stocks 880349105 $806 76,001 SH Defined 101 76,001 TERADATA CORP DEL COM Common Stocks 88076W103 $0 1 SH Defined 1 1 TERADATA CORP DEL COM Common Stocks 88076W103 $2,599 110,834 SH Defined 11 110,834 TERADATA CORP DEL COM Common Stocks 88076W103 $5,314 226,800 SH Defined 28 226,800 TERADATA CORP DEL COM Common Stocks 88076W103 $773 33,000 SH Defined 29 33,000 TERADATA CORP DEL COM Common Stocks 88076W103 $922 39,346 SH Defined 76 39,346 TERADATA CORP DEL COM Common Stocks 88076W103 $108 4,600 SH Defined 80 4,600 TERADATA CORP DEL COM Common Stocks 88076W103 $3,601 153,700 SH Sole 88 153,700 TERADYNE INC COM Common Stocks 880770102 $31 4,500 SH Defined 80 4,500 TERADYNE INC COM Common Stocks 880770102 $242 35,210 SH Defined 102 35,210 TEREX CORP NEW COM Common Stocks 880779103 $182 15,100 SH Defined 51 15,100 TEREX CORP NEW COM Common Stocks 880779103 $155 12,800 SH Sole 88 12,800 TERRA INDS INC COM Common Stocks 880915103 $0 3 SH Defined 1 3 TERRA INDS INC COM Common Stocks 880915103 $102 4,200 SH Defined 57 4,200 TERRA INDS INC COM Common Stocks 880915103 $767 31,649 SH Defined 73 31,649 TERRA INDS INC COM Common Stocks 880915103 $3,275 135,221 SH Sole 88 135,221 TERRA INDS INC COM Common Stocks 880915103 $101 4,190 SH Defined 102 4,190 TESORO CORP COM Common Stocks 881609101 $463 36,400 SH Defined 1 36,400 TESORO CORP COM Common Stocks 881609101 $5,268 413,800 SH Defined 35 413,800 TESORO CORP COM Common Stocks 881609101 $443 34,809 SH Defined 42 34,809 TESORO CORP COM Common Stocks 881609101 $489 38,400 SH Defined 51 38,400 TESORO CORP COM Common Stocks 881609101 $3,852 302,600 SH Defined 57 302,600 TESORO CORP COM Common Stocks 881609101 $29 2,300 SH Defined 65 2,300 TESORO CORP COM Common Stocks 881609101 $607 47,700 SH Defined 67 47,700 TESORO CORP COM Common Stocks 881609101 $47 3,700 SH Defined 80 3,700 TESORO CORP COM Common Stocks 881609101 $87 6,839 SH Defined 81 6,839 TESORO CORP COM Common Stocks 881609101 $6,050 475,259 SH Sole 88 475,259 TESORO CORP COM Common Stocks 881609101 $2,598 204,075 SH Defined 100 204,075 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $612 12,400 SH Defined 4 12,400 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $3,716 75,300 SH Defined 14 75,300 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $796 16,300 SH Defined 18 16,300 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $1,125 22,800 SH Defined 18 22,800 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $10,721 217,296 SH Defined 27 217,296 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $3,636 73,700 SH Defined 37 73,700 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $26,054 528,042 SH Defined 38 528,042 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $14,368 291,205 SH Defined 40 291,205 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $1,383 28,022 SH Defined 45 28,022 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $8,230 166,800 SH Defined 46 166,800 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $2,457 50,312 SH Defined 64 50,312 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $25,096 508,560 SH Defined 64 508,560 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $2,056 42,100 SH Defined 66 42,100 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $1,787 36,200 SH Defined 66 36,200 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $36,745 744,740 SH Sole 88 744,740 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $977 20,000 SH Defined 96 20,000 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $1,515 30,700 SH Defined 96 30,700 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $2,879 58,300 SH Defined 98 58,300 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $24,561 497,800 SH Defined 99 497,800 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $4,720 95,670 SH Defined 102 95,670 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $4,100 83,100 SH Defined 104 83,100 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $2,127 43,100 SH Defined 105 43,100 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $370 7,500 SH Defined 106 7,500 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $11,807 239,300 SH Defined 109 239,300 TEVA PHARMACEUTICAL INDS L Common Stocks 881624209 $6,513 132,000 SH Defined 132,000 TETRA TECHNOLOGIES INC DEL Common Stocks 88162F105 $12 1,500 SH Defined 57 1,500 TETRA TECHNOLOGIES INC DEL Common Stocks 88162F105 $61 7,600 SH Defined 65 7,600 TETRA TECH INC NEW COM Common Stocks 88162G103 $60 2,100 SH Defined 23 2,100 TETRA TECH INC NEW COM Common Stocks 88162G103 $410 14,300 SH Defined 44 14,300 TETRA TECH INC NEW COM Common Stocks 88162G103 $547 19,078 SH Defined 73 19,078 TETRA TECH INC NEW COM Common Stocks 88162G103 $150 5,251 SH Defined 81 5,251 TETRA TECH INC NEW COM Common Stocks 88162G103 $8,444 294,737 SH Sole 88 294,737 TETRA TECH INC NEW COM Common Stocks 88162G103 $837 29,200 SH Defined 95 29,200 TESSERA TECHNOLOGIES INC C Common Stocks 88164L100 $225 8,900 SH Defined 23 8,900 TESSERA TECHNOLOGIES INC C Common Stocks 88164L100 $177 7,000 SH Defined 65 7,000 TESSERA TECHNOLOGIES INC C Common Stocks 88164L100 $329 13,000 SH Sole 88 13,000 TEXAS CAPITAL BANCSHARES I Common Stocks 88224Q107 $448 28,950 SH Defined 21 28,950 TEXAS CAPITAL BANCSHARES I Common Stocks 88224Q107 $441 28,477 SH Defined 85 28,477 TEXAS CAPITAL BANCSHARES I Common Stocks 88224Q107 $2,150 138,970 SH Sole 88 138,970 TEXAS CAPITAL BANCSHARES I Common Stocks 88224Q107 $3,120 201,671 SH Defined 92 201,671 TEXAS CAPITAL BANCSHARES I Common Stocks 88224Q107 $217 14,026 SH Defined 14,026 TEXAS INDS INC COM Common Stocks 882491103 $218 6,945 SH Defined 22 6,945 TEXAS INSTRS INC COM Common Stocks 882508104 $8,417 395,144 SH Defined 1 395,144 TEXAS INSTRS INC COM Common Stocks 882508104 $13,770 646,500 SH Defined 10 646,500 TEXAS INSTRS INC COM Common Stocks 882508104 $5,025 235,905 SH Defined 12 235,905 TEXAS INSTRS INC COM Common Stocks 882508104 $1,425 66,900 SH Defined 35 66,900 TEXAS INSTRS INC COM Common Stocks 882508104 $1,849 86,824 SH Defined 42 86,824 TEXAS INSTRS INC COM Common Stocks 882508104 $1,919 90,600 SH Defined 47 90,600 TEXAS INSTRS INC COM Common Stocks 882508104 $10,923 512,700 SH Defined 47 512,700 TEXAS INSTRS INC COM Common Stocks 882508104 $1,247 58,900 SH Defined 50 58,900 TEXAS INSTRS INC COM Common Stocks 882508104 $41,090 1,928,753 SH Defined 50 1,928,753 TEXAS INSTRS INC COM Common Stocks 882508104 $347 16,300 SH Defined 67 16,300 TEXAS INSTRS INC COM Common Stocks 882508104 $3,470 162,925 SH Defined 76 162,925 TEXAS INSTRS INC COM Common Stocks 882508104 $724 34,000 SH Defined 80 34,000 TEXAS INSTRS INC COM Common Stocks 882508104 $27,155 1,274,875 SH Sole 88 1,274,875 TEXAS INSTRS INC COM Common Stocks 882508104 $964 45,500 SH Defined 93 45,500 TEXAS INSTRS INC COM Common Stocks 882508104 $2,409 113,100 SH Defined 93 113,100 TEXAS INSTRS INC COM Common Stocks 882508104 $1,811 85,000 SH Defined 105 85,000 TEXAS INSTRS INC COM Common Stocks 882508104 $428 20,100 SH Defined 106 20,100 TEXAS INSTRS INC COM Common Stocks 882508104 $1,982 93,063 SH Defined 93,063 TEXAS ROADHOUSE INC CL A Common Stocks 882681109 $2,708 248,177 SH Defined 74 248,177 TEXAS ROADHOUSE INC CL A Common Stocks 882681109 $2,444 224,060 SH Defined 85 224,060 TEXAS ROADHOUSE INC CL A Common Stocks 882681109 $6,497 595,498 SH Sole 88 595,498 TEXAS ROADHOUSE INC CL A Common Stocks 882681109 $370 33,920 SH Defined 102 33,920 TEXTRON INC COM Common Stocks 883203101 $576 58,715 SH Defined 11 58,715 TEXTRON INC COM Common Stocks 883203101 $2,254 233,278 SH Defined 11 233,278 TEXTRON INC COM Common Stocks 883203101 $343 35,500 SH Defined 51 35,500 TEXTRON INC COM Common Stocks 883203101 $26 2,700 SH Defined 56 2,700 TEXTRON INC COM Common Stocks 883203101 $69 7,100 SH Defined 80 7,100 TEXTRON INC COM Common Stocks 883203101 $219 22,700 SH Sole 88 22,700 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $4,994 122,500 SH Defined 8 122,500 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $2,635 64,625 SH Defined 12 64,625 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $3,594 88,128 SH Defined 23 88,128 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $558 13,437 SH Defined 26 13,437 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $20,352 499,096 SH Defined 26 499,096 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $24 600 SH Defined 32 600 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $1,049 25,700 SH Defined 41 25,700 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $1,992 48,868 SH Defined 42 48,868 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $2,018 49,400 SH Defined 49 49,400 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $428 10,500 SH Defined 51 10,500 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $592 14,520 SH Defined 55 14,520 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $1,000 24,530 SH Defined 60 24,530 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $8,351 204,770 SH Defined 68 204,770 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $3,653 87,934 SH Defined 70 87,934 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $3,484 85,420 SH Defined 70 85,420 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $457 11,200 SH Defined 80 11,200 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $32,749 803,274 SH Sole 88 803,274 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $14,691 360,335 SH Defined 94 360,335 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $4,867 119,370 SH Defined 102 119,370 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $814 19,972 SH Defined 106 19,972 THERMO FISHER SCIENTIFIC I Common Stocks 883556102 $4,563 111,833 SH Defined 111,833 THOMAS & BETTS CORP COM Common Stocks 884315102 $1,703 59,000 SH Defined 30 59,000 THOMAS & BETTS CORP COM Common Stocks 884315102 $1,172 40,600 SH Defined 51 40,600 THOMAS & BETTS CORP COM Common Stocks 884315102 $133 4,600 SH Defined 65 4,600 THOMAS & BETTS CORP COM Common Stocks 884315102 $2,052 71,100 SH Sole 88 71,100 THOMPSON CREEK METALS CO I Common Stocks 884768102 $260 25,480 SH Defined 66 25,480 THOMPSON CREEK METALS CO I Common Stocks 884768102 $508 49,732 SH Sole 88 49,732 THOMPSON CREEK METALS CO I Common Stocks 884768102 $1,713 167,580 SH Defined 103 167,580 THOMSON REUTERS CORP COM Common Stocks 884903105 $13,972 479,350 SH Defined 479,350 THORATEC CORP COM NEW Common Stocks 885175307 $1,520 56,769 SH Defined 74 56,769 THORATEC CORP COM NEW Common Stocks 885175307 $1,837 68,580 SH Sole 88 68,580 3COM CORP COM Common Stocks 885535104 $1,196 254,024 SH Defined 1 254,024 3COM CORP COM Common Stocks 885535104 $4,192 890,070 SH Defined 23 890,070 3COM CORP COM Common Stocks 885535104 $1,621 344,100 SH Defined 57 344,100 3COM CORP COM Common Stocks 885535104 $2,079 441,401 SH Defined 76 441,401 3COM CORP COM Common Stocks 885535104 $4,644 986,029 SH Sole 88 986,029 3M CO COM Common Stocks 88579Y101 $246 4,100 SH Defined 4 4,100 3M CO COM Common Stocks 88579Y101 $6,004 99,900 SH Defined 10 99,900 3M CO COM Common Stocks 88579Y101 $1,752 29,101 SH Defined 11 29,101 3M CO COM Common Stocks 88579Y101 $763 12,700 SH Defined 18 12,700 3M CO COM Common Stocks 88579Y101 $5,445 90,600 SH Defined 31 90,600 3M CO COM Common Stocks 88579Y101 $613 10,200 SH Defined 41 10,200 3M CO COM Common Stocks 88579Y101 $1,788 29,700 SH Defined 49 29,700 3M CO COM Common Stocks 88579Y101 $3,516 58,500 SH Defined 51 58,500 3M CO COM Common Stocks 88579Y101 $721 12,000 SH Defined 57 12,000 3M CO COM Common Stocks 88579Y101 $21,158 351,977 SH Defined 68 351,977 3M CO COM Common Stocks 88579Y101 $965 16,050 SH Defined 69 16,050 3M CO COM Common Stocks 88579Y101 $7,072 118,700 SH Defined 70 118,700 3M CO COM Common Stocks 88579Y101 $6,818 113,375 SH Defined 70 113,375 3M CO COM Common Stocks 88579Y101 $1,112 18,500 SH Defined 80 18,500 3M CO COM Common Stocks 88579Y101 $23,861 397,020 SH Sole 88 397,020 3M CO COM Common Stocks 88579Y101 $17,329 288,332 SH Defined 94 288,332 3PAR INC COM Common Stocks 88580F109 $73 5,850 SH Defined 44 5,850 3PAR INC COM Common Stocks 88580F109 $426 34,329 SH Defined 74 34,329 TIBCO SOFTWARE INC COM Common Stocks 88632Q103 $208 29,000 SH Defined 1 29,000 TIBCO SOFTWARE INC COM Common Stocks 88632Q103 $62 8,646 SH Defined 11 8,646 TIBCO SOFTWARE INC COM Common Stocks 88632Q103 $3,063 427,200 SH Defined 23 427,200 TIBCO SOFTWARE INC COM Common Stocks 88632Q103 $180 25,100 SH Defined 65 25,100 TIBCO SOFTWARE INC COM Common Stocks 88632Q103 $131 18,225 SH Defined 81 18,225 TIBCO SOFTWARE INC COM Common Stocks 88632Q103 $2,884 402,200 SH Sole 88 402,200 TICKETMASTER ENTMT INC COM Common Stocks 88633P302 $103 16,000 SH Defined 23 16,000 TICKETMASTER ENTMT INC COM Common Stocks 88633P302 $102 15,835 SH Defined 42 15,835 TICKETMASTER ENTMT INC COM Common Stocks 88633P302 $198 30,821 SH Sole 88 30,821 TIDEWATER INC COM Common Stocks 886423102 $872 20,350 SH Defined 21 20,350 TIDEWATER INC COM Common Stocks 886423102 $1,560 36,400 SH Defined 30 36,400 TIDEWATER INC COM Common Stocks 886423102 $1,505 35,100 SH Defined 51 35,100 TIDEWATER INC COM Common Stocks 886423102 $1,882 43,900 SH Defined 57 43,900 TIDEWATER INC COM Common Stocks 886423102 $107 2,500 SH Defined 65 2,500 TIDEWATER INC COM Common Stocks 886423102 $298 6,950 SH Defined 77 6,950 TIDEWATER INC COM Common Stocks 886423102 $6,657 155,275 SH Sole 88 155,275 TIER TECHNOLOGIES INC CL B Common Stocks 88650Q100 $4,489 584,516 SH Defined 92 584,516 TIFFANY & CO NEW COM Common Stocks 886547108 $2,551 100,592 SH Defined 31 100,592 TIFFANY & CO NEW COM Common Stocks 886547108 $243 9,600 SH Defined 51 9,600 TIFFANY & CO NEW COM Common Stocks 886547108 $84 3,300 SH Defined 80 3,300 TIFFANY & CO NEW COM Common Stocks 886547108 $119 4,691 SH Defined 81 4,691 TIFFANY & CO NEW COM Common Stocks 886547108 $753 29,700 SH Sole 88 29,700 TIM HORTONS INC COM Common Stocks 88706M103 $402 16,400 SH Defined 51 16,400 TIM HORTONS INC COM Common Stocks 88706M103 $2,068 84,600 SH Sole 88 84,600 TIM HORTONS INC COM Common Stocks 88706M103 $2,893 118,300 SH Defined 109 118,300 TIM HORTONS INC COM Common Stocks 88706M103 $8,380 342,420 SH Defined 342,420 TIMBERLAND CO CL A Common Stocks 887100105 $94 7,100 SH Defined 23 7,100 TIMBERLAND CO CL A Common Stocks 887100105 $1,045 78,745 SH Defined 57 78,745 TIMBERLAND CO CL A Common Stocks 887100105 $653 49,178 SH Sole 88 49,178 TIME WARNER INC COM NEW AD Common Stocks 887317303 $5,886 233,649 SH Defined 4 233,649 TIME WARNER INC COM NEW AD Common Stocks 887317303 $12,124 481,299 SH Defined 10 481,299 TIME WARNER INC COM NEW AD Common Stocks 887317303 $622 24,700 SH Defined 32 24,700 TIME WARNER INC COM NEW AD Common Stocks 887317303 $3,144 124,831 SH Defined 42 124,831 TIME WARNER INC COM NEW AD Common Stocks 887317303 $532 21,131 SH Defined 51 21,131 TIME WARNER INC COM NEW AD Common Stocks 887317303 $957 37,991 SH Defined 56 37,991 TIME WARNER INC COM NEW AD Common Stocks 887317303 $249 9,900 SH Defined 57 9,900 TIME WARNER INC COM NEW AD Common Stocks 887317303 $4,062 161,236 SH Defined 58 161,236 TIME WARNER INC COM NEW AD Common Stocks 887317303 $1,629 64,649 SH Defined 76 64,649 TIME WARNER INC COM NEW AD Common Stocks 887317303 $209 8,300 SH Defined 79 8,300 TIME WARNER INC COM NEW AD Common Stocks 887317303 $418 16,600 SH Defined 79 16,600 TIME WARNER INC COM NEW AD Common Stocks 887317303 $804 31,916 SH Defined 80 31,916 TIME WARNER INC COM NEW AD Common Stocks 887317303 $15,584 618,659 SH Sole 88 618,659 TIME WARNER INC COM NEW AD Common Stocks 887317303 $909 36,100 SH Defined 93 36,100 TIME WARNER INC COM NEW AD Common Stocks 887317303 $2,255 89,500 SH Defined 93 89,500 TIME WARNER INC COM NEW AD Common Stocks 887317303 $871 34,589 SH Defined 106 34,589 TIME WARNER INC COM NEW AD Common Stocks 887317303 $16,689 662,542 SH Defined 662,542 TIME WARNER CABLE INC COM Common Stocks 88732J207 $2,208 69,729 SH Defined 4 69,729 TIME WARNER CABLE INC COM Common Stocks 88732J207 $3,826 120,809 SH Defined 10 120,809 TIME WARNER CABLE INC COM Common Stocks 88732J207 $285 8,999 SH Defined 32 8,999 TIME WARNER CABLE INC COM Common Stocks 88732J207 $2,628 82,970 SH Defined 35 82,970 TIME WARNER CABLE INC COM Common Stocks 88732J207 $268 8,465 SH Defined 42 8,465 TIME WARNER CABLE INC COM Common Stocks 88732J207 $169 5,328 SH Defined 51 5,328 TIME WARNER CABLE INC COM Common Stocks 88732J207 $268 8,456 SH Defined 56 8,456 TIME WARNER CABLE INC COM Common Stocks 88732J207 $2,869 90,594 SH Defined 57 90,594 TIME WARNER CABLE INC COM Common Stocks 88732J207 $330 10,423 SH Defined 58 10,423 TIME WARNER CABLE INC COM Common Stocks 88732J207 $301 9,495 SH Defined 67 9,495 TIME WARNER CABLE INC COM Common Stocks 88732J207 $2,858 90,244 SH Defined 76 90,244 TIME WARNER CABLE INC COM Common Stocks 88732J207 $135 4,283 SH Defined 79 4,283 TIME WARNER CABLE INC COM Common Stocks 88732J207 $256 8,091 SH Defined 79 8,091 TIME WARNER CABLE INC COM Common Stocks 88732J207 $298 9,410 SH Defined 80 9,410 TIME WARNER CABLE INC COM Common Stocks 88732J207 $7,692 242,890 SH Sole 88 242,890 TIME WARNER CABLE INC COM Common Stocks 88732J207 $573 18,100 SH Defined 18,100 TIMKEN CO COM Common Stocks 887389104 $0 2 SH Defined 1 2 TIMKEN CO COM Common Stocks 887389104 $3,322 194,503 SH