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.

Washington, D.C. 20549


OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

DEUTSCHE BANK AG NAMEN AKTCommon StockD1819089863,7683,345,184SH SOLE 3,345,18400
ADIENT PLC ORD SHSCommon StockG0084W10123,831302,810SH SOLE 302,81000
ALLEGION PUB LTD CO ORD SHSCommon StockG0176J10998712,400SH SOLE 12,40000
ALKERMES PLC SHSCommon StockG017671054,58783,810SH SOLE 83,81000
ALLERGAN PLC SHSCommon StockG0177J1081911,166SH SOLE 1,16600
AMDOCS LTD SHSCommon StockG026021038,516130,057SH SOLE 130,05700
AON PLC SHS CL ACommon StockG0408V1026,72250,164SH SOLE 50,16400
ARCH CAP GROUP LTD ORDCommon StockG0450A1056106,724SH SOLE 6,72400
ARRIS INTL INC SHSCommon StockG0551A10336,6671,427,300SH SOLE 1,427,30000
ASSURED GUARANTY LTD COMCommon StockG0585R1061,06431,400SH SOLE 31,40000
ATHENE HLDG LTD CL ACommon StockG0684D1077,669148,300SH SOLE 148,30000
AXIS CAPITAL HOLDINGS LTD SHSCommon StockG0692U1092975,900SH SOLE 5,90000
ACCENTURE PLC IRELAND SHS CLASS ACommon StockG1151C101111,194726,331SH SOLE 726,33100
BUNGE LIMITED COMCommon StockG1696210531,510469,743SH SOLE 469,74300
CREDICORP LTD COMCommon StockG2519Y1081,9319,310SH SOLE 9,31000
COCA COLA EUROPEAN PARTNERS SHSCommon StockG2583910453,3651,339,141SH SOLE 1,339,14100
EATON CORP PLC SHSCommon StockG2918310342,307535,469SH SOLE 535,46900
ENDO INTL PLC SHSCommon StockG304011064,670602,608SH SOLE 602,60800
ENSTAR GROUP LIMITED SHSCommon StockG3075P101450,2712,242,946SH SOLE 2,242,94600
ENSCO PLC SHS CLASS ACommon StockG3157S1063,593608,010SH SOLE 608,01000
ESSENT GROUP LTD COMCommon StockG3198U10249,0601,129,900SH SOLE 1,129,90000
EVEREST RE GROUP LTD COMCommon StockG3223R108210SH SOLE 1000
GASLOG LTD SHSCommon StockG375851091496,700SH SOLE 6,70000
HORIZON PHARMA PLC SHSCommon StockG4617B1052,884197,500SH SOLE 197,50000
ICON PLC SHSCommon StockG4705A10013,586121,140SH SOLE 121,14000
IHS MARKIT LTD SHSCommon StockG47567105714,29415,820,474SH SOLE 15,820,47400
INGERSOLL-RAND PLC SHSCommon StockG4779110139,788446,100SH SOLE 446,10000
INTERNATIONAL GAME TECHNOLOG SHS USDCommon StockG4863A1083,505132,200SH SOLE 132,20000
WEATHERFORD INTL PLC ORD SHSCommon StockG488331002,308553,510SH SOLE 553,51000
INVESCO LTD SHSCommon StockG491BT10823,957655,636SH SOLE 655,63600
JAZZ PHARMACEUTICALS PLC SHS USDCommon StockG5087110512,30591,383SH SOLE 91,38300
JOHNSON CTLS INTL PLC SHSCommon StockG5150210530,093789,642SH SOLE 789,64200
LIBERTY GLOBAL PLC SHS CL ACommon StockG5480U10425,592714,065SH SOLE 714,06500
LIBERTY GLOBAL PLC SHS CL CCommon StockG5480U12013,991413,449SH SOLE 413,44900
MALLINCKRODT PUB LTD CO SHSCommon StockG5785G10713,789611,210SH SOLE 611,21000
MARVELL TECHNOLOGY GROUP LTD ORDCommon StockG5876H10547,1952,198,192SH SOLE 2,198,19200
MEDTRONIC PLC SHSCommon StockG5960L103192,1532,379,605SH SOLE 2,379,60500
MICHAEL KORS HLDGS LTD SHSCommon StockG6075410112,080191,900SH SOLE 191,90000
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NABORS INDUSTRIES LTD SHSCommon StockG6359F1032,864419,300SH SOLE 419,30000
NIELSEN HLDGS PLC SHS EURCommon StockG6518L1082,13358,600SH SOLE 58,60000
NOBLE CORP PLC SHS USDCommon StockG654311015,9041,306,171SH SOLE 1,306,17100
NORDIC AMERN OFFSHORE LTD SHSCommon StockG6577210843,292SH SOLE 3,29200
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PENTAIR PLC SHSCommon StockG7S00T10410,735152,006SH SOLE 152,00600
