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:Oct 31, 2018
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
180 DEGREE CAP CORPCmn68235B1093618,100SHCallDFND118,10000
1ST SOURCE CORPCmn3369011033326,711SH DFND26,71100
1ST SOURCE CORPCmn33690110355011,131SH DFND 11,13100
21VIANET GROUP INCDepository Receipt90138A10353967,541SH DFND167,54100
21VIANET GROUP INCCmn90138A10323829,800SHCallDFND129,80000
22ND CENTY GROUP INCCmn90137F103665237,374SH DFND1237,37400
22ND CENTY GROUP INCCmn90137F10310236,600SHCallDFND136,60000
22ND CENTY GROUP INCCmn90137F10322379,700SHPutDFND179,70000
2U INCCmn90214J1011,01915,800SHCallDFND115,80000
2U INCCmn90214J1011,69726,300SHPutDFND126,30000
2U INCCmn90214J1014567,069SH DFND 7,06900
3-D SYS CORP DELCmn88554D2056,681773,300SHCallDFND1773,30000
3-D SYS CORP DELCmn88554D2053,022349,800SHPutDFND1349,80000
3-D SYS CORP DELCmn88554D2051,352156,526SH DFND 156,52600
3M COCmn88579Y1016,09625,901SH DFND225,90100
3M COCmn88579Y10150,023212,530SH DFND1212,53000
3M COCmn88579Y10137,306158,500SHCallDFND1158,50000
3M COCmn88579Y101147,624627,200SHPutDFND1627,20000
500 COM LTDDepository Receipt33829R10018818,606SH DFND118,60600
500 COM LTDCmn33829R10022021,800SHCallDFND121,80000
51JOB INCBond316827AC816,35811,109,000PRN DFND 000
58 COM INCDepository Receipt31680Q1041,97727,620SH DFND127,62000
58 COM INCCmn31680Q1043,66451,200SHCallDFND151,20000
58 COM INCCmn31680Q1048,066112,700SHPutDFND1112,70000
8X8 INC NEWCmn28291410037526,593SH DFND126,59300
8X8 INC NEWCmn28291410021615,300SHCallDFND115,30000
8X8 INC NEWCmn2829141003,673260,529SH DFND 260,52900
A10 NETWORKS INCCmn00212110111715,177SH DFND215,17700
A10 NETWORKS INCCmn0021211011,705220,905SH DFND 220,90500
AAC HLDGS INCCmn00030710826028,910SH DFND228,91000
AAON INCCmn0003602063,27189,136SH DFND 89,13600
AAR CORPCmn0003611052676,800SHPutDFND16,80000
AAR CORPCmn0003611053549,018SH DFND 9,01800
AARONS INCCmn00253530090622,726SH DFND122,72600
AARONS INCCmn0025353001,72643,300SHCallDFND143,30000
AARONS INCCmn00253530060215,100SHPutDFND115,10000
AARONS INCCmn00253530096,9782,433,572SH DFND 2,433,57200
AARONS INCCmn0025353001,83746,100SHPutDFND 46,10000
ABAXIS INCCmn0025671052976,000SHPutDFND16,00000
ABAXIS INCCmn0025671053,52671,198SH DFND 71,19800
ABB LTDDepository Receipt0003752041,55958,145SH DFND158,14500
ABB LTDCmn0003752041,47254,900SHCallDFND154,90000
ABB LTDCmn00037520444516,600SHPutDFND116,60000
ABBOTT LABSCmn0028241003,37059,042SH DFND259,04200
ABBOTT LABSCmn00282410019,949349,554SH DFND1349,55400
ABBOTT LABSCmn00282410013,703240,100SHCallDFND1240,10000
ABBOTT LABSCmn00282410027,582483,300SHPutDFND1483,30000
ABBOTT LABSCmn002824100347,0696,081,457SH DFND 6,081,45700
ABBVIE INCCmn00287Y10910,202105,491SH DFND2105,49100
ABBVIE INCCmn00287Y1097,15974,021SH DFND174,02100
ABBVIE INCCmn00287Y10957,987599,600SHCallDFND1599,60000
