The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
Expires:July 31, 2015
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
3D Systems CorpCOMMON STOCK88554D20576817,500SH DFND017,50017,5000
Aaron's IncCOMMON STOCK00253530070025,000SH DFND025,00025,0000
Abbvie IncCOMMON STOCK00287Y10914,469350,000SH DFND0350,000350,0000
Abercrombie & Fitch Company- Cl ACOMMON STOCK0028962073357,400SH DFND07,4007,4000
ABM Industries IncorporatedCOMMON STOCK0009571002359,600SH DFND09,6009,6000
Acadia Healthcare Co IncCOMMON STOCK00404A10935110,600SH DFND010,60010,6000
Accretive Health IncCOMMON STOCK00438V10320118,600SH DFND018,60018,6000
ACI Worldwide IncCOMMON STOCK0044981012796,000SH DFND06,0006,0000
Acorda Therapeutics IncCOMMON STOCK00484M1062447,400SH DFND07,4007,4000
Actavis IncCOMMON STOCK00507K10313,026103,200SH DFND0103,200103,2000
Activision Blizzard IncCOMMON STOCK00507V10920,0121,403,400SH DFND01,403,4001,403,4000
ADT Corp/TheCOMMON STOCK00101J10657014,300SH DFND014,30014,3000
Advanced Energy Industries IncorporatedCOMMON STOCK00797310044025,300SH DFND025,30025,3000
Aegion CorpCOMMON STOCK00770F10427912,400SH DFND012,40012,4000
AES CorporationCOMMON STOCK00130H10553244,400SH DFND044,40044,4000
Aetna Inc. - NEWCOMMON STOCK00817Y1087,116112,000SH DFND0112,000112,0000
AGCO CorporationCOMMON STOCK00108410273314,600SH DFND014,60014,6000
Agilent Technologies Inc.COMMON STOCK00846U10113,897325,000SH DFND0325,000325,0000
Air Lease CorpCOMMON STOCK00912X3021,56256,600SH DFND056,60056,6000
Air Methods CorporationCOMMON STOCK00912830734210,100SH DFND010,10010,1000
Aircastle LtdCOMMON STOCKG0129K10448830,500SH DFND030,50030,5000
Airgas IncorporatedCOMMON STOCK0093631024,29645,000SH DFND045,00045,0000
Akamai TechnologiesCOMMON STOCK00971T1012345,500SH DFND05,5005,5000
Alaska Airgroup IncorporatedCOMMON STOCK01165910967613,000SH DFND013,00013,0000
Alcoa IncorporatedCOMMON STOCK01381710129838,100SH DFND038,10038,1000
Alere IncCOMMON STOCK01449J1052138,700SH DFND08,7008,7000
Alexion Pharmaceuticals IncorporatedCOMMON STOCK0153511093513,800SH DFND03,8003,8000
Allergan IncorporatedCOMMON STOCK0184901021,21314,400SH DFND014,40014,4000
Alliant Techsystem Holdings IncorporatedCOMMON STOCK0188041041,21814,800SH DFND014,80014,8000
Allied Nevada Gold CorpCOMMON STOCK01934410053181,900SH DFND081,90081,9000
Allstate CorporationCOMMON STOCK02000210155311,500SH DFND011,50011,5000
Alon USA Energy IncCOMMON STOCK02052010277253,400SH DFND053,40053,4000
Alpha Natural Resources Inc.COMMON STOCK02076X10226250,000SHCallDFND050,00050,0000
Altra Holdings IncCOMMON STOCK02208R10651718,900SH DFND018,90018,9000
Amc Networks Inc - ACOMMON STOCK00164V1032614,000SH DFND04,0004,0000
Amdocs Ltd.COMMON STOCKG0260210393525,200SH DFND025,20025,2000
AmercoCOMMON STOCK0235861006153,800SH DFND03,8003,8000
American Eagle OutfittersCOMMON STOCK02553E10618310,000SH DFND010,00010,0000
American Electric PowerCOMMON STOCK0255371011,27628,500SH DFND028,50028,5000
American Equity Investment Life Holding CoCOMMON STOCK02567620635822,800SH DFND022,80022,8000
American Financial Group Inc.COMMON STOCK0259321042986,100SH DFND06,1006,1000
American Greetings Corporation(Class A)COMMON STOCK02637510546325,400SH DFND025,40025,4000
American International Group Inc.COMMON STOCK0268747843,09369,200SH DFND069,20069,2000
American International Group Inc.COMMON STOCK02687478436,708821,200SHCallDFND0821,200821,2000
American Public EducationCOMMON STOCK02913V10349113,200SH DFND013,20013,2000
American Railcar IndustriesCOMMON STOCK02916P10386525,800SH DFND025,80025,8000
American Residential PropertCOMMON STOCK02927E30330317,608SH DFND017,60817,6080
American States Water CompanyCOMMON STOCK02989910158010,800SH DFND010,80010,8000
American Tower Corp - Class ACOMMON STOCK03027X1005717,800SH DFND07,8007,8000
American Vanguard CorporationCOMMON STOCK03037110846619,900SH DFND019,90019,9000
AMEX Consumer Discretionary Select SPDR FundCOMMON STOCK81369Y40732,938584,000SH DFND0584,000584,0000
AMEX Energy Select Sector SPDRCOMMON STOCK81369Y50632,025409,000SH DFND0409,000409,0000
AMEX Financial Select Sector SPDR NEWCOMMON STOCK81369Y60553,9992,777,000SH DFND02,777,0002,777,0000
AMEX Industrial Select Sector SPDRCOMMON STOCK81369Y70432,278757,000SH DFND0757,000757,0000
Amgen IncorporatedCOMMON STOCK0311621006226,300SH DFND06,3006,3000
Amkor Technology IncorporatedCOMMON STOCK031652100521123,700SH DFND0123,700123,7000
AMN Healthcare Services Inc.COMMON STOCK00174410127118,900SH DFND018,90018,9000
Amphenol Corporation - CL ACOMMON STOCK0320951012883,700SH DFND03,7003,7000
Amyris IncCOMMON STOCK03236M1013411,600SH DFND011,60011,6000
Analogic CorporationCOMMON STOCK0326572073645,000SH DFND05,0005,0000
Andersons Inc/TheCOMMON STOCK03416410377114,500SH DFND014,50014,5000
AOL IncCOMMON STOCK00184X10553614,700SH DFND014,70014,7000
Apache CorporationCOMMON STOCK0374111052352,800SH DFND02,8002,8000
Apogee Enterprises IncorporatedCOMMON STOCK03759810967728,200SH DFND028,20028,2000
Apollo Group IncorporatedCOMMON STOCK03760410548727,500SH DFND027,50027,5000
Archer-Daniels-Midland CompanyCOMMON STOCK03948310258317,200SH DFND017,20017,2000
Arris Group IncorporatedCOMMON STOCK04270V1061,05373,400SH DFND073,40073,4000
Arrow Electronics IncorporatedCOMMON STOCK04273510061015,300SH DFND015,30015,3000
ArthroCare CorporationCOMMON STOCK0431361004,441128,600SH DFND0128,600128,6000
Asbury Automotive GroupCOMMON STOCK0434361043298,200SH DFND08,2008,2000
Ashford Hospitality Trust IncCOMMON STOCK04410310938633,750SH DFND033,75033,7500
Aspen Insurance Holdings IncCOMMON STOCKG053841051,13530,600SH DFND030,60030,6000
Astec Industries IncorporatedCOMMON STOCK04622410140111,700SH DFND011,70011,7000
Astex PharmaceuticalsCOMMON STOCK04624B10317542,700SH DFND042,70042,7000
AT&T IncCOMMON STOCK00206R10258416,500SH DFND016,50016,5000
Atlantic Tele-Network IncorporatedCOMMON STOCK0490792052384,800SH DFND04,8004,8000
ATMI IncCOMMON STOCK00207R10123910,100SH DFND010,10010,1000
Atmos Energy CorporationCOMMON STOCK04956010555813,600SH DFND013,60013,6000
Atwood Oceanics IncorporatedCOMMON STOCK05009510880715,500SH DFND015,50015,5000
Audience IncCOMMON STOCK05070J10243232,700SH DFND032,70032,7000
Automatic Data Processing IncorporatedCOMMON STOCK05301510310,329150,000SH DFND0150,000150,0000
Autonation IncorporatedCOMMON STOCK05329W10250811,700SH DFND011,70011,7000
Auxilium Pharmaceuticals IncCOMMON STOCK05334D10774044,500SH DFND044,50044,5000
Aveo Pharmaceuticals IncCOMMON STOCK053588109278111,300SH DFND0111,300111,3000
Avery Dennison CorporationCOMMON STOCK05361110968816,100SH DFND016,10016,1000
Avis Budget Group IncCOMMON STOCK05377410540814,200SH DFND014,20014,2000
Avista Corp.COMMON STOCK05379B10741315,300SH DFND015,30015,3000
Avnet IncorporatedCOMMON STOCK05380710354116,100SH DFND016,10016,1000
AVX CorporationCOMMON STOCK00244410740334,300SH DFND034,30034,3000
Axiall CorpCOMMON STOCK05463D10053212,500SH DFND012,50012,5000
Axis Capital HoldingsCOMMON STOCKG0692U10973216,000SH DFND016,00016,0000
AZZ IncorporatedCOMMON STOCK0024741042436,300SH DFND06,3006,3000
Babcock & Wilcox CompanyCOMMON STOCK05615F10241413,800SH DFND013,80013,8000