ROWAN COMPANIES PLC SHS CL ACommon StockG7665A1019,616614,062SH SOLE 614,06200
SEADRILL LIMITED SHSCommon StockG7945E10595380,190SH SOLE 380,19000
SEAGATE TECHNOLOGY PLC SHSCommon StockG7945M10733,623803,609SH SOLE 803,60900
SIGNET JEWELERS LIMITED SHSCommon StockG8127610080,1941,418,110SH SOLE 1,418,11000
SINA CORP ORDCommon StockG8147710415,619155,710SH SOLE 155,71000
STERIS PLC SHS USDCommon StockG8472010416,646190,300SH SOLE 190,30000
TECHNIPFMC PLC COMCommon StockG87110105250SH SOLE 5000
TRITON INTL LTD CL ACommon StockG9078F1073288,745SH SOLE 8,74500
VALIDUS HOLDINGS LTD COM SHSCommon StockG9319H10271815,300SH SOLE 15,30000
GOLAR LNG LTD BERMUDA SHSCommon StockG9456A1004,693157,421SH SOLE 157,42100
WILLIS TOWERS WATSON PUB LTD SHSCommon StockG9662910323,909158,664SH SOLE 158,66400
PERRIGO CO PLC SHSCommon StockG978221037,89890,610SH SOLE 90,61000
XL GROUP LTD COMCommon StockG982941041524,324SH SOLE 4,32400
CHUBB LIMITED COMCommon StockH1467J10484,934581,219SH SOLE 581,21900
GARMIN LTD SHSCommon StockH2906T1094,86081,584SH SOLE 81,58400
UBS GROUP AG SHSCommon StockH42097107198,29210,771,200SH SOLE 10,771,20000
LOGITECH INTL S A SHSCommon StockH504302323,07691,124SH SOLE 91,12400
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CYBERARK SOFTWARE LTD SHSCommon StockM2682V1081,10926,800SH SOLE 26,80000
ELBIT SYS LTD ORDCommon StockM3760D1011,60712,000SH SOLE 12,00000
EVOGENE LTD SHSCommon StockM4119S1042,168650,000SH SOLE 650,00000
GAZIT GLOBE LTD SHSCommon StockM4793C1022,092196,700SH SOLE 196,70000
MELLANOX TECHNOLOGIES LTD SHSCommon StockM513631137,803120,600SH SOLE 120,60000
ISRAEL CHEMICALS LTD SHSCommon StockM5920A1097,2631,788,370SH SOLE 1,788,37000
ORBOTECH LTD ORDCommon StockM752531007,948158,200SH SOLE 158,20000
STRATASYS LTD SHSCommon StockM8554810139719,905SH SOLE 19,90500
TARO PHARMACEUTICAL INDS LTD SHSCommon StockM8737E1085,20749,726SH SOLE 49,72600
TOWER SEMICONDUCTOR LTD SHS NEWCommon StockM8791527411,007319,778SH SOLE 319,77800
WIX COM LTD SHSCommon StockM9806810596916,844SH SOLE 16,84400
AERCAP HOLDINGS NV SHSCommon StockN0098510611,585220,200SH SOLE 220,20000
CNH INDL N V SHSCommon StockN209441096,822508,600SH SOLE 508,60000
CORE LABORATORIES N V COMCommon StockN22717107110SH SOLE 1000
FERRARI N V COMCommon StockN3167Y10385805SH SOLE 80500
FIAT CHRYSLER AUTOMOBILES N SHSCommon StockN317381021538,558SH SOLE 8,55800
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MYLAN N V SHS EUROCommon StockN5946510955,6211,314,613SH SOLE 1,314,61300
QIAGEN NV SHS NEWCommon StockN72482123136SH SOLE 3600
YANDEX N V SHS CLASS ACommon StockN972841084,174127,436SH SOLE 127,43600
TRONOX LTD SHS CL ACommon StockQ9235V1012,917142,200SH SOLE 142,20000
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BROADCOM LTD SHSCommon StockY09827109193,765754,244SH SOLE 754,24400
COSTAMARE INC SHSCommon StockY1771G10227547,600SH SOLE 47,60000
FLEX LTD ORDCommon StockY2573F1021,00655,901SH SOLE 55,90100
AFLAC INC COMCommon Stock00105510253,563610,197SH SOLE 610,19700
AGCO CORP COMCommon Stock00108410246,908656,703SH SOLE 656,70300
AGNC INVT CORP COMREIT00123Q1041,92695,410SH SOLE 95,41000
AES CORP COMCommon Stock00130H10524,7212,282,602SH SOLE 2,282,60200
AMC NETWORKS INC CL ACommon Stock00164V1038,198151,586SH SOLE 151,58600
AT&T INC COMCommon Stock00206R10229,146749,636SH SOLE 749,63600
AU OPTRONICS CORP SPONSORED ADRDepository Receipt002255107010SH SOLE 1000