ABBVIE INCCmn00287Y10960,782628,500SHPutDFND1628,50000
ABBVIE INCCmn00287Y10911,812122,142SH DFND 122,14200
ABBVIE INCCmn00287Y1098,99493,000SHCallDFND 93,00000
ABBVIE INCCmn00287Y1098,99493,000SHPutDFND 93,00000
ABEONA THERAPEUTICS INCCmn00289Y10719912,575SH DFND212,57500
ABEONA THERAPEUTICS INCCmn00289Y10736022,700SHCallDFND122,70000
ABEONA THERAPEUTICS INCCmn00289Y10718111,400SHPutDFND111,40000
ABERCROMBIE & FITCH COCmn00289620788450,716SH DFND250,71600
ABERCROMBIE & FITCH COCmn0028962076,214356,500SHCallDFND1356,50000
ABERCROMBIE & FITCH COCmn0028962071,44382,800SHPutDFND182,80000
ABERCROMBIE & FITCH COCmn00289620729,0651,667,530SH DFND 1,667,53000
ABERDEEN ASIA PACIFIC INCOMCmn0030091075711,640SH DFND111,64000
ABERDEEN AUSTRALIA EQTY FD ICmn0030111039514,980SH DFND114,98000
ABILITY INCCmnG8789K1081534,688SH DFND134,68800
ABIOMED INCCmn0036541004022,147SH DFND22,14700
ABIOMED INCCmn0036541002,06511,017SH DFND111,01700
ABIOMED INCCmn0036541002,09911,200SHCallDFND111,20000
ABIOMED INCCmn0036541005,19127,700SHPutDFND127,70000
ABLYNX NVDepository Receipt00372Y10520,300812,329SH DFND 812,32900
ABM INDS INCCmn00095710055614,753SH DFND 14,75300
ABRAXAS PETE CORPCmn00383010612851,969SH DFND251,96900
ABSOLUTE SHS TRCmn00400R88283633,502SH DFND133,50200
ABSOLUTE SHS TRCmn00400R8742489,769SH DFND19,76900
ABSOLUTE SHS TRCmn00400R50249619,036SH DFND119,03600
ABSOLUTE SHS TRCmn00400R80976727,940SH DFND127,94000
ABSOLUTE SHS TRCmn00400R60147016,269SH DFND116,26900
ABSOLUTE SHS TRCmn00400R10628411,282SH DFND111,28200
ABSOLUTE SHS TRCmn00400R40335914,645SH DFND114,64500
ABSOLUTE SHS TRCmn00400R20542716,195SH DFND116,19500
ABSOLUTE SHS TRCmn00400R30424310,870SH DFND110,87000
AC IMMUNE SACmnH0026310599377,592SH DFND 77,59200
ACACIA COMMUNICATIONS INCCmn00401C1081,35937,522SH DFND137,52200
ACACIA COMMUNICATIONS INCCmn00401C1082,00755,400SHCallDFND155,40000
ACACIA COMMUNICATIONS INCCmn00401C1082,22861,500SHPutDFND161,50000
ACACIA RESH CORPCmn0038813077117,547SH DFND117,54700
ACACIA RESH CORPCmn00388130711528,400SHPutDFND128,40000
ACADIA HEALTHCARE COMPANY INCmn00404A1095,572170,764SH DFND2170,76400
ACADIA HEALTHCARE COMPANY INCmn00404A1094,930151,103SH DFND1151,10300
ACADIA HEALTHCARE COMPANY INCmn00404A1092979,100SHCallDFND19,10000
ACADIA HEALTHCARE COMPANY INCmn00404A10939512,100SHPutDFND112,10000
ACADIA HEALTHCARE COMPANY INCmn00404A10935710,954SH DFND 10,95400
ACADIA PHARMACEUTICALS INCCmn0042251082,36678,592SH DFND178,59200
ACADIA PHARMACEUTICALS INCCmn0042251082,12370,500SHCallDFND170,50000
ACADIA PHARMACEUTICALS INCCmn0042251081,80760,000SHPutDFND160,00000
ACADIA RLTY TRCmn0042391091,76364,455SH DFND264,45500
ACADIA RLTY TRCmn00423910938414,038SH DFND114,03800
ACADIA RLTY TRCmn00423910919,032695,623SH DFND 695,62300
ACASTI PHARMA INCCmn00430K4022425,980SH DFND125,98000
