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
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COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
3M COMPANYCOMMON STOCK88579Y101112,200800,000SH DFND1,2800,00000
ABBOTT LABORATORIESCOMMON STOCK002824100363,5609,485,000SH DFND1,29,485,00000
ABBVIE INCCOMMON STOCK00287Y1095,279,00099,962,125SH DFND1,299,962,12500
ACCENTURE PLC CL ACOMMON STOCKB4BNMY32,573,38931,298,820SH DFND1,231,298,82000
ADOBE SYSTEMS INCCOMMON STOCK00724F1011,142,07919,072,800SH DFND1,219,072,80000
ADVISORY BOARDCOMMON STOCK00762W10724,831390,000SH DFND1,2390,00000
AETNA INCCOMMON STOCK00817Y1081,717,75725,043,840SH DFND1,225,043,84000
AGILYSYS INCCOMMON STOCK00847J10526,8291,927,391SH DFND1,21,927,39100
AIR PRODUCTS & CHEMICALS INCCOMMON STOCK009158106167,6701,500,000SH DFND1,21,500,00000
ALEXION PHARMACEUTICALS INCCOMMON STOCK0153511093,153,93623,703,112SH DFND1,223,703,11200
ALLERGAN INCCOMMON STOCK0184901021,940,84917,472,533SH DFND1,217,472,53300
ALTERA CORPCOMMON STOCK021441100284,6388,750,000SH DFND1,28,750,00000
ALTISOURCE ASSET MANAGEMENT CORPCOMMON STOCK02153X108109,608117,858SH DFND1,2117,85800
ALTISOURCE PORTFOLIO SOLUTIONS SACOMMON STOCKB3VL8R5101,973642,834SH DFND1,2642,83400
ALTISOURCE RESIDENTIAL CORPCOMMON STOCK02153W100124,0664,120,425SH DFND1,24,120,42500
ALTRIA GROUP INCCOMMON STOCK02209S1035,648,729147,140,635SH DFND1,2147,140,63500
AMAZON.COM INCCOMMON STOCK0231351065,721,79514,347,890SH DFND1,214,347,89000
AMEREN CORPORATIONCOMMON STOCK02360810275,5432,089,120SH DFND1,22,089,12000
AMERICA MOVIL SAB DE CV L ADRCOMMON STOCK02364W10561,5972,635,748SH DFND1,22,635,74800
AMERICAN AIRLINES GROUP INCCOMMON STOCK02376R10260,6002,400,000SH DFND1,22,400,00000
AMERICAN AXLE & MANUFACTURING HLDGS INCCOMMON STOCK02406110314,458707,000SH DFND1,2707,00000
AMERICAN ELECTRIC POWER CO INCCOMMON STOCK02553710167,0721,435,000SH DFND1,21,435,00000
AMERICAN INTERNATIONAL GROUP INCCOMMON STOCK026874784608,40911,917,900SH DFND1,211,917,90000
AMGEN INCCOMMON STOCK0311621008,839,69077,432,460SH DFND1,277,432,46000
ANALOG DEVICES INCCOMMON STOCK032654105394,7607,751,026SH DFND1,27,751,02600
APACHE CORPCOMMON STOCK0374111051,177,40713,700,336SH DFND1,213,700,33600
APPLE INCCOMMON STOCK0378331001,841,5573,281,990SH DFND1,23,281,99000
APTARGROUP INCCOMMON STOCK038336103388,5175,729,500SH DFND1,25,729,50000
ARCELORMITTAL CV SR UNSEC 5.0% 05-15-14CORP CONV BOND03938LAK049,31948,620,000PRN DFND1,248,620,00000
ARCH CAPITAL GROUP LTDCOMMON STOCK2740542244,7294,100,000SH DFND1,24,100,00000
ARTHROCARE CORPORATIONCOMMON STOCK04313610096,9532,409,379SH DFND1,22,409,37900
ASSURED GUARANTY LTDCOMMON STOCKB00V7H8112,6424,775,000SH DFND1,24,775,00000
AT&T INCCOMMON STOCK00206R1022,131,11160,611,810SH DFND1,260,611,81000
ATHENAHEALTH INCCOMMON STOCK04685W103333,3042,478,099SH DFND1,22,478,09900
ATMEL CORPCOMMON STOCK0495131045,481700,000SH DFND1,2700,00000
AUTODESK INCCOMMON STOCK052769106347,5296,905,000SH DFND1,26,905,00000
AUTOMATIC DATA PROCESSING INCCOMMON STOCK0530151031,137,04114,070,543SH DFND1,214,070,54300
AUTONATION INCCOMMON STOCK05329W102337,5946,794,000SH DFND1,26,794,00000
AVAGO TECHNOLOGIES LTDCOMMON STOCKB3WS2X91,121,71221,208,400SH DFND1,221,208,40000
AVERY DENNISON CORPCOMMON STOCK05361110987,3331,740,051SH DFND1,21,740,05100
AVIANCA HOLDINGS SA PREF ADR (LIMITED VOTING)COMMON STOCK05367G10033,4522,166,600SH DFND1,22,166,60000
BAIDU INC A ADRCOMMON STOCK0567521082,108,83911,855,400SH DFND1,211,855,40000
BAKER HUGHES INCCOMMON STOCK0572241071,475,85626,707,500SH DFND1,226,707,50000
BALL CORPCOMMON STOCK05849810688,2151,707,614SH DFND1,21,707,61400
BANCO BILBAO VIZCAYA ARGENTARIA SA ADRCOMMON STOCK05946K1013,868312,171SH DFND1,2312,17100
BANK OF AMERICA CORP CV PFD SER L 7.25% PERPETUAL NON-CUMCONV PREFRD STCK06050568232,89131,000SH DFND1,231,00000
BANK OF NOVA SCOTIA (THE)COMMON STOCK064149107240,5933,847,200SH DFND1,23,847,20000
BARRICK GOLD CORPCOMMON STOCK067901108180,91910,262,000SH DFND1,210,262,00000
BB&T CORPORATIONCOMMON STOCK054937107232,3176,225,000SH DFND1,26,225,00000
BCE INCCOMMON STOCK05534B76043,6291,007,500SH DFND1,21,007,50000
BEACON ROOFING SUPPLY INCCOMMON STOCK0736851096,284156,000SH DFND1,2156,00000