AARONS INC COM PAR $0.50Common Stock0025353006,563164,700SH SOLE 164,70000
ABBOTT LABS COMCommon Stock002824100120,8612,117,776SH SOLE 2,117,77600
ABBVIE INC COMCommon Stock00287Y109320,7103,316,199SH SOLE 3,316,19900
ABERCROMBIE & FITCH CO CL ACommon Stock0028962074,290246,100SH SOLE 246,10000
ACADIA PHARMACEUTICALS INC COMCommon Stock00422510813,917462,200SH SOLE 462,20000
ACTIVISION BLIZZARD INC COMCommon Stock00507V10975611,943SH SOLE 11,94300
ACUITY BRANDS INC COMCommon Stock00508Y102633SH SOLE 3300
ADOBE SYS INC COMCommon Stock00724F101191,9881,095,572SH SOLE 1,095,57200
ADTRAN INC COMCommon Stock00738A10610,782557,200SH SOLE 557,20000
ADVANCE AUTO PARTS INC COMCommon Stock00751Y1061,87118,771SH SOLE 18,77100
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AECOM COMCommon Stock00766T1002,42665,300SH SOLE 65,30000
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ADVANCED MICRO DEVICES INC COMCommon Stock0079031071,621157,700SH SOLE 157,70000
AETNA INC NEW COMCommon Stock00817Y108125,534695,904SH SOLE 695,90400
AFFILIATED MANAGERS GROUP COMCommon Stock0082521081,8579,049SH SOLE 9,04900
AGILENT TECHNOLOGIES INC COMCommon Stock00846U10171,2771,064,319SH SOLE 1,064,31900
AGIOS PHARMACEUTICALS INC COMCommon Stock00847X1042,81849,300SH SOLE 49,30000
AGNICO EAGLE MINES LTD COMCommon Stock0084741081,17925,451SH SOLE 25,45100
AGRIUM INC COMCommon Stock0089161083,66931,800SH SOLE 31,80000
AIR PRODS & CHEMS INC COMCommon Stock00915810668,550417,785SH SOLE 417,78500
AKAMAI TECHNOLOGIES INC COMCommon Stock00971T1013,06947,187SH SOLE 47,18700
ALASKA AIR GROUP INC COMCommon Stock01165910919,892270,600SH SOLE 270,60000
ALBEMARLE CORP COMCommon Stock0126531018,40465,710SH SOLE 65,71000
ALCOA CORP COMCommon Stock0138721064,57284,870SH SOLE 84,87000
ALEXION PHARMACEUTICALS INC COMCommon Stock01535110969,087577,696SH SOLE 577,69600
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ALIGN TECHNOLOGY INC COMCommon Stock0162551015,78826,050SH SOLE 26,05000
ALLEGHANY CORP DEL COMCommon Stock01717510012,87621,600SH SOLE 21,60000
ALLIANCE DATA SYSTEMS CORP COMCommon Stock01858110844,963177,384SH SOLE 177,38400
ALLIANT ENERGY CORP COMCommon Stock01880210873717,300SH SOLE 17,30000
ALLISON TRANSMISSION HLDGS I COMCommon Stock01973R10117,900415,597SH SOLE 415,59700
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ALLSTATE CORP COMCommon Stock02000210150,474482,033SH SOLE 482,03300
ALLY FINL INC COMCommon Stock02005N100242,8798,329,175SH SOLE 8,329,17500
ALNYLAM PHARMACEUTICALS INC COMCommon Stock02043Q1079,02671,040SH SOLE 71,04000
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ALPHABET INC CAP STK CL ACommon Stock02079K3051,666,5881,582,104SH SOLE 1,582,10400
ALTABA INC COMPublic Fund021346101314,3254,500,000SH SOLE 4,500,00000
ALTICE USA INC CL ACommon Stock02156K103852,43942,265,874SH SOLE 42,265,87400
ALTRIA GROUP INC COMCommon Stock02209S103343,3394,807,998SH SOLE 4,807,99800
AMAZON COM INC COMCommon Stock023135106202,470173,130SH SOLE 173,13000
AMEREN CORP COMCommon Stock02360810247,715808,863SH SOLE 808,86300
AMERICAN AIRLS GROUP INC COMCommon Stock02376R1022,58649,695SH SOLE 49,69500
AMERICAN AXLE & MFG HLDGS IN COMCommon Stock0240611034,232248,500SH SOLE 248,50000
AMERICAN EAGLE OUTFITTERS NE COMCommon Stock02553E1069,678514,800SH SOLE 514,80000
AMERICAN ELEC PWR INC COMCommon Stock025537101119,4671,623,852SH SOLE 1,623,85200