Defined 31 194,503 TIMKEN CO COM Common Stocks 887389104 $56 3,300 SH Defined 51 3,300 TIMKEN CO COM Common Stocks 887389104 $1,947 114,000 SH Defined 57 114,000 TIMKEN CO COM Common Stocks 887389104 $2,009 117,600 SH Sole 88 117,600 TITAN INTL INC ILL COM Common Stocks 88830M102 $415 55,507 SH Defined 74 55,507 TITAN INTL INC ILL COM Common Stocks 88830M102 $694 92,900 SH Sole 88 92,900 TITAN INTL INC ILL COM Common Stocks 88830M102 $320 42,885 SH Defined 42,885 TITANIUM METALS CORP COM N Common Stocks 888339207 $0 1 SH Defined 1 1 TITANIUM METALS CORP COM N Common Stocks 888339207 $22 2,400 SH Defined 80 2,400 TITANIUM METALS CORP COM N Common Stocks 888339207 $72 7,800 SH Sole 88 7,800 TITANIUM METALS CORP COM N Common Stocks 888339207 $1,597 173,807 SH Defined 92 173,807 TIVO INC COM Common Stocks 888706108 $124 11,785 SH Defined 81 11,785 TIVO INC COM Common Stocks 888706108 $82 7,850 SH Defined 102 7,850 TOLL BROTHERS INC COM Common Stocks 889478103 $550 32,400 SH Defined 37 32,400 TOLL BROTHERS INC COM Common Stocks 889478103 $3,956 233,100 SH Defined 38 233,100 TOLL BROTHERS INC COM Common Stocks 889478103 $351 20,700 SH Defined 51 20,700 TOLL BROTHERS INC COM Common Stocks 889478103 $226 13,300 SH Sole 88 13,300 TOMOTHERAPY INC COM Common Stocks 890088107 $105 38,100 SH Defined 63 38,100 TOMPKINS FINANCIAL CORPORATI Common Stocks 890110109 $72 1,500 SH Defined 57 1,500 TOMPKINS FINANCIAL CORPORATI Common Stocks 890110109 $173 3,600 SH Defined 65 3,600 TOMPKINS FINANCIAL CORPORATI Common Stocks 890110109 $77 1,600 SH Sole 88 1,600 TORCHMARK CORP COM Common Stocks 891027104 $419 11,300 SH Defined 1 11,300 TORCHMARK CORP COM Common Stocks 891027104 $1,300 35,100 SH Defined 4 35,100 TORCHMARK CORP COM Common Stocks 891027104 $3,222 87,000 SH Defined 35 87,000 TORCHMARK CORP COM Common Stocks 891027104 $444 12,000 SH Defined 51 12,000 TORCHMARK CORP COM Common Stocks 891027104 $1,235 33,350 SH Defined 59 33,350 TORCHMARK CORP COM Common Stocks 891027104 $400 10,800 SH Defined 67 10,800 TORCHMARK CORP COM Common Stocks 891027104 $450 12,145 SH Defined 76 12,145 TORCHMARK CORP COM Common Stocks 891027104 $81 2,200 SH Defined 80 2,200 TORCHMARK CORP COM Common Stocks 891027104 $723 19,530 SH Defined 84 19,530 TORCHMARK CORP COM Common Stocks 891027104 $3,656 98,700 SH Sole 88 98,700 TORO CO COM Common Stocks 891092108 $299 9,985 SH Defined 22 9,985 TORO CO COM Common Stocks 891092108 $1,667 55,756 SH Defined 42 55,756 TORO CO COM Common Stocks 891092108 $487 16,300 SH Defined 51 16,300 TORO CO COM Common Stocks 891092108 $124 4,146 SH Defined 81 4,146 TORO CO COM Common Stocks 891092108 $1,238 41,413 SH Sole 88 41,413 TORONTO DOMINION BK ONT CO Common Stocks 891160509 $2,287 44,200 SH Defined 1 44,200 TORONTO DOMINION BK ONT CO Common Stocks 891160509 $1,913 36,900 SH Defined 11 36,900 TORONTO DOMINION BK ONT CO Common Stocks 891160509 $14,040 270,200 SH Defined 23 270,200 TORONTO DOMINION BK ONT CO Common Stocks 891160509 $34,154 660,087 SH Defined 34 660,087 TORONTO DOMINION BK ONT CO Common Stocks 891160509 $26 500 SH Defined 42 500 TORONTO DOMINION BK ONT CO Common Stocks 891160509 $9,893 191,200 SH Defined 43 191,200 TORONTO DOMINION BK ONT CO Common Stocks 891160509 $4,350 84,064 SH Defined 76 84,064 TORONTO DOMINION BK ONT CO Common Stocks 891160509 $413 8,000 SH Sole 88 8,000 TORONTO DOMINION BK ONT CO Common Stocks 891160509 $50,350 973,087 SH Defined 973,087 TOTAL S A SPONSORED ADR Common Stocks 89151E109 $1,047 19,200 SH Defined 50 19,200 TOTAL S A SPONSORED ADR Common Stocks 89151E109 $37,503 691,404 SH Defined 50 691,404 TOTAL S A SPONSORED ADR Common Stocks 89151E109 $17,179 316,779 SH Defined 68 316,779 TOTAL S A SPONSORED ADR Common Stocks 89151E109 $3,299 60,840 SH Defined 69 60,840 TOTAL S A SPONSORED ADR Common Stocks 89151E109 $35,366 652,150 SH Sole 88 652,150 TOTAL S A SPONSORED ADR Common Stocks 89151E109 $16,421 302,800 SH Defined 104 302,800 TOTAL S A SPONSORED ADR Common Stocks 89151E109 $247 4,510 SH Defined 4,510 TOWER GROUP INC COM Common Stocks 891777104 $64 2,600 SH Defined 23 2,600 TOWER GROUP INC COM Common Stocks 891777104 $255 10,300 SH Defined 44 10,300 TOWER GROUP INC COM Common Stocks 891777104 $534 21,560 SH Sole 88 21,560 TOWER GROUP INC COM Common Stocks 891777104 $360 14,523 SH Defined 14,523 TOTAL SYS SVCS INC COM Common Stocks 891906109 $169 12,600 SH Defined 57 12,600 TOTAL SYS SVCS INC COM Common Stocks 891906109 $71 5,292 SH Defined 80 5,292 TOYOTA MOTOR CORP SP ADR R Common Stocks 892331307 $823 10,900 SH Defined 4 10,900 TOYOTA MOTOR CORP SP ADR R Common Stocks 892331307 $2,432 32,200 SH Defined 50 32,200 TOYOTA MOTOR CORP SP ADR R Common Stocks 892331307 $838 11,100 SH Sole 88 11,100 TRACTOR SUPPLY CO COM Common Stocks 892356106 $494 11,960 SH Defined 27 11,960 TRACTOR SUPPLY CO COM Common Stocks 892356106 $87 2,100 SH Defined 57 2,100 TRACTOR SUPPLY CO COM Common Stocks 892356106 $45 1,100 SH Defined 65 1,100 TRACTOR SUPPLY CO COM Common Stocks 892356106 $917 22,185 SH Defined 73 22,185 TRACTOR SUPPLY CO COM Common Stocks 892356106 $3,925 94,987 SH Sole 88 94,987 TRADESTATION GROUP INC COM Common Stocks 89267P105 $19 2,300 SH Defined 57 2,300 TRANSACT TECHNOLOGIES INC Common Stocks 892918103 $118 23,760 SH Defined 23,760 TRANSATLANTIC HLDGS INC CO Common Stocks 893521104 $191 4,400 SH Defined 51 4,400 TRANSATLANTIC HLDGS INC CO Common Stocks 893521104 $559 12,900 SH Defined 57 12,900 TRANSATLANTIC HLDGS INC CO Common Stocks 893521104 $139 3,200 SH Defined 65 3,200 TRANSATLANTIC HLDGS INC CO Common Stocks 893521104 $877 20,241 SH Defined 76 20,241 TRANSATLANTIC HLDGS INC CO Common Stocks 893521104 $403 9,300 SH Sole 88 9,300 TRANSCANADA CORP COM Common Stocks 89353D107 $21,267 788,600 SH Defined 34 788,600 TRANSCANADA CORP COM Common Stocks 89353D107 $24,685 915,312 SH Defined 915,312 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $4,327 105,444 SH Defined 4 105,444 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $12,956 315,700 SH Defined 10 315,700 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $19,721 480,428 SH Defined 23 480,428 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $226 5,500 SH Defined 32 5,500 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $1,568 38,218 SH Defined 42 38,218 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $1,449 35,300 SH Defined 51 35,300 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $349 8,500 SH Defined 56 8,500 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $7,383 179,895 SH Defined 57 179,895 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $681 16,600 SH Defined 58 16,600 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $4,647 113,240 SH Defined 68 113,240 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $881 21,460 SH Defined 69 21,460 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $755 18,408 SH Defined 76 18,408 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $644 15,683 SH Defined 80 15,683 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $39,290 957,367 SH Sole 88 957,367 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $14,260 347,454 SH Defined 94 347,454 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $665 16,206 SH Defined 97 16,206 TRAVELERS COMPANIES INC CO Common Stocks 89417E109 $18,849 459,281 SH Defined 459,281 TREDEGAR CORP COM Common Stocks 894650100 $359 26,948 SH Defined 1 26,948 TREDEGAR CORP COM Common Stocks 894650100 $59 4,400 SH Defined 65 4,400 TREE COM INC COM Common Stocks 894675107 $26 2,700 SH Defined 1 2,700 TREEHOUSE FOODS INC COM Common Stocks 89469A104 $491 17,070 SH Defined 22 17,070 TREEHOUSE FOODS INC COM Common Stocks 89469A104 $376 13,054 SH Defined 52 13,054 TREEHOUSE FOODS INC COM Common Stocks 89469A104 $998 34,697 SH Defined 73 34,697 TREEHOUSE FOODS INC COM Common Stocks 89469A104 $1,886 65,566 SH Defined 85 65,566 TREEHOUSE FOODS INC COM Common Stocks 89469A104 $6,462 224,617 SH Sole 88 224,617 TRICO BANCSHARES COM Common Stocks 896095106 $29 1,900 SH Defined 65 1,900 TRIMBLE NAVIGATION LTD COM Common Stocks 896239100 $420 21,373 SH Defined 39 21,373 TRIMBLE NAVIGATION LTD COM Common Stocks 896239100 $1,019 51,900 SH Defined 51 51,900 TRIMBLE NAVIGATION LTD COM Common Stocks 896239100 $1,121 57,109 SH Sole 88 57,109 TRIMBLE NAVIGATION LTD COM Common Stocks 896239100 $1,319 67,170 SH Defined 103 67,170 TRINA SOLAR LIMITED SPON A Common Stocks 89628E104 $130 5,075 SH Defined 44 5,075 TRINITY INDS INC COM Common Stocks 896522109 $226 16,600 SH Defined 51 16,600 TRINITY INDS INC COM Common Stocks 896522109 $1,400 102,800 SH Defined 57 102,800 TRINITY INDS INC COM Common Stocks 896522109 $1,851 135,900 SH Sole 88 135,900 TRIPLE-S MGMT CORP CL B Common Stocks 896749108 $64 4,100 SH Defined 23 4,100 TRIPLE-S MGMT CORP CL B Common Stocks 896749108 $34 2,200 SH Defined 65 2,200 TRIPLE-S MGMT CORP CL B Common Stocks 896749108 $97 6,200 SH Sole 88 6,200 TRIQUINT SEMICONDUCTOR INC Common Stocks 89674K103 $88 16,600 SH Defined 23 16,600 TRIQUINT SEMICONDUCTOR INC Common Stocks 89674K103 $126 23,700 SH Sole 88 23,700 TRIQUINT SEMICONDUCTOR INC Common Stocks 89674K103 $225 42,415 SH Defined 42,415 TRIUMPH GROUP INC NEW COM Common Stocks 896818101 $108 2,700 SH Defined 23 2,700 TRIUMPH GROUP INC NEW COM Common Stocks 896818101 $218 5,450 SH Defined 77 5,450 TRIUMPH GROUP INC NEW COM Common Stocks 896818101 $3,069 76,720 SH Defined 85 76,720 TRIUMPH GROUP INC NEW COM Common Stocks 896818101 $3,562 89,040 SH Sole 88 89,040 TRUE RELIGION APPAREL INC Common Stocks 89784N104 $163 7,295 SH Defined 74 7,295 TRUE RELIGION APPAREL INC Common Stocks 89784N104 $528 23,680 SH Defined 102 23,680 TRUEBLUE INC COM Common Stocks 89785X101 $285 33,900 SH Defined 57 33,900 TRUEBLUE INC COM Common Stocks 89785X101 $120 14,300 SH Sole 88 14,300 TRUSTCO BK CORP N Y COM Common Stocks 898349105 $122 20,700 SH Defined 65 20,700 TRUSTMARK CORP COM Common Stocks 898402102 $261 13,485 SH Defined 52 13,485 TRUSTMARK CORP COM Common Stocks 898402102 $356 18,404 SH Sole 88 18,404 TUESDAY MORNING CORP COM N Common Stocks 899035505 $650 192,885 SH Defined 23 192,885 TUESDAY MORNING CORP COM N Common Stocks 899035505 $23 6,700 SH Defined 57 6,700 TUESDAY MORNING CORP COM N Common Stocks 899035505 $573 169,900 SH Sole 88 169,900 TUPPERWARE BRANDS CORP COM Common Stocks 899896104 $1,443 55,438 SH Defined 57 55,438 TUPPERWARE BRANDS CORP COM Common Stocks 899896104 $141 5,409 SH Defined 81 5,409 TUPPERWARE BRANDS CORP COM Common Stocks 899896104 $1,132 43,500 SH Sole 88 43,500 TURKCELL ILETISIM HIZMETLE Common Stocks 900111204 $5,003 360,882 SH Defined 11 360,882 TURKCELL ILETISIM HIZMETLE Common Stocks 900111204 $6,436 464,350 SH Defined 100 464,350 TUTOR PERINI CORP COM ADDE Common Stocks 901109108 $1,120 64,500 SH Defined 30 64,500 TUTOR PERINI CORP COM ADDE Common Stocks 901109108 $3,312 190,800 SH Defined 57 190,800 TUTOR PERINI CORP COM ADDE Common Stocks 901109108 $444 25,596 SH Defined 73 25,596 TUTOR PERINI CORP COM ADDE Common Stocks 901109108 $490 28,200 SH Defined 77 28,200 TUTOR PERINI CORP COM ADDE Common Stocks 901109108 $4,766 274,545 SH Sole 88 274,545 TWEEN BRANDS INC COM Common Stocks 901166108 $25 3,700 SH Defined 57 3,700 TWEEN BRANDS INC COM Common Stocks 901166108 $38 5,700 SH Sole 88 5,700 TWIN DISC INC COM Common Stocks 901476101 $91 13,380 SH Defined 31 13,380 TWIN DISC INC COM Common Stocks 901476101 $1,030 151,197 SH Sole 88 151,197 II VI INC COM Common Stocks 902104108 $226 10,200 SH Defined 63 10,200 TYLER TECHNOLOGIES INC COM Common Stocks 902252105 $336 21,525 SH Defined 44 21,525 TYSON FOODS INC CL A Common Stocks 902494103 $6,003 476,060 SH Defined 1 476,060 TYSON FOODS INC CL A Common Stocks 902494103 $1,839 145,800 SH Defined 4 145,800 TYSON FOODS INC CL A Common Stocks 902494103 $788 62,510 SH Defined 42 62,510 TYSON FOODS INC CL A Common Stocks 902494103 $1,100 87,200 SH Defined 51 87,200 TYSON FOODS INC CL A Common Stocks 902494103 $5,751 456,100 SH Defined 57 456,100 TYSON FOODS INC CL A Common Stocks 902494103 $657 52,140 SH Defined 59 52,140 TYSON FOODS INC CL A Common Stocks 902494103 $1,791 142,000 SH Defined 76 142,000 TYSON FOODS INC CL A Common Stocks 902494103 $102 8,100 SH Defined 80 8,100 TYSON FOODS INC CL A Common Stocks 902494103 $19,198 1,522,404 SH Sole 88 1,522,404 TYSON FOODS INC CL A Common Stocks 902494103 $12,773 1,012,943 SH Defined 91 1,012,943 TYSON FOODS INC CL A Common Stocks 902494103 $19,694 1,561,750 SH Defined 100 1,561,750 UCBH HOLDINGS INC COM Common Stocks 90262T308 $114 90,850 SH Defined 73 90,850 UCBH HOLDINGS INC COM Common Stocks 90262T308 $272 215,904 SH Sole 88 215,904 UFP TECHNOLOGIES INC COM Common Stocks 902673102 $8 1,900 SH Defined 65 1,900 UGI CORP NEW COM Common Stocks 902681105 $6,105 239,525 SH Defined 23 239,525 UGI CORP NEW COM Common Stocks 902681105 $2,422 95,000 SH Defined 35 95,000 UGI CORP NEW COM Common Stocks 902681105 $1,236 48,500 SH Defined 51 48,500 UGI CORP NEW COM Common Stocks 902681105 $4,242 166,400 SH Defined 57 166,400 UGI CORP NEW COM Common Stocks 902681105 $206 8,100 SH Defined 65 8,100 UGI CORP NEW COM Common Stocks 902681105 $293 11,500 SH Defined 67 11,500 UGI CORP NEW COM Common Stocks 902681105 $10,749 421,700 SH Sole 88 421,700 UIL HLDG CORP COM Common Stocks 902748102 $400 17,800 SH Defined 31 17,800 UIL HLDG CORP COM Common Stocks 902748102 $47 2,100 SH Defined 57 2,100 UIL HLDG CORP COM Common Stocks 902748102 $406 18,100 SH Sole 88 18,100 US BANCORP DEL COM NEW Common Stocks 902973304 $6,771 377,836 SH Defined 1 377,836 US BANCORP DEL COM NEW Common Stocks 902973304 $4,009 223,700 SH Defined 4 223,700 US BANCORP DEL COM NEW Common Stocks 902973304 $1,948 108,697 SH Defined 42 108,697 US BANCORP DEL COM NEW Common Stocks 902973304 $1,993 111,200 SH Defined 51 111,200 US BANCORP DEL COM NEW Common Stocks 902973304 $827 46,170 SH Defined 55 46,170 US BANCORP DEL COM NEW Common Stocks 902973304 $444 24,800 SH Defined 56 24,800 US BANCORP DEL COM NEW Common Stocks 902973304 $1,622 90,540 SH Defined 58 90,540 US BANCORP DEL COM NEW Common Stocks 902973304 $7,422 414,151 SH Defined 64 414,151 US BANCORP DEL COM NEW Common Stocks 902973304 $1,219 67,998 SH Defined 76 67,998 US BANCORP DEL COM NEW Common Stocks 902973304 $903 50,414 SH Defined 80 50,414 US BANCORP DEL COM NEW Common Stocks 902973304 $18,033 1,006,282 SH Sole 88 1,006,282 URS CORP NEW COM Common Stocks 903236107 $4,046 81,708 SH Defined 23 81,708 URS CORP NEW COM Common Stocks 903236107 $413 8,332 SH Defined 42 8,332 URS CORP NEW COM Common Stocks 903236107 $3,808 76,900 SH Defined 43 76,900 URS CORP NEW COM Common Stocks 903236107 $1,614 32,600 SH Defined 51 32,600 URS CORP NEW COM Common Stocks 903236107 $99 2,000 SH Defined 65 2,000 URS CORP NEW COM Common Stocks 903236107 $7,708 155,659 SH Sole 88 155,659 URS CORP NEW COM Common Stocks 903236107 $140 2,830 SH Defined 102 2,830 URS CORP NEW COM Common Stocks 903236107 $8,308 167,779 SH Defined 103 167,779 USANA HEALTH SCIENCES INC Common Stocks 90328M107 $21 700 SH Defined 57 700 USEC INC COM Common Stocks 90333E108 $100 18,759 SH Defined 81 18,759 U S CONCRETE INC COM Common Stocks 90333L102 $8 4,200 SH Defined 57 4,200 U S PHYSICAL THERAPY INC COM Common Stocks 90337L108 $106 7,200 SH Defined 23 7,200 U S PHYSICAL THERAPY INC COM Common Stocks 90337L108 $543 36,797 SH Defined 73 36,797 U S PHYSICAL THERAPY INC COM Common Stocks 90337L108 $106 7,183 SH Defined 81 7,183 U S PHYSICAL THERAPY INC COM Common Stocks 90337L108 $2,352 159,444 SH Sole 88 159,444 USA MOBILITY INC COM Common Stocks 90341G103 $378 29,604 SH Defined 57 29,604 USA MOBILITY INC COM Common Stocks 90341G103 $163 12,800 SH Defined 65 12,800 USA MOBILITY INC COM Common Stocks 90341G103 $246 19,241 SH Sole 88 19,241 U S AIRWAYS GROUP INC COM Common Stocks 90341W108 $73 30,200 SH Defined 57 30,200 U S AIRWAYS GROUP INC COM Common Stocks 90341W108 $90 36,900 SH Sole 88 36,900 U S AIRWAYS GROUP INC COM Common Stocks 90341W108 $223 91,710 SH Defined 91,710 ULTIMATE SOFTWARE GROUP IN Common Stocks 90385D107 $516 21,286 SH Defined 101 21,286 ULTRALIFE CORP COM Common Stocks 903899102 $47 6,600 SH Defined 65 6,600 ULTRA PETROLEUM CORP COM Common Stocks 903914109 $44 1,127 SH Defined 42 1,127 ULTRA PETROLEUM CORP COM Common Stocks 903914109 $29 754 SH Sole 88 754 UMPQUA HLDGS CORP COM Common Stocks 904214103 $87 11,226 SH Defined 81 11,226 UMPQUA HLDGS CORP COM Common Stocks 904214103 $236 30,360 SH Sole 88 30,360 UNDER ARMOUR INC CL A Common Stocks 904311107 $722 32,282 SH Defined 73 32,282 UNDER ARMOUR INC CL A Common Stocks 904311107 $3,120 139,390 SH Sole 88 139,390 UNIFIRST CORP MASS COM Common Stocks 904708104 $33 900 SH Defined 57 900 UNILEVER N V N Y SHS NEW Common Stocks 904784709 $11,110 459,480 SH Defined 62 459,480 UNILEVER N V N Y SHS NEW Common Stocks 904784709 $933 38,600 SH Sole 88 38,600 UNILEVER N V N Y SHS NEW Common Stocks 904784709 $839 34,300 SH Defined 93 34,300 UNILEVER N V N Y SHS NEW Common Stocks 904784709 $2,053 84,900 SH Defined 93 84,900 UNION DRILLING INC COM Common Stocks 90653P105 $103 15,600 SH Defined 57 15,600 UNION DRILLING INC COM Common Stocks 90653P105 $56 8,400 SH Sole 88 8,400 UNION PAC CORP COM Common Stocks 907818108 $432 8,300 SH Defined 4 8,300 UNION PAC CORP COM Common Stocks 