ACCELERATE DIAGNOSTICS INCCmn00430H1021,20345,900SHCallDFND145,90000
ACCELERATE DIAGNOSTICS INCCmn00430H1021,07240,900SHPutDFND140,90000
ACCELERON PHARMA INCCmn00434H1083678,658SH DFND28,65800
ACCELERON PHARMA INCCmn00434H1083,23276,161SH DFND 76,16100
ACCENTURE PLC IRELANDCmnG1151C10116,702109,096SH DFND2109,09600
ACCENTURE PLC IRELANDCmnG1151C1019,19960,088SH DFND160,08800
ACCENTURE PLC IRELANDCmnG1151C10124,571160,500SHCallDFND1160,50000
ACCENTURE PLC IRELANDCmnG1151C10131,552206,100SHPutDFND1206,10000
ACCESS NATL CORPCmn00433710129110,458SH DFND 10,45800
ACCO BRANDS CORPCmn00081T10824820,313SH DFND220,31300
ACCO BRANDS CORPCmn00081T10891975,318SH DFND175,31800
ACCURAY INCCmn00439710518142,059SH DFND242,05900
ACCURAY INCCmn0043971051,216282,777SH DFND1282,77700
ACCURAY INCCmn00439710510023,200SHCallDFND123,20000
ACCURAY INCCmn00439710514333,300SHPutDFND133,30000
ACCURAY INCBond004397AF27,9177,855,000PRN DFND 000
ACELRX PHARMACEUTICALS INCCmn00444T100314155,158SH DFND1155,15800
ACELRX PHARMACEUTICALS INCCmn00444T1007939,200SHCallDFND139,20000
ACELRX PHARMACEUTICALS INCCmn00444T1009446,200SHPutDFND146,20000
ACETO CORPCmn00444610040439,154SH DFND139,15400
ACETO CORPCmn0044461002,230215,902SH DFND 215,90200
ACHAOGEN INCCmn00444910434432,005SH DFND132,00500
ACHAOGEN INCCmn00444910432029,800SHCallDFND129,80000
ACHAOGEN INCCmn00444910463058,700SHPutDFND158,70000
ACHILLION PHARMACEUTICALS INCmn00448Q2011,343466,146SH DFND2466,14600
ACHILLION PHARMACEUTICALS INCmn00448Q201613212,892SH DFND1212,89200
ACHILLION PHARMACEUTICALS INCmn00448Q2013612,400SHCallDFND112,40000
ACHILLION PHARMACEUTICALS INCmn00448Q20117360,100SHPutDFND160,10000
ACHILLION PHARMACEUTICALS INCmn00448Q20116055,606SH DFND 55,60600
ACI WORLDWIDE INCCmn00449810167429,714SH DFND229,71400
ACI WORLDWIDE INCCmn00449810110,197449,788SH DFND 449,78800
ACLARIS THERAPEUTICS INCCmn00461U1053,660148,415SH DFND 148,41500
ACORDA THERAPEUTICS INCCmn00484M1062069,600SHCallDFND19,60000
ACORDA THERAPEUTICS INCCmn00484M10634115,900SHPutDFND115,90000
ACORDA THERAPEUTICS INCBond00484MAA425,60330,000,000PRN DFND 000
ACTIVISION BLIZZARD INCCmn00507V10938,521608,352SH DFND1608,35200
ACTIVISION BLIZZARD INCCmn00507V10935,864566,400SHCallDFND1566,40000
ACTIVISION BLIZZARD INCCmn00507V10967,3851,064,200SHPutDFND11,064,20000
ACTIVISION BLIZZARD INCCmn00507V109148,8342,350,501SH DFND 2,350,50100
ACTUA CORPCmn0050941071,958125,491SH DFND 125,49100
ACTUANT CORPCmn00508X2032188,600SHPutDFND18,60000
ACUITY BRANDS INCCmn00508Y1021,97711,232SH DFND211,23200
ACUITY BRANDS INCCmn00508Y1023,11617,705SH DFND117,70500
ACUITY BRANDS INCCmn00508Y1024,94628,100SHCallDFND128,10000
ACUITY BRANDS INCCmn00508Y1028,78249,900SHPutDFND149,90000
ACUITY BRANDS INCCmn00508Y10214,51382,462SH DFND 82,46200
ACUSHNET HOLDINGS CORPCmn0050981088,706412,982SH DFND 412,98200