BERKSHIRE HATHAWAY INC CL BCOMMON STOCK084670702340,0022,867,760SH DFND1,22,867,76000
BIG LOTS INCCOMMON STOCK089302103119,4673,699,800SH DFND1,23,699,80000
BILL BARRETT CORPORATIONCOMMON STOCK06846N10414,729550,000SH DFND1,2550,00000
BIOGEN IDEC INCCOMMON STOCK09062X1032,561,6719,157,000SH DFND1,29,157,00000
BIOMARIN PHARMACEUTICAL INCCOMMON STOCK09061G1011,224,17317,420,984SH DFND1,217,420,98400
BLACKBERRY LTD (USD)COMMON STOCK09228F1032,794375,000SH DFND1,2375,00000
BLOOMIN BRANDS INCCOMMON STOCK09423510850,3992,099,100SH DFND1,22,099,10000
BLOUNT INTERNATIONAL INCCOMMON STOCK09518010519,5421,350,500SH DFND1,21,350,50000
BLUEBIRD BIO INCCOMMON STOCK09609G10054,8162,612,792SH DFND1,22,612,79200
BORGWARNER INCCOMMON STOCK099724106306,3985,480,200SH DFND1,25,480,20000
BOSTON SCIENTIFIC CORPCOMMON STOCK101137107951,43579,154,326SH DFND1,279,154,32600
BOYD GAMING CORPCOMMON STOCK10330410123,0722,049,000SH DFND1,22,049,00000
BP PLC ADRCOMMON STOCK055622104268,0365,514,000SH DFND1,25,514,00000
BRIGHT HORIZONS FAMILY SOLUTIONS INCCOMMON STOCK1091941007,965216,800SH DFND1,2216,80000
BRINKER INTL INCCOMMON STOCK10964110094,6492,042,500SH DFND1,22,042,50000
BRISTOL-MYERS SQUIBB COCOMMON STOCK110122108160,7793,025,000SH DFND1,23,025,00000
BROADCOM CORP CL ACOMMON STOCK111320107115,3393,890,000SH DFND1,23,890,00000
C&J ENERGY SERVICES INCCOMMON STOCK12467B304152,0276,581,261SH DFND1,26,581,26100
CADENCE PHARMACEUTICALS INCCOMMON STOCK12738T10055,3306,113,768SH DFND1,26,113,76800
CAMERON INTERNATIONAL CORPCOMMON STOCK13342B10562,7451,054,000SH DFND1,21,054,00000
CANADIAN NATURAL RESOURCES LTDCOMMON STOCK136385101495,15814,635,000SH DFND1,214,635,00000
CAPITAL ONE FINANCIAL CORPCOMMON STOCK14040H105959,92312,530,000SH DFND1,212,530,00000
CARDINAL HEALTH INCCOMMON STOCK14149Y10860,463905,000SH DFND1,2905,00000
CARLISLE COMPANIES INCCOMMON STOCK142339100130,6531,645,500SH DFND1,21,645,50000
CARNIVAL CORP COMMON PAIRED STOCKUNITS143658300154,8213,854,146SH DFND1,23,854,14600
CATERPILLAR INCCOMMON STOCK149123101305,4303,363,400SH DFND1,23,363,40000
CDW CORPCOMMON STOCK12514G10816,352700,000SH DFND1,2700,00000
CELANESE CORPORATION SERIES ACOMMON STOCK1508701031,081,19619,547,922SH DFND1,219,547,92200
CENTENE CORPCOMMON STOCK15135B101102,5551,739,698SH DFND1,21,739,69800
CENTURYLINK INCCOMMON STOCK1567001062,306,13772,406,172SH DFND1,272,406,17200
CHARLES SCHWAB CORPCOMMON STOCK808513105166,1406,390,000SH DFND1,26,390,00000
CHART INDUSTRIES INCCOMMON STOCK16115Q30873,413767,600SH DFND1,2767,60000
CHESAPEAKE ENERGY CORPCOMMON STOCK165167107147,2355,425,000SH DFND1,25,425,00000
CHEVRON CORPCOMMON STOCK1667641001,173,1379,391,861SH DFND1,29,391,86100
CHINA LODGING GROUP LTD ADRCOMMON STOCK16949N10937,1311,219,000SH DFND1,21,219,00000
CHINA ZENIX AUTO INTERNATIONAL LTD ADRCOMMON STOCK16951E1046,7092,580,500SH DFND1,22,580,50000
CIA ENERGETICA DE MINAS GERAIS PN ADR (CEMIG)COMMON STOCK20440960119,8912,553,340SH DFND1,22,553,34000
CISCO SYSTEMS INCCOMMON STOCK17275R102134,7006,000,000SH DFND1,26,000,00000
CIT GROUP INCCOMMON STOCK125581801514,6019,871,500SH DFND1,29,871,50000
CITIGROUP INCCOMMON STOCK172967424447,1568,581,000SH DFND1,28,581,00000
CLEAN ENERGY FUELS CORPCOMMON STOCK1844991011,932150,000SH DFND1,2150,00000
CLEAN HARBORS INCCOMMON STOCK18449610757,682962,000SH DFND1,2962,00000
CME GROUP INC CL ACOMMON STOCK12572Q105235,3803,000,000SH DFND1,23,000,00000
CMS ENERGY CORPCOMMON STOCK1258961005,086190,000SH DFND1,2190,00000
CNH INDUSTRIAL NVCOMMON STOCKBDSV2V076,3646,700,000SH DFND1,26,700,00000
COCA-COLA COCOMMON STOCK1912161001,372,98333,236,103SH DFND1,233,236,10300
COGENT COMMUNICATIONS GROUPCOMMON STOCK19239V30229,245723,700SH DFND1,2723,70000
COGNEX CORPCOMMON STOCK19242210321,045551,202SH DFND1,2551,20200
COGNIZANT TECHNOLOGY SOLUTIONS CORP CL ACOMMON STOCK192446102313,5433,105,000SH DFND1,23,105,00000
COMCAST CORP CL ACOMMON STOCK20030N1012,479,38547,712,600SH DFND1,247,712,60000
COMCAST CORP CL A SPECIAL N/VCOMMON STOCK20030N2001,047,48021,000,000SH DFND1,221,000,00000
COMFORT SYSTEMS USA INCCOMMON STOCK19990810417,058879,707SH DFND1,2879,70700
COMMSCOPE HOLDING CO INCCOMMON STOCK20337X10956,7603,000,000SH DFND1,23,000,00000
COMSTOCK RESOURCES INCCOMMON STOCK20576820319,3991,060,611SH DFND1,21,060,61100