907818108 $12,489 239,900 SH Defined 10 239,900 UNION PAC CORP COM Common Stocks 907818108 $2,820 54,165 SH Defined 12 54,165 UNION PAC CORP COM Common Stocks 907818108 $334 6,380 SH Defined 26 6,380 UNION PAC CORP COM Common Stocks 907818108 $12,217 234,633 SH Defined 26 234,633 UNION PAC CORP COM Common Stocks 907818108 $11,887 228,323 SH Defined 27 228,323 UNION PAC CORP COM Common Stocks 907818108 $5,128 98,500 SH Defined 35 98,500 UNION PAC CORP COM Common Stocks 907818108 $1,775 34,100 SH Defined 37 34,100 UNION PAC CORP COM Common Stocks 907818108 $12,708 244,100 SH Defined 38 244,100 UNION PAC CORP COM Common Stocks 907818108 $4,479 85,500 SH Defined 47 85,500 UNION PAC CORP COM Common Stocks 907818108 $25,613 491,900 SH Defined 47 491,900 UNION PAC CORP COM Common Stocks 907818108 $4,810 92,400 SH Defined 51 92,400 UNION PAC CORP COM Common Stocks 907818108 $833 16,000 SH Defined 56 16,000 UNION PAC CORP COM Common Stocks 907818108 $967 18,570 SH Defined 58 18,570 UNION PAC CORP COM Common Stocks 907818108 $14,875 285,731 SH Defined 64 285,731 UNION PAC CORP COM Common Stocks 907818108 $646 12,400 SH Defined 67 12,400 UNION PAC CORP COM Common Stocks 907818108 $628 12,065 SH Defined 76 12,065 UNION PAC CORP COM Common Stocks 907818108 $703 13,500 SH Defined 80 13,500 UNION PAC CORP COM Common Stocks 907818108 $39,662 761,843 SH Sole 88 761,843 UNION PAC CORP COM Common Stocks 907818108 $18,273 351,000 SH Defined 100 351,000 UNION PAC CORP COM Common Stocks 907818108 $331 6,351 SH Defined 6,351 UNIT CORP COM Common Stocks 909218109 $924 33,500 SH Defined 30 33,500 UNIT CORP COM Common Stocks 909218109 $237 8,606 SH Defined 42 8,606 UNIT CORP COM Common Stocks 909218109 $94 3,400 SH Defined 51 3,400 UNIT CORP COM Common Stocks 909218109 $2,647 96,000 SH Defined 57 96,000 UNIT CORP COM Common Stocks 909218109 $1,341 48,633 SH Sole 88 48,633 UNITED AMER INDEMNITY LTD CL Common Stocks 90933T109 $169 35,363 SH Defined 57 35,363 UNITED CMNTY BKS BLAIRSVLE Common Stocks 90984P105 $171 28,473 SH Defined 21 28,473 UNITED CMNTY BKS BLAIRSVLE Common Stocks 90984P105 $630 105,214 SH Sole 88 105,214 UNITED BANKSHARES INC WEST Common Stocks 909907107 $255 13,035 SH Defined 22 13,035 UNITED FINANCIAL BANCORP INC Common Stocks 91030T109 $88 6,400 SH Defined 23 6,400 UNITED FINANCIAL BANCORP INC Common Stocks 91030T109 $130 9,400 SH Sole 88 9,400 UNITED FIRE & CAS CO COM Common Stocks 910331107 $153 8,915 SH Defined 22 8,915 UNITED MICROELECTRONICS CO Common Stocks 910873405 $8,023 3,039,166 SH Defined 11 3,039,166 UNITED MICROELECTRONICS CO Common Stocks 910873405 $867 328,434 SH Sole 88 328,434 UNITED MICROELECTRONICS CO Common Stocks 910873405 $657 248,726 SH Defined 90 248,726 UNITED NAT FOODS INC COM Common Stocks 911163103 $1,255 47,826 SH Defined 73 47,826 UNITED NAT FOODS INC COM Common Stocks 911163103 $5,758 219,344 SH Sole 88 219,344 UNITED ONLINE INC COM Common Stocks 911268100 $3,993 613,242 SH Defined 23 613,242 UNITED ONLINE INC COM Common Stocks 911268100 $872 134,000 SH Defined 57 134,000 UNITED ONLINE INC COM Common Stocks 911268100 $252 38,700 SH Defined 65 38,700 UNITED ONLINE INC COM Common Stocks 911268100 $90 13,885 SH Defined 81 13,885 UNITED ONLINE INC COM Common Stocks 911268100 $1,436 220,531 SH Sole 88 220,531 UNITED ONLINE INC COM Common Stocks 911268100 $23 3,525 SH Defined 3,525 UNITED PARCEL SERVICE INC Common Stocks 911312106 $3,819 76,390 SH Defined 8 76,390 UNITED PARCEL SERVICE INC Common Stocks 911312106 $3,774 75,500 SH Defined 10 75,500 UNITED PARCEL SERVICE INC Common Stocks 911312106 $250 5,000 SH Defined 18 5,000 UNITED PARCEL SERVICE INC Common Stocks 911312106 $610 12,200 SH Defined 28 12,200 UNITED PARCEL SERVICE INC Common Stocks 911312106 $625 12,500 SH Defined 29 12,500 UNITED PARCEL SERVICE INC Common Stocks 911312106 $2,899 58,000 SH Defined 31 58,000 UNITED PARCEL SERVICE INC Common Stocks 911312106 $4,076 81,531 SH Defined 42 81,531 UNITED PARCEL SERVICE INC Common Stocks 911312106 $445 8,900 SH Defined 51 8,900 UNITED PARCEL SERVICE INC Common Stocks 911312106 $9,213 184,240 SH Defined 68 184,240 UNITED PARCEL SERVICE INC Common Stocks 911312106 $3,949 78,920 SH Defined 70 78,920 UNITED PARCEL SERVICE INC Common Stocks 911312106 $3,861 77,190 SH Defined 70 77,190 UNITED PARCEL SERVICE INC Common Stocks 911312106 $1,325 26,500 SH Defined 80 26,500 UNITED PARCEL SERVICE INC Common Stocks 911312106 $8,760 175,240 SH Sole 88 175,240 UNITED PARCEL SERVICE INC Common Stocks 911312106 $517 10,350 SH Defined 102 10,350 UNITED RENTALS INC COM Common Stocks 911363109 $49 7,600 SH Defined 65 7,600 UNITED STATES CELLULAR COR Common Stocks 911684108 $1,034 26,900 SH Defined 30 26,900 UNITED STATES CELLULAR COR Common Stocks 911684108 $1,507 39,200 SH Defined 35 39,200 UNITED STATES CELLULAR COR Common Stocks 911684108 $1 36 SH Defined 42 36 UNITED STATES CELLULAR COR Common Stocks 911684108 $388 10,100 SH Defined 57 10,100 UNITED STATES CELLULAR COR Common Stocks 911684108 $188 4,900 SH Defined 67 4,900 UNITED STATES CELLULAR COR Common Stocks 911684108 $1,100 28,600 SH Sole 88 28,600 U STORE IT TR COM Common Stocks 91274F104 $262 53,500 SH Defined 57 53,500 U STORE IT TR COM Common Stocks 91274F104 $224 45,700 SH Sole 88 45,700 UNITED STATES STL CORP NEW Common Stocks 912909108 $0 1 SH Defined 1 1 UNITED STATES STL CORP NEW Common Stocks 912909108 $318 8,900 SH Defined 18 8,900 UNITED STATES STL CORP NEW Common Stocks 912909108 $282 7,900 SH Defined 51 7,900 UNITED STATES STL CORP NEW Common Stocks 912909108 $193 5,400 SH Defined 56 5,400 UNITED STATES STL CORP NEW Common Stocks 912909108 $3,628 101,500 SH Defined 57 101,500 UNITED STATES STL CORP NEW Common Stocks 912909108 $807 22,570 SH Defined 60 22,570 UNITED STATES STL CORP NEW Common Stocks 912909108 $132 3,700 SH Defined 80 3,700 UNITED STATES STL CORP NEW Common Stocks 912909108 $8,514 238,210 SH Sole 88 238,210 UNITED STATES STL CORP NEW Common Stocks 912909108 $5,561 155,600 SH Defined 102 155,600 UNITED STATIONERS INC COM Common Stocks 913004107 $198 5,680 SH Defined 22 5,680 UNITED STATIONERS INC COM Common Stocks 913004107 $1,178 33,770 SH Defined 57 33,770 UNITED STATIONERS INC COM Common Stocks 913004107 $722 20,700 SH Sole 88 20,700 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $457 8,800 SH Defined 4 8,800 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $4,713 90,700 SH Defined 8 90,700 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $7,862 151,300 SH Defined 10 151,300 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $2,564 49,246 SH Defined 11 49,246 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $16,752 322,318 SH Defined 23 322,318 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $3,305 63,606 SH Defined 42 63,606 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $3,040 58,500 SH Defined 51 58,500 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $1,528 29,400 SH Defined 56 29,400 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $10,979 211,300 SH Defined 57 211,300 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $3,089 59,450 SH Defined 58 59,450 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $12,972 249,649 SH Defined 62 249,649 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $9,006 173,316 SH Defined 68 173,316 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $1,704 32,800 SH Defined 69 32,800 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $923 17,700 SH Defined 79 17,700 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $1,606 30,900 SH Defined 79 30,900 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $1,304 25,100 SH Defined 80 25,100 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $38,827 747,243 SH Sole 88 747,243 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $16,381 315,266 SH Defined 94 315,266 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $568 10,931 SH Defined 106 10,931 UNITED TECHNOLOGIES CORP C Common Stocks 913017109 $5,704 109,762 SH Defined 109,762 UNITED THERAPEUTICS CORP D Common Stocks 91307C102 $851 10,210 SH Sole 88 10,210 UNITED THERAPEUTICS CORP D Common Stocks 91307C102 $455 5,460 SH Defined 102 5,460 UNITED WESTN BANCORP INC COM Common Stocks 913201109 $767 81,160 SH Defined 31 81,160 UNITED WESTN BANCORP INC COM Common Stocks 913201109 $745 78,800 SH Sole 88 78,800 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $11,910 476,800 SH Defined 10 476,800 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $5,143 205,900 SH Defined 17 205,900 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $787 31,500 SH Defined 18 31,500 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $1,721 68,900 SH Defined 18 68,900 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $4,242 169,800 SH Defined 28 169,800 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $849 34,000 SH Defined 29 34,000 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $465 18,600 SH Defined 32 18,600 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $1,956 78,300 SH Defined 35 78,300 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $326 13,043 SH Defined 42 13,043 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $737 29,500 SH Defined 51 29,500 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $80 3,200 SH Defined 56 3,200 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $9,078 363,400 SH Defined 57 363,400 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $207 8,300 SH Defined 58 8,300 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $245 9,800 SH Defined 67 9,800 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $1,294 51,801 SH Defined 76 51,801 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $365 14,600 SH Defined 79 14,600 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $657 26,300 SH Defined 79 26,300 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $792 31,700 SH Defined 80 31,700 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $22,127 885,806 SH Sole 88 885,806 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $245 9,800 SH Defined 93 9,800 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $607 24,300 SH Defined 93 24,300 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $634 25,400 SH Defined 97 25,400 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $643 25,752 SH Defined 106 25,752 UNITEDHEALTH GROUP INC COM Common Stocks 91324P102 $527 21,100 SH Defined 21,100 UNITRIN INC COM Common Stocks 913275103 $544 45,284 SH Defined 76 45,284 UNIVERSAL AMERICAN CORP CO Common Stocks 913377107 $182 20,900 SH Defined 1 20,900 UNIVERSAL AMERICAN CORP CO Common Stocks 913377107 $51 5,900 SH Defined 23 5,900 UNIVERSAL AMERICAN CORP CO Common Stocks 913377107 $1,001 114,792 SH Defined 57 114,792 UNIVERSAL AMERICAN CORP CO Common Stocks 913377107 $671 76,900 SH Sole 88 76,900 UNIVERSAL FST PRODS INC CO Common Stocks 913543104 $1,218 36,800 SH Defined 57 36,800 UNIVERSAL FST PRODS INC CO Common Stocks 913543104 $117 3,533 SH Defined 81 3,533 UNIVERSAL FST PRODS INC CO Common Stocks 913543104 $788 23,800 SH Sole 88 23,800 UNIVERSAL HLTH SVCS INC CL Common Stocks 913903100 $969 19,731 SH Defined 11 19,731 UNIVERSAL HLTH SVCS INC CL Common Stocks 913903100 $1,540 31,532 SH Defined 23 31,532 UNIVERSAL HLTH SVCS INC CL Common Stocks 913903100 $801 16,400 SH Defined 51 16,400 UNIVERSAL HLTH SVCS INC CL Common Stocks 913903100 $2,516 51,500 SH Defined 57 51,500 UNIVERSAL HLTH SVCS INC CL Common Stocks 913903100 $54 1,100 SH Defined 65 1,100 UNIVERSAL HLTH SVCS INC CL Common Stocks 913903100 $3,556 72,800 SH Sole 88 72,800 UNIVERSAL HLTH SVCS INC CL Common Stocks 913903100 $290 5,940 SH Defined 102 5,940 UNIVERSAL TECHNICAL INST I Common Stocks 913915104 $200 13,405 SH Defined 13,405 UNUM GROUP COM Common Stocks 91529Y106 $1,643 103,600 SH Defined 4 103,600 UNUM GROUP COM Common Stocks 91529Y106 $1,635 103,119 SH Defined 23 103,119 UNUM GROUP COM Common Stocks 91529Y106 $1,502 94,676 SH Defined 42 94,676 UNUM GROUP COM Common Stocks 91529Y106 $430 27,100 SH Defined 51 27,100 UNUM GROUP COM Common Stocks 91529Y106 $67 4,200 SH Defined 56 4,200 UNUM GROUP COM Common Stocks 91529Y106 $671 42,337 SH Defined 76 42,337 UNUM GROUP COM Common Stocks 91529Y106 $138 8,704 SH Defined 80 8,704 UNUM GROUP COM Common Stocks 91529Y106 $4,195 264,519 SH Sole 88 264,519 UNUM GROUP COM Common Stocks 91529Y106 $1,298 81,866 SH Defined 97 81,866 URBAN OUTFITTERS INC COM Common Stocks 917047102 $102 4,900 SH Defined 56 4,900 URBAN OUTFITTERS INC COM Common Stocks 917047102 $4,006 191,958 SH Defined 74 191,958 URBAN OUTFITTERS INC COM Common Stocks 917047102 $4,871 233,399 SH Sole 88 233,399 URBAN OUTFITTERS INC COM Common Stocks 917047102 $510 24,420 SH Defined 102 24,420 URSTADT BIDDLE PPTYS INS CL Common Stocks 917286205 $117 8,300 SH Defined 57 8,300 URSTADT BIDDLE PPTYS INS CL Common Stocks 917286205 $53 3,789 SH Sole 88 3,789 VCA ANTECH INC COM Common Stocks 918194101 $561 20,985 SH Defined 39 20,985 VCA ANTECH INC COM Common Stocks 918194101 $208 7,800 SH Defined 51 7,800 VCA ANTECH INC COM Common Stocks 918194101 $1,032 38,636 SH Sole 88 38,636 VCA ANTECH INC COM Common Stocks 918194101 $408 15,280 SH Defined 102 15,280 VCA ANTECH INC COM Common Stocks 918194101 $2,915 109,187 SH Defined 103 109,187 V F CORP COM Common Stocks 918204108 $1,649 29,800 SH Defined 30 29,800 V F CORP COM Common Stocks 918204108 $2,159 39,000 SH Defined 51 39,000 V F CORP COM Common Stocks 918204108 $376 6,800 SH Defined 56 6,800 V F CORP COM Common Stocks 918204108 $779 14,070 SH Defined 58 14,070 V F CORP COM Common Stocks 918204108 $137 2,468 SH Defined 80 2,468 V F CORP COM Common Stocks 918204108 $2,701 48,800 SH Sole 88 48,800 VAALCO ENERGY INC COM NEW Common Stocks 91851C201 $28 6,600 SH Defined 65 6,600 VALASSIS COMMUNICATIONS IN Common Stocks 918866104 $329 53,900 SH Defined 57 53,900 VALASSIS COMMUNICATIONS IN Common Stocks 918866104 $9 1,500 SH Defined 65 1,500 VALASSIS COMMUNICATIONS IN Common Stocks 918866104 $191 31,300 SH Sole 88 31,300 VALEANT PHARMACEUTICALS IN Common Stocks 91911X104 $3,121 121,358 SH Defined 23 121,358 VALEANT PHARMACEUTICALS IN Common Stocks 91911X104 $667 25,950 SH Defined 44 25,950 VALEANT PHARMACEUTICALS IN Common Stocks 91911X104 $2,888 112,300 SH Sole 88 112,300 VALE S A ADR ADDED Common Stocks 91912E105 $109 6,200 SH Defined 4 6,200 VALE S A ADR ADDED Common Stocks 91912E105 $19,599 1,111,600 SH Defined 14 1,111,600 VALE S A ADR ADDED Common Stocks 91912E105 $987 56,000 SH Defined 43 56,000 VALE S A ADR ADDED Common Stocks 91912E105 $1,905 108,081 SH Defined 45 108,081 VALE S A ADR ADDED Common Stocks 91912E105 $11,483 651,310 SH Defined 46 651,310 VALE S A ADR ADDED Common Stocks 91912E105 $8,521 483,300 SH Defined 64 483,300 VALE S A ADR ADDED Common Stocks 91912E105 $403 22,885 SH Defined 83 22,885 VALE S A ADR ADDED Common Stocks 91912E105 $21,966 1,245,940 SH Sole 88 1,245,940 VALE S A ADR ADDED Common Stocks 91912E105 $9,012 511,200 SH Defined 99 511,200 VALE S A ADR ADDED Common Stocks 91912E105 $11,389 646,000 SH Defined 104 646,000 VALE S A ADR ADDED Common Stocks 91912E105 $2,364 134,100 SH Defined 134,100 VALE S A ADR REPSTG PFD ADDE Common Stocks 91912E204 $6,120 398,700 SH Defined 4 398,700 VALE S A ADR REPSTG PFD ADDE Common Stocks 91912E204 $847 55,200 SH Defined 61 55,200 VALE S A ADR REPSTG PFD ADDE Common Stocks 91912E204 $1,774 115,600 SH Sole 88 115,600 VALE S A ADR REPSTG PFD ADDE Common Stocks 91912E204 $437 28,500 SH Defined 90 28,500 VALE S A ADR REPSTG PFD ADDE Common Stocks 91912E204 $1,358 88,400 SH Defined 98 88,400 VALE S A ADR REPSTG PFD ADDE Common Stocks 91912E204 $11,672 760,400 SH Defined 99 760,400 VALERO ENERGY CORP NEW COM Common Stocks 91913Y100 $9,712 575,000 SH Defined 10 575,000 VALERO ENERGY CORP NEW COM Common Stocks 91913Y100 $2,907 172,136 SH Defined 42 172,136 VALERO ENERGY CORP NEW COM Common Stocks 91913Y100 $76 4,500 SH Defined 56 4,500 VALERO ENERGY CORP NEW COM Common Stocks 91913Y100 $6,521 386,100 SH Defined 57 386,100 VALERO ENERGY CORP NEW COM Common Stocks 91913Y100 $1,190 70,453 SH Defined 76 70,453 VALERO ENERGY CORP NEW COM Common Stocks 91913Y100 $250 14,800 SH Defined 80 14,800 VALERO ENERGY CORP NEW COM Common Stocks 91913Y100 $658 38,945 SH Defined 84 38,945 VALERO ENERGY CORP NEW COM Common Stocks 91913Y100 $24,292 1,438,228 SH Sole 88 1,438,228 VALERO ENERGY CORP NEW COM Common Stocks 91913Y100 $12,287 727,495 SH Defined 727,495 VALLEY NATL BANCORP COM Common Stocks 919794107 $203 17,381 SH Defined 22 17,381 VALLEY NATL BANCORP COM Common Stocks 919794107 $1,249 106,720 SH Defined 51 106,720 VALLEY NATL BANCORP COM Common Stocks 919794107 $122 10,453 SH Defined 65 10,453 VALLEY NATL BANCORP COM Common Stocks 919794107 $117 10,027 SH Defined 81 10,027 VALLEY NATL BANCORP COM Common Stocks 919794107 $790 67,515 SH Sole 88 67,515 VALSPAR CORP COM Common Stocks 920355104 $1,701 75,500 SH Defined 51 75,500 VALSPAR CORP COM Common Stocks 920355104 $1,160 51,500 SH Sole 88 51,500 VALUE LINE INC COM Common Stocks 920437100 $76 2,300 SH Defined 31 2,300 VALUECLICK INC COM Common Stocks 92046N102 $112 10,600 SH Defined 23 10,600 VALUECLICK INC COM Common Stocks 92046N102 $155 14,700 SH Defined 65 14,700 VALUECLICK INC COM Common Stocks 92046N102 $77 7,319 SH Defined 81 7,319 