ACXIOM CORPCmn0051251091,77764,469SH DFND264,46900
ACXIOM CORPCmn0051251092077,500SHCallDFND17,50000
ACXIOM CORPCmn0051251095,280191,581SH DFND 191,58100
ADAMAS PHARMACEUTICALS INCCmn00548A10679323,400SHCallDFND123,40000
ADAMAS PHARMACEUTICALS INCCmn00548A10642712,600SHPutDFND112,60000
ADAMAS PHARMACEUTICALS INCCmn00548A1069,934293,133SH DFND 293,13300
ADAMIS PHARMACEUTICALS CORPCmn00547W20838487,213SH DFND187,21300
ADAMIS PHARMACEUTICALS CORPCmn00547W20815134,300SHPutDFND134,30000
ADIENT PLCCmnG0084W1014255,402SH DFND15,40200
ADIENT PLCCmnG0084W10179510,100SHCallDFND110,10000
ADIENT PLCCmnG0084W1012,12527,000SHPutDFND127,00000
ADOBE SYS INCCmn00724F10114,93885,245SH DFND285,24500
ADOBE SYS INCCmn00724F10179,906455,978SH DFND1455,97800
ADOBE SYS INCCmn00724F10182,012468,000SHCallDFND1468,00000
ADOBE SYS INCCmn00724F101195,6731,116,600SHPutDFND11,116,60000
ADOBE SYS INCCmn00724F101289,4211,651,571SH DFND 1,651,57100
ADTALEM GLOBAL ED INCCmn00737L1032165,132SH DFND15,13200
ADTALEM GLOBAL ED INCCmn00737L1032485,900SHCallDFND15,90000
ADTALEM GLOBAL ED INCCmn00737L1033037,200SHPutDFND17,20000
ADTALEM GLOBAL ED INCCmn00737L1031,17928,028SH DFND 28,02800
ADTRAN INCCmn00738A10627514,201SH DFND114,20100
ADTRAN INCCmn00738A10642021,700SHCallDFND121,70000
ADTRAN INCCmn00738A1064,944255,528SH DFND 255,52800
ADURO BIOTECH INCCmn00739L101821109,524SH DFND1109,52400
ADURO BIOTECH INCCmn00739L10148865,040SH DFND 65,04000
ADVANCE AUTO PARTS INCCmn00751Y10613,223132,643SH DFND2132,64300
ADVANCE AUTO PARTS INCCmn00751Y10615,164152,115SH DFND1152,11500
ADVANCE AUTO PARTS INCCmn00751Y1069,71097,400SHCallDFND197,40000
ADVANCE AUTO PARTS INCCmn00751Y10617,316173,700SHPutDFND1173,70000
ADVANCED ACCELERATOR APPLICDepository Receipt00790T10093111,401SH DFND111,40100
ADVANCED ACCELERATOR APPLICCmn00790T1003434,200SHPutDFND14,20000
ADVANCED DISP SVCS INC DELCmn00790X1011,25452,401SH DFND152,40100
ADVANCED DISP SVCS INC DELCmn00790X1016,945290,098SH DFND 290,09800
ADVANCED DRAIN SYS INC DELCmn00790R10462926,384SH DFND126,38400
ADVANCED DRAIN SYS INC DELCmn00790R1043,951165,674SH DFND 165,67400
ADVANCED ENERGY INDSCmn0079731005,74185,081SH DFND285,08100
ADVANCED ENERGY INDSCmn0079731005,51081,650SH DFND181,65000
ADVANCED ENERGY INDSCmn0079731001,35620,100SHCallDFND120,10000
ADVANCED ENERGY INDSCmn0079731005,85786,800SHPutDFND186,80000
ADVANCED ENERGY INDSCmn0079731004,98873,925SH DFND 73,92500
ADVANCED MICRO DEVICES INCCmn0079031071,673162,698SH DFND1162,69800
ADVANCED MICRO DEVICES INCCmn00790310766,2546,444,900SHCallDFND16,444,90000
ADVANCED MICRO DEVICES INCCmn00790310761,4095,973,600SHPutDFND15,973,60000
ADVANCED MICRO DEVICES INCCmn0079031074,733460,395SH DFND 460,39500
ADVANCED MICRO DEVICES INCCmn0079031073,291320,100SHCallDFND 320,10000
ADVANCED MICRO DEVICES INCCmn00790310713,0001,264,600SHPutDFND 1,264,60000