Baker Hughes IncorporatedCOMMON STOCK0572241073287,100SH DFND07,1007,1000
Ball CorporationCOMMON STOCK0584981062666,400SH DFND06,4006,4000
Banc of California IncCOMMON STOCK05990K10613610,000SH DFND010,00010,0000
Bancorpsouth IncorporatedCOMMON STOCK05969210331317,700SH DFND017,70017,7000
Bank of New York Mellon CorpCOMMON STOCK06405810058921,000SH DFND021,00021,0000
Bankunited IncCOMMON STOCK06652K10397037,300SH DFND037,30037,3000
Banner CorpCOMMON STOCK06652V20837511,100SH DFND011,10011,1000
Bard (C.R.) IncorporatedCOMMON STOCK0673831098,46677,900SH DFND077,90077,9000
Bard (C.R.) IncorporatedCOMMON STOCK06738310910,868100,000SHCallDFND0100,000100,0000
Baxter International IncorporatedCOMMON STOCK07181310926,551383,300SH DFND0383,300383,3000
Becton Dickinson & CompanyCOMMON STOCK0758871096927,000SH DFND07,0007,0000
Bed Bath & Beyond IncorporatedCOMMON STOCK0758961002844,000SH DFND04,0004,0000
Belden IncCOMMON STOCK0774541064448,900SH DFND08,9008,9000
Bemis Company IncorporatedCOMMON STOCK0814371052075,300SH DFND05,3005,3000
Big Lots Inc.COMMON STOCK08930210342613,500SH DFND013,50013,5000
Biogen Idec IncCOMMON STOCK09062X1038183,800SH DFND03,8003,8000
Bio-Rad Laboratories IncorporatedCOMMON STOCK0905722075054,500SH DFND04,5004,5000
Bio-Reference Labs IncCOMMON STOCK09057G60251818,000SH DFND018,00018,0000
BioScrip IncCOMMON STOCK09069N10818511,200SH DFND011,20011,2000
Black Box CorporationCOMMON STOCK09182610737714,900SH DFND014,90014,9000
Blackrock IncCOMMON STOCK09247X1018733,400SH DFND03,4003,4000
Blucora IncCOMMON STOCK0952291009,734525,000SH DFND0525,000525,0000
BMC Software IncorporatedCOMMON STOCK0559211003076,800SH DFND06,8006,8000
Boeing CompanyCOMMON STOCK0970231052562,500SH DFND02,5002,5000
Boeing CompanyCOMMON STOCK0970231051,53715,000SHPut DFND015,00015,0000
Boise IncCOMMON STOCK09746Y10537043,300SH DFND043,30043,3000
BOK Financial CorporationCOMMON STOCK05561Q2015198,100SH DFND08,1008,1000
Bonanza Creek Energy IncCOMMON STOCK0977931032416,800SH DFND06,8006,8000
Bon-Ton Stores IncorporatedCOMMON STOCK09776J10120411,300SH DFND011,30011,3000
Booz Allen Hamilton HoldingCOMMON STOCK09950210633919,500SH DFND019,50019,5000
Boston Private Financial Holdings IncCOMMON STOCK10111910519017,900SH DFND017,90017,9000
BPZ Resources IncCOMMON STOCK0556391085932,800SH DFND032,80032,8000
Briggs & Stratton CorporationCOMMON STOCK1090431091,12957,000SH DFND057,00057,0000
Broadcom Corporation - CL ACOMMON STOCK11132010749714,700SH DFND014,70014,7000
Brocade Communications SystemsCOMMON STOCK11162130644276,800SH DFND076,80076,8000
Brookdale Senior Living Inc.COMMON STOCK1124631042308,700SH DFND08,7008,7000
Brookline Bancorp IncCOMMON STOCK11373M10712814,700SH DFND014,70014,7000
Brooks Automation IncCOMMON STOCK11434010229430,200SH DFND030,20030,2000
Bunge LtdCOMMON STOCKG1696210590612,800SH DFND012,80012,8000
Cabot CorporationCOMMON STOCK1270551012967,900SH DFND07,9007,9000
Cadence Design Systems IncorporatedCOMMON STOCK12738710868147,000SH DFND047,00047,0000
Cai International IncCOMMON STOCK12477X10639616,800SH DFND016,80016,8000
CalAmp CorpCOMMON STOCK12812610920614,100SH DFND014,10014,1000
Calgon Carbon CorporationCOMMON STOCK12960310637922,700SH DFND022,70022,7000
Cal-Maine Foods IncCOMMON STOCK1280302023126,700SH DFND06,7006,7000
Campbell Soup CompanyCOMMON STOCK13442910987319,500SH DFND019,50019,5000
Capella Education CoCOMMON STOCK1395941052375,700SH DFND05,7005,7000
CapitalSource Inc.COMMON STOCK14055X10232434,500SH DFND034,50034,5000
Cardinal Health IncorporatedCOMMON STOCK14149Y1083076,500SH DFND06,5006,5000
Carlisle Companies IncorporatedCOMMON STOCK1423391005679,100SH DFND09,1009,1000
Carrizo Oil & Gas IncCOMMON STOCK1445771032247,900SH DFND07,9007,9000
Casey's General Stores IncorporatedCOMMON STOCK1475281034878,100SH DFND08,1008,1000
Caterpillar IncorporatedCOMMON STOCK1491231012312,800SH DFND02,8002,8000
CBOE Holdings IncCOMMON STOCK12503M10860212,900SH DFND012,90012,9000
Celadon Group IncorporatedCOMMON STOCK15083810021912,000SH DFND012,00012,0000
Celgene CorporationCOMMON STOCK1510201047846,700SH DFND06,7006,7000
CF Industries Holdings IncCOMMON STOCK1252691002571,500SH DFND01,5001,5000
Channeladvisor CorpCOMMON STOCK1591791001,35786,286SH DFND086,28686,2860
Charles River LaboratoriesCOMMON STOCK1598641073949,600SH DFND09,6009,6000
Chatham Lodging TrustCOMMON STOCK16208T1021,28875,000SH DFND075,00075,0000
Cheesecake Factory IncorporatedCOMMON STOCK1630721012225,300SH DFND05,3005,3000
Chemed CorpCOMMON STOCK16359R1033554,900SH DFND04,9004,9000
Chesapeake Energy Corporation (Chk)COMMON STOCK16516710743021,100SH DFND021,10021,1000
Chevron CorporationCOMMON STOCK1667641006635,600SH DFND05,6005,6000
Chico's Fas IncCOMMON STOCK16861510224214,200SH DFND014,20014,2000
Chimerix IncCOMMON STOCK16934W1061,21250,000SH DFND050,00050,0000
Cigna CorpCOMMON STOCK12550910976110,500SH DFND010,50010,5000
Cimarex Energy CoCOMMON STOCK1717981012143,300SH DFND03,3003,3000
Cincinnati Financial CorporationCOMMON STOCK1720621012305,000SH DFND05,0005,0000
Circuit City Stores Inc-CarMax GroupCOMMON STOCK1431301023657,900SH DFND07,9007,9000
Cisco Systems IncorporatedCOMMON STOCK17275R10243317,800SH DFND017,80017,8000
Citigroup IncorporatedCOMMON STOCK1729674242976,200SH DFND06,2006,2000
Citrix SystemsCOMMON STOCK1773761002173,600SH DFND03,6003,6000
Cliffs Natural Resources IncCOMMON STOCK18683K10140124,700SH DFND024,70024,7000
CME Group IncCOMMON STOCK12572Q1054,29456,532SH OTR056,53226,50030,032
CNA Financial CorporationCOMMON STOCK12611710083825,700SH DFND025,70025,7000
CNH Global NVCOMMON STOCKN2093520668716,500SH DFND016,50016,5000
Coca-Cola Enterprises IncorporatedCOMMON STOCK19122T10940111,400SH DFND011,40011,4000
Coeur Mining IncCOMMON STOCK19210850417212,900SH DFND012,90012,9000
Cognizant Technology Solutions CorporatiCOMMON STOCK1924461021,26520,200SH DFND020,20020,2000
Columbia Banking System IncCOMMON STOCK1972361022028,500SH DFND08,5008,5000
Comcast Corporation-CL ACOMMON STOCK20030N1011,09026,100SH DFND026,10026,1000
Commerce Bancshares IncorporatedCOMMON STOCK2005251032445,600SH DFND05,6005,6000
Commercial Metals CompanyCOMMON STOCK20172310361341,500SH DFND041,50041,5000
Community Health Systems IncCOMMON STOCK2036681083096,600SH DFND06,6006,6000
Computer Sciences CorporationCOMMON STOCK20536310472216,500SH DFND016,50016,5000
ConAgra IncorporatedCOMMON STOCK20588710211,139318,900SH DFND0318,900318,9000
Conmed CorporationCOMMON STOCK20741010186827,800SH DFND027,80027,8000
Continental Resources IncCOMMON STOCK2120151014044,700SH DFND04,7004,7000
Convergys CorporationCOMMON STOCK21248510656132,200SH DFND032,20032,2000
Cooper Companies IncCOMMON STOCK2166484023332,800SH DFND02,8002,8000
Copart IncorporatedCOMMON STOCK2172041062869,300SH DFND09,3009,3000
Core-Mark Holding Co IncCOMMON STOCK2186811042734,300SH DFND04,3004,3000
Corinthian Colleges IncCOMMON STOCK218868107469209,500SH DFND0209,500209,5000
Corning IncorporatedCOMMON STOCK21935010559341,700SH DFND041,70041,7000
Corrections Corp of AmericaCOMMON STOCK22025Y40739611,700SH DFND011,70011,7000
Coty Inc-cl ACOMMON STOCK2220702032,165126,000SH DFND0126,000126,0000