VALUECLICK INC COM Common Stocks 92046N102 $164 15,600 SH Sole 88 15,600 VALUECLICK INC COM Common Stocks 92046N102 $793 75,405 SH Defined 101 75,405 VALUECLICK INC COM Common Stocks 92046N102 $111 10,545 SH Defined 10,545 VANCEINFO TECHNOLOGIES INC A Common Stocks 921564100 $254 17,200 SH Defined 44 17,200 VARIAN INC COM Common Stocks 922206107 $723 18,341 SH Defined 52 18,341 VARIAN INC COM Common Stocks 922206107 $680 17,234 SH Defined 73 17,234 VARIAN INC COM Common Stocks 922206107 $3,759 95,334 SH Sole 88 95,334 VARIAN SEMICONDUCTOR EQUIP Common Stocks 922207105 $360 15,000 SH Defined 51 15,000 VARIAN SEMICONDUCTOR EQUIP Common Stocks 922207105 $1,415 58,971 SH Sole 88 58,971 VARIAN SEMICONDUCTOR EQUIP Common Stocks 922207105 $816 34,000 SH Defined 94 34,000 VARIAN SEMICONDUCTOR EQUIP Common Stocks 922207105 $438 18,251 SH Defined 102 18,251 VARIAN SEMICONDUCTOR EQUIP Common Stocks 922207105 $3,826 159,494 SH Defined 103 159,494 VARIAN MED SYS INC COM Common Stocks 92220P105 $2,947 83,870 SH Defined 12 83,870 VARIAN MED SYS INC COM Common Stocks 92220P105 $843 24,000 SH Defined 30 24,000 VARIAN MED SYS INC COM Common Stocks 92220P105 $841 23,891 SH Defined 39 23,891 VARIAN MED SYS INC COM Common Stocks 92220P105 $566 16,100 SH Defined 51 16,100 VARIAN MED SYS INC COM Common Stocks 92220P105 $119 3,400 SH Defined 80 3,400 VARIAN MED SYS INC COM Common Stocks 92220P105 $1,409 40,100 SH Sole 88 40,100 VARIAN MED SYS INC COM Common Stocks 92220P105 $1,388 39,500 SH Defined 89 39,500 VECTREN CORP COM Common Stocks 92240G101 $276 11,800 SH Defined 51 11,800 VECTREN CORP COM Common Stocks 92240G101 $1,079 46,033 SH Defined 52 46,033 VECTREN CORP COM Common Stocks 92240G101 $127 5,400 SH Defined 65 5,400 VECTREN CORP COM Common Stocks 92240G101 $1,604 68,453 SH Sole 88 68,453 VECTOR GROUP LTD COM Common Stocks 92240M108 $6 400 SH Defined 65 400 VEECO INSTRS INC DEL COM Common Stocks 922417100 $622 53,600 SH Defined 41 53,600 VEECO INSTRS INC DEL COM Common Stocks 922417100 $808 69,712 SH Defined 52 69,712 VEECO INSTRS INC DEL COM Common Stocks 922417100 $1,571 135,558 SH Sole 88 135,558 VENOCO INC COM Common Stocks 92275P307 $88 11,500 SH Defined 65 11,500 VENTAS INC COM Common Stocks 92276F100 $2,222 74,400 SH Defined 2 74,400 VENTAS INC COM Common Stocks 92276F100 $942 31,742 SH Defined 25 31,742 VENTAS INC COM Common Stocks 92276F100 $1,129 37,793 SH Defined 25 37,793 VENTAS INC COM Common Stocks 92276F100 $6,680 223,725 SH Defined 48 223,725 VENTAS INC COM Common Stocks 92276F100 $188 6,300 SH Defined 51 6,300 VENTAS INC COM Common Stocks 92276F100 $2,575 86,800 SH Defined 54 86,800 VENTAS INC COM Common Stocks 92276F100 $24,936 834,976 SH Defined 54 834,976 VENTAS INC COM Common Stocks 92276F100 $93 3,100 SH Defined 56 3,100 VENTAS INC COM Common Stocks 92276F100 $163 5,463 SH Defined 81 5,463 VENTAS INC COM Common Stocks 92276F100 $14,379 481,561 SH Defined 87 481,561 VENTAS INC COM Common Stocks 92276F100 $1,443 48,319 SH Sole 88 48,319 VEOLIA ENVIRONNEMENT SPONS Common Stocks 92334N103 $3,279 111,000 SH Defined 31 111,000 VEOLIA ENVIRONNEMENT SPONS Common Stocks 92334N103 $747 25,300 SH Sole 88 25,300 VERIFONE HLDGS INC COM Common Stocks 92342Y109 $607 80,800 SH Defined 28 80,800 VERISIGN INC COM Common Stocks 92343E102 $3,423 185,200 SH Defined 28 185,200 VERISIGN INC COM Common Stocks 92343E102 $610 33,000 SH Defined 29 33,000 VERISIGN INC COM Common Stocks 92343E102 $1,167 63,127 SH Defined 42 63,127 VERISIGN INC COM Common Stocks 92343E102 $1,590 86,021 SH Defined 76 86,021 VERISIGN INC COM Common Stocks 92343E102 $94 5,100 SH Defined 80 5,100 VERISIGN INC COM Common Stocks 92343E102 $3,505 189,660 SH Sole 88 189,660 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $6,065 197,379 SH Defined 4 197,379 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $12,710 413,600 SH Defined 10 413,600 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $8,150 265,200 SH Defined 17 265,200 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $4,404 143,300 SH Defined 35 143,300 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $10,033 326,500 SH Defined 51 326,500 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $1,956 63,638 SH Defined 56 63,638 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $8,242 268,200 SH Defined 57 268,200 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $4,009 130,460 SH Defined 58 130,460 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $550 17,900 SH Defined 67 17,900 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $1,456 47,371 SH Defined 76 47,371 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $299 9,600 SH Defined 79 9,600 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $532 17,300 SH Defined 79 17,300 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $2,326 75,678 SH Defined 80 75,678 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $28,616 931,200 SH Sole 88 931,200 VERIZON COMMUNICATIONS INC Common Stocks 92343V104 $1,125 36,610 SH Defined 97 36,610 VERTEX PHARMACEUTICALS INC Common Stocks 92532F100 $991 27,800 SH Defined 51 27,800 VERTEX PHARMACEUTICALS INC Common Stocks 92532F100 $2,843 79,763 SH Defined 76 79,763 VERTEX PHARMACEUTICALS INC Common Stocks 92532F100 $620 17,400 SH Sole 88 17,400 VIAD CORP COM NEW Common Stocks 92552R406 $33 1,900 SH Defined 57 1,900 VIASAT INC COM Common Stocks 92552V100 $522 20,370 SH Sole 88 20,370 VIACOM INC NEW CL B Common Stocks 92553P201 $1,637 72,100 SH Defined 4 72,100 VIACOM INC NEW CL B Common Stocks 92553P201 $1,401 60,250 SH Defined 50 60,250 VIACOM INC NEW CL B Common Stocks 92553P201 $43,712 1,925,227 SH Defined 50 1,925,227 VIACOM INC NEW CL B Common Stocks 92553P201 $367 16,174 SH Defined 80 16,174 VIACOM INC NEW CL B Common Stocks 92553P201 $21,018 925,902 SH Sole 88 925,902 VIACOM INC NEW CL B Common Stocks 92553P201 $10,601 466,992 SH Defined 100 466,992 VIACOM INC NEW CL B Common Stocks 92553P201 $285 12,182 SH Defined 12,182 VIEWPOINT FINL GROUP COM Common Stocks 926727108 $1,767 116,016 SH Defined 31 116,016 VIEWPOINT FINL GROUP COM Common Stocks 926727108 $1,945 127,724 SH Sole 88 127,724 VIRGIN MEDIA INC COM Common Stocks 92769L101 $962 102,900 SH Defined 51 102,900 VIRGIN MEDIA INC COM Common Stocks 92769L101 $611 65,400 SH Sole 88 65,400 VIRGIN MEDIA INC COM Common Stocks 92769L101 $18 1,875 SH Defined 1,875 VIRGIN MOBILE USA INC CL A Common Stocks 92769R108 $6 1,600 SH Defined 57 1,600 VIROPHARMA INC COM Common Stocks 928241108 $39 6,500 SH Defined 65 6,500 VIROPHARMA INC COM Common Stocks 928241108 $83 14,052 SH Defined 81 14,052 VISA INC COM CL A Common Stocks 92826C839 $6,568 105,497 SH Defined 1 105,497 VISA INC COM CL A Common Stocks 92826C839 $342 5,500 SH Defined 4 5,500 VISA INC COM CL A Common Stocks 92826C839 $5,454 87,600 SH Defined 10 87,600 VISA INC COM CL A Common Stocks 92826C839 $2,571 41,300 SH Defined 12 41,300 VISA INC COM CL A Common Stocks 92826C839 $823 13,148 SH Defined 26 13,148 VISA INC COM CL A Common Stocks 92826C839 $29,932 480,668 SH Defined 26 480,668 VISA INC COM CL A Common Stocks 92826C839 $1,027 16,500 SH Defined 28 16,500 VISA INC COM CL A Common Stocks 92826C839 $1,121 18,000 SH Defined 29 18,000 VISA INC COM CL A Common Stocks 92826C839 $1,357 21,800 SH Defined 35 21,800 VISA INC COM CL A Common Stocks 92826C839 $6,189 99,400 SH Defined 43 99,400 VISA INC COM CL A Common Stocks 92826C839 $2,329 37,400 SH Defined 51 37,400 VISA INC COM CL A Common Stocks 92826C839 $837 13,450 SH Defined 60 13,450 VISA INC COM CL A Common Stocks 92826C839 $14,284 229,424 SH Defined 64 229,424 VISA INC COM CL A Common Stocks 92826C839 $168 2,700 SH Defined 67 2,700 VISA INC COM CL A Common Stocks 92826C839 $24,143 387,772 SH Defined 72 387,772 VISA INC COM CL A Common Stocks 92826C839 $68,459 1,099,569 SH Sole 88 1,099,569 VISA INC COM CL A Common Stocks 92826C839 $2,844 45,675 SH Defined 89 45,675 VISA INC COM CL A Common Stocks 92826C839 $407 6,500 SH Defined 93 6,500 VISA INC COM CL A Common Stocks 92826C839 $1,015 16,300 SH Defined 93 16,300 VISA INC COM CL A Common Stocks 92826C839 $901 14,400 SH Defined 96 14,400 VISA INC COM CL A Common Stocks 92826C839 $2,696 43,300 SH Defined 96 43,300 VISA INC COM CL A Common Stocks 92826C839 $4,583 73,610 SH Defined 102 73,610 VISA INC COM CL A Common Stocks 92826C839 $7,955 127,746 SH Defined 127,746 VIRTUSA CORP COM Common Stocks 92827P102 $345 42,930 SH Defined 74 42,930 VISHAY INTERTECHNOLOGY INC Common Stocks 928298108 $119 17,500 SH Defined 23 17,500 VISHAY INTERTECHNOLOGY INC Common Stocks 928298108 $2,114 311,294 SH Defined 57 311,294 VISHAY INTERTECHNOLOGY INC Common Stocks 928298108 $122 18,000 SH Defined 65 18,000 VISHAY INTERTECHNOLOGY INC Common Stocks 928298108 $2,024 298,087 SH Sole 88 298,087 VISHAY INTERTECHNOLOGY INC Common Stocks 928298108 $5,362 789,705 SH Defined 92 789,705 VITRAN CORP INC COM Common Stocks 92850E107 $733 74,009 SH Defined 74 74,009 VIVUS INC COM Common Stocks 928551100 $46 7,500 SH Defined 57 7,500 VMWARE INC CL A COM Common Stocks 928563402 $53 1,947 SH Defined 11 1,947 VMWARE INC CL A COM Common Stocks 928563402 $948 34,715 SH Defined 39 34,715 VMWARE INC CL A COM Common Stocks 928563402 $941 34,500 SH Defined 51 34,500 VMWARE INC CL A COM Common Stocks 928563402 $605 22,200 SH Sole 88 22,200 VMWARE INC CL A COM Common Stocks 928563402 $663 24,300 SH Defined 89 24,300 VODAFONE GROUP PLC NEW SPO Common Stocks 92857W209 $706 36,200 SH Defined 4 36,200 VODAFONE GROUP PLC NEW SPO Common Stocks 92857W209 $11,021 565,470 SH Defined 6 565,470 VODAFONE GROUP PLC NEW SPO Common Stocks 92857W209 $399 20,491 SH Defined 42 20,491 VODAFONE GROUP PLC NEW SPO Common Stocks 92857W209 $821 42,300 SH Defined 50 42,300 VODAFONE GROUP PLC NEW SPO Common Stocks 92857W209 $22,726 1,165,736 SH Defined 50 1,165,736 VODAFONE GROUP PLC NEW SPO Common Stocks 92857W209 $9,769 501,215 SH Defined 68 501,215 VODAFONE GROUP PLC NEW SPO Common Stocks 92857W209 $1,877 96,310 SH Defined 69 96,310 VODAFONE GROUP PLC NEW SPO Common Stocks 92857W209 $19,163 983,210 SH Sole 88 983,210 VODAFONE GROUP PLC NEW SPO Common Stocks 92857W209 $7,344 376,800 SH Defined 100 376,800 VODAFONE GROUP PLC NEW SPO Common Stocks 92857W209 $175 8,988 SH Defined 8,988 VOCUS INC COM Common Stocks 92858J108 $1,785 90,317 SH Defined 74 90,317 VOCUS INC COM Common Stocks 92858J108 $225 11,400 SH Defined 85 11,400 VOCUS INC COM Common Stocks 92858J108 $6,993 353,896 SH Sole 88 353,896 VOCUS INC COM Common Stocks 92858J108 $640 32,400 SH Defined 95 32,400 VOLCANO CORPORATION COM Common Stocks 928645100 $181 12,978 SH Defined 74 12,978 VOLTERRA SEMICONDUCTOR COR Common Stocks 928708106 $104 7,922 SH Defined 81 7,922 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $28,471 632,140 SH Defined 2 632,140 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $1 11 SH Defined 15 11 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $4,753 106,226 SH Defined 25 106,226 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $6,126 136,007 SH Defined 25 136,007 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $10,300 228,729 SH Defined 48 228,729 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $308 6,831 SH Defined 51 6,831 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $2,540 56,774 SH Defined 54 56,774 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $25,911 575,326 SH Defined 54 575,326 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $189 4,202 SH Defined 80 4,202 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $239 5,335 SH Defined 82 5,335 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $576 12,775 SH Defined 82 12,775 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $13,604 302,106 SH Defined 87 302,106 VORNADO RLTY TR SH BEN INT Common Stocks 929042109 $3,683 81,789 SH Sole 88 81,789 VULCAN MATLS CO COM Common Stocks 929160109 $5,784 134,199 SH Defined 31 134,199 VULCAN MATLS CO COM Common Stocks 929160109 $103 2,400 SH Defined 32 2,400 VULCAN MATLS CO COM Common Stocks 929160109 $741 17,200 SH Defined 51 17,200 VULCAN MATLS CO COM Common Stocks 929160109 $138 3,200 SH Defined 80 3,200 VULCAN MATLS CO COM Common Stocks 929160109 $1,746 40,500 SH Sole 88 40,500 W & T OFFSHORE INC COM Common Stocks 92922P106 $2,270 233,100 SH Defined 31 233,100 W & T OFFSHORE INC COM Common Stocks 92922P106 $23 2,330 SH Defined 42 2,330 W & T OFFSHORE INC COM Common Stocks 92922P106 $216 22,163 SH Defined 57 22,163 W & T OFFSHORE INC COM Common Stocks 92922P106 $2,659 273,000 SH Sole 88 273,000 WGL HLDGS INC COM Common Stocks 92924F106 $330 10,300 SH Defined 57 10,300 WGL HLDGS INC COM Common Stocks 92924F106 $61 1,900 SH Sole 88 1,900 WABCO HLDGS INC COM Common Stocks 92927K102 $10 568 SH Defined 1 568 WABCO HLDGS INC COM Common Stocks 92927K102 $5 285 SH Defined 42 285 WMS INDS INC COM Common Stocks 929297109 $79 2,500 SH Defined 65 2,500 WMS INDS INC COM Common Stocks 929297109 $513 16,280 SH Defined 102 16,280 WSFS FINL CORP COM Common Stocks 929328102 $205 7,500 SH Defined 57 7,500 WSFS FINL CORP COM Common Stocks 929328102 $25 900 SH Defined 65 900 WSFS FINL CORP COM Common Stocks 929328102 $91 3,346 SH Defined 81 3,346 WSFS FINL CORP COM Common Stocks 929328102 $213 7,809 SH Sole 88 7,809 WABASH NATL CORP COM Common Stocks 929566107 $12 17,600 SH Defined 57 17,600 WABASH NATL CORP COM Common Stocks 929566107 $9 12,500 SH Sole 88 12,500 WABTEC CORP COM Common Stocks 929740108 $135 4,200 SH Defined 57 4,200 WABTEC CORP COM Common Stocks 929740108 $918 28,534 SH Defined 73 28,534 WABTEC CORP COM Common Stocks 929740108 $1,842 57,260 SH Defined 85 57,260 WABTEC CORP COM Common Stocks 929740108 $6,287 195,435 SH Sole 88 195,435 WABTEC CORP COM Common Stocks 929740108 $1,154 35,873 SH Defined 103 35,873 WADDELL & REED FINL INC CL Common Stocks 930059100 $2,439 92,489 SH Defined 31 92,489 WADDELL & REED FINL INC CL Common Stocks 930059100 $531 20,132 SH Defined 42 20,132 WADDELL & REED FINL INC CL Common Stocks 930059100 $549 20,800 SH Defined 51 20,800 WADDELL & REED FINL INC CL Common Stocks 930059100 $158 6,000 SH Defined 81 6,000 WADDELL & REED FINL INC CL Common Stocks 930059100 $3,435 130,268 SH Sole 88 130,268 WADDELL & REED FINL INC CL Common Stocks 930059100 $208 7,870 SH Defined 102 7,870 WAINWRIGHT BK&TR CO BOSTON M Common Stocks 930705108 $20 2,502 SH Defined 31 2,502 WAL MART STORES INC COM Common Stocks 931142103 $4,447 91,800 SH Defined 1 91,800 WAL MART STORES INC COM Common Stocks 931142103 $654 13,500 SH Defined 4 13,500 WAL MART STORES INC COM Common Stocks 931142103 $17,278 356,684 SH Defined 9 356,684 WAL MART STORES INC COM Common Stocks 931142103 $712 14,700 SH Defined 10 14,700 WAL MART STORES INC COM Common Stocks 931142103 $3,596 74,235 SH Defined 12 74,235 WAL MART STORES INC COM Common Stocks 931142103 $6,434 132,800 SH Defined 14 132,800 WAL MART STORES INC COM Common Stocks 931142103 $1,025 21,158 SH Defined 18 21,158 WAL MART STORES INC COM Common Stocks 931142103 $2,340 48,300 SH Defined 18 48,300 WAL MART STORES INC COM Common Stocks 931142103 $29,255 603,802 SH Defined 23 603,802 WAL MART STORES INC COM Common Stocks 931142103 $4,077 84,168 SH Defined 27 84,168 WAL MART STORES INC COM Common Stocks 931142103 $325 6,700 SH Defined 32 6,700 WAL MART STORES INC COM Common Stocks 931142103 $9,669 199,600 SH Defined 35 199,600 WAL MART STORES INC COM Common Stocks 931142103 $6,648 137,250 SH Defined 42 137,250 WAL MART STORES INC COM Common Stocks 931142103 $12,527 258,600 SH Defined 51 258,600 WAL MART STORES INC COM Common Stocks 931142103 $1,051 21,700 SH Defined 55 21,700 WAL MART STORES INC COM Common Stocks 931142103 $1,419 29,300 SH Defined 56 29,300 WAL MART STORES INC COM Common Stocks 931142103 $131 2,700 SH Defined 57 2,700 WAL MART STORES INC COM Common Stocks 931142103 $3,727 76,940 SH Defined 58 76,940 WAL MART STORES INC COM Common Stocks 931142103 $13,248 273,500 SH Defined 62 273,500 WAL MART STORES INC COM Common Stocks 931142103 $4,114 84,933 SH Defined 64 84,933 WAL MART STORES INC COM Common Stocks 931142103 $1,554 32,080 SH Defined 66 32,080 WAL MART STORES INC COM Common Stocks 931142103 $1,708 35,250 SH Defined 66 35,250 WAL MART STORES INC COM Common Stocks 931142103 $1,206 24,900 SH Defined 67 24,900 WAL MART STORES INC COM Common Stocks 931142103 $19,668 406,034 SH Defined 72 406,034 WAL MART STORES INC COM Common Stocks 931142103 $2,092 43,181 SH Defined 76 43,181 WAL MART STORES INC COM Common Stocks 931142103 $717 14,800 SH Defined 79 14,800 WAL MART STORES INC COM Common Stocks 931142103 $1,313 27,100 SH Defined 79 27,100 WAL MART STORES INC COM Common Stocks 931142103 $2,877 59,400 SH Defined 80 59,400 WAL MART STORES INC COM Common Stocks 931142103 $73,343 1,514,093 SH Sole 88 1,514,093 WAL MART STORES INC COM Common Stocks 931142103 $1,037 21,400 SH Defined 93 21,400 WAL MART STORES INC COM Common Stocks 931142103 $2,553 52,700 SH Defined 93 52,700 WAL MART STORES INC COM Common Stocks 931142103 $15,727 324,672 SH Defined 94 324,672 WAL MART STORES INC COM Common Stocks 931142103 $388 8,000 SH Defined 97 8,000 WAL MART STORES INC COM Common Stocks 931142103 $3,728 76,900 SH Defined 98 76,900 WAL MART STORES INC COM Common Stocks 931142103 $22,181 457,900 SH Defined 99 457,900 WAL MART STORES INC COM Common Stocks 