CONAGRA FOODS INCCOMMON STOCK205887102450,60613,371,100SH DFND1,213,371,10000
CONMED CORPCOMMON STOCK20741010120,188475,000SH DFND1,2475,00000
CONOCOPHILLIPSCOMMON STOCK20825C1041,460,80620,676,660SH DFND1,220,676,66000
CONTINENTAL AIRLINES INC CV SR UNSEC 4.50% 01-15-15CORP CONV BOND210795PU846,47822,700,000PRN DFND1,222,700,00000
COSTAR GROUP INCCOMMON STOCK22160N10931,416170,200SH DFND1,2170,20000
COSTCO WHOLESALE CORPCOMMON STOCK22160K105836,6407,030,000SH DFND1,27,030,00000
CRAY INCCOMMON STOCK22522330467,3622,453,105SH DFND1,22,453,10500
CROWN CASTLE INTL CORPCOMMON STOCK2282271041,581,92321,543,281SH DFND1,221,543,28100
CSX CORPCOMMON STOCK1264081032,523,59187,716,051SH DFND1,287,716,05100
CTC MEDIA INCCOMMON STOCK12642X10633,9322,442,000SH DFND1,22,442,00000
CUMMINS INCCOMMON STOCK2310211061,133,5978,041,404SH DFND1,28,041,40400
CVS CAREMARK CORPCOMMON STOCK126650100962,37713,446,652SH DFND1,213,446,65200
DANAHER CORPCOMMON STOCK235851102815,61910,565,018SH DFND1,210,565,01800
DARDEN RESTAURANTS INCCOMMON STOCK237194105783,98814,419,500SH DFND1,214,419,50000
DEMAND MEDIA INCCOMMON STOCK24802N10925,4724,414,560SH DFND1,24,414,56000
DEUTSCHE BANK AG NAMENCOMMON STOCK5750355364,1817,634,441SH DFND1,27,634,44100
DEVON ENERGY CORPCOMMON STOCK25179M1031,158,20018,719,900SH DFND1,218,719,90000
DIGITAL REALTY TRUST INC (REIT)COMMON STOCK253868103426,7748,688,400SH DFND1,28,688,40000
DIRECTVCOMMON STOCK25490A3091,969,97728,513,200SH DFND1,228,513,20000
DOMINION RESOURCES INCCOMMON STOCK25746U1091,837,66328,407,226SH DFND1,228,407,22600
DOMINO'S PIZZA INCCOMMON STOCK25754A201250,5223,596,867SH DFND1,23,596,86700
DOVER CORPCOMMON STOCK260003108348,6253,611,200SH DFND1,23,611,20000
DOW CHEMICAL COCOMMON STOCK2605431032,512,89156,596,633SH DFND1,256,596,63300
DR HORTON INCCOMMON STOCK23331A109149,2096,685,000SH DFND1,26,685,00000
DTE ENERGY COCOMMON STOCK233331107370,1775,575,800SH DFND1,25,575,80000
DUKE ENERGY CORPCOMMON STOCK26441C204404,9925,868,603SH DFND1,25,868,60300
E.I. DU PONT DE NEMOURS AND COCOMMON STOCK263534109129,9402,000,000SH DFND1,22,000,00000
EATON CORP PLCCOMMON STOCKB8KQN8276,8811,010,000SH DFND1,21,010,00000
EDWARDS LIFESCIENCES CORPCOMMON STOCK28176E108903,45013,738,600SH DFND1,213,738,60000
EMC CORPORATIONCOMMON STOCK268648102582,09723,145,000SH DFND1,223,145,00000
EMERSON ELECTRIC COCOMMON STOCK291011104801,87511,425,980SH DFND1,211,425,98000
ENBRIDGE INCCOMMON STOCK29250N1055,330122,000SH DFND1,2122,00000
ENCANA CORP (USD)COMMON STOCK29250510419,6751,090,000SH DFND1,21,090,00000
ENDO HEALTH SOLUTIONS INCCOMMON STOCK29264F205949,37814,073,200SH DFND1,214,073,20000
ENDURANCE SPECIALTY HLDGS LTDCOMMON STOCK2353014119,4522,036,000SH DFND1,22,036,00000
ENERSIS SA ADRCOMMON STOCK29274F10415,5901,040,000SH DFND1,21,040,00000
ENI SPA ADRCOMMON STOCK26874R10812,275253,148SH DFND1,2253,14800
ENNIS INCCOMMON STOCK2933891026,850386,980SH DFND1,2386,98000
ENSCO PLC CL ACOMMON STOCKB4VLR19230,6074,033,000SH DFND1,24,033,00000
ENTERGY CORPCOMMON STOCK29364G10347,611752,500SH DFND1,2752,50000
ENVISION HEALTHCARE HOLDINGS INCCOMMON STOCK29413U10335,5201,000,000SH DFND1,21,000,00000
EOG RESOURCES INCCOMMON STOCK26875P1013,008,44717,924,494SH DFND1,217,924,49400
EQUITY RESIDENTIAL SH BEN INT (REIT)COMMON STOCK29476L107168,6033,250,500SH DFND1,23,250,50000
EROS INTERNATIONAL PLC CL ACOMMON STOCKB86NL0523,6752,130,962SH DFND1,22,130,96200
EXELIXIS INCCOMMON STOCK30161Q104138,32422,565,030SH DFND1,222,565,03000
EXELON CORPORATIONCOMMON STOCK30161N1012,084,42576,101,680SH DFND1,276,101,68000
EXPRESS SCRIPTS HOLDING COCOMMON STOCK30219G108665,7919,478,800SH DFND1,29,478,80000
EXXON MOBIL CORPCOMMON STOCK30231G1021,248,84512,340,366SH DFND1,212,340,36600
FACTSET RESEARCH SYSTEMS INCCOMMON STOCK303075105104,693964,200SH DFND1,2964,20000
FEDEX CORPCOMMON STOCK31428X106283,8591,974,400SH DFND1,21,974,40000
FIFTH THIRD BANCORPCOMMON STOCK31677310037,8541,800,000SH DFND1,21,800,00000
FIREEYE INCCOMMON STOCK31816Q10130,527700,000SH DFND1,2700,00000
FIRSTENERGY CORPCOMMON STOCK3379321071,089,65233,039,775SH DFND1,233,039,77500
FIVE BELOW INCCOMMON STOCK33829M10130,063695,900SH DFND1,2695,90000