AMERICAN EXPRESS CO COMCommon Stock025816109119,8151,206,474SH SOLE 1,206,47400
AMERICAN FINL GROUP INC OHIO COMCommon Stock0259321046085,600SH SOLE 5,60000
AMERICAN HOMES 4 RENT CL AREIT02665T3065,202238,200SH SOLE 238,20000
AMERICAN INTL GROUP INC COM NEWCommon Stock026874784604,56810,147,169SH SOLE 10,147,16900
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AMERICAN TOWER CORP NEW COMCommon Stock03027X100169,2571,186,354SH SOLE 1,186,35400
AMERICAN WTR WKS CO INC NEW COMCommon Stock0304201033173,468SH SOLE 3,46800
AMERISOURCEBERGEN CORP COMCommon Stock03073E1052,18123,748SH SOLE 23,74800
AMERIPRISE FINL INC COMCommon Stock03076C10672,934430,364SH SOLE 430,36400
AMETEK INC NEW COMCommon Stock03110010012,818176,875SH SOLE 176,87500
AMGEN INC COMCommon Stock031162100280,6231,613,702SH SOLE 1,613,70200
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APPLE INC COMCommon Stock0378331001,788,28010,567,157SH SOLE 10,567,15700
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ARAMARK COMCommon Stock03852U1061,20628,210SH SOLE 28,21000
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ARCHROCK INC COMCommon Stock03957W1067,353700,252SH SOLE 700,25200
ARCONIC INC COMCommon Stock03965L1009,467347,421SH SOLE 347,42100
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ARISTA NETWORKS INC COMCommon Stock04041310615,59866,210SH SOLE 66,21000
ARMSTRONG WORLD INDS INC NEW COMCommon Stock04247X1025,68693,900SH SOLE 93,90000
ARRAY BIOPHARMA INC COMCommon Stock04269X1052,171169,600SH SOLE 169,60000
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ASBURY AUTOMOTIVE GROUP INC COMCommon Stock0434361048,563133,800SH SOLE 133,80000
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ASHLAND GLOBAL HLDGS INC COMCommon Stock04418610420,089282,149SH SOLE 282,14900
ASSURANT INC COMCommon Stock04621X1081,47214,600SH SOLE 14,60000
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ATHENAHEALTH INC COMCommon Stock04685W1038,86066,600SH SOLE 66,60000
ATMOS ENERGY CORP COMCommon Stock0495601051,72620,100SH SOLE 20,10000
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AUTOLIV INC COMCommon Stock0528001092,95023,211SH SOLE 23,21100
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AUTOZONE INC COMCommon Stock05333210268,12395,763SH SOLE 95,76300
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AVANGRID INC COMCommon Stock05351W1033196,310SH SOLE 6,31000
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AVNET INC COMCommon Stock0538071033,87997,910SH SOLE 97,91000
AVON PRODS INC COMCommon Stock0543031022,2951,067,310SH SOLE 1,067,31000
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BB&T CORP COMCommon Stock05493710736,520734,510SH SOLE 734,51000
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BHP BILLITON PLC SPONSORED ADRDepository Receipt05545E20911,606288,000SH SOLE 288,00000
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BALL CORP COMCommon Stock0584981064,098108,266SH SOLE 108,26600
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BANK NEW YORK MELLON CORP COMCommon Stock06405810037,160689,946SH SOLE 689,94600
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BANKUNITED INC COMCommon Stock06652K10364315,800SH SOLE 15,80000
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BAXTER INTL INC COMCommon Stock071813109146,4912,266,254SH SOLE 2,266,25400