931142103 $1,112 22,948 SH Defined 106 22,948 WAL MART STORES INC COM Common Stocks 931142103 $4,060 83,794 SH Defined 83,794 WALGREEN CO COM Common Stocks 931422109 $3,235 110,049 SH Defined 1 110,049 WALGREEN CO COM Common Stocks 931422109 $676 23,000 SH Defined 28 23,000 WALGREEN CO COM Common Stocks 931422109 $735 25,000 SH Defined 29 25,000 WALGREEN CO COM Common Stocks 931422109 $191 6,500 SH Defined 32 6,500 WALGREEN CO COM Common Stocks 931422109 $894 30,400 SH Defined 35 30,400 WALGREEN CO COM Common Stocks 931422109 $102 3,455 SH Defined 42 3,455 WALGREEN CO COM Common Stocks 931422109 $1,088 37,000 SH Defined 51 37,000 WALGREEN CO COM Common Stocks 931422109 $268 9,100 SH Defined 57 9,100 WALGREEN CO COM Common Stocks 931422109 $7,635 259,706 SH Defined 62 259,706 WALGREEN CO COM Common Stocks 931422109 $112 3,800 SH Defined 67 3,800 WALGREEN CO COM Common Stocks 931422109 $11,185 380,330 SH Defined 68 380,330 WALGREEN CO COM Common Stocks 931422109 $4,965 167,220 SH Defined 70 167,220 WALGREEN CO COM Common Stocks 931422109 $4,742 161,214 SH Defined 70 161,214 WALGREEN CO COM Common Stocks 931422109 $776 26,400 SH Defined 80 26,400 WALGREEN CO COM Common Stocks 931422109 $15,436 525,023 SH Sole 88 525,023 WALGREEN CO COM Common Stocks 931422109 $15,925 541,663 SH Defined 94 541,663 WALTER ENERGY INC COM Common Stocks 93317Q105 $815 22,500 SH Defined 51 22,500 WALTER ENERGY INC COM Common Stocks 93317Q105 $145 3,998 SH Defined 81 3,998 WALTER ENERGY INC COM Common Stocks 93317Q105 $587 16,200 SH Sole 88 16,200 WALTER ENERGY INC COM Common Stocks 93317Q105 $1,237 34,133 SH Defined 97 34,133 WALTER ENERGY INC COM Common Stocks 93317Q105 $216 5,970 SH Defined 102 5,970 WALTER INVT MGMT CORP COM Common Stocks 93317W102 $77 5,777 SH Defined 51 5,777 WALTER INVT MGMT CORP COM Common Stocks 93317W102 $62 4,655 SH Sole 88 4,655 WARNACO GROUP INC COM NEW Common Stocks 934390402 $1,260 38,900 SH Defined 105 38,900 WARNACO GROUP INC COM NEW Common Stocks 934390402 $202 6,240 SH Defined 6,240 WARNER MUSIC GROUP CORP CO Common Stocks 934550104 $39 6,700 SH Defined 65 6,700 WASHINGTON FED INC COM Common Stocks 938824109 $2,256 173,500 SH Defined 31 173,500 WASHINGTON FED INC COM Common Stocks 938824109 $444 34,186 SH Defined 52 34,186 WASHINGTON FED INC COM Common Stocks 938824109 $3,183 244,882 SH Sole 88 244,882 WASHINGTON POST CO CL B Common Stocks 939640108 $1,270 3,605 SH Defined 30 3,605 WASHINGTON POST CO CL B Common Stocks 939640108 $52 148 SH Defined 80 148 WASHINGTON POST CO CL B Common Stocks 939640108 $1,893 5,374 SH Sole 88 5,374 WASHINGTON POST CO CL B Common Stocks 939640108 $848 2,444 SH Defined 93 2,444 WASHINGTON POST CO CL B Common Stocks 939640108 $1,999 5,677 SH Defined 93 5,677 WASHINGTON REAL ESTATE INV Common Stocks 939653101 $7,422 331,800 SH Defined 48 331,800 WASHINGTON REAL ESTATE INV Common Stocks 939653101 $741 33,126 SH Defined 52 33,126 WASHINGTON REAL ESTATE INV Common Stocks 939653101 $678 30,463 SH Defined 54 30,463 WASHINGTON REAL ESTATE INV Common Stocks 939653101 $6,584 294,283 SH Defined 54 294,283 WASHINGTON REAL ESTATE INV Common Stocks 939653101 $128 5,714 SH Defined 81 5,714 WASHINGTON REAL ESTATE INV Common Stocks 939653101 $1,271 56,811 SH Sole 88 56,811 WASTE CONNECTIONS INC COM Common Stocks 941053100 $1,879 72,512 SH Sole 88 72,512 WASTE CONNECTIONS INC COM Common Stocks 941053100 $4,139 159,729 SH Defined 103 159,729 WASTE MGMT INC DEL COM Common Stocks 94106L109 $0 2 SH Defined 1 2 WASTE MGMT INC DEL COM Common Stocks 94106L109 $1,122 39,768 SH Defined 11 39,768 WASTE MGMT INC DEL COM Common Stocks 94106L109 $5,218 185,300 SH Defined 51 185,300 WASTE MGMT INC DEL COM Common Stocks 94106L109 $367 13,027 SH Defined 80 13,027 WASTE MGMT INC DEL COM Common Stocks 94106L109 $3,238 115,000 SH Sole 88 115,000 WASTE SERVICES INC DEL COM Common Stocks 941075202 $54 10,400 SH Defined 65 10,400 WATERS CORP COM Common Stocks 941848103 $510 9,888 SH Defined 11 9,888 WATERS CORP COM Common Stocks 941848103 $952 18,456 SH Defined 39 18,456 WATERS CORP COM Common Stocks 941848103 $315 6,100 SH Defined 41 6,100 WATERS CORP COM Common Stocks 941848103 $9,608 186,620 SH Defined 68 186,620 WATERS CORP COM Common Stocks 941848103 $4,095 79,990 SH Defined 70 79,990 WATERS CORP COM Common Stocks 941848103 $4,003 77,730 SH Defined 70 77,730 WATERS CORP COM Common Stocks 941848103 $134 2,600 SH Defined 80 2,600 WATSCO INC COM Common Stocks 942622200 $186 3,810 SH Defined 102 3,810 WATSON PHARMACEUTICALS INC Common Stocks 942683103 $347 10,300 SH Defined 1 10,300 WATSON PHARMACEUTICALS INC Common Stocks 942683103 $3,992 118,495 SH Defined 23 118,495 WATSON PHARMACEUTICALS INC Common Stocks 942683103 $84 2,500 SH Defined 51 2,500 WATSON PHARMACEUTICALS INC Common Stocks 942683103 $276 8,200 SH Defined 57 8,200 WATSON PHARMACEUTICALS INC Common Stocks 942683103 $138 4,100 SH Defined 65 4,100 WATSON PHARMACEUTICALS INC Common Stocks 942683103 $600 17,800 SH Defined 79 17,800 WATSON PHARMACEUTICALS INC Common Stocks 942683103 $1,081 32,100 SH Defined 79 32,100 WATSON PHARMACEUTICALS INC Common Stocks 942683103 $98 2,900 SH Defined 80 2,900 WATSON PHARMACEUTICALS INC Common Stocks 942683103 $145 4,292 SH Defined 81 4,292 WATSON PHARMACEUTICALS INC Common Stocks 942683103 $3,659 108,600 SH Sole 88 108,600 WATSON WYATT WORLDWIDE INC Common Stocks 942712100 $251 6,700 SH Defined 57 6,700 WATSON WYATT WORLDWIDE INC Common Stocks 942712100 $649 17,300 SH Sole 88 17,300 WATTS WATER TECHNOLOGIES I Common Stocks 942749102 $1,234 57,200 SH Defined 49 57,200 WAUSAU PAPER CORP COM Common Stocks 943315101 $128 19,000 SH Defined 22 19,000 WAUSAU PAPER CORP COM Common Stocks 943315101 $11 1,600 SH Defined 57 1,600 WAUSAU PAPER CORP COM Common Stocks 943315101 $56 8,300 SH Sole 88 8,300 WEB COM GROUP INC COM Common Stocks 94733A104 $49 8,700 SH Defined 65 8,700 WEBSENSE INC COM Common Stocks 947684106 $1,093 61,260 SH Sole 88 61,260 WEBSTER FINL CORP CONN COM Common Stocks 947890109 $359 44,573 SH Defined 52 44,573 WEBSTER FINL CORP CONN COM Common Stocks 947890109 $509 63,248 SH Sole 88 63,248 WEBSTER FINL CORP CONN COM Common Stocks 947890109 $217 26,980 SH Defined 26,980 WEIGHT WATCHERS INTL INC N Common Stocks 948626106 $813 31,735 SH Defined 11 31,735 WEIGHT WATCHERS INTL INC N Common Stocks 948626106 $4,376 169,800 SH Defined 28 169,800 WEIGHT WATCHERS INTL INC N Common Stocks 948626106 $464 18,000 SH Defined 29 18,000 WEIGHT WATCHERS INTL INC N Common Stocks 948626106 $2,406 93,380 SH Defined 76 93,380 WEIGHT WATCHERS INTL INC N Common Stocks 948626106 $2,172 84,300 SH Sole 88 84,300 WEINGARTEN RLTY INVS SH BE Common Stocks 948741103 $2,061 143,087 SH Defined 25 143,087 WEINGARTEN RLTY INVS SH BE Common Stocks 948741103 $2,410 166,066 SH Defined 25 166,066 WEINGARTEN RLTY INVS SH BE Common Stocks 948741103 $720 49,595 SH Sole 88 49,595 WEIS MKTS INC COM Common Stocks 948849104 $97 2,900 SH Defined 1 2,900 WEIS MKTS INC COM Common Stocks 948849104 $1,270 37,900 SH Defined 23 37,900 WEIS MKTS INC COM Common Stocks 948849104 $1,223 36,500 SH Sole 88 36,500 WELLCARE HEALTH PLANS INC Common Stocks 94946T106 $158 8,519 SH Defined 42 8,519 WELLCARE HEALTH PLANS INC Common Stocks 94946T106 $242 13,100 SH Defined 57 13,100 WELLCARE HEALTH PLANS INC Common Stocks 94946T106 $1,265 68,424 SH Sole 88 68,424 WELLPOINT INC COM Common Stocks 94973V107 $1,150 22,600 SH Defined 1 22,600 WELLPOINT INC COM Common Stocks 94973V107 $7,226 141,999 SH Defined 9 141,999 WELLPOINT INC COM Common Stocks 94973V107 $14,183 278,700 SH Defined 10 278,700 WELLPOINT INC COM Common Stocks 94973V107 $8,952 175,900 SH Defined 17 175,900 WELLPOINT INC COM Common Stocks 94973V107 $539 10,600 SH Defined 18 10,600 WELLPOINT INC COM Common Stocks 94973V107 $697 13,700 SH Defined 32 13,700 WELLPOINT INC COM Common Stocks 94973V107 $1,461 28,700 SH Defined 51 28,700 WELLPOINT INC COM Common Stocks 94973V107 $687 13,500 SH Defined 56 13,500 WELLPOINT INC COM Common Stocks 94973V107 $8,555 168,100 SH Defined 57 168,100 WELLPOINT INC COM Common Stocks 94973V107 $1,454 28,570 SH Defined 58 28,570 WELLPOINT INC COM Common Stocks 94973V107 $61 1,191 SH Defined 68 1,191 WELLPOINT INC COM Common Stocks 94973V107 $3,576 70,265 SH Defined 76 70,265 WELLPOINT INC COM Common Stocks 94973V107 $656 12,900 SH Defined 80 12,900 WELLPOINT INC COM Common Stocks 94973V107 $1,531 30,080 SH Defined 84 30,080 WELLPOINT INC COM Common Stocks 94973V107 $34,280 673,608 SH Sole 88 673,608 WELLPOINT INC COM Common Stocks 94973V107 $5,480 107,600 SH Defined 98 107,600 WELLPOINT INC COM Common Stocks 94973V107 $32,631 641,200 SH Defined 99 641,200 WELLS FARGO & CO NEW COM Common Stocks 949746101 $1,135 46,772 SH Defined 1 46,772 WELLS FARGO & CO NEW COM Common Stocks 949746101 $7,453 307,200 SH Defined 4 307,200 WELLS FARGO & CO NEW COM Common Stocks 949746101 $3,719 153,300 SH Defined 8 153,300 WELLS FARGO & CO NEW COM Common Stocks 949746101 $20,806 857,627 SH Defined 9 857,627 WELLS FARGO & CO NEW COM Common Stocks 949746101 $14,828 611,200 SH Defined 10 611,200 WELLS FARGO & CO NEW COM Common Stocks 949746101 $3,168 130,034 SH Defined 11 130,034 WELLS FARGO & CO NEW COM Common Stocks 949746101 $10,604 436,966 SH Defined 11 436,966 WELLS FARGO & CO NEW COM Common Stocks 949746101 $5,878 242,300 SH Defined 17 242,300 WELLS FARGO & CO NEW COM Common Stocks 949746101 $5,828 240,192 SH Defined 23 240,192 WELLS FARGO & CO NEW COM Common Stocks 949746101 $302 12,400 SH Defined 26 12,400 WELLS FARGO & CO NEW COM Common Stocks 949746101 $11,121 458,337 SH Defined 26 458,337 WELLS FARGO & CO NEW COM Common Stocks 949746101 $748 30,848 SH Defined 32 30,848 WELLS FARGO & CO NEW COM Common Stocks 949746101 $9,122 376,000 SH Defined 35 376,000 WELLS FARGO & CO NEW COM Common Stocks 949746101 $4,504 185,664 SH Defined 42 185,664 WELLS FARGO & CO NEW COM Common Stocks 949746101 $1,442 59,200 SH Defined 50 59,200 WELLS FARGO & CO NEW COM Common Stocks 949746101 $46,289 1,907,645 SH Defined 50 1,907,645 WELLS FARGO & CO NEW COM Common Stocks 949746101 $5,553 228,894 SH Defined 51 228,894 WELLS FARGO & CO NEW COM Common Stocks 949746101 $1,715 70,700 SH Defined 56 70,700 WELLS FARGO & CO NEW COM Common Stocks 949746101 $13,413 552,900 SH Defined 57 552,900 WELLS FARGO & CO NEW COM Common Stocks 949746101 $3,947 162,680 SH Defined 58 162,680 WELLS FARGO & CO NEW COM Common Stocks 949746101 $7,150 293,446 SH Defined 64 293,446 WELLS FARGO & CO NEW COM Common Stocks 949746101 $40,946 1,687,300 SH Defined 64 1,687,300 WELLS FARGO & CO NEW COM Common Stocks 949746101 $626 25,700 SH Defined 66 25,700 WELLS FARGO & CO NEW COM Common Stocks 949746101 $676 27,830 SH Defined 66 27,830 WELLS FARGO & CO NEW COM Common Stocks 949746101 $1,016 41,900 SH Defined 67 41,900 WELLS FARGO & CO NEW COM Common Stocks 949746101 $8,744 360,410 SH Defined 68 360,410 WELLS FARGO & CO NEW COM Common Stocks 949746101 $1,635 67,390 SH Defined 69 67,390 WELLS FARGO & CO NEW COM Common Stocks 949746101 $4,265 175,800 SH Defined 76 175,800 WELLS FARGO & CO NEW COM Common Stocks 949746101 $1,060 43,500 SH Defined 79 43,500 WELLS FARGO & CO NEW COM Common Stocks 949746101 $2,014 83,000 SH Defined 79 83,000 WELLS FARGO & CO NEW COM Common Stocks 949746101 $3,005 123,867 SH Defined 80 123,867 WELLS FARGO & CO NEW COM Common Stocks 949746101 $105,437 4,346,145 SH Sole 88 4,346,145 WELLS FARGO & CO NEW COM Common Stocks 949746101 $14,932 615,517 SH Defined 94 615,517 WELLS FARGO & CO NEW COM Common Stocks 949746101 $3,113 128,311 SH Defined 97 128,311 WELLS FARGO & CO NEW COM Common Stocks 949746101 $1,691 69,700 SH Defined 105 69,700 WELLS FARGO & CO NEW COM Common Stocks 949746101 $781 31,830 SH Defined 31,830 WELLS FARGO & CO NEW PERP PF Common Stocks 949746804 $4,778 6,100 SH Defined 78 6,100 WELLS FARGO & CO NEW PERP PF Common Stocks 949746804 $6,006 7,668 SH Sole 88 7,668 WENDYS ARBYS GROUP INC COM Common Stocks 950587105 $2,635 658,800 SH Defined 31 658,800 WENDYS ARBYS GROUP INC COM Common Stocks 950587105 $2,963 740,800 SH Sole 88 740,800 WERNER ENTERPRISES INC COM Common Stocks 950755108 $438 24,194 SH Defined 52 24,194 WERNER ENTERPRISES INC COM Common Stocks 950755108 $674 37,200 SH Defined 57 37,200 WERNER ENTERPRISES INC COM Common Stocks 950755108 $1,016 56,065 SH Sole 88 56,065 WESBANCO INC COM Common Stocks 950810101 $317 21,800 SH Defined 57 21,800 WESBANCO INC COM Common Stocks 950810101 $105 7,200 SH Defined 65 7,200 WESBANCO INC COM Common Stocks 950810101 $221 15,168 SH Sole 88 15,168 WESCO FINL CORP COM Common Stocks 950817106 $1,666 5,725 SH Defined 30 5,725 WESCO FINL CORP COM Common Stocks 950817106 $1,953 6,710 SH Sole 88 6,710 WESCO INTL INC COM Common Stocks 95082P105 $1,803 72,000 SH Defined 30 72,000 WESCO INTL INC COM Common Stocks 95082P105 $3,668 146,500 SH Defined 57 146,500 WESCO INTL INC COM Common Stocks 95082P105 $98 3,900 SH Defined 65 3,900 WESCO INTL INC COM Common Stocks 95082P105 $117 4,685 SH Defined 81 4,685 WESCO INTL INC COM Common Stocks 95082P105 $3,476 138,800 SH Sole 88 138,800 WESTAMERICA BANCORPORATION Common Stocks 957090103 $10 200 SH Defined 65 200 WESTAMERICA BANCORPORATION Common Stocks 957090103 $936 18,857 SH Defined 73 18,857 WESTAMERICA BANCORPORATION Common Stocks 957090103 $3,950 79,612 SH Sole 88 79,612 WESTAR ENERGY INC COM Common Stocks 95709T100 $216 11,500 SH Defined 57 11,500 WESTAR ENERGY INC COM Common Stocks 95709T100 $786 41,900 SH Sole 88 41,900 WESTERN ALLIANCE BANCORP C Common Stocks 957638109 $753 110,078 SH Defined 52 110,078 WESTERN ALLIANCE BANCORP C Common Stocks 957638109 $61 8,900 SH Defined 57 8,900 WESTERN ALLIANCE BANCORP C Common Stocks 957638109 $1,054 154,051 SH Sole 88 154,051 WESTERN DIGITAL CORP COM Common Stocks 958102105 $1,397 52,700 SH Defined 4 52,700 WESTERN DIGITAL CORP COM Common Stocks 958102105 $8,634 325,800 SH Defined 10 325,800 WESTERN DIGITAL CORP COM Common Stocks 958102105 $16,110 607,744 SH Defined 11 607,744 WESTERN DIGITAL CORP COM Common Stocks 958102105 $3,194 120,531 SH Defined 23 120,531 WESTERN DIGITAL CORP COM Common Stocks 958102105 $486 18,341 SH Defined 42 18,341 WESTERN DIGITAL CORP COM Common Stocks 958102105 $9,559 360,700 SH Defined 57 360,700 WESTERN DIGITAL CORP COM Common Stocks 958102105 $313 11,800 SH Defined 58 11,800 WESTERN DIGITAL CORP COM Common Stocks 958102105 $16,171 610,215 SH Sole 88 610,215 WESTERN DIGITAL CORP COM Common Stocks 958102105 $925 34,900 SH Defined 97 34,900 WESTERN REFNG INC COM Common Stocks 959319104 $66 9,400 SH Defined 23 9,400 WESTERN REFNG INC COM Common Stocks 959319104 $1,082 153,200 SH Defined 57 153,200 WESTERN REFNG INC COM Common Stocks 959319104 $95 13,400 SH Defined 65 13,400 WESTERN REFNG INC COM Common Stocks 959319104 $818 115,800 SH Sole 88 115,800 WESTERN UN CO COM Common Stocks 959802109 $0 1 SH Defined 1 1 WESTERN UN CO COM Common Stocks 959802109 $3,544 216,100 SH Defined 10 216,100 WESTERN UN CO COM Common Stocks 959802109 $7,303 445,286 SH Defined 27 445,286 WESTERN UN CO COM Common Stocks 959802109 $2 151 SH Defined 42 151 WESTERN UN CO COM Common Stocks 959802109 $612 37,300 SH Defined 51 37,300 WESTERN UN CO COM Common Stocks 959802109 $3,990 243,320 SH Defined 68 243,320 WESTERN UN CO COM Common Stocks 959802109 $757 46,160 SH Defined 69 46,160 WESTERN UN CO COM Common Stocks 959802109 $1,870 114,050 SH Defined 76 114,050 WESTERN UN CO COM Common Stocks 959802109 $306 18,635 SH Defined 80 18,635 WESTERN UN CO COM Common Stocks 959802109 $8,241 502,528 SH Sole 88 502,528 WESTERN UN CO COM Common Stocks 959802109 $1,053 64,200 SH Defined 105 64,200 WESTMORELAND COAL CO COM Common Stocks 960878106 $24 3,000 SH Defined 65 3,000 WESTWOOD HLDGS GROUP INC COM Common Stocks 961765104 $100 2,393 SH Defined 81 2,393 WET SEAL INC CL A Common Stocks 961840105 $53 17,400 SH Defined 57 17,400 WEYCO GROUP INC COM Common Stocks 962149100 $94 4,067 SH Defined 81 4,067 WEYERHAEUSER CO COM Common Stocks 962166104 $169 5,550 SH Defined 80 5,550 WHIRLPOOL CORP COM Common Stocks 963320106 $651 15,300 SH Defined 4 15,300 WHIRLPOOL CORP COM Common Stocks 963320106 $1,064 25,000 SH Defined 30 25,000 WHIRLPOOL CORP COM Common Stocks 963320106 $95 2,237 SH Defined 42 2,237 WHIRLPOOL CORP COM Common Stocks 963320106 $4 100 SH Defined 51 100 WHIRLPOOL CORP COM Common Stocks 963320106 $2,494 58,600 SH Defined 57 58,600 WHIRLPOOL CORP COM Common Stocks 963320106 $83 1,939 SH Defined 80 1,939 WHIRLPOOL CORP COM Common Stocks 963320106 $1,041 24,455 SH Defined 84 24,455 WHIRLPOOL CORP COM Common Stocks 963320106 $3,322 78,065 SH Sole 88 78,065 WHITE ELECTR DESIGNS CORP Common Stocks 963801105 $4,475 966,519 SH Defined 92 966,519 WHITING PETE CORP NEW COM Common Stocks 966387102 $1,596 45,400 SH Defined 30 45,400 WHITING PETE CORP NEW COM Common Stocks 966387102 $1,111 31,600 SH Defined 51 31,600 WHITING PETE CORP NEW COM Common Stocks 966387102 $406 11,544 SH Defined 52 11,544 WHITING PETE CORP NEW COM Common Stocks 966387102 $1,333 37,900 SH Defined 57 37,900 WHITING PETE CORP NEW COM Common Stocks 966387102 $642 18,246 SH Defined 73 18,246 WHITING PETE CORP NEW COM Common Stocks 966387102 $106 3,016 SH Defined 81 3,016 WHITING PETE CORP NEW COM Common Stocks 966387102 $7,471 212,484 SH Sole 88 212,484 WHITING PETE CORP NEW COM Common