FLEXTRONICS INTERNATIONAL LTDCOMMON STOCK2353058134,37417,293,916SH DFND1,217,293,91600
FMC TECHNOLOGIES INCCOMMON STOCK30249U101804,75415,413,800SH DFND1,215,413,80000
FORD MOTOR COCOMMON STOCK345370860286,30418,555,000SH DFND1,218,555,00000
FRANK'S INTERNATIONAL NVCOMMON STOCKBCRY5H012,612467,100SH DFND1,2467,10000
FREEPORT-MCMORAN COPPER & GOLDCOMMON STOCK35671D857233,9886,200,000SH DFND1,26,200,00000
GARMIN LTDCOMMON STOCKB3Z5T14347,4827,518,000SH DFND1,27,518,00000
GENERAL DYNAMICS CORPCOMMON STOCK3695501083,397,08735,552,979SH DFND1,235,552,97900
GENERAL ELECTRIC COCOMMON STOCK3696041032,163,00577,167,500SH DFND1,277,167,50000
GENERAL MILLS INCCOMMON STOCK370334104270,5125,420,000SH DFND1,25,420,00000
GENERAL MOTORS COMPANYCOMMON STOCK37045V1002,061,41650,438,356SH DFND1,250,438,35600
GILEAD SCIENCES INCCOMMON STOCK37555810310,225,455136,067,270SH DFND1,2136,067,27000
GOLDMAN SACHS GROUP INCCOMMON STOCK38141G104561,4463,167,360SH DFND1,23,167,36000
GOOGLE INC CL ACOMMON STOCK38259P5087,998,6167,137,097SH DFND1,27,137,09700
GRANITE CONSTRUCTIONCOMMON STOCK3873281073,776107,958SH DFND1,2107,95800
GREEN MOUNTAIN COFFEE ROASTERS INCCOMMON STOCK393122106931,92812,330,351SH DFND1,212,330,35100
GRIFOLS SA B ADRCOMMON STOCK398438408183,9505,092,748SH DFND1,25,092,74800
GROUP 1 AUTOMOTIVE INCCOMMON STOCK39890510963,092888,367SH DFND1,2888,36700
GRUPO FINANCIERO SANTANDER MEXICO B ADRCOMMON STOCK40053C10579,3965,820,800SH DFND1,25,820,80000
HALLIBURTON COCOMMON STOCK406216101200,1873,944,576SH DFND1,23,944,57600
HARLEY-DAVIDSON INCCOMMON STOCK412822108368,6615,324,400SH DFND1,25,324,40000
HARSCO CORPCOMMON STOCK41586410766,0472,356,301SH DFND1,22,356,30100
HASBRO INCCOMMON STOCK418056107437,9537,961,343SH DFND1,27,961,34300
HCP INC (REIT)COMMON STOCK40414L109755,23120,793,796SH DFND1,220,793,79600
HEWLETT-PACKARD COCOMMON STOCK4282361031,730,25461,838,968SH DFND1,261,838,96800
HITTITE MICROWAVE CORPCOMMON STOCK43365Y10474,7461,210,850SH DFND1,21,210,85000
HOLOGIC INCCOMMON STOCK436440101740,37833,126,545SH DFND1,233,126,54500
HOME DEPOT INCCOMMON STOCK4370761023,573,29643,396,840SH DFND1,243,396,84000
HOME INNS & HOTELS MANAGEMENT INC ADRCOMMON STOCK43713W10755,4771,271,250SH DFND1,21,271,25000
HOME LOAN SERVICING SOLUTIONS LTDCOMMON STOCKB731MH9141,8816,176,800SH DFND1,26,176,80000
HOSPITALITY PROPERTIES TRUST (REIT)COMMON STOCK44106M102114,8784,250,000SH DFND1,24,250,00000
HOUSTON WIRE & CABLE COCOMMON STOCK44244K10915,3871,150,000SH DFND1,21,150,00000
HSBC HOLDINGS PLC ADRCOMMON STOCK404280406201,1233,648,165SH DFND1,23,648,16500
HUMANA INCCOMMON STOCK444859102984,8189,540,959SH DFND1,29,540,95900
HUNTSMAN CORPCOMMON STOCK4470111071,68868,600SH DFND1,268,60000
ILLINOIS TOOL WORKS INCCOMMON STOCK452308109664,2327,900,000SH DFND1,27,900,00000
ILLUMINA INCCOMMON STOCK4523271091,319,54011,928,587SH DFND1,211,928,58700
IMMERSION CORPORATIONCOMMON STOCK45252110715,2581,469,932SH DFND1,21,469,93200
INPHI CORPCOMMON STOCK45772F10722,8881,774,299SH DFND1,21,774,29900
INSULET CORPCOMMON STOCK45784P101120,1663,238,966SH DFND1,23,238,96600
INTEL CORPCOMMON STOCK458140100650,03825,040,000SH DFND1,225,040,00000
INTERCONTINENTALEXCHANGE GROUP INCCOMMON STOCK45866F10450,748225,625SH DFND1,2225,62500
INTERNATIONAL BUSINESS MACHINES CORPCOMMON STOCK459200101452,9332,414,741SH DFND1,22,414,74100
INTERNATIONAL FLAVORS & FRAGRANCES INCCOMMON STOCK459506101463,3035,388,500SH DFND1,25,388,50000
INTEROIL CORPCOMMON STOCK460951106236,2164,587,615SH DFND1,24,587,61500
INTUITCOMMON STOCK4612021031,366,90617,910,200SH DFND1,217,910,20000
ITRON INCCOMMON STOCK465741106150,4043,630,314SH DFND1,23,630,31400
ITT CORPORATIONCOMMON STOCK450911201135,5543,121,921SH DFND1,23,121,92100
JACOBS ENGR GROUPCOMMON STOCK469814107256,9994,080,000SH DFND1,24,080,00000
JOHN WILEY & SONS CL ACOMMON STOCK968223206188,2703,410,683SH DFND1,23,410,68300
JOHNSON & JOHNSONCOMMON STOCK478160104581,1396,345,000SH DFND1,26,345,00000
JOHNSON CONTROLS INCCOMMON STOCK4783661072,715,26452,929,119SH DFND1,252,929,11900
JPMORGAN CHASE & COCOMMON STOCK46625H1001,042,99117,835,000SH DFND1,217,835,00000
KBR INCCOMMON STOCK48242W106154,3484,840,000SH DFND1,24,840,00000
KELLOGG COCOMMON STOCK487836108379,2286,209,734SH DFND1,26,209,73400