Covance IncorporatedCOMMON STOCK2228161006558,600SH DFND08,6008,6000
Cracker Barrel Old Country Store IncCOMMON STOCK22410J1063413,600SH DFND03,6003,6000
Cray Inc.COMMON STOCK22522330448324,600SH DFND024,60024,6000
Credit Acceptance CorporationCOMMON STOCK2253101013573,400SH DFND03,4003,4000
Crown Castle Intl CorpCOMMON STOCK2282271046308,700SH DFND08,7008,7000
Crown Holdings Inc.COMMON STOCK2283681062927,100SH DFND07,1007,1000
CSG Systems International IncorporatedCOMMON STOCK12634910951223,500SH DFND023,50023,5000
Cubic CorporationCOMMON STOCK22966910653411,100SH DFND011,10011,1000
CVR Energy IncCOMMON STOCK12662P1082705,700SH DFND05,7005,7000
CVS Caremark CorpCOMMON STOCK1266501003606,300SH DFND06,3006,3000
Cyan IncCOMMON STOCK23247W1041,343128,500SH DFND0128,500128,5000
Cyberonics IncorporatedCOMMON STOCK23251P1023226,200SH DFND06,2006,2000
Cynosure IncCOMMON STOCK2325772055,965229,600SH DFND0229,600229,6000
Cyrusone IncCOMMON STOCK23283R1001,84188,750SH DFND088,75088,7500
Cytec Industries IncCOMMON STOCK2328201003304,500SH DFND04,5004,5000
D R Horton IncorporatedCOMMON STOCK23331A10994144,200SH DFND044,20044,2000
Deere & CompanyCOMMON STOCK2441991055777,100SH DFND07,1007,1000
Delek US Holdings IncCOMMON STOCK24664710188630,800SH DFND030,80030,8000
Delta Air Lines IncCOMMON STOCK24736170227514,700SH DFND014,70014,7000
Deluxe CorporationCOMMON STOCK24801910152715,200SH DFND015,20015,2000
Demand Media IncCOMMON STOCK24802N10958697,600SH DFND097,60097,6000
Denbury Resources IncorporatedCOMMON STOCK24791620827415,800SH DFND015,80015,8000
Devon Energy Corp. NEWCOMMON STOCK25179M1033065,900SH DFND05,9005,9000
Diamond Offshore DrillingCOMMON STOCK25271C1023304,800SH DFND04,8004,8000
Dillards Incorporated Cl ACOMMON STOCK2540671016317,700SH DFND07,7007,7000
Diodes IncCOMMON STOCK25454310140515,600SH DFND015,60015,6000
DIRECTVCOMMON STOCK25490A30968411,100SH DFND011,10011,1000
Dollar General CorpCOMMON STOCK2566771052,43248,235SH DFND048,23548,2350
Dr Pepper Snapple Group IncCOMMON STOCK26138E1092535,500SH DFND05,5005,5000
DST Systems IncorporatedCOMMON STOCK2333261071,45022,200SH DFND022,20022,2000
DTE Energy CompanyCOMMON STOCK23333110777711,600SH DFND011,60011,6000
Dycom Industries IncCOMMON STOCK26747510123410,100SH DFND010,10010,1000
Eaton Corp PLCCOMMON STOCKG2918310310,859165,000SH DFND0165,000165,0000
Eaton Vance CorporationCOMMON STOCK27826510348512,900SH DFND012,90012,9000
Ebay IncorporatedCOMMON STOCK2786421032284,400SH DFND04,4004,4000
Ebix IncCOMMON STOCK27871520664669,800SH DFND069,80069,8000
Echo Global Logistics IncCOMMON STOCK27875T10126313,500SH DFND013,50013,5000
EchoStar CorpCOMMON STOCK27876810643811,200SH DFND011,20011,2000
Eli Lilly & CompanyCOMMON STOCK53245710852610,700SH DFND010,70010,7000
Ellie Mae IncCOMMON STOCK28849P10033514,500SH DFND014,50014,5000
EMC CorporationCOMMON STOCK26864810224110,200SH DFND010,20010,2000
EMCOR Group IncorporatedCOMMON STOCK29084Q10093122,900SH DFND022,90022,9000
Emergent Biosolutions IncCOMMON STOCK29089Q10531621,900SH DFND021,90021,9000
Empire District Electric CompanyCOMMON STOCK29164110823010,300SH DFND010,30010,3000
Employers Holdings IncCOMMON STOCK29221810426410,800SH DFND010,80010,8000
Emulex CorporationCOMMON STOCK29247520946972,000SH DFND072,00072,0000
Endo Health Solutions IncCOMMON STOCK29264F20511,037300,000SH DFND0300,000300,0000
Endurance Specialty Holdings LtdCOMMON STOCKG303971062374,600SH DFND04,6004,6000
Energizer Holdings IncCOMMON STOCK29266R1082712,700SH DFND02,7002,7000
Enernoc IncCOMMON STOCK29276410739429,700SH DFND029,70029,7000
Entergy CorporationCOMMON STOCK29364G10398914,200SH DFND014,20014,2000
EOG Resources Inc.COMMON STOCK26875P1015794,400SH DFND04,4004,4000
Epam Systems IncCOMMON STOCK29414B1042589,500SH DFND09,5009,5000
EPL Oil & Gas IncCOMMON STOCK26883D10881327,700SH DFND027,70027,7000
Equinix IncCOMMON STOCK29444U5022591,400SH DFND01,4001,4000
Evercore Partners Inc - cl ACOMMON STOCK29977A1053127,955SH DFND07,9557,9550
Everest Re Group LimitedCOMMON STOCKG3223R1081,1679,100SH DFND09,1009,1000
Exelis IncCOMMON STOCK30162A10816812,200SH DFND012,20012,2000
Exelon CorporationCOMMON STOCK30161N1011,23840,100SH DFND040,10040,1000
Exone Co/theCOMMON STOCK30210410461710,000SH DFND010,00010,0000
Express Inc.COMMON STOCK30219E10333816,100SH DFND016,10016,1000
Express Scripts Holding Co(CL A)COMMON STOCK30219G1085008,100SH DFND08,1008,1000
Exterran Holdings IncCOMMON STOCK30225X10364422,900SH DFND022,90022,9000
Extreme NetworksCOMMON STOCK30226D10614742,600SH DFND042,60042,6000
Exxon Mobil CorporationCOMMON STOCK30231G1023433,800SH DFND03,8003,8000
FAIRCHILD SEMCNDCTR INTL INCCOMMON STOCK30372610316812,200SH DFND012,20012,2000
Fedex CorporationCOMMON STOCK31428X1062662,700SH DFND02,7002,7000
Fidelity National Financial Inc - ACOMMON STOCK31620R1051,44560,700SH DFND060,70060,7000
Fifth Third BancorpCOMMON STOCK31677310033218,400SH DFND018,40018,4000
Finisar CorporationCOMMON STOCK31787A50728516,800SH DFND016,80016,8000
First American FinancialCOMMON STOCK31847R10284638,400SH DFND038,40038,4000
First Commonwealth Financial CorporationCOMMON STOCK31982910717423,600SH DFND023,60023,6000
First Financial BancorpCOMMON STOCK32020910925016,800SH DFND016,80016,8000
First Republic Bank/San FranCOMMON STOCK33616C10043511,300SH DFND011,30011,3000
First Solar IncCOMMON STOCK3364331073006,700SH DFND06,7006,7000
Firstenergy CorpCOMMON STOCK3379321071,16131,100SH DFND031,10031,1000
Five Star Quality CareCOMMON STOCK33832D10622640,200SH DFND040,20040,2000
Fleetcor Technologies IncCOMMON STOCK33904110512,423152,809SH DFND0152,809152,8090
FLIR Systems IncorporatedCOMMON STOCK30244510144816,600SH DFND016,60016,6000
Flowers Foods IncCOMMON STOCK34349810154724,800SH DFND024,80024,8000
Fluor Corporation - (New)COMMON STOCK3434121025168,700SH DFND08,7008,7000
Foot Locker Inc.COMMON STOCK34484910475921,600SH DFND021,60021,6000
Ford Motor CoCOMMON STOCK34537086023515,200SH DFND015,20015,2000
Forest City EnterprisesCOMMON STOCK34555010724713,800SH DFND013,80013,8000
Forest Labs IncorporatedCOMMON STOCK34583810616,400400,000SH DFND0400,000400,0000
Forestar Group IncCOMMON STOCK34623310921110,500SH DFND010,50010,5000
Fortune Brands Home & Security Inc.COMMON STOCK34964C1063027,800SH DFND07,8007,8000
Francescas Holdings CorpCOMMON STOCK35179310452819,000SH DFND019,00019,0000
Franklin Resources IncorporatedCOMMON STOCK3546131011,37410,100SH DFND010,10010,1000
Freds Incorporated (CL A)COMMON STOCK35610810025916,700SH DFND016,70016,7000
Freeport-McMoran CopperCOMMON STOCK35671D85728410,300SH DFND010,30010,3000
Freescale Semiconductor LtdCOMMON STOCKG3727Q10132724,100SH DFND024,10024,1000
Freightcar America IncCOMMON STOCK35702310025014,700SH DFND014,70014,7000
Fresh Del Monte Produce IncorporatedCOMMON STOCKG3673810582229,500SH DFND029,50029,5000
Fst Ctzns Bancshares Inc N C (CL A)COMMON STOCK31946M1035572,900SH DFND02,9002,9000
Fusion-io Inc.COMMON STOCK36112J10735625,000SH DFND025,00025,0000
Gannett IncCOMMON STOCK36473010124510,000SH DFND010,00010,0000
GARMIN LTD.COMMON STOCKH2906T1093008,300SH DFND08,3008,3000
GATX CorporationCOMMON STOCK3614481031,11523,500SH DFND023,50023,5000