Stocks 966387102 $1,530 43,527 SH Defined 97 43,527 WHITNEY HLDG CORP COM Common Stocks 966612103 $319 34,790 SH Defined 52 34,790 WHITNEY HLDG CORP COM Common Stocks 966612103 $476 51,990 SH Sole 88 51,990 WHITNEY HLDG CORP COM Common Stocks 966612103 $1,633 178,325 SH Defined 92 178,325 WHOLE FOODS MKT INC COM Common Stocks 966837106 $220 11,800 SH Defined 26 11,800 WHOLE FOODS MKT INC COM Common Stocks 966837106 $8,345 439,594 SH Defined 26 439,594 WHOLE FOODS MKT INC COM Common Stocks 966837106 $459 24,200 SH Defined 28 24,200 WHOLE FOODS MKT INC COM Common Stocks 966837106 $372 19,600 SH Defined 51 19,600 WHOLE FOODS MKT INC COM Common Stocks 966837106 $393 20,720 SH Defined 60 20,720 WHOLE FOODS MKT INC COM Common Stocks 966837106 $70 3,700 SH Defined 80 3,700 WHOLE FOODS MKT INC COM Common Stocks 966837106 $7,283 383,704 SH Sole 88 383,704 WHOLE FOODS MKT INC COM Common Stocks 966837106 $3,190 168,050 SH Defined 102 168,050 WHOLE FOODS MKT INC COM Common Stocks 966837106 $28 1,489 SH Defined 1,489 WILEY JOHN & SONS INC CL A Common Stocks 968223206 $410 12,335 SH Defined 21 12,335 WILEY JOHN & SONS INC CL A Common Stocks 968223206 $1,367 41,100 SH Defined 30 41,100 WILEY JOHN & SONS INC CL A Common Stocks 968223206 $146 4,400 SH Defined 51 4,400 WILEY JOHN & SONS INC CL A Common Stocks 968223206 $1,037 31,191 SH Defined 57 31,191 WILEY JOHN & SONS INC CL A Common Stocks 968223206 $119 3,574 SH Defined 81 3,574 WILEY JOHN & SONS INC CL A Common Stocks 968223206 $2,996 90,120 SH Sole 88 90,120 WILLBROS GROUP INC DEL COM Common Stocks 969203108 $400 31,999 SH Defined 52 31,999 WILLBROS GROUP INC DEL COM Common Stocks 969203108 $29 2,300 SH Defined 57 2,300 WILLBROS GROUP INC DEL COM Common Stocks 969203108 $106 8,495 SH Defined 81 8,495 WILLBROS GROUP INC DEL COM Common Stocks 969203108 $592 47,294 SH Sole 88 47,294 WILLBROS GROUP INC DEL COM Common Stocks 969203108 $116 9,275 SH Defined 9,275 WILLIAMS COS INC DEL COM Common Stocks 969457100 $3,019 193,400 SH Defined 10 193,400 WILLIAMS COS INC DEL COM Common Stocks 969457100 $6,201 397,268 SH Defined 31 397,268 WILLIAMS COS INC DEL COM Common Stocks 969457100 $4,137 265,000 SH Defined 35 265,000 WILLIAMS COS INC DEL COM Common Stocks 969457100 $11,523 738,178 SH Defined 62 738,178 WILLIAMS COS INC DEL COM Common Stocks 969457100 $518 33,200 SH Defined 67 33,200 WILLIAMS COS INC DEL COM Common Stocks 969457100 $240 15,400 SH Defined 80 15,400 WILLIAMS COS INC DEL COM Common Stocks 969457100 $3,732 239,100 SH Sole 88 239,100 WILLIAMS CLAYTON ENERGY INC Common Stocks 969490101 $26 1,400 SH Defined 57 1,400 WILLIAMS SONOMA INC COM Common Stocks 969904101 $6,859 577,853 SH Defined 31 577,853 WILLIAMS SONOMA INC COM Common Stocks 969904101 $499 42,000 SH Defined 51 42,000 WILLIAMS SONOMA INC COM Common Stocks 969904101 $4,200 353,800 SH Sole 88 353,800 WILLIAMS SONOMA INC COM Common Stocks 969904101 $1,225 103,187 SH Defined 92 103,187 WILLIAMS SONOMA INC COM Common Stocks 969904101 $250 21,025 SH Defined 101 21,025 WILMINGTON TRUST CORP COM Common Stocks 971807102 $394 28,825 SH Defined 21 28,825 WILMINGTON TRUST CORP COM Common Stocks 971807102 $2,681 196,264 SH Defined 31 196,264 WILMINGTON TRUST CORP COM Common Stocks 971807102 $219 16,000 SH Defined 51 16,000 WILMINGTON TRUST CORP COM Common Stocks 971807102 $2,328 170,425 SH Sole 88 170,425 WIMM BILL DANN FOODS OJSC Common Stocks 97263M109 $698 12,700 SH Sole 88 12,700 WIMM BILL DANN FOODS OJSC Common Stocks 97263M109 $129 2,350 SH Defined 100 2,350 WIND RIVER SYSTEMS INC COM Common Stocks 973149107 $143 12,500 SH Defined 23 12,500 WIND RIVER SYSTEMS INC COM Common Stocks 973149107 $212 18,500 SH Sole 88 18,500 WINDSTREAM CORP COM Common Stocks 97381W104 $419 50,100 SH Defined 51 50,100 WINDSTREAM CORP COM Common Stocks 97381W104 $97 11,632 SH Defined 80 11,632 WINDSTREAM CORP COM Common Stocks 97381W104 $216 25,800 SH Sole 88 25,800 WINN DIXIE STORES INC COM Common Stocks 974280307 $146 11,608 SH Defined 57 11,608 WINN DIXIE STORES INC COM Common Stocks 974280307 $71 5,700 SH Sole 88 5,700 WINTRUST FINANCIAL CORP CO Common Stocks 97650W108 $195 12,099 SH Defined 52 12,099 WINTRUST FINANCIAL CORP CO Common Stocks 97650W108 $61 3,800 SH Defined 57 3,800 WINTRUST FINANCIAL CORP CO Common Stocks 97650W108 $366 22,785 SH Sole 88 22,785 WINTRUST FINANCIAL CORP CO Common Stocks 97650W108 $342 21,281 SH Defined 101 21,281 WISCONSIN ENERGY CORP COM Common Stocks 976657106 $273 6,700 SH Defined 51 6,700 WISCONSIN ENERGY CORP COM Common Stocks 976657106 $126 3,100 SH Defined 80 3,100 WISCONSIN ENERGY CORP COM Common Stocks 976657106 $226 5,550 SH Defined 84 5,550 WISCONSIN ENERGY CORP COM Common Stocks 976657106 $179 4,400 SH Sole 88 4,400 WISCONSIN ENERGY CORP COM Common Stocks 976657106 $932 22,900 SH Defined 22,900 WORLD ACCEP CORP DEL COM Common Stocks 981419104 $290 14,554 SH Defined 22 14,554 WORLD ACCEP CORP DEL COM Common Stocks 981419104 $766 38,481 SH Defined 52 38,481 WORLD ACCEP CORP DEL COM Common Stocks 981419104 $70 3,500 SH Defined 57 3,500 WORLD ACCEP CORP DEL COM Common Stocks 981419104 $302 15,150 SH Defined 77 15,150 WORLD ACCEP CORP DEL COM Common Stocks 981419104 $899 45,175 SH Sole 88 45,175 WORLD FUEL SVCS CORP COM Common Stocks 981475106 $212 5,144 SH Defined 1 5,144 WORLD FUEL SVCS CORP COM Common Stocks 981475106 $111 2,700 SH Defined 23 2,700 WORLD FUEL SVCS CORP COM Common Stocks 981475106 $2,247 54,500 SH Defined 57 54,500 WORLD FUEL SVCS CORP COM Common Stocks 981475106 $268 6,500 SH Defined 65 6,500 WORLD FUEL SVCS CORP COM Common Stocks 981475106 $1,418 34,400 SH Sole 88 34,400 WORTHINGTON INDS INC COM Common Stocks 981811102 $191 14,958 SH Defined 11 14,958 WRIGHT EXPRESS CORP COM Common Stocks 98233Q105 $107 4,200 SH Defined 23 4,200 WRIGHT EXPRESS CORP COM Common Stocks 98233Q105 $178 7,000 SH Defined 65 7,000 WRIGHT EXPRESS CORP COM Common Stocks 98233Q105 $155 6,100 SH Sole 88 6,100 WYETH COM Common Stocks 983024100 $2,438 53,709 SH Defined 1 53,709 WYETH COM Common Stocks 983024100 $1,271 28,000 SH Defined 4 28,000 WYETH COM Common Stocks 983024100 $38,032 837,900 SH Defined 9 837,900 WYETH COM Common Stocks 983024100 $896 19,878 SH Defined 11 19,878 WYETH COM Common Stocks 983024100 $1,128 24,833 SH Defined 11 24,833 WYETH COM Common Stocks 983024100 $9,859 217,200 SH Defined 17 217,200 WYETH COM Common Stocks 983024100 $835 18,400 SH Defined 23 18,400 WYETH COM Common Stocks 983024100 $495 10,900 SH Defined 32 10,900 WYETH COM Common Stocks 983024100 $618 13,608 SH Defined 42 13,608 WYETH COM Common Stocks 983024100 $1,918 42,550 SH Defined 50 42,550 WYETH COM Common Stocks 983024100 $60,529 1,333,304 SH Defined 50 1,333,304 WYETH COM Common Stocks 983024100 $3,463 76,300 SH Defined 51 76,300 WYETH COM Common Stocks 983024100 $200 4,400 SH Defined 56 4,400 WYETH COM Common Stocks 983024100 $1,634 36,000 SH Defined 58 36,000 WYETH COM Common Stocks 983024100 $12,403 273,245 SH Defined 62 273,245 WYETH COM Common Stocks 983024100 $15,243 335,815 SH Defined 68 335,815 WYETH COM Common Stocks 983024100 $2,916 64,250 SH Defined 69 64,250 WYETH COM Common Stocks 983024100 $2,950 65,000 SH Defined 76 65,000 WYETH COM Common Stocks 983024100 $545 12,100 SH Defined 79 12,100 WYETH COM Common Stocks 983024100 $935 20,600 SH Defined 79 20,600 WYETH COM Common Stocks 983024100 $1,611 35,500 SH Defined 80 35,500 WYETH COM Common Stocks 983024100 $66,485 1,464,756 SH Sole 88 1,464,756 WYETH COM Common Stocks 983024100 $319 7,043 SH Defined 7,043 WYNDHAM WORLDWIDE CORP COM Common Stocks 98310W108 $3,160 260,700 SH Defined 8 260,700 WYNDHAM WORLDWIDE CORP COM Common Stocks 98310W108 $457 37,735 SH Defined 42 37,735 WYNDHAM WORLDWIDE CORP COM Common Stocks 98310W108 $201 16,600 SH Defined 51 16,600 WYNDHAM WORLDWIDE CORP COM Common Stocks 98310W108 $137 11,300 SH Defined 65 11,300 WYNDHAM WORLDWIDE CORP COM Common Stocks 98310W108 $58 4,748 SH Defined 80 4,748 WYNDHAM WORLDWIDE CORP COM Common Stocks 98310W108 $101 8,302 SH Defined 81 8,302 WYNDHAM WORLDWIDE CORP COM Common Stocks 98310W108 $391 32,232 SH Sole 88 32,232 WYNN RESORTS LTD COM Common Stocks 983134107 $191 5,400 SH Defined 51 5,400 WYNN RESORTS LTD COM Common Stocks 983134107 $480 13,600 SH Defined 60 13,600 WYNN RESORTS LTD COM Common Stocks 983134107 $5,253 148,805 SH Defined 64 148,805 WYNN RESORTS LTD COM Common Stocks 983134107 $60 1,700 SH Defined 80 1,700 WYNN RESORTS LTD COM Common Stocks 983134107 $8,655 245,196 SH Sole 88 245,196 WYNN RESORTS LTD COM Common Stocks 983134107 $3,512 99,480 SH Defined 102 99,480 XTO ENERGY INC COM Common Stocks 98385x106 $389 10,200 SH Defined 4 10,200 XTO ENERGY INC COM Common Stocks 98385x106 $16,701 437,883 SH Defined 9 437,883 XTO ENERGY INC COM Common Stocks 98385x106 $280 7,335 SH Defined 11 7,335 XTO ENERGY INC COM Common Stocks 98385x106 $1,711 44,861 SH Defined 30 44,861 XTO ENERGY INC COM Common Stocks 98385x106 $4,020 105,400 SH Defined 35 105,400 XTO ENERGY INC COM Common Stocks 98385x106 $282 7,400 SH Defined 51 7,400 XTO ENERGY INC COM Common Stocks 98385x106 $6,713 176,000 SH Defined 57 176,000 XTO ENERGY INC COM Common Stocks 98385x106 $846 22,190 SH Defined 59 22,190 XTO ENERGY INC COM Common Stocks 98385x106 $1,746 45,783 SH Defined 64 45,783 XTO ENERGY INC COM Common Stocks 98385x106 $481 12,600 SH Defined 67 12,600 XTO ENERGY INC COM Common Stocks 98385x106 $587 15,400 SH Defined 80 15,400 XTO ENERGY INC COM Common Stocks 98385x106 $27,253 714,546 SH Sole 88 714,546 XTO ENERGY INC COM Common Stocks 98385x106 $1,355 35,500 SH Defined 98 35,500 XTO ENERGY INC COM Common Stocks 98385x106 $8,315 218,000 SH Defined 99 218,000 XCEL ENERGY INC COM Common Stocks 98389B100 $245 13,300 SH Defined 51 13,300 XCEL ENERGY INC COM Common Stocks 98389B100 $223 12,105 SH Defined 80 12,105 XCEL ENERGY INC COM Common Stocks 98389B100 $156 8,500 SH Sole 88 8,500 XILINX INC COM Common Stocks 983919101 $2,401 117,340 SH Defined 12 117,340 XILINX INC COM Common Stocks 983919101 $2,003 97,900 SH Defined 51 97,900 XILINX INC COM Common Stocks 983919101 $299 14,600 SH Defined 56 14,600 XILINX INC COM Common Stocks 983919101 $1,041 50,890 SH Defined 58 50,890 XILINX INC COM Common Stocks 983919101 $2,232 109,080 SH Defined 60 109,080 XILINX INC COM Common Stocks 983919101 $149 7,300 SH Defined 80 7,300 XILINX INC COM Common Stocks 983919101 $7,318 357,650 SH Sole 88 357,650 XILINX INC COM Common Stocks 983919101 $8,087 395,270 SH Defined 102 395,270 XENOPORT INC COM Common Stocks 98411C100 $21 900 SH Defined 65 900 XENOPORT INC COM Common Stocks 98411C100 $137 5,920 SH Defined 102 5,920 XEROX CORP COM Common Stocks 984121103 $2,548 393,158 SH Defined 23 393,158 XEROX CORP COM Common Stocks 984121103 $5,093 786,000 SH Defined 31 786,000 XEROX CORP COM Common Stocks 984121103 $301 46,500 SH Defined 32 46,500 XEROX CORP COM Common Stocks 984121103 $1,650 254,600 SH Defined 35 254,600 XEROX CORP COM Common Stocks 984121103 $208 32,100 SH Defined 67 32,100 XEROX CORP COM Common Stocks 984121103 $150 23,156 SH Defined 80 23,156 XEROX CORP COM Common Stocks 984121103 $2,094 323,200 SH Sole 88 323,200 XEROX CORP COM Common Stocks 984121103 $29 4,365 SH Defined 4,365 YRC WORLDWIDE INC COM Common Stocks 984249102 $174 100,700 SH Defined 57 100,700 YRC WORLDWIDE INC COM Common Stocks 984249102 $108 62,400 SH Sole 88 62,400 YAHOO INC COM Common Stocks 984332106 $747 47,700 SH Defined 41 47,700 YAHOO INC COM Common Stocks 984332106 $241 15,420 SH Defined 58 15,420 YAHOO INC COM Common Stocks 984332106 $583 37,200 SH Defined 80 37,200 YAMANA GOLD INC COM Common Stocks 98462Y100 $3,793 429,030 SH Defined 6 429,030 YAMANA GOLD INC COM Common Stocks 98462Y100 $3,857 436,200 SH Defined 14 436,200 YAMANA GOLD INC COM Common Stocks 98462Y100 $504 56,600 SH Defined 41 56,600 YAMANA GOLD INC COM Common Stocks 98462Y100 $1,793 200,740 SH Defined 66 200,740 YAMANA GOLD INC COM Common Stocks 98462Y100 $1,282 144,200 SH Defined 144,200 YINGLI GREEN ENERGY HLDG C Common Stocks 98584B103 $1,007 74,200 SH Defined 41 74,200 YINGLI GREEN ENERGY HLDG C Common Stocks 98584B103 $138 10,150 SH Defined 44 10,150 YINGLI GREEN ENERGY HLDG C Common Stocks 98584B103 $126 9,310 SH Defined 102 9,310 YOUNG INNOVATIONS INC COM Common Stocks 987520103 $9 400 SH Defined 65 400 YUM BRANDS INC COM Common Stocks 988498101 $8,215 246,400 SH Defined 10 246,400 YUM BRANDS INC COM Common Stocks 988498101 $767 23,000 SH Defined 41 23,000 YUM BRANDS INC COM Common Stocks 988498101 $893 26,770 SH Defined 55 26,770 YUM BRANDS INC COM Common Stocks 988498101 $7,268 218,000 SH Defined 57 218,000 YUM BRANDS INC COM Common Stocks 988498101 $556 16,670 SH Defined 58 16,670 YUM BRANDS INC COM Common Stocks 988498101 $282 8,450 SH Defined 60 8,450 YUM BRANDS INC COM Common Stocks 988498101 $13,423 402,605 SH Defined 64 402,605 YUM BRANDS INC COM Common Stocks 988498101 $413 12,380 SH Defined 80 12,380 YUM BRANDS INC COM Common Stocks 988498101 $40,755 1,222,416 SH Sole 88 1,222,416 YUM BRANDS INC COM Common Stocks 988498101 $1,328 39,800 SH Defined 98 39,800 YUM BRANDS INC COM Common Stocks 988498101 $8,162 244,800 SH Defined 99 244,800 YUM BRANDS INC COM Common Stocks 988498101 $397 11,900 SH Defined 102 11,900 YUM BRANDS INC COM Common Stocks 988498101 $1,254 37,607 SH Defined 106 37,607 YUM BRANDS INC COM Common Stocks 988498101 $14,230 426,807 SH Defined 426,807 ZEBRA TECHNOLOGIES CORP CL Common Stocks 989207105 $137 5,784 SH Defined 81 5,784 ZENITH NATL INS CORP COM Common Stocks 989390109 $205 9,420 SH Defined 21 9,420 ZENITH NATL INS CORP COM Common Stocks 989390109 $28 1,300 SH Defined 30 1,300 ZENITH NATL INS CORP COM Common Stocks 989390109 $3,144 144,625 SH Defined 31 144,625 ZENITH NATL INS CORP COM Common Stocks 989390109 $4,269 196,387 SH Sole 88 196,387 ZEP INC COM Common Stocks 98944B108 $54 4,500 SH Defined 31 4,500 ZHONGPIN INC COM Common Stocks 98952K107 $82 7,900 SH Defined 65 7,900 ZIMMER HLDGS INC COM Common Stocks 98956P102 $0 1 SH Defined 1 1 ZIMMER HLDGS INC COM Common Stocks 98956P102 $341 8,000 SH Defined 10 8,000 ZIMMER HLDGS INC COM Common Stocks 98956P102 $196 4,600 SH Defined 18 4,600 ZIMMER HLDGS INC COM Common Stocks 98956P102 $290 6,798 SH Defined 42 6,798 ZIMMER HLDGS INC COM Common Stocks 98956P102 $400 9,400 SH Defined 56 9,400 ZIMMER HLDGS INC COM Common Stocks 98956P102 $332 7,800 SH Defined 57 7,800 ZIMMER HLDGS INC COM Common Stocks 98956P102 $315 7,400 SH Defined 58 7,400 ZIMMER HLDGS INC COM Common Stocks 98956P102 $9,144 214,600 SH Defined 68 214,600 ZIMMER HLDGS INC COM Common Stocks 98956P102 $3,975 93,070 SH Defined 70 93,070 ZIMMER HLDGS INC COM Common Stocks 98956P102 $3,863 90,622 SH Defined 70 90,622 ZIMMER HLDGS INC COM Common Stocks 98956P102 $243 5,700 SH Defined 80 5,700 ZIMMER HLDGS INC COM Common Stocks 98956P102 $891 20,925 SH Defined 84 20,925 ZIMMER HLDGS INC COM Common Stocks 98956P102 $3,534 82,961 SH Sole 88 82,961 ZIMMER HLDGS INC COM Common Stocks 98956P102 $568 13,300 SH Defined 96 13,300 ZIMMER HLDGS INC COM Common Stocks 98956P102 $1,717 40,300 SH Defined 96 40,300 ZIONS BANCORPORATION COM Common Stocks 989701107 $428 37,000 SH Defined 51 37,000 ZIONS BANCORPORATION COM Common Stocks 989701107 $233 20,118 SH Defined 52 20,118 ZIONS BANCORPORATION COM Common Stocks 989701107 $53 4,600 SH Defined 56 4,600 ZIONS BANCORPORATION COM Common Stocks 989701107 $226 18,600 SH Defined 79 18,600 ZIONS BANCORPORATION COM Common Stocks 989701107 $379 32,800 SH Defined 79 32,800 ZIONS BANCORPORATION COM Common Stocks 989701107 $35 3,000 SH Defined 80 3,000 ZIONS BANCORPORATION COM Common Stocks 989701107 $629 54,392 SH Sole 88 54,392 ZORAN CORP COM Common Stocks 98975F101 $3,529 323,796 SH Defined 23 323,796 ZORAN CORP COM Common Stocks 98975F101 $815 74,731 SH Defined 57 74,731 ZORAN CORP COM Common Stocks 98975F101 $3,685 338,100 SH Sole 88 338,100 ZUMIEZ INC COM Common Stocks 989817101 $140 17,477 SH Defined 74 17,477 ZOLL MED CORP COM Common Stocks 989922109 $119 6,172 SH Defined 81 6,172 DAIMLER AG REG SHS Common Stocks D1668R123 $3,305 91,366 SH Defined 7 91,366 DAIMLER AG REG SHS Common Stocks D1668R123 $757 20,945 SH Defined 13 20,945 DAIMLER AG REG SHS Common Stocks D1668R123 $87 2,400 SH Defined 20 2,400 DAIMLER AG REG SHS Common Stocks D1668R123 $5,935 161,600 SH Defined 47 161,600 DAIMLER AG REG SHS Common Stocks D1668R123 $33,838 934,593 SH Defined 47 934,593 DAIMLER AG REG SHS Common Stocks D1668R123 $2,073 57,227 SH Defined 50 57,227 DAIMLER AG REG SHS Common Stocks D1668R123 $629 17,129 SH Defined 53 17,129 DAIMLER AG REG SHS Common Stocks D1668R123 $5,321 147,138 SH Defined 53 147,138 DAIMLER AG REG SHS Common Stocks D1668R123 $7,122 196,820 SH Defined 64 196,820 DAIMLER AG REG SHS Common Stocks D1668R123 $2,257 62,403 SH Defined 76 62,403 DAIMLER AG REG SHS Common Stocks D1668R123 $1,744 48,200 SH Defined 84 48,200 DAIMLER AG REG SHS Common Stocks D1668R123 $22,307 616,516 SH Sole 88 616,516 DAIMLER AG REG SHS Common Stocks D1668R123 $4,825 133,369 SH Defined 104 133,369 DAIMLER AG REG SHS Common Stocks D1668R123 $5,592 154,656 SH Defined 154,656 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $2,182 36,013 SH Defined 1 36,013 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $5,253 86,000 SH Defined 3 86,000 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $12,537 