KEMPER CORPORATIONCOMMON STOCK48840110065,2041,595,000SH DFND1,21,595,00000
KEYW HOLDING CORP (THE)COMMON STOCK49372310048,2013,586,400SH DFND1,23,586,40000
KIMBERLY-CLARK CORPCOMMON STOCK494368103313,3803,000,000SH DFND1,23,000,00000
KIMCO REALTY CORP (REIT)COMMON STOCK49446R10981,6134,132,329SH DFND1,24,132,32900
KINDER MORGAN INCCOMMON STOCK49456B1011,274,91935,414,423SH DFND1,235,414,42300
KLA-TENCOR CORPCOMMON STOCK482480100855,61313,273,550SH DFND1,213,273,55000
KOHLS CORPCOMMON STOCK500255104175,3013,089,000SH DFND1,23,089,00000
KRAFT FOODS GROUP INCCOMMON STOCK50076Q1061,128,24320,924,387SH DFND1,220,924,38700
LANDSTAR SYSTEM INCCOMMON STOCK515098101125,9252,191,899SH DFND1,22,191,89900
LAS VEGAS SANDS CORPCOMMON STOCK517834107453,6485,751,840SH DFND1,25,751,84000
LENNAR CORP CL ACOMMON STOCK52605710439,5601,000,000SH DFND1,21,000,00000
LEUCADIA NATIONAL CORPCOMMON STOCK52728810465,6312,315,838SH DFND1,22,315,83800
LIBERTY GLOBAL PLC CL ACOMMON STOCKB8W6766134,6131,512,681SH DFND1,21,512,68100
LIBERTY GLOBAL PLC CL CCOMMON STOCKB8W67B1146,9111,742,300SH DFND1,21,742,30000
LINEAR TECHNOLOGY CORPCOMMON STOCK535678106521,37911,446,300SH DFND1,211,446,30000
LIONS GATE ENTERTAINMENT CORPCOMMON STOCK535919203307,7679,721,000SH DFND1,29,721,00000
LOCKHEED MARTIN CORPCOMMON STOCK5398301091,784,08012,001,079SH DFND1,212,001,07900
LORILLARD INCCOMMON STOCK544147101785,84815,506,069SH DFND1,215,506,06900
LSI CORPCOMMON STOCK50216110244,0804,000,000SH DFND1,24,000,00000
LULULEMON ATHLETICA INCCOMMON STOCK550021109565,0309,571,915SH DFND1,29,571,91500
M/A-COM TECHNOLOGY SOLUTIONS HLDS INCCOMMON STOCK55405Y10015,886935,000SH DFND1,2935,00000
MARRONE BIO INNOVATIONS INCCOMMON STOCK57165B1068,001450,000SH DFND1,2450,00000
MARSH & MCLENNAN COMPANIES INCCOMMON STOCK571748102145,0803,000,000SH DFND1,23,000,00000
MASCO CORPCOMMON STOCK57459910668,3103,000,000SH DFND1,23,000,00000
MATTEL INCCOMMON STOCK577081102772,25916,230,750SH DFND1,216,230,75000
MAXIM INTEGRATED PRODUCTS INCCOMMON STOCK57772K101588,71721,093,400SH DFND1,221,093,40000
MCKESSON CORPCOMMON STOCK58155Q10396,840600,000SH DFND1,2600,00000
MEAD JOHNSON NUTRITION COCOMMON STOCK582839106644,4127,693,549SH DFND1,27,693,54900
MEADWESTVACO CORPCOMMON STOCK583334107315,0358,530,585SH DFND1,28,530,58500
MEDTRONIC INCCOMMON STOCK58505510625,826450,000SH DFND1,2450,00000
MELCO CROWN ENTERTAINMENT LTD ADRCOMMON STOCK5854641001,022,99426,083,484SH DFND1,226,083,48400
MERCK & CO INCCOMMON STOCK58933Y105378,0377,553,185SH DFND1,27,553,18500
MERCURY GENERAL CORPCOMMON STOCK58940010071,8061,444,500SH DFND1,21,444,50000
METLIFE INCCOMMON STOCK59156R108123,3962,288,500SH DFND1,22,288,50000
MGM RESORTS INTERNATIONALCOMMON STOCK552953101108,7924,625,500SH DFND1,24,625,50000
MICROSOFT CORPCOMMON STOCK5949181043,152,62384,227,160SH DFND1,284,227,16000
MINDRAY MEDICAL INTL LTD CL A ADRCOMMON STOCK6026751004,581126,000SH DFND1,2126,00000
MINE SAFETY APPLIANCES COCOMMON STOCK60272010411,061216,000SH DFND1,2216,00000
MISTRAS GROUP INCCOMMON STOCK60649T10713,029624,000SH DFND1,2624,00000
MOBILE TELESYSTEMS OJSC ADRCOMMON STOCK607409109724,94533,515,715SH DFND1,233,515,71500
MONDELEZ INTERNATIONAL INCCOMMON STOCK609207105957,70327,130,400SH DFND1,227,130,40000
MOOG INC CL ACOMMON STOCK615394202255,3193,758,000SH DFND1,23,758,00000
MOTOROLA SOLUTIONS INCCOMMON STOCK6200763071,192,98917,673,905SH DFND1,217,673,90500
MOUNTAIN PROVINCE DIAMONDS INCCOMMON STOCK62426E40211,0672,222,222SH DFND1,22,222,22200
MSC INDUSTRIAL DIRECT CO INC CL ACOMMON STOCK55353010636,392450,000SH DFND1,2450,00000
MYRIAD GENETICS INCCOMMON STOCK62855J104159,9707,624,885SH DFND1,27,624,88500
NATIONAL GRID PLC ADRCOMMON STOCK63627430092,2711,412,599SH DFND1,21,412,59900
NETEASE INC ADRCOMMON STOCK64110W102666,8058,483,528SH DFND1,28,483,52800
NETFLIX INCCOMMON STOCK64110L1061,902,0195,166,144SH DFND1,25,166,14400
NEW YORK COMMUNITY BANCORP INCCOMMON STOCK649445103179,65510,662,000SH DFND1,210,662,00000
NEWMONT MINING CORPCOMMON STOCK651639106139,4406,054,690SH DFND1,26,054,69000
NEWS CORP CL A (LIMITED VOTING)COMMON STOCK65249B10992,2755,120,704SH DFND1,25,120,70400
NEXTERA ENERGY INCCOMMON STOCK65339F101292,9063,421,000SH DFND1,23,421,00000
NIELSEN HOLDINGS NVCOMMON STOCKB4NTRF51,636,59135,663,340SH DFND1,235,663,34000