Generac Holdings IncCOMMON STOCK36873610457015,400SH DFND015,40015,4000
General Cable CorpCOMMON STOCK3693001082,21472,000SH DFND072,00072,0000
General Mills IncorporatedCOMMON STOCK37033410458712,100SH DFND012,10012,1000
General Motors CoCOMMON STOCK37045V1004,314129,500SH DFND0129,500129,5000
Genesee & Wyoming Inc.COMMON STOCK3715591055,76968,000SH DFND068,00068,0000
Gentherm IncCOMMON STOCK37253A10344824,100SH DFND024,10024,1000
Genuine Parts CoCOMMON STOCK3724601052973,800SH DFND03,8003,8000
Geospace Technologies CorpCOMMON STOCK37364X1093044,400SH DFND04,4004,4000
Gigamon IncCOMMON STOCK37518B1021,38050,089SH DFND050,08950,0890
G-III Apparel Group LimitedCOMMON STOCK36237H1012605,400SH DFND05,4005,4000
Gilead Sciences IncCOMMON STOCK3755581034729,200SH DFND09,2009,2000
Glatfelter CoCOMMON STOCK3773161042469,800SH DFND09,8009,8000
Global Cash Access IncCOMMON STOCK37896710357391,600SH DFND091,60091,6000
Global Payments Inc.COMMON STOCK37940X10281117,500SH DFND017,50017,5000
Globe Specialty Metals IncCOMMON STOCK37954N20624522,500SH DFND022,50022,5000
Globus Medical Inc - ACOMMON STOCK37957720819711,700SH DFND011,70011,7000
Glu Mobile IncCOMMON STOCK3798901063315,000SH DFND015,00015,0000
Goldman Sachs IncCOMMON STOCK38141G1043632,400SH DFND02,4002,4000
Google IncCOMMON STOCK38259P508352400SH DFND04004000
Grand Canyon Education IncCOMMON STOCK38526M10635110,900SH DFND010,90010,9000
Granite Construction IncorporatedCOMMON STOCK38732810742914,400SH DFND014,40014,4000
Graphic Packaging Holding CoCOMMON STOCK38868910131841,100SH DFND041,10041,1000
Great Plains Energy IncCOMMON STOCK39116410067630,000SH DFND030,00030,0000
Green Plains Renewable EnergCOMMON STOCK39322210458543,900SH DFND043,90043,9000
Greenbrier Companies IncCOMMON STOCK39365710126310,800SH DFND010,80010,8000
Griffon CorporationCOMMON STOCK39843310233229,500SH DFND029,50029,5000
Group 1 Automotive IncorporatedCOMMON STOCK3989051094637,200SH DFND07,2007,2000
H&E Equipment Services IncCOMMON STOCK40403010822810,800SH DFND010,80010,8000
Haemonetics CorporationCOMMON STOCK4050241004059,800SH DFND09,8009,8000
Halcon Resources CorpCOMMON STOCK40537Q2096311,100SH DFND011,10011,1000
Hanger IncCOMMON STOCK41043F2082347,400SH DFND07,4007,4000
Hanover Insurance Group Inc/ThCOMMON STOCK41086710570014,300SH DFND014,30014,3000
Harbinger Group IncCOMMON STOCK41146A10650266,600SH DFND066,60066,6000
Harman International Industries Inc.COMMON STOCK4130861095319,800SH DFND09,8009,8000
Harsco CorporationCOMMON STOCK41586410763327,275SH DFND027,27527,2750
Hasbro IncorporatedCOMMON STOCK4180561074089,100SH DFND09,1009,1000
Hawaiian Electric Industries Inc.COMMON STOCK41987010058523,100SH DFND023,10023,1000
Hawaiian Holdings IncCOMMON STOCK41987910111218,400SH DFND018,40018,4000
HCA Holdings Inc.COMMON STOCK40412C1015,964165,400SH DFND0165,400165,4000
HCI Group IncCOMMON STOCK40416E10371623,300SH DFND023,30023,3000
Healthsouth CorporationCOMMON STOCK4219243092107,300SH DFND07,3007,3000
Hecla Mining CoCOMMON STOCK422704106349117,200SH DFND0117,200117,2000
Helmerich & Payne IncorporatedCOMMON STOCK4234521013255,200SH DFND05,2005,2000
Henry Schein IncorporatedCOMMON STOCK8064071024214,400SH DFND04,4004,4000
Hercules Offshore IncCOMMON STOCK42709310941759,200SH DFND059,20059,2000
Hershey Co/TheCOMMON STOCK4278661084294,800SH DFND04,8004,8000
Hertz Global Holdings IncCOMMON STOCK42805T10550320,300SH DFND020,30020,3000
Hess CorpCOMMON STOCK42809H1075788,700SH DFND08,7008,7000
HFF Inc - Class ACOMMON STOCK40418F10818110,200SH DFND010,20010,2000
Hhgregg IncCOMMON STOCK42833L10820612,900SH DFND012,90012,9000
Hillenbrand IncCOMMON STOCK43157110854122,800SH DFND022,80022,8000
Hi-Tech Pharmacal Co Inc.COMMON STOCK42840B10148114,500SH DFND014,50014,5000
Hittite Microwave CorporationCOMMON STOCK43365Y1043656,300SH DFND06,3006,3000
HollyFrontier CorpCOMMON STOCK43610610855212,900SH DFND012,90012,9000
Home Depot Inc.COMMON STOCK4370761025427,000SH DFND07,0007,0000
Home Loan Servicing SolutionCOMMON STOCKG6648D1091,79875,000SH DFND075,00075,0000
Hormel Foods CorporationCOMMON STOCK4404521002245,800SH DFND05,8005,8000
HUB Group Inc - CL ACOMMON STOCK4433201062376,500SH DFND06,5006,5000
Hubbell Incorporated--Class BCOMMON STOCK4435102017,92080,000SH DFND080,00080,0000
Humana Inc.COMMON STOCK4448591028,784104,100SH DFND0104,100104,1000
Huntington Bancshares IncorporatedCOMMON STOCK44615010422428,400SH DFND028,40028,4000
Huntington Ingalls IndustCOMMON STOCK4464131064528,000SH DFND08,0008,0000
Huntsman CorpCOMMON STOCK44701110747928,900SH DFND028,90028,9000
Huron Consulting Group IncCOMMON STOCK4474621022595,600SH DFND05,6005,6000
IBM Corporation (Intl Business Machines)COMMON STOCK4592001012101,100SH DFND01,1001,1000
Icon Plc - Sponsored AdrCOMMON STOCKG4705A1005,315150,000SH DFND0150,000150,0000
ICU Medical IncorporatedCOMMON STOCK44930G1074255,900SH DFND05,9005,9000
Idacorp IncorporatedCOMMON STOCK4511071063447,200SH DFND07,2007,2000
Idexx Laboratories CorporationCOMMON STOCK45168D1042693,000SH DFND03,0003,0000
Igate CorporationCOMMON STOCK45169U10555033,500SH DFND033,50033,5000
IlluminaCOMMON STOCK4523271092323,100SH DFND03,1003,1000
Infinity Pharmaceuticals IncCOMMON STOCK45665G30332820,240SH DFND020,24020,2400
Ingersoll-Rand PlcCOMMON STOCKG477911018,994162,000SH DFND0162,000162,0000
Ingram MicroCOMMON STOCK4571531041,25966,300SH DFND066,30066,3000
Ingredion IncCOMMON STOCK4571871021,21418,500SH DFND018,50018,5000
INLAND REAL ESTATE CORPCOMMON STOCK45746120085283,354SH DFND083,35483,3540
Innerworkings IncCOMMON STOCK45773Y10514113,000SH DFND013,00013,0000
Insight Enterprises IncorporatedCOMMON STOCK45765U10345125,400SH DFND025,40025,4000
Integra LifeSciences HoldingsCOMMON STOCK45798520844712,200SH DFND012,20012,2000
Integrys Energy Group IncCOMMON STOCK45822P1055449,300SH DFND09,3009,3000
Inter Parfums IncorporatedCOMMON STOCK45833410945315,900SH DFND015,90015,9000
InterActiveCorpCOMMON STOCK44919P5084048,500SH DFND08,5008,5000
International Game TechnologyCOMMON STOCK45990210231118,600SH DFND018,60018,6000
International Paper CompanyCOMMON STOCK4601461031,09024,600SH DFND024,60024,6000
Intralinks Holdings IncCOMMON STOCK46118H10413017,900SH DFND017,90017,9000
Intrepid Potash IncCOMMON STOCK46121Y10253928,300SH DFND028,30028,3000
Intuitive Surgical IncCOMMON STOCK46120E602354700SH DFND07007000
Invacare CorporationCOMMON STOCK46120310124316,900SH DFND016,90016,9000
Invesco LtdCOMMON STOCKG491BT10832410,200SH DFND010,20010,2000
ION Geophysical CorpCOMMON STOCK46204410810717,800SH DFND017,80017,8000
Iridium Communications IncCOMMON STOCK46269C10249964,300SH DFND064,30064,3000
Iron Mountain Inc.COMMON STOCK46284610683331,300SH DFND031,30031,3000
Ironwood Pharmaceuticals IncCOMMON STOCK46333X10820320,400SH DFND020,40020,4000
iShares iBoxx High Yield Corporate Bond ETFCOMMON STOCK46428851398,6961,086,000SH DFND01,086,0001,086,0000
Itron IncorporatedCOMMON STOCK4657411062255,300SH DFND05,3005,3000
ITT CorpCOMMON STOCK45091120112,852437,000SH DFND0437,000437,0000
ITT Educational Services IncorporatedCOMMON STOCK45068B1097,494307,112SH DFND0307,112307,1120
J & J Snack Food CorporationCOMMON STOCK4660321092262,900SH DFND02,9002,9000