206,256 SH Defined 4 206,256 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $1,362 21,700 SH Defined 5 21,700 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $4,218 69,492 SH Defined 7 69,492 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $2,361 37,620 SH Defined 11 37,620 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $11,829 194,868 SH Defined 11 194,868 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $812 13,400 SH Defined 13 13,400 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $3,647 60,200 SH Defined 75 60,200 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $2,557 42,206 SH Defined 76 42,206 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $10,394 170,761 SH Sole 88 170,761 DEUTSCHE BANK AG NAMEN AKT Common Stocks D18190898 $12,771 210,737 SH Defined 210,737 AIRCASTLE LTD COM Common Stocks G0129K104 $207 28,200 SH Defined 65 28,200 ALLIED WRLD ASSUR COM HLDG Common Stocks G0219G203 $196 4,800 SH Defined 51 4,800 ALLIED WRLD ASSUR COM HLDG Common Stocks G0219G203 $1,911 46,800 SH Defined 57 46,800 ALLIED WRLD ASSUR COM HLDG Common Stocks G0219G203 $155 3,800 SH Defined 65 3,800 ALLIED WRLD ASSUR COM HLDG Common Stocks G0219G203 $735 18,000 SH Defined 76 18,000 ALLIED WRLD ASSUR COM HLDG Common Stocks G0219G203 $1,225 30,000 SH Sole 88 30,000 AMDOCS LTD ORD Common Stocks G02602103 $3,970 185,100 SH Defined 10 185,100 AMDOCS LTD ORD Common Stocks G02602103 $608 28,350 SH Defined 21 28,350 AMDOCS LTD ORD Common Stocks G02602103 $1,439 67,107 SH Defined 30 67,107 AMDOCS LTD ORD Common Stocks G02602103 $1,441 67,055 SH Defined 39 67,055 AMDOCS LTD ORD Common Stocks G02602103 $659 30,700 SH Defined 51 30,700 AMDOCS LTD ORD Common Stocks G02602103 $1,420 66,200 SH Defined 84 66,200 AMDOCS LTD ORD Common Stocks G02602103 $8,240 384,137 SH Sole 88 384,137 AMERICAN SAFETY INS HLDGS LT Common Stocks G02995101 $38 2,800 SH Defined 65 2,800 ARCH CAP GROUP LTD ORD Common Stocks G0450A105 $1,520 25,942 SH Defined 30 25,942 ARCH CAP GROUP LTD ORD Common Stocks G0450A105 $732 12,500 SH Defined 51 12,500 ARCH CAP GROUP LTD ORD Common Stocks G0450A105 $6,602 112,700 SH Defined 57 112,700 ARCH CAP GROUP LTD ORD Common Stocks G0450A105 $105 1,800 SH Defined 58 1,800 ARCH CAP GROUP LTD ORD Common Stocks G0450A105 $6,162 105,181 SH Sole 88 105,181 ARCH CAP GROUP LTD ORD Common Stocks G0450A105 $542 9,246 SH Defined 97 9,246 ARGO GROUP INTL HLDGS LTD Common Stocks G0464B107 $378 13,399 SH Defined 22 13,399 ARGO GROUP INTL HLDGS LTD Common Stocks G0464B107 $844 29,900 SH Defined 57 29,900 ARGO GROUP INTL HLDGS LTD Common Stocks G0464B107 $293 10,400 SH Defined 77 10,400 ARGO GROUP INTL HLDGS LTD Common Stocks G0464B107 $120 4,265 SH Defined 81 4,265 ARGO GROUP INTL HLDGS LTD Common Stocks G0464B107 $559 19,800 SH Sole 88 19,800 ASPEN INSURANCE HOLDINGS L Common Stocks G05384105 $5,439 243,400 SH Defined 23 243,400 ASPEN INSURANCE HOLDINGS L Common Stocks G05384105 $1,593 71,300 SH Defined 57 71,300 ASPEN INSURANCE HOLDINGS L Common Stocks G05384105 $270 12,100 SH Defined 65 12,100 ASPEN INSURANCE HOLDINGS L Common Stocks G05384105 $1,173 52,500 SH Defined 76 52,500 ASPEN INSURANCE HOLDINGS L Common Stocks G05384105 $537 24,050 SH Defined 77 24,050 ASPEN INSURANCE HOLDINGS L Common Stocks G05384105 $1,003 44,900 SH Sole 88 44,900 ASPEN INSURANCE HOLDINGS L Common Stocks G05384105 $45 2,050 SH Defined 2,050 ASSURED GUARANTY LTD COM Common Stocks G0585R106 $488 39,433 SH Defined 52 39,433 ASSURED GUARANTY LTD COM Common Stocks G0585R106 $171 13,800 SH Sole 88 13,800 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $935 35,700 SH Defined 10 35,700 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $14,971 571,690 SH Defined 23 571,690 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $5,600 213,900 SH Defined 35 213,900 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $243 9,300 SH Defined 51 9,300 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $264 10,100 SH Defined 56 10,100 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $215 8,200 SH Defined 58 8,200 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $186 7,100 SH Defined 65 7,100 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $709 27,100 SH Defined 67 27,100 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $503 19,200 SH Defined 76 19,200 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $169 6,444 SH Defined 81 6,444 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $3,720 142,100 SH Sole 88 142,100 AXIS CAPITAL HOLDINGS SHS Common Stocks G0692U109 $106 4,105 SH Defined 4,105 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $1,502 44,886 SH Defined 1 44,886 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $770 23,000 SH Defined 4 23,000 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $2,958 88,400 SH Defined 12 88,400 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $6,322 188,900 SH Defined 23 188,900 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $1,830 54,700 SH Defined 35 54,700 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $6,187 184,895 SH Defined 42 184,895 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $1,921 57,400 SH Defined 51 57,400 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $382 11,430 SH Defined 55 11,430 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $8,235 246,100 SH Defined 57 246,100 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $358 10,700 SH Defined 67 10,700 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $23,614 705,659 SH Defined 68 705,659 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $2,590 77,410 SH Defined 69 77,410 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $4,208 126,563 SH Defined 70 126,563 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $4,118 122,992 SH Defined 70 122,992 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $1,201 35,900 SH Defined 76 35,900 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $38,923 1,163,270 SH Sole 88 1,163,270 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $14,158 423,129 SH Defined 94 423,129 ACCENTURE LTD BERMUDA CL A Common Stocks G1150G111 $15,765 471,165 SH Defined 471,165 BROOKFIELD INFRAST PARTNER Common Stocks G16252101 $61 3,500 SH Defined 42 3,500 BROOKFIELD INFRAST PARTNER Common Stocks G16252101 $9,237 539,053 SH Defined 539,053 BUNGE LIMITED COM Common Stocks G16962105 $761 12,633 SH Defined 1 12,633 BUNGE LIMITED COM Common Stocks G16962105 $1,940 32,200 SH Defined 4 32,200 BUNGE LIMITED COM Common Stocks G16962105 $1,575 25,600 SH Defined 11 25,600 BUNGE LIMITED COM Common Stocks G16962105 $5,715 94,838 SH Defined 11 94,838 BUNGE LIMITED COM Common Stocks G16962105 $1,456 24,173 SH Defined 42 24,173 BUNGE LIMITED COM Common Stocks G16962105 $4,832 80,200 SH Defined 57 80,200 BUNGE LIMITED COM Common Stocks G16962105 $5,216 86,568 SH Sole 88 86,568 CONSOLIDATED WATER CO INC OR Common Stocks G23773107 $90 5,700 SH Defined 63 5,700 CONSOLIDATED WATER CO INC OR Common Stocks G23773107 $317 20,000 SH Sole 88 20,000 COOPER INDS LTD CL A Common Stocks G24182100 $227 7,300 SH Defined 4 7,300 COOPER INDS LTD CL A Common Stocks G24182100 $2,906 93,600 SH Defined 10 93,600 COOPER INDS LTD CL A Common Stocks G24182100 $9,751 313,817 SH Defined 11 313,817 COOPER INDS LTD CL A Common Stocks G24182100 $538 17,300 SH Defined 41 17,300 COOPER INDS LTD CL A Common Stocks G24182100 $1,608 51,800 SH Defined 51 51,800 COOPER INDS LTD CL A Common Stocks G24182100 $87 2,800 SH Defined 56 2,800 COOPER INDS LTD CL A Common Stocks G24182100 $249 8,020 SH Defined 58 8,020 COOPER INDS LTD CL A Common Stocks G24182100 $137 4,400 SH Defined 80 4,400 COOPER INDS LTD CL A Common Stocks G24182100 $5,732 184,600 SH Sole 88 184,600 COOPER INDS LTD CL A Common Stocks G24182100 $1,074 34,600 SH Defined 97 34,600 CREDICORP LTD COM Common Stocks G2519Y108 $291 5,000 SH Defined 14 5,000 CREDICORP LTD COM Common Stocks G2519Y108 $5,146 88,427 SH Defined 40 88,427 CREDICORP LTD COM Common Stocks G2519Y108 $5,075 87,200 SH Defined 46 87,200 CREDICORP LTD COM Common Stocks G2519Y108 $1,778 30,549 SH Sole 88 30,549 CREDICORP LTD COM Common Stocks G2519Y108 $1,507 25,900 SH Defined 104 25,900 COSAN LTD SHS A Common Stocks G25343107 $403 77,700 SH Defined 41 77,700 COSAN LTD SHS A Common Stocks G25343107 $1,614 311,600 SH Defined 104 311,600 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $1,479 39,501 SH Defined 4 39,501 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $4,718 126,020 SH Defined 6 126,020 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $4,395 117,400 SH Defined 8 117,400 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $147 3,925 SH Defined 32 3,925 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $1,464 39,100 SH Defined 35 39,100 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $991 26,550 SH Defined 50 26,550 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $32,793 875,716 SH Defined 50 875,716 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $518 13,825 SH Defined 56 13,825 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $925 24,700 SH Defined 58 24,700 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $9,212 246,059 SH Defined 62 246,059 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $183 4,900 SH Defined 67 4,900 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $14,821 395,863 SH Sole 88 395,863 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $629 16,792 SH Defined 106 16,792 COVIDIEN PLC SHS ADDED Common Stocks G2554F105 $201 5,340 SH Defined 5,340 ENDURANCE SPECIALTY HLDGS Common Stocks G30397106 $779 26,600 SH Defined 10 26,600 ENDURANCE SPECIALTY HLDGS Common Stocks G30397106 $217 7,400 SH Defined 51 7,400 ENDURANCE SPECIALTY HLDGS Common Stocks G30397106 $2,891 98,653 SH Defined 57 98,653 ENDURANCE SPECIALTY HLDGS Common Stocks G30397106 $1,518 51,800 SH Defined 76 51,800 ENDURANCE SPECIALTY HLDGS Common Stocks G30397106 $1,125 38,400 SH Sole 88 38,400 EVEREST RE GROUP LTD COM Common Stocks G3223R108 $544 7,600 SH Defined 51 7,600 EVEREST RE GROUP LTD COM Common Stocks G3223R108 $243 3,400 SH Sole 88 3,400 FGX INTERNATIONAL HLDGS LTD Common Stocks G3396L102 $159 14,000 SH Defined 63 14,000 FGX INTERNATIONAL HLDGS LTD Common Stocks G3396L102 $28 2,500 SH Defined 65 2,500 FLAGSTONE REINSURANCE HLDGS Common Stocks G3529T105 $82 8,000 SH Defined 65 8,000 FRESH DEL MONTE PRODUCE IN Common Stocks G36738105 $285 17,545 SH Defined 21 17,545 FRESH DEL MONTE PRODUCE IN Common Stocks G36738105 $9,980 613,676 SH Defined 23 613,676 FRESH DEL MONTE PRODUCE IN Common Stocks G36738105 $1,096 67,400 SH Defined 57 67,400 FRESH DEL MONTE PRODUCE IN Common Stocks G36738105 $11 700 SH Defined 65 700 FRESH DEL MONTE PRODUCE IN Common Stocks G36738105 $3,035 186,645 SH Sole 88 186,645 FRESH DEL MONTE PRODUCE IN Common Stocks G36738105 $73 4,450 SH Defined 4,450 FRONTLINE LTD SHS Common Stocks G3682E127 $538 22,100 SH Defined 51 22,100 FRONTLINE LTD SHS Common Stocks G3682E127 $339 13,900 SH Sole 88 13,900 GARMIN LTD ORD Common Stocks G37260109 $8,001 335,900 SH Defined 10 335,900 GARMIN LTD ORD Common Stocks G37260109 $5,845 245,370 SH Defined 31 245,370 GARMIN LTD ORD Common Stocks G37260109 $1,036 43,500 SH Defined 35 43,500 GARMIN LTD ORD Common Stocks G37260109 $117 4,903 SH Defined 42 4,903 GARMIN LTD ORD Common Stocks G37260109 $591 24,800 SH Defined 51 24,800 GARMIN LTD ORD Common Stocks G37260109 $4,323 181,500 SH Defined 57 181,500 GARMIN LTD ORD Common Stocks G37260109 $131 5,500 SH Defined 67 5,500 GARMIN LTD ORD Common Stocks G37260109 $11,215 470,832 SH Sole 88 470,832 GLOBAL CROSSING LTD SHS NE Common Stocks G3921A175 $92 10,000 SH Defined 65 10,000 GLOBAL CROSSING LTD SHS NE Common Stocks G3921A175 $417 45,410 SH Defined 45,410 GLOBAL SOURCES LTD ORD Common Stocks G39300101 $85 11,739 SH Defined 57 11,739 GLOBAL SOURCES LTD ORD Common Stocks G39300101 $49 6,800 SH Sole 88 6,800 GREENLIGHT CAPITAL RE LTD Common Stocks G4095J109 $343 19,800 SH Defined 23 19,800 GREENLIGHT CAPITAL RE LTD Common Stocks G4095J109 $26 1,500 SH Defined 65 1,500 HERBALIFE LTD COM USD SHS Common Stocks G4412G101 $675 21,400 SH Defined 10 21,400 HERBALIFE LTD COM USD SHS Common Stocks G4412G101 $1,107 35,100 SH Defined 76 35,100 HERBALIFE LTD COM USD SHS Common Stocks G4412G101 $1,542 48,900 SH Defined 105 48,900 INGERSOLL-RAND COMPANY LTD Common Stocks G4776G101 $1,022 48,900 SH Defined 4 48,900 INGERSOLL-RAND COMPANY LTD Common Stocks G4776G101 $383 18,300 SH Defined 41 18,300 INGERSOLL-RAND COMPANY LTD Common Stocks G4776G101 $136 6,500 SH Defined 56 6,500 INGERSOLL-RAND COMPANY LTD Common Stocks G4776G101 $463 22,130 SH Defined 58 22,130 INGERSOLL-RAND COMPANY LTD Common Stocks G4776G101 $13,711 656,049 SH Defined 62 656,049 INGERSOLL-RAND COMPANY LTD Common Stocks G4776G101 $813 38,900 SH Sole 88 38,900 INVESCO LTD SHS Common Stocks G491BT108 $6,690 375,400 SH Defined 14 375,400 INVESCO LTD SHS Common Stocks G491BT108 $310 17,400 SH Defined 51 17,400 INVESCO LTD SHS Common Stocks G491BT108 $11,744 659,038 SH Sole 88 659,038 INVESCO LTD SHS Common Stocks G491BT108 $707 40,200 SH Defined 93 40,200 INVESCO LTD SHS Common Stocks G491BT108 $1,812 101,700 SH Defined 93 101,700 INVESCO LTD SHS Common Stocks G491BT108 $1,488 83,500 SH Defined 97 83,500 INVESCO LTD SHS Common Stocks G491BT108 $3,771 211,633 SH Defined 103 211,633 INVESCO LTD SHS Common Stocks G491BT108 $493 27,649 SH Defined 106 27,649 IPC HLDGS LTD ORD Common Stocks G4933P101 $1,525 55,770 SH Defined 31 55,770 IPC HLDGS LTD ORD Common Stocks G4933P101 $221 8,100 SH Defined 65 8,100 IPC HLDGS LTD ORD Common Stocks G4933P101 $1,722 63,000 SH Sole 88 63,000 KNIGHTSBRIDGE TANKERS LTD Common Stocks G5299G106 $23 1,700 SH Defined 57 1,700 KNIGHTSBRIDGE TANKERS LTD Common Stocks G5299G106 $73 5,374 SH Defined 81 5,374 LAZARD LTD SHS A Common Stocks G54050102 $638 23,700 SH Defined 51 23,700 LAZARD LTD SHS A Common Stocks G54050102 $2,259 83,919 SH Defined 85 83,919 LAZARD LTD SHS A Common Stocks G54050102 $2,859 106,220 SH Sole 88 106,220 LAZARD LTD SHS A Common Stocks G54050102 $160 5,960 SH Defined 102 5,960 MAIDEN HOLDINGS LTD SHS Common Stocks G5753U112 $85 12,900 SH Defined 23 12,900 MAIDEN HOLDINGS LTD SHS Common Stocks G5753U112 $124 18,900 SH Sole 88 18,900 MAIDEN HOLDINGS LTD SHS Common Stocks G5753U112 $195 29,720 SH Defined 29,720 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $228 19,600 SH Defined 4 19,600 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $2,868 247,304 SH Defined 11 247,304 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $10,883 934,653 SH Defined 11 934,653 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $473 40,800 SH Defined 26 40,800 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $17,670 1,517,726 SH Defined 26 1,517,726 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $4,195 360,400 SH Defined 35 360,400 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $116 9,941 SH Defined 42 9,941 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $908 78,000 SH Defined 51 78,000 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $528 45,400 SH Defined 67 45,400 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $1,337 114,900 SH Defined 76 114,900 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $12,819 1,101,318 SH Sole 88 1,101,318 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $1,323 113,700 SH Defined 97 113,700 MARVELL TECHNOLOGY GROUP L Common Stocks G5876H105 $92 7,852 SH Defined 7,852 MAX CAPITAL GROUP LTD SHS Common Stocks G6052F103 $100 5,400 SH Defined 57 5,400 MF GLOBAL LTD SHS Common Stocks G60642108 $258 43,424 SH Defined 42 43,424 MF GLOBAL LTD SHS Common Stocks G60642108 $119 20,120 SH Sole 88 20,120 MONTPELIER RE HOLDINGS LTD Common Stocks G62185106 $338 25,400 SH Defined 57 25,400 MONTPELIER RE HOLDINGS LTD Common Stocks G62185106 $206 15,500 SH Sole 88 15,500 NABORS INDUSTRIES LTD SHS Common Stocks G6359F103 $1,304 83,700 SH Defined 4 83,700 NABORS INDUSTRIES LTD SHS Common Stocks G6359F103 $3,788 243,100 SH Defined 10 243,100 NABORS INDUSTRIES LTD SHS Common Stocks G6359F103 $605 38,800 SH Defined 51 38,800 NABORS INDUSTRIES LTD SHS Common Stocks G6359F103 $179 11,500 SH Defined 57 11,500 NABORS INDUSTRIES LTD SHS Common Stocks G6359F103 $2,655 170,400 SH Defined 59 170,400 NABORS INDUSTRIES LTD SHS Common Stocks G6359F103 $117 7,500 SH Defined 80 7,500 NABORS INDUSTRIES LTD SHS Common Stocks G6359F103 $3,445 221,100 SH Sole 88 221,100 NABORS INDUSTRIES LTD SHS Common Stocks G6359F103 $118 7,590 SH Defined 102 7,590 NORDIC AMERICAN TANKER SHI Common Stocks G65773106 $1,639 51,500 SH Defined 105 51,500 OPENTV CORP CL A Common Stocks G67543101 $95 72,288 SH Defined 1 72,288 ONEBEACON INSURANCE GROUP Common Stocks G67742109 $279 23,844 SH Defined 57 23,844 ONEBEACON INSURANCE GROUP Common Stocks G67742109 $185 15,797 SH Sole 88 15,797 ORIENT-EXPRESS HOTELS LTD Common Stocks G67743107 $593 70,132 SH Defined 25 70,132 ORIENT-EXPRESS HOTELS LTD Common Stocks G67743107 $779 91,724 SH Defined 25 91,724 ORIENT-EXPRESS HOTELS LTD Common Stocks G67743107 $1,569 184,773 SH Defined 30 184,773 ORIENT-EXPRESS HOTELS LTD Common Stocks G67743107 $1,455 171,412 SH Sole 88 171,412 ORIENT-EXPRESS HOTELS LTD Common Stocks