ADVANCED SEMICONDUCTOR ENGRDepository Receipt00756M40417426,877SH DFND126,87700
ADVANSIX INCCmn00773T1013,18175,610SH DFND175,61000
ADVANTAGE OIL & GAS LTDCmn00765F10114132,687SH DFND232,68700
ADVANTAGE OIL & GAS LTDCmn00765F10128165,383SH DFND165,38300
ADVAXIS INCCmn00762420815052,793SH DFND152,79300
ADVAXIS INCCmn00762420814852,200SHPutDFND152,20000
ADVENT CLAY CONV SEC INC FDCmn0076391077812,987SH DFND112,98700
ADVERUM BIOTECHNOLOGIES INCCmn00773U10810329,490SH DFND229,49000
ADVERUM BIOTECHNOLOGIES INCCmn00773U1086217,699SH DFND117,69900
ADVISORSHARES TRCmn00768Y50344912,417SH DFND112,41700
ADVISORSHARES TRCmn00768Y88351765,893SH DFND165,89300
AECOMCmn00766T1001,98053,300SHCallDFND153,30000
AECOMCmn00766T1002757,400SHPutDFND17,40000
AECOMCmn00766T10038310,300SHCallDFND 10,30000
AEGEAN MARINE PETE NETWORK IBondY0020QAA99641,000,000PRN DFND 000
AEGEAN MARINE PETROLEUM NETWCmnY0017S10232074,433SH DFND174,43300
AEGEAN MARINE PETROLEUM NETWCmnY0017S1024711,000SHCallDFND111,00000
AEGERION PHARMACEUTICALS INCBond00767EAB82,4303,000,000PRN DFND 000
AEGION CORPCmn00770F1043,655143,746SH DFND 143,74600
AEGON N VDepository Receipt007924103642101,835SH DFND2101,83500
AEGON N VCmn0079241039114,400SHCallDFND114,40000
AEGON N VCmn0079241037211,500SHPutDFND111,50000
AERCAP HOLDINGS NVCmnN009851064087,756SH DFND17,75600
AERCAP HOLDINGS NVCmnN009851062,27343,200SHCallDFND143,20000
AERCAP HOLDINGS NVCmnN009851063,85173,200SHPutDFND173,20000
AERIE PHARMACEUTICALS INCCmn00771V1082003,351SH DFND13,35100
AERIE PHARMACEUTICALS INCCmn00771V1081,50025,100SHCallDFND125,10000
AERIE PHARMACEUTICALS INCCmn00771V1081,08718,200SHPutDFND118,20000
AERIE PHARMACEUTICALS INCCmn00771V1081,88531,552SH DFND 31,55200
AEROHIVE NETWORKS INCCmn0077861069916,998SH DFND216,99800
AEROHIVE NETWORKS INCCmn00778610615326,200SHCallDFND126,20000
AEROJET ROCKETDYNE HLDGS INCCmn0078001051,23939,700SHCallDFND139,70000
AEROJET ROCKETDYNE HLDGS INCCmn00780010536811,800SHPutDFND111,80000
AEROJET ROCKETDYNE HLDGS INCCmn0078001051,30441,782SH DFND 41,78200
AEROVIRONMENT INCCmn00807310876513,617SH DFND213,61700
AEROVIRONMENT INCCmn0080731081,29122,982SH DFND122,98200
AEROVIRONMENT INCCmn0080731081,38724,700SHCallDFND124,70000
AEROVIRONMENT INCCmn0080731081,42625,400SHPutDFND125,40000
AES CORPCmn00130H10549745,854SH DFND145,85400
AES CORPCmn00130H10533731,100SHCallDFND131,10000
AES CORPCmn00130H10566261,100SHPutDFND161,10000
AETERNA ZENTARIS INCCmn0079754024016,800SHCallDFND116,80000
AETNA INC NEWCmn00817Y10813,50974,889SH DFND174,88900
AETNA INC NEWCmn00817Y1085,62831,200SHCallDFND131,20000
AETNA INC NEWCmn00817Y10823,144128,300SHPutDFND1128,30000
AETNA INC NEWCmn00817Y108166,767924,483SH DFND 924,48300
AETNA INC NEWCmn00817Y1085,41230,000SHPutDFND 30,00000
AEVI GENOMIC MEDICINE INCCmn00835P1053428,090SH DFND128,09000