j2 Global IncCOMMON STOCK48123V1022896,800SH DFND06,8006,8000
Jabil Circuit IncorporatedCOMMON STOCK46631310326913,200SH DFND013,20013,2000
Janus Capital Group IncCOMMON STOCK47102X10570282,500SH DFND082,50082,5000
Jarden Corp.COMMON STOCK4711091082144,900SH DFND04,9004,9000
Jazz Pharmaceuticals PlcCOMMON STOCKG508711055648,200SH DFND08,2008,2000
Jetblue Airways CorpCOMMON STOCK477143101876139,300SH DFND0139,300139,3000
Johnson & JohnsonCOMMON STOCK4781601042062,400SH DFND02,4002,4000
Jones Lang LaSalle Inc.COMMON STOCK48020Q1075015,500SH DFND05,5005,5000
JOY GLOBAL INCCOMMON STOCK4811651082916,000SH DFND06,0006,0000
JPMorgan Chase & Co.COMMON STOCK46625H10066012,500SH DFND012,50012,5000
K12 IncCOMMON STOCK48273U10231011,800SH DFND011,80011,8000
Kaiser Aluminum CorpCOMMON STOCK48300770479312,800SH DFND012,80012,8000
KapStone Paper and Packaging CCOMMON STOCK48562P10341410,300SH DFND010,30010,3000
Kellogg CompanyCOMMON STOCK4878361082954,600SH DFND04,6004,6000
Kelly Services Incorporated- Class ACOMMON STOCK48815220834219,600SH DFND019,60019,6000
Key Energy Group IncorporatedCOMMON STOCK4929141067111,900SH DFND011,90011,9000
KeyCorp - NEWCOMMON STOCK49326710816414,900SH DFND014,90014,9000
Kimberly-Clark CorporationCOMMON STOCK4943681035635,800SH DFND05,8005,8000
KINDRED HEALTHCARE INCCOMMON STOCK49458010324218,400SH DFND018,40018,4000
Knight Transportation IncCOMMON STOCK49906410378446,600SH DFND046,60046,6000
Knoll IncCOMMON STOCK49890420032522,900SH DFND022,90022,9000
Kodiak Oil & Gas CorpCOMMON STOCK50015Q10048554,500SH DFND054,50054,5000
Kohl's CorporationCOMMON STOCK50025510453510,600SH DFND010,60010,6000
Koppers Holdings IncCOMMON STOCK50060P10658815,400SH DFND015,40015,4000
Korn/Ferry InternationalCOMMON STOCK50064320066935,700SH DFND035,70035,7000
Kroger CompanyCOMMON STOCK5010441011,11232,200SH DFND032,20032,2000
Lam Research CorporationCOMMON STOCK5128071083778,500SH DFND08,5008,5000
Las Vegas Sands CorpCOMMON STOCK5178341075089,600SH DFND09,6009,6000
Lattice Semiconductor CorporationCOMMON STOCK51841510415229,900SH DFND029,90029,9000
La-Z-Boy IncorporatedCOMMON STOCK50533610728013,800SH DFND013,80013,8000
Lear CorpCOMMON STOCK5218652044,96482,100SH DFND082,10082,1000
Legg Mason IncorporatedCOMMON STOCK52490110540913,200SH DFND013,20013,2000
Leggett & Platt IncorporatedCOMMON STOCK5246601072528,100SH DFND08,1008,1000
Lennar CorporationCOMMON STOCK5260571043,914108,600SH DFND0108,600108,6000
Lennar CorporationCOMMON STOCK5260571041,08130,000SHCallDFND030,00030,0000
Lennox International IncCOMMON STOCK5261071077,571117,300SH DFND0117,300117,3000
Leucadia National CorporationCOMMON STOCK5272881041,24847,600SH DFND047,60047,6000
Lexmark International Inc.COMMON STOCK5297711072427,900SH DFND07,9007,9000
Lifepoint Hospitals IncCOMMON STOCK53219L10970814,500SH DFND014,50014,5000
Lincoln National CorporationCOMMON STOCK5341871092998,200SH DFND08,2008,2000
Lindsay CorpCOMMON STOCK5355551065477,300SH DFND07,3007,3000
LinkedIn Corp - ACOMMON STOCK53578A1084282,400SH DFND02,4002,4000
Littlefuse IncorporatedCOMMON STOCK5370081044035,400SH DFND05,4005,4000
Liveperson IncCOMMON STOCK53814610110611,800SH DFND011,80011,8000
Lockheed Martin CorpCOMMON STOCK5398301093903,600SH DFND03,6003,6000
Lorillard IncCOMMON STOCK54414710145910,500SH DFND010,50010,5000
Louisiana-Pacific CorporationCOMMON STOCK54634710525317,100SH DFND017,10017,1000
LPL Financial Holdings IncCOMMON STOCK50212V10064217,000SH DFND017,00017,0000
LSB Industries IncorporatedCOMMON STOCK5021601042407,900SH DFND07,9007,9000
Lyondellbasell Indu-cl ACOMMON STOCKN5374510075,6361,141,500SH DFND01,141,5001,141,5000
M&T Bank CorporationCOMMON STOCK55261F1043132,800SH DFND02,8002,8000
M.D.C Holdings IncorporatedCOMMON STOCK55267610878024,000SH DFND024,00024,0000
M/I Homes IncCOMMON STOCK55305B10139317,100SH DFND017,10017,1000
Maiden Holdings LtdCOMMON STOCKG5753U11229726,500SH DFND026,50026,5000
Maidenform Brands IncCOMMON STOCK56030510417810,300SH DFND010,30010,3000
ManpowerGroup IncCOMMON STOCK56418H1003,05255,700SH DFND055,70055,7000
MantechCOMMON STOCK56456310471827,500SH DFND027,50027,5000
Marathon Petroleum CorpCOMMON STOCK56585A1024556,400SH DFND06,4006,4000
Marin Software IncCOMMON STOCK56804T10625625,000SH DFND025,00025,0000
Marketo IncCOMMON STOCK57063L10774630,000SH DFND030,00030,0000
Marriott International-CL ACOMMON STOCK5719032022586,400SH DFND06,4006,4000
Marriott Vacations Worldwide CorporationCOMMON STOCK57164Y10750211,600SH DFND011,60011,6000
Marvell Technology GroupCOMMON STOCKG5876H10545739,000SH DFND039,00039,0000
Masco CorporationCOMMON STOCK5745991067,221370,500SH DFND0370,500370,5000
Masco CorporationCOMMON STOCK5745991063,050156,500SHCallDFND0156,500156,5000
Materion CorpCOMMON STOCK5766901012198,100SH DFND08,1008,1000
Matrix Service CompanyCOMMON STOCK57685310524315,600SH DFND015,60015,6000
Matson IncCOMMON STOCK57686G10571328,500SH DFND028,50028,5000
Maxim Integrated Products IncorporatedCOMMON STOCK57772K10149717,900SH DFND017,90017,9000
MAXIMUS IncorporatedCOMMON STOCK5779331042162,900SH DFND02,9002,9000
Maxwell Technologies IncorporatedCOMMON STOCK5777671069413,100SH DFND013,10013,1000
MB Financial CorpCOMMON STOCK55264U1082529,400SH DFND09,4009,4000
McKesson CorporationCOMMON STOCK58155Q10314,530126,900SH DFND0126,900126,9000
MDU Resources Group IncorporatedCOMMON STOCK55269010965625,300SH DFND025,30025,3000
Mead Johnson Nutrition Co-ACOMMON STOCK58283910614,341181,000SH DFND0181,000181,0000
MeadWestvaco CorporationCOMMON STOCK58333410713,473395,000SH DFND0395,000395,0000
Medassets IncCOMMON STOCK58404510860033,800SH DFND033,80033,8000
Medicines CoCOMMON STOCK58468810534111,100SH DFND011,10011,1000
Medifast Inc.COMMON STOCK58470H10129111,300SH DFND011,30011,3000
Medtronic IncCOMMON STOCK58505510657611,200SH DFND011,20011,2000
Mentor Graphics CorpCOMMON STOCK58720010678039,900SH DFND039,90039,9000
Merck & Co. IncorporatedCOMMON STOCK58933Y10521,279458,100SH DFND0458,100458,1000
Meridian Bioscience IncCOMMON STOCK5895841012119,800SH DFND09,8009,8000
Meritage Homes CorpCOMMON STOCK59001A10249011,300SH DFND011,30011,3000
Michael Kors Holdings LtdCOMMON STOCKG6075410175412,164SH DFND012,16412,1640
Microchip Technology Inc.COMMON STOCK59501710448112,900SH DFND012,90012,9000
Micron Technology IncorporatedCOMMON STOCK59511210335825,000SH DFND025,00025,0000
Mine Safety Appliances CompanyCOMMON STOCK6027201042796,000SH DFND06,0006,0000
Model N IncCOMMON STOCK6075251021,99785,500SH DFND085,50085,5000
Mohawk IndustriesCOMMON STOCK6081901045064,500SH DFND04,5004,5000
Molina Healthcare IncCOMMON STOCK60855R1002647,100SH DFND07,1007,1000
Molson Coors Brewing Co - Class BCOMMON STOCK60871R20959312,400SH DFND012,40012,4000
MONSANTO CO NEWCOMMON STOCK61166W1015635,700SH DFND05,7005,7000
Montpelier Re Holdings LtdCOMMON STOCKG6218510684033,600SH DFND033,60033,6000
Motorola Solutions IncCOMMON STOCK6200763073185,500SH DFND05,5005,5000
Movado Group Inc.COMMON STOCK62458010640912,100SH DFND012,10012,1000
Mueller Water ProductsCOMMON STOCK62475810828240,800SH DFND040,80040,8000
Murphy Oil CorporationCOMMON STOCK62671710285914,100SH DFND014,10014,1000