NIKE INC CL BCOMMON STOCK6541061032,070,03026,322,870SH DFND1,226,322,87000
NORDSON CORPCOMMON STOCK65566310275,0431,010,000SH DFND1,21,010,00000
NORDSTROM INCCOMMON STOCK655664100423,8896,859,050SH DFND1,26,859,05000
NORFOLK SOUTHERN CORPCOMMON STOCK655844108159,5561,718,800SH DFND1,21,718,80000
NORTHEAST UTILITIESCOMMON STOCK6643971067,715182,000SH DFND1,2182,00000
NOVADAQ TECHNOLOGIES INC (USD)COMMON STOCK66987G10265,9874,001,648SH DFND1,24,001,64800
NOVARTIS AG NAMEN ADRCOMMON STOCK66987V109197,4982,457,056SH DFND1,22,457,05600
NRG ENERGY INCCOMMON STOCK629377508851,28529,640,828SH DFND1,229,640,82800
NRG YIELD INC CL ACOMMON STOCK62942X10816,142403,457SH DFND1,2403,45700
NUVASIVE INCCOMMON STOCK670704105116,0823,590,522SH DFND1,23,590,52200
OASIS PETROLEUM INCCOMMON STOCK67421510844,528948,000SH DFND1,2948,00000
OCWEN FINANCIAL CORPCOMMON STOCK675746309713,37512,865,186SH DFND1,212,865,18600
OLD REPUBLIC INTL CORPCOMMON STOCK680223104332,81419,271,200SH DFND1,219,271,20000
OM GROUP INCCOMMON STOCK67087210093,0282,555,000SH DFND1,22,555,00000
ON SEMICONDUCTOR CORPCOMMON STOCK68218910513,1841,600,000SH DFND1,21,600,00000
OPENTABLE INCCOMMON STOCK68372A104124,6781,570,840SH DFND1,21,570,84000
ORACLE CORPCOMMON STOCK68389X1055,874,797153,549,331SH DFND1,2153,549,33100
OREXIGEN THERAPEUTICS INCCOMMON STOCK68616410469,91512,418,299SH DFND1,212,418,29900
ORTHOFIX INTL NVCOMMON STOCK264454714,354629,000SH DFND1,2629,00000
OXFORD INDUSTRIES INCCOMMON STOCK69149730921,803270,268SH DFND1,2270,26800
PACCAR INCCOMMON STOCK693718108501,4608,474,900SH DFND1,28,474,90000
PALO ALTO NETWORKS INCCOMMON STOCK697435105390,3936,792,979SH DFND1,26,792,97900
PANDORA MEDIA INCCOMMON STOCK69835410730,7761,157,000SH DFND1,21,157,00000
PAYCHEX INCCOMMON STOCK70432610745,5301,000,000SH DFND1,21,000,00000
PENSKE AUTO GROUP INCCOMMON STOCK70959W103157,7033,344,000SH DFND1,23,344,00000
PENTAIR LTDCOMMON STOCKB8DTTS062,136800,000SH DFND1,2800,00000
PEPSICO INCCOMMON STOCK713448108749,5039,036,688SH DFND1,29,036,68800
PETROLEO BRASILEIRO PN ADR (PETROBRAS)COMMON STOCK71654V101288,51219,640,000SH DFND1,219,640,00000
PFIZER INCCOMMON STOCK717081103166,9345,450,000SH DFND1,25,450,00000
PG&E CORPCOMMON STOCK69331C108723,34817,958,000SH DFND1,217,958,00000
PHILIP MORRIS INTERNATIONALCOMMON STOCK7181721098,501,36097,570,982SH DFND1,297,570,98200
PHILIPPINE LDTEL ADRCOMMON STOCK7182526049,932165,321SH DFND1,2165,32100
PITNEY BOWES INCCOMMON STOCK72447910046,6002,000,000SH DFND1,22,000,00000
PLAINS GP HOLDINGS LP CL ACOMMON STOCK72651A108175,8796,570,000SH DFND1,26,570,00000
PLATINUM GROUP METALS LTDCOMMON STOCK72765Q20516,11013,475,000SH DFND1,213,475,00000
PNC FINANCIAL SERVICES GROUP INCCOMMON STOCK693475105229,2492,955,000SH DFND1,22,955,00000
POLYONE CORPCOMMON STOCK73179P10684,0332,377,168SH DFND1,22,377,16800
POLYPORE INTERNATIONAL INCCOMMON STOCK73179V103196,5235,052,000SH DFND1,25,052,00000
POWER INTEGRATIONS INCCOMMON STOCK73927610336,283650,000SH DFND1,2650,00000
PPL CORPORATIONCOMMON STOCK69351T106128,2634,262,650SH DFND1,24,262,65000
PRAXAIR INCCOMMON STOCK74005P1041,650,05112,689,769SH DFND1,212,689,76900
PRECISION CASTPARTSCOMMON STOCK7401891051,449,3835,382,038SH DFND1,25,382,03800
PRINCIPAL FINANCIAL GROUPCOMMON STOCK74251V1021,012,46320,532,600SH DFND1,220,532,60000
PROCTER & GAMBLE COCOMMON STOCK742718109423,0555,196,600SH DFND1,25,196,60000
PROGRESSIVE CORPCOMMON STOCK743315103875,14932,091,990SH DFND1,232,091,99000
PRUDENTIAL FINANCIAL INCCOMMON STOCK744320102730,1257,917,210SH DFND1,27,917,21000
PUBLIC SERVICE ENTERPRISE GROUP INCCOMMON STOCK744573106241,1847,527,600SH DFND1,27,527,60000
PUBLIC STORAGE (REIT)COMMON STOCK74460D109514,3723,417,300SH DFND1,23,417,30000
QIAGEN NVCOMMON STOCK573282570,3953,021,565SH DFND1,23,021,56500
QIWI PLC CL B ADRCOMMON STOCK74735M10848,877872,800SH DFND1,2872,80000
QUNAR CAYMAN ISLANDS LTD B ADRCOMMON STOCK74906P1045,306200,000SH DFND1,2200,00000
R.R. DONNELLEY & SONS COCOMMON STOCK257867101186,1909,180,957SH DFND1,29,180,95700
RACKSPACE HOSTING INCCOMMON STOCK750086100161,7644,134,013SH DFND1,24,134,01300
RANGE RESOURCES CORPCOMMON STOCK75281A10945,949545,000SH DFND1,2545,00000