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BIG LOTS INC COMCommon Stock0893021034,21775,099SH SOLE 75,09900
BIO RAD LABS INC CL ACommon Stock0905722072,2439,400SH SOLE 9,40000
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BIOGEN INC COMCommon Stock09062X10380,449252,531SH SOLE 252,53100
BIOVERATIV INC COMCommon Stock09075E1001,96336,400SH SOLE 36,40000
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BLACK KNIGHT INC COMCommon Stock09215C10586119,510SH SOLE 19,51000
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BLACKROCK INC COMCommon Stock09247X10135,28268,680SH SOLE 68,68000
BLOCK H & R INC COMCommon Stock0936711055,732218,629SH SOLE 218,62900
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BOB EVANS FARMS INC COMCommon Stock0967611014,69859,600SH SOLE 59,60000
BOEING CO COMCommon Stock097023105228,162773,667SH SOLE 773,66700
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BOSTON SCIENTIFIC CORP COMCommon Stock1011371079,353377,289SH SOLE 377,28900
BOX INC CL ACommon Stock10316T1047,424351,500SH SOLE 351,50000
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BROADSOFT INC COMCommon Stock11133B4091,59829,100SH SOLE 29,10000
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THOR INDS INC COMCommon Stock88516010112,81185,000SH SOLE 85,00000
3M CO COMCommon Stock88579Y10131,441133,582SH SOLE 133,58200
TIFFANY & CO NEW COMCommon Stock88654710828,359272,810SH SOLE 272,81000
TIM PARTICIPACOES S A SPONSORED ADRDepository Receipt88706P205334,11317,302,600SH SOLE 17,302,60000
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TIMKEN CO COMCommon Stock8873891044,25686,600SH SOLE 86,60000
TIVO CORP COMCommon Stock88870P1062,555163,800SH SOLE 163,80000
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TORCHMARK CORP COMCommon Stock89102710413,521149,061SH SOLE 149,06100
TORO CO COMCommon Stock89109210811,363174,200SH SOLE 174,20000
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TRANSALTA CORP COMCommon Stock89346D10718,0693,038,936SH SOLE 3,038,93600
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TRIMBLE INC COMCommon Stock89623910019,975491,511SH SOLE 491,51100
TRINITY INDS INC COMCommon Stock8965221095,297141,400SH SOLE 141,40000
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TRIPADVISOR INC COMCommon Stock8969452011283,710SH SOLE 3,71000
TRUECAR INC COMCommon Stock89785L1074,841432,200SH SOLE 432,20000
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TURQUOISE HILL RES LTD COMCommon Stock90043510826,2387,663,057SH SOLE 7,663,05700
TWENTY FIRST CENTY FOX INC CL ACommon Stock90130A1019,870285,848SH SOLE 285,84800
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TWITTER INC COMCommon Stock90184L10215,341638,952SH SOLE 638,95200
TYSON FOODS INC CL ACommon Stock902494103121,0961,493,724SH SOLE 1,493,72400
UDR INC COMREIT90265310431,354813,966SH SOLE 813,96600
UGI CORP NEW COMCommon Stock90268110529,147620,808SH SOLE 620,80800
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ULTRAGENYX PHARMACEUTICAL IN COMCommon Stock90400D1082926,300SH SOLE 6,30000
UMPQUA HLDGS CORP COMCommon Stock9042141034,624222,300SH SOLE 222,30000
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UNILEVER PLC SPON ADR NEWDepository Receipt9047677048,657156,440SH SOLE 156,44000
UNION PAC CORP COMCommon Stock907818108473,7903,533,110SH SOLE 3,533,11000
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