AFFILIATED MANAGERS GROUPCmn0082521086102,971SH DFND12,97100
AFFILIATED MANAGERS GROUPCmn0082521082,15510,500SHCallDFND110,50000
AFFILIATED MANAGERS GROUPCmn0082521083,20215,600SHPutDFND115,60000
AFFILIATED MANAGERS GROUPCmn00825210897,670475,857SH DFND 475,85700
AFFIMED N VCmnN010451085340,385SH DFND140,38500
AFLAC INCCmn0010551025,38261,312SH DFND161,31200
AFLAC INCCmn0010551028,47196,500SHCallDFND196,50000
AFLAC INCCmn00105510210,481119,400SHPutDFND1119,40000
AG MTG INVT TR INCCmn00122810560531,838SH DFND131,83800
AG MTG INVT TR INCCmn0012281052,122111,621SH DFND 111,62100
AGCO CORPCmn0010841021,22117,098SH DFND217,09800
AGCO CORPCmn0010841025868,200SHCallDFND18,20000
AGCO CORPCmn0010841025718,000SHPutDFND18,00000
AGENUS INCCmn00847G70513842,302SH DFND142,30200
AGENUS INCCmn00847G7059930,400SHCallDFND130,40000
AGENUS INCCmn00847G7059930,300SHPutDFND130,30000
AGILENT TECHNOLOGIES INCCmn00846U1015688,486SH DFND28,48600
AGILENT TECHNOLOGIES INCCmn00846U10114,105210,620SH DFND1210,62000
AGILENT TECHNOLOGIES INCCmn00846U1011,81527,100SHCallDFND127,10000
AGILENT TECHNOLOGIES INCCmn00846U1015,57983,300SHPutDFND183,30000
AGILENT TECHNOLOGIES INCCmn00846U101124,7141,862,236SH DFND 1,862,23600
AGIOS PHARMACEUTICALS INCCmn00847X1045,22991,470SH DFND191,47000
AGIOS PHARMACEUTICALS INCCmn00847X1042925,100SHCallDFND15,10000
AGIOS PHARMACEUTICALS INCCmn00847X10486915,200SHPutDFND115,20000
AGNC INVT CORPCmn00123Q1042,887143,000SHCallDFND1143,00000
AGNC INVT CORPCmn00123Q1041,60779,600SHPutDFND179,60000
AGNICO EAGLE MINES LTDCmn0084741083437,400SH DFND27,40000
AGNICO EAGLE MINES LTDCmn00847410815,378333,000SHCallDFND1333,00000
AGNICO EAGLE MINES LTDCmn00847410811,199242,500SHPutDFND1242,50000
AGNICO EAGLE MINES LTDCmn00847410811,216242,883SH DFND 242,88300
AGREE REALTY CORPCmn00849210015,612303,503SH DFND 303,50300
AGRIUM INCCmn0089161083903,387SH DFND13,38700
AGRIUM INCCmn0089161083913,400SHCallDFND13,40000
AGRIUM INCCmn0089161081,18510,300SHPutDFND110,30000
AGROFRESH SOLUTIONSCmn00856G10912416,695SH DFND216,69500
AGROFRESH SOLUTIONSCmn00856G10927637,353SH DFND 37,35300
AIMMUNE THERAPEUTICS INCCmn00900T10787523,133SH DFND123,13300
AIR INDS GROUPCmn00912N2055029,301SH DFND129,30100
AIR LEASE CORPCmn00912X3022625,454SH DFND15,45400
AIR LEASE CORPCmn00912X30265913,700SHCallDFND113,70000
AIR LEASE CORPCmn00912X30248610,100SHPutDFND110,10000
AIR LEASE CORPCmn00912X30211,197232,824SH DFND 232,82400
AIR PRODS & CHEMS INCCmn00915810611,09367,608SH DFND267,60800
AIR PRODS & CHEMS INCCmn0091581065,56733,930SH DFND133,93000
AIR PRODS & CHEMS INCCmn0091581063,82323,300SHCallDFND123,30000
AIR PRODS & CHEMS INCCmn0091581065,98936,500SHPutDFND136,50000
AIR PRODS & CHEMS INCCmn009158106148,519905,163SH DFND 905,16300
AIR TRANSPORT SERVICES GRP ICmn00922R10527511,900SHPutDFND111,90000
AIRCASTLE LTDCmnG0129K1041,13448,490SH DFND248,49000