REMARK MEDIA INCCOMMON STOCK75954W1071,673359,017SH DFND1,2359,01700
RESMED INCCOMMON STOCK761152107388,1288,244,000SH DFND1,28,244,00000
REYNOLDS AMERICAN INCCOMMON STOCK761713106767,26315,348,332SH DFND1,215,348,33200
RF MICRO DEVICES INCCOMMON STOCK74994110015,7123,045,000SH DFND1,23,045,00000
ROBERT HALF INTLCOMMON STOCK77032310337,791900,000SH DFND1,2900,00000
ROCKWELL AUTOMATION INCCOMMON STOCK773903109345,5002,924,000SH DFND1,22,924,00000
ROYAL CARIBBEAN CRUISES LTDCOMMON STOCK275490723,710500,000SH DFND1,2500,00000
ROYAL DUTCH SHELL PLC A ADRCOMMON STOCK780259206844,29311,846,407SH DFND1,211,846,40700
ROYAL DUTCH SHELL PLC B ADRCOMMON STOCK780259107112,2741,494,800SH DFND1,21,494,80000
RPM INTERNATIONAL INCCOMMON STOCK749685103249,0606,000,000SH DFND1,26,000,00000
RYANAIR HOLDINGS PLC ADRCOMMON STOCK783513104937,67619,980,320SH DFND1,219,980,32000
SBA COMMUNICATIONS CORP CL ACOMMON STOCK78388J106140,6001,565,000SH DFND1,21,565,00000
SCHLUMBERGER LTDCOMMON STOCK8068571082,860,37031,743,089SH DFND1,231,743,08900
SCIQUEST INCCOMMON STOCK80908T10126,771940,000SH DFND1,2940,00000
SEAGATE TECHNOLOGYCOMMON STOCKB58JVZ5294,1415,237,557SH DFND1,25,237,55700
SEALED AIR CORPCOMMON STOCK81211K100108,9603,200,000SH DFND1,23,200,00000
SEAWORLD ENTERTAINMENT INCCOMMON STOCK81282V10067,6102,350,000SH DFND1,22,350,00000
SEMPRA ENERGYCOMMON STOCK816851109216,6682,413,861SH DFND1,22,413,86100
SEMTECH CORPCOMMON STOCK81685010120,502811,000SH DFND1,2811,00000
SENSATA TECHNOLOGIES HOLDING NVCOMMON STOCKB62S207323,9748,356,300SH DFND1,28,356,30000
SHERWIN-WILLIAMS COCOMMON STOCK824348106121,110660,000SH DFND1,2660,00000
SIGMA-ALDRICH CORPCOMMON STOCK826552101112,8121,200,000SH DFND1,21,200,00000
SIGNATURE BANKCOMMON STOCK82669G104177,7331,654,559SH DFND1,21,654,55900
SILGAN HOLDINGS INCCOMMON STOCK82704810994,3061,963,892SH DFND1,21,963,89200
SILICON GRAPHICS INTERNATIONAL CORPCOMMON STOCK82706L10818,1711,355,000SH DFND1,21,355,00000
SINA CORPCOMMON STOCK25792309,478112,500SH DFND1,2112,50000
SOUTHERN COCOMMON STOCK842587107458,37711,150,000SH DFND1,211,150,00000
SOUTHWEST AIRLINES COCOMMON STOCK844741108163,9148,700,300SH DFND1,28,700,30000
SOUTHWESTERN ENERGY COMPANYCOMMON STOCK8454671091,445,39536,750,443SH DFND1,236,750,44300
SPECTRA ENERGY CORPCOMMON STOCK847560109185,7135,213,720SH DFND1,25,213,72000
SPLUNK INCCOMMON STOCK84863710430,757447,900SH DFND1,2447,90000
SPRINGLEAF HOLDINGS INCCOMMON STOCK85172J10125,2801,000,000SH DFND1,21,000,00000
SPRINT CORPCOMMON STOCK85207U105116,81910,866,885SH DFND1,210,866,88500
SPROUTS FARMERS MARKET INCCOMMON STOCK85208M10215,945414,900SH DFND1,2414,90000
ST JUDE MEDICALCOMMON STOCK7908491031,927,52631,114,216SH DFND1,231,114,21600
STARWOOD PROPERTY TRUST INC (REIT)COMMON STOCK85571B105486,74417,572,000SH DFND1,217,572,00000
STATE STREET CORPCOMMON STOCK857477103309,5594,218,000SH DFND1,24,218,00000
STILLWATER MINING COCOMMON STOCK86074Q10226,0992,115,000SH DFND1,22,115,00000
STRYKER CORPCOMMON STOCK8636671011,336,90717,792,221SH DFND1,217,792,22100
SUN LIFE FINANCIAL INCCOMMON STOCK866796105279,5577,914,700SH DFND1,27,914,70000
SURGICAL CARE AFFILIATES INCCOMMON STOCK86881L10621,009603,000SH DFND1,2603,00000
SVB FINANCIAL GROUPCOMMON STOCK78486Q101188,3291,796,000SH DFND1,21,796,00000
SYNAGEVA BIOPHARMA CORPCOMMON STOCK87159A103243,6983,765,423SH DFND1,23,765,42300
T-MOBILE US INCCOMMON STOCK872590104905,17826,907,788SH DFND1,226,907,78800
TANGOE INCCOMMON STOCK87582Y10811,006611,090SH DFND1,2611,09000
TEAM HEALTH HOLDINGS INCCOMMON STOCK87817A10758,7391,289,545SH DFND1,21,289,54500
TELEFLEX INCCOMMON STOCK879369106109,8071,169,900SH DFND1,21,169,90000
TELEPHONE AND DATA SYSTEMS INCCOMMON STOCK87943382952,6822,043,530SH DFND1,22,043,53000
TESLA MOTORS INCCOMMON STOCK88160R101511,1963,399,363SH DFND1,23,399,36300
TEVA PHARMACEUTICAL INDUSTRIES LTD ADRCOMMON STOCK8816242091,941,16748,432,300SH DFND1,248,432,30000
TEXAS CAPITAL BANCSHARES INCCOMMON STOCK88224Q10733,119532,454SH DFND1,2532,45400
TEXAS INSTRUMENTS INCCOMMON STOCK8825081044,316,13298,294,972SH DFND1,298,294,97200
TEXAS ROADHOUSE INCCOMMON STOCK882681109127,5244,587,200SH DFND1,24,587,20000
TEXTRON INCCOMMON STOCK883203101671,09418,256,086SH DFND1,218,256,08600