MWI Veterinary Supply IncCOMMON STOCK55402X1054563,700SH DFND03,7003,7000
Myers Industries Inc.COMMON STOCK62846410917411,600SH DFND011,60011,6000
Mylan Inc.COMMON STOCK62853010714,432465,100SH DFND0465,100465,1000
Myr Group Inc/delawareCOMMON STOCK55405W10441821,500SH DFND021,50021,5000
Myriad Genetics Inc.COMMON STOCK62855J1041,00537,400SH DFND037,40037,4000
National Instruments CorporationCOMMON STOCK63651810256220,100SH DFND020,10020,1000
Nationstar Mortgage HoldingsCOMMON STOCK63861C10976420,400SH DFND020,40020,4000
Natus Medical IncCOMMON STOCK63905010337027,100SH DFND027,10027,1000
Navigant Consulting Co.COMMON STOCK63935N10722118,400SH DFND018,40018,4000
Neenah Paper IncCOMMON STOCK6400791092136,700SH DFND06,7006,7000
Nelnet Inc - CL ACOMMON STOCK64031N10862417,300SH DFND017,30017,3000
NetApp IncCOMMON STOCK64110D10463816,900SH DFND016,90016,9000
Netgear IncCOMMON STOCK64111Q10435111,500SH DFND011,50011,5000
New Jersey Res CorpCOMMON STOCK6460251062876,900SH DFND06,9006,9000
New York Times Company - CL ACOMMON STOCK65011110721819,700SH DFND019,70019,7000
Newmont Mining Corp Hldg CoCOMMON STOCK65163910642214,100SH DFND014,10014,1000
Newpark Resources Inc.COMMON STOCK65171850417515,900SH DFND015,90015,9000
NIC INCCOMMON STOCK62914B10024514,800SH DFND014,80014,8000
Norfolk Southern Corp.COMMON STOCK6558441084876,700SH DFND06,7006,7000
Northern Oil And Gas IncCOMMON STOCK66553110935226,400SH DFND026,40026,4000
Northern Trust CorporationCOMMON STOCK6658591045449,400SH DFND09,4009,4000
Northrop Grumman CorpCOMMON STOCK6668071022072,500SH DFND02,5002,5000
Northwest Bancshares IncCOMMON STOCK66734010319014,100SH DFND014,10014,1000
Northwestern Corp - NEWCOMMON STOCK66807430573018,300SH DFND018,30018,3000
NRG EnergyCOMMON STOCK62937750870526,400SH DFND026,40026,4000
NuVasive IncCOMMON STOCK6707041055,154207,900SH DFND0207,900207,9000
Nuverra Environmental SolutionCOMMON STOCK67091K1044616,000SH DFND016,00016,0000
Nvidia CorporationCOMMON STOCK67066G10422716,200SH DFND016,20016,2000
Oasis Petroleum IncCOMMON STOCK67421510845511,700SH DFND011,70011,7000
Ocz Technology Group IncCOMMON STOCK67086E3032819,600SH DFND019,60019,6000
OfficeMax IncCOMMON STOCK67622P10133532,700SH DFND032,70032,7000
Olin CorpCOMMON STOCK68066520589237,300SH DFND037,30037,3000
Omnivision TechnologiesCOMMON STOCK68212810331516,900SH DFND016,90016,9000
ON Semiconductor CorporationCOMMON STOCK68218910537546,400SH DFND046,40046,4000
Oracle CorporationCOMMON STOCK68389X10593730,500SH DFND030,50030,5000
Orbital Sciences CorporationCOMMON STOCK68556410649028,200SH DFND028,20028,2000
Oshkosh Corp(CLASS B)COMMON STOCK68823920150113,200SH DFND013,20013,2000
Otter Tail Pwr CoCOMMON STOCK68964810363022,200SH DFND022,20022,2000
Owens & Minor IncCOMMON STOCK6907321023219,500SH DFND09,5009,5000
Pacific Gas & Elec CoCOMMON STOCK69331C1082335,100SH DFND05,1005,1000
Packaging Corp Of AmericaCOMMON STOCK6951561093727,600SH DFND07,6007,6000
Pandora Media IncCOMMON STOCK69835410736119,600SH DFND019,60019,6000
Papa John's International IncorporatedCOMMON STOCK6988131022033,100SH DFND03,1003,1000
Parexel International Corp.COMMON STOCK6994621074189,100SH DFND09,1009,1000
Parker Drilling CompanyCOMMON STOCK70108110137876,000SH DFND076,00076,0000
PartnerRe Ltd.COMMON STOCKG6852T1051,36715,100SH DFND015,10015,1000
Patterson-UTI Energy Inc.COMMON STOCK70348110142822,100SH DFND022,10022,1000
PDL BioPharma IncCOMMON STOCK69329Y10451066,100SH DFND066,10066,1000
Penn Virginia CorporationCOMMON STOCK70788210624351,800SH DFND051,80051,8000
Penske Auto GroupCOMMON STOCK70959W10357418,800SH DFND018,80018,8000
Pep Boys - Manny Moe & JackCOMMON STOCK71327810928925,000SH DFND025,00025,0000
Pepco Holdings Inc.COMMON STOCK71329110225812,800SH DFND012,80012,8000
Perrigo CompanyCOMMON STOCK7142901032662,200SH DFND02,2002,2000
PetMed Express IncCOMMON STOCK71638210637029,400SH DFND029,40029,4000
PetroQuest Energy Inc.COMMON STOCK7167481087117,900SH DFND017,90017,9000
PETsMART Inc.COMMON STOCK7167681063284,900SH DFND04,9004,9000
Pfizer IncorporatedCOMMON STOCK7170811035,538197,700SH DFND0197,700197,7000
Pfizer IncorporatedCOMMON STOCK71708110318,207650,000SHCallDFND0650,000650,0000
Pharmerica CorpCOMMON STOCK71714F10456740,900SH DFND040,90040,9000
PHH CorpCOMMON STOCK69332020264831,800SH DFND031,80031,8000
Phillips 66COMMON STOCK7185461042474,200SH DFND04,2004,2000
Photomedex Inc.COMMON STOCK71935830117410,900SH DFND010,90010,9000
Pilgrim's Pride CorpCOMMON STOCK72147K10861140,900SH DFND040,90040,9000
Pinnacle West Capital CorporationCOMMON STOCK7234841011,30423,500SH DFND023,50023,5000
Pioneer Energy Services CorpCOMMON STOCK72366410812819,400SH DFND019,40019,4000
Piper Jaffray Companies IncCOMMON STOCK7240781003139,900SH DFND09,9009,9000
Platinum Underwriters HoldingsCOMMON STOCKG7127P10065811,500SH DFND011,50011,5000
PNC Financial Services GroupCOMMON STOCK6934751052112,900SH DFND02,9002,9000
PNM Resources IncCOMMON STOCK69349H10739517,800SH DFND017,80017,8000
PPG Industries IncorporatedCOMMON STOCK69350610712,44585,000SH DFND085,00085,0000
PPL CorporationCOMMON STOCK69351T10689929,700SH DFND029,70029,7000
Price (T. Rowe) Associates Inc.COMMON STOCK74144T1084255,800SH DFND05,8005,8000
PrivateBancorp IncCOMMON STOCK74296210343320,400SH DFND020,40020,4000
Progenics Pharmaceuticals Inc.COMMON STOCK74318710610,4472,342,388SH OTR02,342,3882,054,575287,813
Public Service Enterprise GPCOMMON STOCK74457310697329,800SH DFND029,80029,8000
Pulte Group IncCOMMON STOCK74586710119710,400SH DFND010,40010,4000
Qiwi Plc-sponsored AdrCOMMON STOCK74735M10840517,449SH DFND017,44917,4490
QLogic CorporationCOMMON STOCK74727710181284,900SH DFND084,90084,9000
Qualcomm IncorporatedCOMMON STOCK74752510391014,900SH DFND014,90014,9000
Quanta Services IncorporatedCOMMON STOCK74762E1025,697215,300SH DFND0215,300215,3000
Quintiles Transnational HoldCOMMON STOCK74876Y1018,512200,000SH DFND0200,000200,0000
RadioShack Corp.COMMON STOCK7504381033611,300SH DFND011,30011,3000
Rally Software Development CCOMMON STOCK7511981022,557103,005SH DFND0103,005103,0050
Raymond James Financial IncorporatedCOMMON STOCK7547301093187,400SH DFND07,4007,4000
Realogy Holdings CorpCOMMON STOCK75605Y1062144,452SH DFND04,4524,4520
Realpage IncCOMMON STOCK75606N10941422,600SH DFND022,60022,6000
Receptos IncCOMMON STOCK7562071062,984150,000SH DFND0150,000150,0000
Red Hat Inc.COMMON STOCK7565771024459,300SH DFND09,3009,3000
Regal Beloit CorporationCOMMON STOCK75875010386213,300SH DFND013,30013,3000
Regal Entertainment GroupCOMMON STOCK75876610934919,500SH DFND019,50019,5000
Regeneron Pharmaceuticals IncorporatedCOMMON STOCK75886F1073601,600SH DFND01,6001,6000
Regions Financial CorporationCOMMON STOCK7591EP10044847,000SH DFND047,00047,0000
Reinsurance Group Of AmericaCOMMON STOCK75935160469110,000SH DFND010,00010,0000
Reliance Steel & Aluminum CompanyCOMMON STOCK7595091022624,000SH DFND04,0004,0000
Renaissance Re Holdings LimitedCOMMON STOCKG7496G1033043,500SH DFND03,5003,5000
Rentech IncorporatedCOMMON STOCK760112102305145,400SH DFND0145,400145,4000
Republic Airways Holdings IncCOMMON STOCK76027610550544,600SH DFND044,60044,6000