G67743107 $237 27,875 SH Defined 27,875 PARTNERRE LTD COM Common Stocks G6852T105 $708 10,900 SH Defined 51 10,900 PARTNERRE LTD COM Common Stocks G6852T105 $8,447 130,054 SH Defined 57 130,054 PARTNERRE LTD COM Common Stocks G6852T105 $205 3,160 SH Defined 58 3,160 PARTNERRE LTD COM Common Stocks G6852T105 $468 7,200 SH Defined 76 7,200 PARTNERRE LTD COM Common Stocks G6852T105 $156 2,400 SH Defined 81 2,400 PARTNERRE LTD COM Common Stocks G6852T105 $5,196 79,993 SH Sole 88 79,993 PARTNERRE LTD COM Common Stocks G6852T105 $443 6,815 SH Defined 6,815 PLATINUM UNDERWRITER HLDGS Common Stocks G7127P100 $795 27,800 SH Defined 10 27,800 PLATINUM UNDERWRITER HLDGS Common Stocks G7127P100 $5,928 207,300 SH Defined 23 207,300 PLATINUM UNDERWRITER HLDGS Common Stocks G7127P100 $1,601 56,000 SH Defined 57 56,000 PLATINUM UNDERWRITER HLDGS Common Stocks G7127P100 $323 11,300 SH Defined 76 11,300 PLATINUM UNDERWRITER HLDGS Common Stocks G7127P100 $1,135 39,700 SH Sole 88 39,700 PLATINUM UNDERWRITER HLDGS Common Stocks G7127P100 $48 1,700 SH Defined 1,700 RENAISSANCERE HOLDINGS LTD Common Stocks G7496G103 $5,759 123,728 SH Defined 23 123,728 RENAISSANCERE HOLDINGS LTD Common Stocks G7496G103 $791 17,000 SH Defined 51 17,000 RENAISSANCERE HOLDINGS LTD Common Stocks G7496G103 $349 7,500 SH Defined 56 7,500 RENAISSANCERE HOLDINGS LTD Common Stocks G7496G103 $5,268 113,200 SH Defined 57 113,200 RENAISSANCERE HOLDINGS LTD Common Stocks G7496G103 $1,729 37,140 SH Defined 58 37,140 RENAISSANCERE HOLDINGS LTD Common Stocks G7496G103 $1,289 27,700 SH Defined 76 27,700 RENAISSANCERE HOLDINGS LTD Common Stocks G7496G103 $1,650 35,450 SH Defined 84 35,450 RENAISSANCERE HOLDINGS LTD Common Stocks G7496G103 $14,419 309,820 SH Sole 88 309,820 RENAISSANCERE HOLDINGS LTD Common Stocks G7496G103 $5,422 116,510 SH Defined 91 116,510 RENAISSANCERE HOLDINGS LTD Common Stocks G7496G103 $34 722 SH Defined 722 SEAGATE TECHNOLOGY SHS Common Stocks G7945J104 $5,738 561,248 SH Defined 11 561,248 SEAGATE TECHNOLOGY SHS Common Stocks G7945J104 $18,392 1,757,770 SH Defined 11 1,757,770 SEAGATE TECHNOLOGY SHS Common Stocks G7945J104 $1,213 115,989 SH Defined 42 115,989 SEAGATE TECHNOLOGY SHS Common Stocks G7945J104 $288 27,500 SH Defined 51 27,500 SEAGATE TECHNOLOGY SHS Common Stocks G7945J104 $8,724 834,000 SH Defined 57 834,000 SEAGATE TECHNOLOGY SHS Common Stocks G7945J104 $8,367 799,877 SH Sole 88 799,877 SEAGATE TECHNOLOGY SHS Common Stocks G7945J104 $2,813 268,966 SH Defined 103 268,966 SIGNET JEWELERS LIMITED SHS Common Stocks G81276100 $388 18,631 SH Defined 42 18,631 SIGNET JEWELERS LIMITED SHS Common Stocks G81276100 $238 11,416 SH Sole 88 11,416 SINA CORP ORD Common Stocks G81477104 $933 31,650 SH Sole 88 31,650 SINA CORP ORD Common Stocks G81477104 $4,139 140,400 SH Defined 99 140,400 SINA CORP ORD Common Stocks G81477104 $530 17,993 SH Defined 103 17,993 TBS INTERNATIONAL LIMITED Common Stocks G86975151 $17 2,200 SH Defined 57 2,200 UTI WORLDWIDE INC ORD Common Stocks G87210103 $54 4,737 SH Defined 42 4,737 UTI WORLDWIDE INC ORD Common Stocks G87210103 $269 23,600 SH Defined 51 23,600 UTI WORLDWIDE INC ORD Common Stocks G87210103 $1,424 124,900 SH Defined 57 124,900 UTI WORLDWIDE INC ORD Common Stocks G87210103 $1,117 97,981 SH Sole 88 97,981 UTI WORLDWIDE INC ORD Common Stocks G87210103 $282 24,701 SH Defined 101 24,701 TEXTAINER GROUP HOLDINGS L Common Stocks G8766E109 $9 800 SH Defined 65 800 VALIDUS HOLDINGS LTD COM S Common Stocks G9319H102 $160 7,300 SH Defined 65 7,300 VISTAPRINT LIMITED SHS Common Stocks G93762204 $1,624 38,076 SH Defined 27 38,076 VISTAPRINT LIMITED SHS Common Stocks G93762204 $997 23,375 SH Defined 44 23,375 VISTAPRINT LIMITED SHS Common Stocks G93762204 $124 2,903 SH Defined 81 2,903 VISTAPRINT LIMITED SHS Common Stocks G93762204 $4,413 103,477 SH Sole 88 103,477 VISTAPRINT LIMITED SHS Common Stocks G93762204 $554 13,000 SH Defined 95 13,000 VISTAPRINT LIMITED SHS Common Stocks G93762204 $460 10,780 SH Defined 102 10,780 WARNER CHILCOTT LIMITED CO Common Stocks G9435N108 $2,474 188,068 SH Defined 23 188,068 WARNER CHILCOTT LIMITED CO Common Stocks G9435N108 $485 36,900 SH Defined 76 36,900 WARNER CHILCOTT LIMITED CO Common Stocks G9435N108 $74 5,600 SH Sole 88 5,600 WARNER CHILCOTT LIMITED CO Common Stocks G9435N108 $34 2,557 SH Defined 2,557 XL CAP LTD CL A Common Stocks G98255105 $1,098 95,850 SH Defined 4 95,850 XL CAP LTD CL A Common Stocks G98255105 $122 10,630 SH Defined 20 10,630 XL CAP LTD CL A Common Stocks G98255105 $741 64,700 SH Defined 51 64,700 XL CAP LTD CL A Common Stocks G98255105 $3,725 325,034 SH Defined 57 325,034 XL CAP LTD CL A Common Stocks G98255105 $104 9,100 SH Defined 80 9,100 XL CAP LTD CL A Common Stocks G98255105 $4,522 394,600 SH Sole 88 394,600 ACE LTD SHS Common Stocks H0023R105 $1,539 34,800 SH Defined 4 34,800 ACE LTD SHS Common Stocks H0023R105 $3,837 86,740 SH Defined 8 86,740 ACE LTD SHS Common Stocks H0023R105 $19,169 433,300 SH Defined 23 433,300 ACE LTD SHS Common Stocks H0023R105 $538 12,172 SH Defined 42 12,172 ACE LTD SHS Common Stocks H0023R105 $1,135 26,000 SH Defined 50 26,000 ACE LTD SHS Common Stocks H0023R105 $36,829 832,499 SH Defined 50 832,499 ACE LTD SHS Common Stocks H0023R105 $190 4,300 SH Defined 56 4,300 ACE LTD SHS Common Stocks H0023R105 $1,455 32,900 SH Defined 58 32,900 ACE LTD SHS Common Stocks H0023R105 $1,433 32,835 SH Defined 66 32,835 ACE LTD SHS Common Stocks H0023R105 $1,547 34,955 SH Defined 66 34,955 ACE LTD SHS Common Stocks H0023R105 $1,707 38,600 SH Defined 76 38,600 ACE LTD SHS Common Stocks H0023R105 $704 15,925 SH Defined 84 15,925 ACE LTD SHS Common Stocks H0023R105 $19,151 432,982 SH Sole 88 432,982 ACE LTD SHS Common Stocks H0023R105 $363 8,254 SH Defined 8,254 ALCON INC COM SHS Common Stocks H01301102 $639 5,500 SH Defined 4 5,500 ALCON INC COM SHS Common Stocks H01301102 $1,335 11,500 SH Defined 14 11,500 ALCON INC COM SHS Common Stocks H01301102 $7,755 66,787 SH Defined 62 66,787 ALCON INC COM SHS Common Stocks H01301102 $6,538 56,290 SH Defined 68 56,290 ALCON INC COM SHS Common Stocks H01301102 $2,805 23,980 SH Defined 70 23,980 ALCON INC COM SHS Common Stocks H01301102 $2,718 23,390 SH Defined 70 23,390 ALCON INC COM SHS Common Stocks H01301102 $3,832 33,000 SH Sole 88 33,000 ALCON INC COM SHS Common Stocks H01301102 $3,704 31,900 SH Defined 104 31,900 WEATHERFORD INTERNATIONAL Common Stocks H27013103 $120 6,120 SH Defined 58 6,120 WEATHERFORD INTERNATIONAL Common Stocks H27013103 $5,249 268,370 SH Sole 88 268,370 WEATHERFORD INTERNATIONAL Common Stocks H27013103 $5,119 261,690 SH Defined 102 261,690 WEATHERFORD INTERNATIONAL Common Stocks H27013103 $1,027 52,527 SH Defined 106 52,527 FOSTER WHEELER AG COM Common Stocks H27178104 $1,843 77,609 SH Defined 74 77,609 FOSTER WHEELER AG COM Common Stocks H27178104 $3,811 160,467 SH Sole 88 160,467 FOSTER WHEELER AG COM Common Stocks H27178104 $4,294 180,780 SH Defined 103 180,780 FOSTER WHEELER AG COM Common Stocks H27178104 $94 3,955 SH Defined 106 3,955 NOBLE CORPORATION BAAR NAM Common Stocks H5833N103 $3,563 117,800 SH Defined 10 117,800 NOBLE CORPORATION BAAR NAM Common Stocks H5833N103 $23,517 777,242 SH Defined 23 777,242 NOBLE CORPORATION BAAR NAM Common Stocks H5833N103 $1,449 47,900 SH Defined 35 47,900 NOBLE CORPORATION BAAR NAM Common Stocks H5833N103 $296 9,800 SH Defined 56 9,800 NOBLE CORPORATION BAAR NAM Common Stocks H5833N103 $178 5,900 SH Defined 67 5,900 NOBLE CORPORATION BAAR NAM Common Stocks H5833N103 $1,446 47,810 SH Defined 85 47,810 NOBLE CORPORATION BAAR NAM Common Stocks H5833N103 $5,889 194,680 SH Sole 88 194,680 NOBLE CORPORATION BAAR NAM Common Stocks H5833N103 $1,765 58,339 SH Defined 97 58,339 NOBLE CORPORATION BAAR NAM Common Stocks H5833N103 $230 7,617 SH Defined 106 7,617 NOBLE CORPORATION BAAR NAM Common Stocks H5833N103 $80 2,545 SH Defined 2,545 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $1,211 16,300 SH Defined 14 16,300 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $587 7,800 SH Defined 18 7,800 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $1,256 16,900 SH Defined 18 16,900 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $20,411 274,686 SH Defined 23 274,686 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $576 7,650 SH Defined 26 7,650 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $21,205 285,384 SH Defined 26 285,384 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $37,590 505,990 SH Defined 64 505,990 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $64,293 865,435 SH Sole 88 865,435 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $15,582 209,741 SH Defined 94 209,741 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $840 11,309 SH Defined 106 11,309 TRANSOCEAN LTD REG SHS Common Stocks H8817H100 $255 3,365 SH Defined 3,365 TYCO INTERNATIONAL LTD SHS Common Stocks H89128104 $9,051 348,400 SH Defined 10 348,400 TYCO INTERNATIONAL LTD SHS Common Stocks H89128104 $183 7,047 SH Defined 11 7,047 TYCO INTERNATIONAL LTD SHS Common Stocks H89128104 $4,476 172,300 SH Defined 31 172,300 TYCO INTERNATIONAL LTD SHS Common Stocks H89128104 $156 6,000 SH Defined 32 6,000 TYCO INTERNATIONAL LTD SHS Common Stocks H89128104 $968 37,200 SH Defined 41 37,200 TYCO INTERNATIONAL LTD SHS Common Stocks H89128104 $916 35,276 SH Defined 42 35,276 TYCO INTERNATIONAL LTD SHS Common Stocks H89128104 $13,104 504,392 SH Sole 88 504,392 TYCO INTERNATIONAL LTD SHS Common Stocks H89128104 $7,907 304,351 SH Defined 94 304,351 TYCO INTERNATIONAL LTD SHS Common Stocks H89128104 $1,337 51,462 SH Defined 106 51,462 UBS AG SHS NEW Common Stocks H89231338 $1,276 104,380 SH Defined 19 104,380 UBS AG SHS NEW Common Stocks H89231338 $4,965 397,105 SH Defined 47 397,105 UBS AG SHS NEW Common Stocks H89231338 $26,678 2,179,238 SH Defined 47 2,179,238 UBS AG SHS NEW Common Stocks H89231338 $563 45,024 SH Defined 53 45,024 UBS AG SHS NEW Common Stocks H89231338 $3,091 252,945 SH Defined 53 252,945 UBS AG SHS NEW Common Stocks H89231338 $10,796 882,248 SH Defined 68 882,248 UBS AG SHS NEW Common Stocks H89231338 $3,000 239,958 SH Defined 70 239,958 UBS AG SHS NEW Common Stocks H89231338 $4,464 361,963 SH Defined 70 361,963 UBS AG SHS NEW Common Stocks H89231338 $1,219 99,789 SH Defined 76 99,789 UBS AG SHS NEW Common Stocks H89231338 $5,743 468,758 SH Defined 84 468,758 UBS AG SHS NEW Common Stocks H89231338 $15,920 1,301,196 SH Sole 88 1,301,196 UBS AG SHS NEW Common Stocks H89231338 $8,367 685,280 SH Defined 100 685,280 UBS AG SHS NEW Common Stocks H89231338 $7,341 600,709 SH Defined 600,709 MILLICOM INTL CELLULAR S A Common Stocks L6388F110 $2,144 38,108 SH Defined 45 38,108 MILLICOM INTL CELLULAR S A Common Stocks L6388F110 $5,221 92,800 SH Defined 46 92,800 MILLICOM INTL CELLULAR S A Common Stocks L6388F110 $3,424 60,868 SH Sole 88 60,868 MILLICOM INTL CELLULAR S A Common Stocks L6388F110 $2,025 35,990 SH Defined 102 35,990 MILLICOM INTL CELLULAR S A Common Stocks L6388F110 $2,520 44,795 SH Defined 103 44,795 ALVARION LTD SHS Common Stocks M0861T100 $2,277 509,385 SH Defined 11 509,385 AUDIOCODES LTD ORD Common Stocks M15342104 $71 45,891 SH Sole 88 45,891 BLUEPHOENIX SOLUTIONS LTD Common Stocks M20157109 $122 49,660 SH Defined 49,660 CELLCOM ISRAEL LTD SHS Common Stocks M2196U109 $1,092 41,100 SH Defined 4 41,100 CELLCOM ISRAEL LTD SHS Common Stocks M2196U109 $1,075 40,464 SH Defined 11 40,464 CELLCOM ISRAEL LTD SHS Common Stocks M2196U109 $234 8,800 SH Defined 14 8,800 CELLCOM ISRAEL LTD SHS Common Stocks M2196U109 $114 4,300 SH Sole 88 4,300 CELLCOM ISRAEL LTD SHS Common Stocks M2196U109 $106 4,000 SH Defined 90 4,000 CERAGON NETWORKS LTD ORD Common Stocks M22013102 $476 71,850 SH Defined 71,850 CHECK POINT SOFTWARE TECH Common Stocks M22465104 $5,993 255,357 SH Defined 11 255,357 CHECK POINT SOFTWARE TECH Common Stocks M22465104 $403 17,200 SH Defined 18 17,200 CHECK POINT SOFTWARE TECH Common Stocks M22465104 $962 41,000 SH Defined 18 41,000 CHECK POINT SOFTWARE TECH Common Stocks M22465104 $1,960 83,500 SH Defined 30 83,500 CHECK POINT SOFTWARE TECH Common Stocks M22465104 $2,219 94,549 SH Sole 88 94,549 CHECK POINT SOFTWARE TECH Common Stocks M22465104 $384 16,374 SH Defined 16,374 CLICKSOFTWARE TECHNOLOGIES L Common Stocks M25082104 $134 20,375 SH Defined 44 20,375 ELBIT SYS LTD ORD Common Stocks M3760D101 $260 4,200 SH Defined 14 4,200 SYNERON MEDICAL LTD ORD SH Common Stocks M87245102 $427 59,158 SH Defined 11 59,158 ASML HOLDING N V NY REG SH Common Stocks N07059186 $1,890 87,250 SH Defined 50 87,250 ASML HOLDING N V NY REG SH Common Stocks N07059186 $17,859 824,880 SH Sole 88 824,880 ASML HOLDING N V NY REG SH Common Stocks N07059186 $14,964 691,190 SH Defined 91 691,190 ASML HOLDING N V NY REG SH Common Stocks N07059186 $3,436 158,720 SH Defined 102 158,720 ASML HOLDING N V NY REG SH Common Stocks N07059186 $68 3,155 SH Defined 3,155 CORE LABORATORIES N V COM Common Stocks N22717107 $3,599 41,300 SH Defined 28 41,300 CORE LABORATORIES N V COM Common Stocks N22717107 $2,068 23,700 SH Defined 66 23,700 CORE LABORATORIES N V COM Common Stocks N22717107 $2,479 28,435 SH Defined 66 28,435 CORE LABORATORIES N V COM Common Stocks N22717107 $1,774 20,350 SH Defined 85 20,350 CORE LABORATORIES N V COM Common Stocks N22717107 $2,907 33,358 SH Sole 88 33,358 CORE LABORATORIES N V COM Common Stocks N22717107 $2,666 30,590 SH Defined 103 30,590 ORTHOFIX INTL N V COM Common Stocks N6748L102 $60 2,400 SH Defined 57 2,400 ORTHOFIX INTL N V COM Common Stocks N6748L102 $116 4,620 SH Defined 81 4,620 QIAGEN N V ORD Common Stocks N72482107 $788 42,153 SH Defined 39 42,153 QIAGEN N V ORD Common Stocks N72482107 $3,320 178,856 SH Sole 88 178,856 QIAGEN N V ORD Common Stocks N72482107 $4,821 260,253 SH Defined 109 260,253 QIAGEN N V ORD Common Stocks N72482107 $204 11,011 SH Defined 11,011 BANCO LATINOAMERICANO DE EXP Common Stocks P16994132 $567 45,600 SH Defined 57 45,600 BANCO LATINOAMERICANO DE EXP Common Stocks P16994132 $107 8,572 SH Defined 81 8,572 BANCO LATINOAMERICANO DE EXP Common Stocks P16994132 $1,186 95,400 SH Sole 88 95,400 COPA HOLDINGS SA CL A Common Stocks P31076105 $4,951 121,300 SH Defined 46 121,300 COPA HOLDINGS SA CL A Common Stocks P31076105 $649 15,900 SH Sole 88 15,900 ULTRAPETROL BAHAMAS LTD CO Common Stocks P94398107 $27 6,100 SH Defined 65 6,100 ROYAL CARIBBEAN CRUISES LT Common Stocks V7780T103 $73 5,423 SH Defined 11 5,423 ROYAL CARIBBEAN CRUISES LT Common Stocks V7780T103 $14 1,024 SH Defined 42 1,024 ROYAL CARIBBEAN CRUISES LT Common Stocks V7780T103 $414 30,600 SH Defined 51 30,600 ROYAL CARIBBEAN CRUISES LT Common Stocks V7780T103 $88 6,500 SH Defined 56 6,500 ROYAL CARIBBEAN CRUISES LT Common Stocks V7780T103 $263 19,400 SH Sole 88 19,400 ROYAL CARIBBEAN CRUISES LT Common Stocks V7780T103 $751 55,500 SH Defined 97 55,500 AEGEAN MARINE PETROLEUM NE Common Stocks Y0017S102 $689 45,645 SH Sole 88 45,645 DIANA SHIPPING INC COM Common Stocks Y2066G104 $2,074 155,700 SH Defined 14 155,700 DIANA SHIPPING INC COM Common Stocks Y2066G104 $2,680 201,200 SH Sole 88 201,200 DRYSHIPS INC SHS Common Stocks Y2109Q101 $504 87,200 SH Defined 30 87,200 DRYSHIPS INC SHS Common Stocks Y2109Q101 $414 71,700 SH Sole 88 71,700 EAGLE BULK SHIPPING INC CO Common Stocks Y2187A101 $463 98,700 SH Defined 57 98,700 EAGLE BULK SHIPPING INC CO Common Stocks Y2187A101 $289 61,700 SH Sole 88 61,700 FLEXTRONICS INTL LTD ORD Common Stocks Y2573F102 $1,382 336,262 SH Defined 11 336,262 FLEXTRONICS INTL LTD ORD Common Stocks Y2573F102 $110 26,800 SH Defined 20 26,800 FLEXTRONICS INTL LTD ORD Common Stocks Y2573F102 $1,303 316,980 SH Defined 30 316,980 FLEXTRONICS INTL LTD ORD Common Stocks Y2573F102 $741 180,300 SH Sole 88 180,300 FLEXTRONICS INTL LTD ORD Common Stocks Y2573F102 $3,539 861,059 SH Defined 92 861,059 FLEXTRONICS INTL LTD ORD Common Stocks Y2573F102 $674 165,900 SH Defined 93 165,900 FLEXTRONICS INTL LTD ORD Common Stocks Y2573F102 $1,686 410,100 SH Defined 93 410,100 GENCO SHIPPING & TRADING L Common Stocks Y2685T107 $100 4,600 SH Defined 65 4,600 GENCO SHIPPING & TRADING L Common Stocks Y2685T107 $453 20,850 SH Defined 77 20,850 GENCO SHIPPING & TRADING L Common Stocks Y2685T107 $184 8,490 SH Defined 102 8,490 GENERAL MARITIME CORP NEW Common Stocks Y2693R101 $564 57,035 SH Defined 73 57,035 GENERAL MARITIME CORP NEW Common Stocks Y2693R101 $2,421 244,791 SH Sole 88 244,791 NAVIOS MARITIME HOLDINGS I Common Stocks Y62196103 $2,534 599,168 SH Defined 31 599,168 NAVIOS MARITIME HOLDINGS I Common Stocks Y62196103 $2,761 652,700 SH Sole 88 652,700 SAFE BULKERS INC COM Common Stocks Y7388L103 $864 131,720 SH Defined 30 131,720 SAFE BULKERS INC COM Common Stocks Y7388L103 $771 117,600 SH Sole 88 117,600 STEALTHGAS INC SHS Common Stocks Y81669106 $901 193,809 SH Defined 30 193,809 TEEKAY CORPORATION COM Common Stocks Y8564W103 $3,369 160,200 SH Defined 31 160,200 TEEKAY CORPORATION COM Common Stocks Y8564W103 $3,929 186,818 SH Sole 88 186,818 TEEKAY TANKERS LTD CL A Common Stocks Y8565N102 $579 62,300 SH Defined 30 62,300 TEEKAY TANKERS LTD CL A Common Stocks Y8565N102 $79 8,504 SH Defined 81 8,504 VERIGY LTD SHS Common Stocks Y93691106 $436 35,815 SH Sole 88 35,815 Total Market Value Amount ($000) 37,460,312 Total Row Count 11,312
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