THERMO FISHER SCIENTIFIC INCCOMMON STOCK8835561021,319,01611,845,676SH DFND1,211,845,67600
TIFFANY & COCOMMON STOCK886547108136,3181,469,265SH DFND1,21,469,26500
TIME WARNER CABLE INCCOMMON STOCK88732J20742,427313,116SH DFND1,2313,11600
TIME WARNER INCCOMMON STOCK8873173031,761,60425,266,837SH DFND1,225,266,83700
TJX COMPANIES INC (THE)COMMON STOCK872540109191,1903,000,000SH DFND1,23,000,00000
TOLL BROTHERS INCCOMMON STOCK889478103249,7506,750,000SH DFND1,26,750,00000
TORCHMARK CORPCOMMON STOCK89102710493,7801,200,000SH DFND1,21,200,00000
TOWERS WATSON & CO CL ACOMMON STOCK891894107413,4333,239,819SH DFND1,23,239,81900
TRAVELCENTERS OF AMERICA LLCCOMMON STOCK89417410123,6072,423,750SH DFND1,22,423,75000
TRIMBLE NAVIGATION LTDCOMMON STOCK896239100295,5238,516,500SH DFND1,28,516,50000
TRIQUINT SEMICONDCTRCOMMON STOCK89674K10338,9064,665,000SH DFND1,24,665,00000
TW TELECOM INCCOMMON STOCK87311L10469,3192,275,000SH DFND1,22,275,00000
TWENTY-FIRST CENTURY FOX INC CL A (LIMITED VOTING)COMMON STOCK90130A1011,264,79435,952,083SH DFND1,235,952,08300
UAL CORP CV SR NT 6.0% 10-15-29CORP CONV BOND902549AJ366,07515,000,000PRN DFND1,215,000,00000
UBS AG NAMENCOMMON STOCKB18YFJ41,077,71456,818,825SH DFND1,256,818,82500
ULTRA PETROLEUM CORPCOMMON STOCK903914109300,24213,868,000SH DFND1,213,868,00000
UNION PACIFIC CORPCOMMON STOCK9078181082,495,39814,853,557SH DFND1,214,853,55700
UNITED BANKSHRS INCCOMMON STOCK9099071077,318232,683SH DFND1,2232,68300
UNITED CONTINENTAL HOLDINGS INCCOMMON STOCK910047109845,21722,342,500SH DFND1,222,342,50000
UNITED PARCEL SERVICE INC CL BCOMMON STOCK9113121062,338,21322,251,740SH DFND1,222,251,74000
UNITED STATES CELLULAR CORPCOMMON STOCK91168410836,542873,800SH DFND1,2873,80000
UNITED STATES STEEL CORPCOMMON STOCK912909108181,1956,142,200SH DFND1,26,142,20000
UNITED TECHNOLOGIES CORPCOMMON STOCK913017109624,1165,484,326SH DFND1,25,484,32600
UNITEDHEALTH GROUP INCCOMMON STOCK91324P1022,808,96337,303,623SH DFND1,237,303,62300
US BANCORPCOMMON STOCK902973304378,1889,361,079SH DFND1,29,361,07900
VALSPAR CORPORATION (THE)COMMON STOCK920355104276,8393,883,285SH DFND1,23,883,28500
VENTAS INC (REIT)COMMON STOCK92276F10010,196178,000SH DFND1,2178,00000
VERISK ANALYTICS INC CL ACOMMON STOCK92345Y106436,4016,640,300SH DFND1,26,640,30000
VERIZON COMMUNICATIONS INCCOMMON STOCK92343V1044,875,58099,218,160SH DFND1,299,218,16000
VISA INC CL ACOMMON STOCK92826C839222,6801,000,000SH DFND1,21,000,00000
VMWARE INC CL ACOMMON STOCK928563402312,1913,480,000SH DFND1,23,480,00000
VODAFONE GROUP PLC ADRCOMMON STOCK92857W209385,2389,800,000SH DFND1,29,800,00000
WAL-MART STORES INCCOMMON STOCK9311421031702,160SH DFND1,22,16000
WALGREEN COCOMMON STOCK931422109537,8809,364,200SH DFND1,29,364,20000
WASTE CONNECTIONS INCCOMMON STOCK94105310060,3801,383,901SH DFND1,21,383,90100
WASTE MANAGEMENT INCCOMMON STOCK94106L1091,339,24529,847,220SH DFND1,229,847,22000
WEIGHT WATCHERS INTL INCCOMMON STOCK948626106161,2584,897,000SH DFND1,24,897,00000
WELLS FARGO & COCOMMON STOCK94974610161,8481,362,300SH DFND1,21,362,30000
WENDYS COCOMMON STOCK95058W100101,00411,583,000SH DFND1,211,583,00000
WESTERN UNION COCOMMON STOCK9598021091,065,91761,792,300SH DFND1,261,792,30000
WEYERHAEUSER CO (REIT)COMMON STOCK962166104254,6618,066,548SH DFND1,28,066,54800
WHOLE FOODS MARKET INCCOMMON STOCK966837106353,3416,110,000SH DFND1,26,110,00000
WILLIAMS-SONOMA INCCOMMON STOCK969904101440,9467,566,000SH DFND1,27,566,00000
WILLIS GROUP HOLDINGS PLCCOMMON STOCKB4XGY11297,8766,647,539SH DFND1,26,647,53900
WYNN RESORTS LTDCOMMON STOCK983134107637,2993,281,495SH DFND1,23,281,49500
XCEL ENERGY INCCOMMON STOCK98389B100255,1209,131,000SH DFND1,29,131,00000
XILINX INCCOMMON STOCK983919101133,0302,897,000SH DFND1,22,897,00000
YAHOO! INCCOMMON STOCK984332106613,58815,172,798SH DFND1,215,172,79800
YANDEX NV ACOMMON STOCKB5BSZB3349,1708,092,000SH DFND1,28,092,00000
YOUKU TUDOU INC CL A ADRCOMMON STOCK98742U100187,1876,177,800SH DFND1,26,177,80000
YUM! BRANDS INCCOMMON STOCK9884981011,673,68622,135,775SH DFND1,222,135,77500
ZEBRA TECH CORP CL ACOMMON STOCK98920710561,8121,142,965SH DFND1,21,142,96500
ZIMMER HOLDINGS INCCOMMON STOCK98956P102864,5899,277,700SH DFND1,29,277,70000
ZULILY INC CL ACOMMON STOCK9897741049,164221,200SH DFND1,2221,20000