ResMed IncorporatedCOMMON STOCK7611521073618,000SH DFND08,0008,0000
Resolute Energy CorpCOMMON STOCK76116A10873391,900SH DFND091,90091,9000
Resolute Forest ProductsCOMMON STOCK76117W10967851,500SH DFND051,50051,5000
Resources Global ProfessionalsCOMMON STOCK76122Q10555647,900SH DFND047,90047,9000
Restoration Hardware HoldingCOMMON STOCK7612831002,04427,250SH DFND027,25027,2500
RF Micro Devices IncorporatedCOMMON STOCK74994110019336,100SH DFND036,10036,1000
Rite Aid IncorporatedCOMMON STOCK767754104716250,200SH DFND0250,200250,2000
Roadrunner Transportation SyCOMMON STOCK76973Q10529810,700SH DFND010,70010,7000
Rock-Tenn Company - CL ACOMMON STOCK7727392074995,000SH DFND05,0005,0000
Rosetta Resources IncCOMMON STOCK7777793072766,500SH DFND06,5006,5000
Royal Caribbean Cruises LimitedCOMMON STOCKV7780T1032778,300SH DFND08,3008,3000
RPX CorporationCOMMON STOCK74972G10358534,800SH DFND034,80034,8000
RTI International Metals IncorporatedCOMMON STOCK74973W10732711,800SH DFND011,80011,8000
Ryder Systems IncorporatedCOMMON STOCK78354910868111,200SH DFND011,20011,2000
Ryland Group IncorporatedCOMMON STOCK78376410362615,600SH DFND015,60015,6000
Ryman Hospitality PropertiesCOMMON STOCK78377T10741710,700SH DFND010,70010,7000
Safeway IncCOMMON STOCK7865142081,24252,500SH DFND052,50052,5000
Saia IncCOMMON STOCK78709Y10537812,600SH DFND012,60012,6000
Saic IncCOMMON STOCK78390X1011,12380,600SH DFND080,60080,6000
Salix Pharmaceuticals LtdCOMMON STOCK7954351062844,300SH DFND04,3004,3000
Sally Beauty Co IncCOMMON STOCK79546E1041,37444,166SH DFND044,16644,1660
Sanchez Energy CorpCOMMON STOCK79970Y10529612,900SH DFND012,90012,9000
Sanderson Farms IncorporatedCOMMON STOCK8000131041,39521,000SH DFND021,00021,0000
Sandisk CorporationCOMMON STOCK80004C1012083,400SH DFND03,4003,4000
SANGAMO BIOSCIENCES INCCOMMON STOCK80067710613417,200SH DFND017,20017,2000
Sanmina CorpCOMMON STOCK80105610250535,200SH DFND035,20035,2000
Santarus IncCOMMON STOCK80281730424411,600SH DFND011,60011,6000
Scana CorporationCOMMON STOCK80589M10250110,200SH DFND010,20010,2000
ScanSource IncCOMMON STOCK80603710748615,200SH DFND015,20015,2000
Schlumberger LimitedCOMMON STOCK8068571083084,300SH DFND04,3004,3000
Scholastic CorporationCOMMON STOCK80706610542214,400SH DFND014,40014,4000
Schulman (A.) IncorporatedCOMMON STOCK80819410489833,500SH DFND033,50033,5000
SciClone Pharmaceuticals IncorporatedCOMMON STOCK80862K10412825,800SH DFND025,80025,8000
Scripps Networks InteractiveCOMMON STOCK81106510189513,400SH DFND013,40013,4000
Seaworld Entertainment IncCOMMON STOCK81282V1007,108202,500SH DFND0202,500202,5000
SEI Investments CompanyCOMMON STOCK78411710349217,300SH DFND017,30017,3000
Select Medical Holdings CorpCOMMON STOCK81619Q10532039,000SH DFND039,00039,0000
Sensata Technologies HoldingCOMMON STOCKN7902X1069,074260,000SH DFND0260,000260,0000
Sensient Technologies CorporationCOMMON STOCK81725T1003608,900SH DFND08,9008,9000
Ship Finance International LtdCOMMON STOCKG8107510658639,500SH DFND039,50039,5000
Sirius XM Radio IncCOMMON STOCK82967N1086920,600SH DFND020,60020,6000
Sirona Dental Systems IncCOMMON STOCK82966C1035478,300SH DFND08,3008,3000
Skechers Usa Inc -Cl ACOMMON STOCK8305661052048,500SH DFND08,5008,5000
SkyWest IncorporatedCOMMON STOCK83087910294970,100SH DFND070,10070,1000
SLM Corp.COMMON STOCK78442P10647820,900SH DFND020,90020,9000
SM Energy CoCOMMON STOCK78454L1002584,300SH DFND04,3004,3000
Smith & Wesson Holding CorpCOMMON STOCK83175610132832,900SH DFND032,90032,9000
Smucker (J.M.) Company - NEWCOMMON STOCK8326964055985,800SH DFND05,8005,8000
Snap-on IncorporatedCOMMON STOCK8330341012232,500SH DFND02,5002,5000
Solarwinds IncCOMMON STOCK83416B1092767,100SH DFND07,1007,1000
Sonic Automotive IncorporatedCOMMON STOCK83545G10256426,700SH DFND026,70026,7000
Sonoco Products CompanyCOMMON STOCK8354951022707,800SH DFND07,8007,8000
Southwest Airlines CompanyCOMMON STOCK8447411081,14889,100SH DFND089,10089,1000
Spansion Inc-class ACOMMON STOCK84649R20044735,700SH DFND035,70035,7000
Sprint Communications IncCOMMON STOCK85206110019728,100SH DFND028,10028,1000
Stage Stores IncCOMMON STOCK85254C30574031,500SH DFND031,50031,5000
Standard Pacific CorporationCOMMON STOCK85375C10171185,300SH DFND085,30085,3000
Star Scientific IncCOMMON STOCK85517P1012618,800SH DFND018,80018,8000
State Street CorporationCOMMON STOCK8574771034116,300SH DFND06,3006,3000
Stepan CompanyCOMMON STOCK8585861004177,500SH DFND07,5007,5000
STERIS CorporationCOMMON STOCK85915210095622,300SH DFND022,30022,3000
Sterling Financial Corp/WACOMMON STOCK85931930330412,800SH DFND012,80012,8000
Stewart Information Services CorporationCOMMON STOCK86037210161023,300SH DFND023,30023,3000
Stone Energy CorporationCOMMON STOCK86164210633915,400SH DFND015,40015,4000
Stryker CorporationCOMMON STOCK8636671018,370129,400SH DFND0129,400129,4000
Suncoke Energy IncCOMMON STOCK86722A10325017,800SH DFND017,80017,8000
Suntrust Banks Inc.COMMON STOCK86791410335011,100SH DFND011,10011,1000
Super Micro Computer IncCOMMON STOCK86800U10419718,500SH DFND018,50018,5000
Superior Energy Services IncCOMMON STOCK86815710834813,400SH DFND013,40013,4000
Superior Industries International Inc.COMMON STOCK86816810527916,200SH DFND016,20016,2000
Surmodics IncCOMMON STOCK86887310027413,700SH DFND013,70013,7000
Susser Holdings CorpCOMMON STOCK8692331063737,800SH DFND07,8007,8000
Swift Energy CompanyCOMMON STOCK87073810128123,400SH DFND023,40023,4000
Swift Transportation CoCOMMON STOCK87074U10160736,700SH DFND036,70036,7000
Sykes Enterprises Inc.COMMON STOCK87123710353133,700SH DFND033,70033,7000
Symantec CorporationCOMMON STOCK87150310858426,000SH DFND026,00026,0000
Symmetry Medical IncCOMMON STOCK87154620647155,900SH DFND055,90055,9000
Synacor IncCOMMON STOCK8715611066119,800SH DFND019,80019,8000
Synaptics IncCOMMON STOCK87157D1091,01426,300SH DFND026,30026,3000
SYNNEX CORPCOMMON STOCK87162W10080819,100SH DFND019,10019,1000
Synopsys IncCOMMON STOCK87160710767618,900SH DFND018,90018,9000
Synovus Finl CorpCOMMON STOCK87161C105493168,700SH DFND0168,700168,7000
Synta Pharmaceuticals CorpCOMMON STOCK87162T2069318,600SH DFND018,60018,6000
Syntel IncorporatedCOMMON STOCK87162H10379812,700SH DFND012,70012,7000
Take - Two Interactive SoftwareCOMMON STOCK87405410977251,600SH DFND051,60051,6000
TAL International Group Inc.COMMON STOCK8740831082485,700SH DFND05,7005,7000
Tangoe Inc/CTCOMMON STOCK87582Y10842427,500SH DFND027,50027,5000
Taser International IncCOMMON STOCK87651B10414416,900SH DFND016,90016,9000
Taylor Morrison Home Corp-aCOMMON STOCK87724P10689736,790SH DFND036,79036,7900
Tech Data Corp.COMMON STOCK87823710681017,200SH DFND017,20017,2000
TECO Energy Inc.COMMON STOCK87237510043025,000SH DFND025,00025,0000
TeleTech Holdings Inc.COMMON STOCK8799391062239,500SH DFND09,5009,5000
Tenet Healthcare CorporationCOMMON STOCK88033G4074209,100SH DFND09,1009,1000
Tesco CorpCOMMON STOCK88157K10128821,700SH DFND021,70021,7000
Tesoro CorpCOMMON STOCK88160910154410,400SH DFND010,40010,4000
Tetra Tech IncorporatedCOMMON STOCK88162G10353622,800SH DFND022,80022,8000
Textron IncorporatedCOMMON STOCK88320310140415,500SH DFND015,50015,5000
Textura CorpCOMMON STOCK88321110478030,000SH DFND030,00030,0000
The Brinks CompanyCOMMON STOCK10969610429111,400SH DFND011,40011,4000
The Ensign Group IncCOMMON STOCK29358P10135910,200SH DFND010,20010,2000
The Mosaic CompanyCOMMON STOCK61945C1035179,600SH DFND09,6009,6000
Thermo Fisher Scientific IncCOMMON STOCK8835561023303,900SH DFND03,9003,9000
Thoratec Labs CorpCOMMON STOCK88517530744814,300SH DFND014,30014,3000
Tidewater IncorporatedCOMMON STOCK8864231024908,600SH DFND08,6008,6000
Time Warner CableCOMMON STOCK88732J2074163,700SH DFND03,7003,7000
Titan International IncCOMMON STOCK88830M10241224,400SH DFND024,40024,4000
Titan Machinery IncCOMMON STOCK88830R10161831,500SH DFND031,50031,5000
Tivo IncoporatedCOMMON STOCK88870610829126,300SH DFND026,30026,3000
T-Mobile US IncCOMMON STOCK8725901041,48960,000SH DFND060,00060,0000
Toll Brothers Inc.COMMON STOCK88947810372422,200SH DFND022,20022,2000
Tornier NvCOMMON STOCKN872371088,313475,000SH DFND0475,000475,0000
Travelers Cos Inc/TheCOMMON STOCK89417E1094245,300SH DFND05,3005,3000
Tredegar CorporationCOMMON STOCK89465010039115,200SH DFND015,20015,2000
Triangle Petroleum CorpCOMMON STOCK89600B20134549,200SH DFND049,20049,2000
Trinity Industries Inc.COMMON STOCK8965221091,06527,700SH DFND027,70027,7000
TrueBlue IncCOMMON STOCK89785X10136817,500SH DFND017,50017,5000
TrustCo Bank Corp NYCOMMON STOCK8983491055710,500SH DFND010,50010,5000
Trustmark CorporationCOMMON STOCK89840210265626,700SH DFND026,70026,7000
TRW Automotive Holdings CorpCOMMON STOCK87264S1068,071121,475SH DFND0121,475121,4750
TRW Automotive Holdings CorpCOMMON STOCK87264S1065,31580,000SHPutDFND080,00080,0000
Tupperware Brands CorpCOMMON STOCK8998961043033,900SH DFND03,9003,9000
Tyson Foods Inc-- Class ACOMMON STOCK90249410311,903463,500SH DFND0463,500463,5000
Ubiquiti Networks IncCOMMON STOCK90347A10040923,300SH DFND023,30023,3000
Umpqua Holdings CorpCOMMON STOCK90421410349432,900SH DFND032,90032,9000
Unifirst Corp STKCOMMON STOCK9047081042192,400SH DFND02,4002,4000
Union Pacific CorporationCOMMON STOCK9078181084,69030,400SH DFND030,40030,4000
Unit CorporationCOMMON STOCK9092181092044,800SH DFND04,8004,8000
United Rental IncorporatedCOMMON STOCK9113631092254,500SH DFND04,5004,5000
UNITED STATIONERS INCCOMMON STOCK91300410781224,200SH DFND024,20024,2000
United Therapeutics Corp.COMMON STOCK91307C1021,02715,600SH DFND015,60015,6000
Universal Forest ProductsCOMMON STOCK9135431042756,900SH DFND06,9006,9000
Universal Health Services (CLASS B)COMMON STOCK9139031002143,200SH DFND03,2003,2000
UNS Energy CorpCOMMON STOCK9031191051,40931,500SH DFND031,50031,5000
Urban Outfitters Inc.COMMON STOCK9170471022867,100SH DFND07,1007,1000
URS CorporationCOMMON STOCK9032361073026,400SH DFND06,4006,4000
US Airways Group Ince/NewCOMMON STOCK90341W10836322,100SH DFND022,10022,1000
Us Silica Holdings IncCOMMON STOCK90346E10388542,600SH DFND042,60042,6000
VAALCO Energy Inc.COMMON STOCK91851C20127347,700SH DFND047,70047,7000
Valassis Communications Inc.COMMON STOCK91886610433713,700SH DFND013,70013,7000
Valero Energy CorporationCOMMON STOCK91913Y10058816,900SH DFND016,90016,9000
Validus Holdings LtdCOMMON STOCKG9319H1021,31136,300SH DFND036,30036,3000
VALMONT INDS INCCOMMON STOCK9202531018596,000SH DFND06,0006,0000
Valspar CorporationCOMMON STOCK9203551048,465130,900SH DFND0130,900130,9000
Valueclick Inc.COMMON STOCK92046N10255122,300SH DFND022,30022,3000
Vantiv Inc - Cl ACOMMON STOCK92210H1052218,000SH DFND08,0008,0000
Varian Medical Systems Inc.COMMON STOCK92220P1052503,700SH DFND03,7003,7000
Vasco Data Security Intl. Inc.COMMON STOCK92230Y10414517,400SH DFND017,40017,4000
VCA Antech IncCOMMON STOCK9181941017,827300,000SH DFND0300,000300,0000
Vectren Corp.COMMON STOCK92240G10164619,100SH DFND019,10019,1000
Verizon CommunicationsCOMMON STOCK92343V1044989,900SH DFND09,9009,9000
Viad Corp.COMMON STOCK92552R40639516,100SH DFND016,10016,1000
Virtusa CorpCOMMON STOCK92827P10233215,000SH DFND015,00015,0000
Vishay Intertechnology Inc.COMMON STOCK92829810842430,500SH DFND030,50030,5000
Visteon CorpCOMMON STOCK92839U2065438,600SH DFND08,6008,6000
Vmware Inc-class ACOMMON STOCK9285634023485,200SH DFND05,2005,2000
Volcano CorpCOMMON STOCK92864510019810,900SH DFND010,90010,9000
W&T Offshore IncCOMMON STOCK92922P10634424,100SH DFND024,10024,1000
W.R. Berkley CorporationCOMMON STOCK08442310280519,700SH DFND019,70019,7000
Wabco Holdings IncCOMMON STOCK92927K10210,457140,000SH DFND0140,000140,0000
Wabtec CorporationCOMMON STOCK9297401081,62430,400SH DFND030,40030,4000
Waddell & Reed Financial Inc.-CL ACOMMON STOCK93005910052612,100SH DFND012,10012,1000
Wal-Mart Stores IncorporatedCOMMON STOCK9311421032763,700SH DFND03,7003,7000
Walt Disney CompanyCOMMON STOCK2546871065378,500SH DFND08,5008,5000
Walter Energy IncCOMMON STOCK93317Q10511511,100SH DFND011,10011,1000
Warner Chilcott PLC - Class ACOMMON STOCKG9436810025712,900SH DFND012,90012,9000
WASHINGTON POST CO (CL B)COMMON STOCK9396401085811,200SH DFND01,2001,2000
Waters CorporationCOMMON STOCK94184810310,005100,000SH DFND0100,000100,0000
Wausau Paper CorpCOMMON STOCK94331510165657,500SH DFND057,50057,5000
WellCare Health Plans IncCOMMON STOCK94946T1064948,900SH DFND08,9008,9000
WellPoint IncCOMMON STOCK94973V10720,796254,100SH DFND0254,100254,1000
Wells Fargo CompanyCOMMON STOCK9497461013107,500SH DFND07,5007,5000
Wendy's Co/TheCOMMON STOCK95058W10036863,200SH DFND063,20063,2000
West Pharmaceutical Services IncorporateCOMMON STOCK9553061053234,600SH DFND04,6004,6000
Westar Energy Inc.COMMON STOCK95709T10066520,800SH DFND020,80020,8000
Western Alliance BancorpCOMMON STOCK95763810927517,400SH DFND017,40017,4000
Western Digital CorporationCOMMON STOCK9581021052554,100SH DFND04,1004,1000
Western Refining IncCOMMON STOCK95931910436212,900SH DFND012,90012,9000
Western Union CompanyCOMMON STOCK9598021096,844400,000SH DFND0400,000400,0000
Westlake Chemical CorpCOMMON STOCK9604131026366,600SH DFND06,6006,6000
Weyerhaeuser CompanyCOMMON STOCK9621661049,288326,000SH DFND0326,000326,0000
Weyerhaeuser CompanyCOMMON STOCK96216610430210,600SHCallDFND010,60010,6000
Whirlpool CorporationCOMMON STOCK9633201064574,000SH DFND04,0004,0000
Willbros Group IncorporatedCOMMON STOCK96920310823338,000SH DFND038,00038,0000
Wilshire Bancorp IncCOMMON STOCK97186T10820130,400SH DFND030,40030,4000
Winnebago Industries Inc.COMMON STOCK97463710025812,300SH DFND012,30012,3000
Wintrust Financial CorpCOMMON STOCK97650W1083027,900SH DFND07,9007,9000
Wisdomtree Investments IncCOMMON STOCK97717P10412110,500SH DFND010,50010,5000
Workday Inc-class ACOMMON STOCK98138H10113,667213,243SH DFND0213,243213,2430
Wynn Resorts LtdCOMMON STOCK9831341072822,200SH DFND02,2002,2000
XCEL Energy IncorporatedCOMMON STOCK98389B10063222,300SH DFND022,30022,3000
XenoPort Inc.COMMON STOCK98411C10026453,300SH DFND053,30053,3000
Xerox CorpCOMMON STOCK98412110328331,200SH DFND031,20031,2000
Yahoo! IncorporatedCOMMON STOCK9843321068,466336,900SH DFND0336,900336,9000
Zagg IncCOMMON STOCK98884U10827952,100SH DFND052,10052,1000
Zimmer Holdings Inc.COMMON STOCK98956P1026448,600SH DFND08,6008,6000
Ziopharm Oncology IncCOMMON STOCK98973P1015325,100SH DFND025,10025,1000
Zoetis IncCOMMON STOCK98978V1033,532114,357SH DFND0114,357114,3570