AIRCASTLE LTDCmnG0129K10426711,400SHCallDFND111,40000
AIRCASTLE LTDCmnG0129K1047,270310,802SH DFND 310,80200
AIRMEDIA GROUP INCDepository Receipt0094111097464,198SH DFND164,19800
AIRMEDIA GROUP INCCmn0094111092017,800SHCallDFND117,80000
AIRMEDIA GROUP INCCmn0094111091412,600SHPutDFND112,60000
AK STL CORPBond001546AP523,56517,845,000PRN DFND 000
AK STL HLDG CORPCmn0015471085,314938,850SH DFND1938,85000
AK STL HLDG CORPCmn0015471085,083898,000SHCallDFND1898,00000
AK STL HLDG CORPCmn0015471087,6171,345,700SHPutDFND11,345,70000
AK STL HLDG CORPCmn00154710833,9565,999,345SH DFND 5,999,34500
AK STL HLDG CORPCmn0015471081,160205,000SHCallDFND 205,00000
AKAMAI TECHNOLOGIES INCCmn00971T1016409,836SH DFND19,83600
AKAMAI TECHNOLOGIES INCCmn00971T10116,689256,600SHCallDFND1256,60000
AKAMAI TECHNOLOGIES INCCmn00971T10120,761319,200SHPutDFND1319,20000
AKAMAI TECHNOLOGIES INCCmn00971T1012213,403SH DFND 3,40300
AKEBIA THERAPEUTICS INCCmn00972D10522615,200SHCallDFND115,20000
AKORN INCCmn00972810683826,000SHCallDFND126,00000
AKORN INCCmn0097281062808,700SHPutDFND18,70000
AKORN INCCmn0097281062,26070,124SH DFND 70,12400
ALAMO GROUP INCCmn0113111072552,256SH DFND22,25600
ALAMOS GOLD INC NEWCmn01153210862495,847SH DFND195,84700
ALAMOS GOLD INC NEWCmn01153210833351,200SHPutDFND151,20000
ALAMOS GOLD INC NEWCmn01153210858389,492SH DFND289,49200
ALARM COM HLDGS INCCmn0116421057,286193,001SH DFND2193,00100
ALARM COM HLDGS INCCmn0116421051,90650,495SH DFND150,49500
ALARM COM HLDGS INCCmn0116421051,14830,400SHCallDFND130,40000
ALARM COM HLDGS INCCmn0116421051,92551,000SHPutDFND151,00000
ALASKA AIR GROUP INCCmn0116591093,75951,139SH DFND251,13900
ALASKA AIR GROUP INCCmn01165910916,985231,055SH DFND1231,05500
ALASKA AIR GROUP INCCmn0116591099,755132,700SHCallDFND1132,70000
ALASKA AIR GROUP INCCmn01165910923,663321,900SHPutDFND1321,90000
ALBANY INTL CORPCmn01234810870911,543SH DFND 11,54300
ALBEMARLE CORPCmn01265310112,965101,375SH DFND1101,37500
ALBEMARLE CORPCmn01265310112,25295,800SHCallDFND195,80000
ALBEMARLE CORPCmn01265310122,253174,000SHPutDFND1174,00000
ALCOA CORPCmn0138721062,62848,777SH DFND148,77700
ALCOA CORPCmn01387210614,814275,000SHCallDFND1275,00000
ALCOA CORPCmn01387210614,803274,800SHPutDFND1274,80000
ALCOA CORPCmn01387210658110,791SH DFND 10,79100
ALDER BIOPHARMACEUTICALS INCCmn01433910530426,578SH DFND126,57800
ALDER BIOPHARMACEUTICALS INCCmn01433910513411,700SHCallDFND111,70000
ALDER BIOPHARMACEUTICALS INCCmn01433910511510,000SHPutDFND110,00000
ALDER BIOPHARMACEUTICALS INCCmn01433910527,0032,358,363SH DFND 2,358,36300
ALEXANDERS INCCmn014752109274691SH DFND169100
ALEXANDRIA REAL ESTATE EQ INCmn0152711096715,142SH DFND15,14200
ALEXANDRIA REAL ESTATE EQ INCmn0152711093132,400SHCallDFND12,40000
ALEXANDRIA REAL ESTATE EQ INCmn0152711096925,300SHPutDFND15,30000
ALEXANDRIA REAL ESTATE EQ INCmn01527110929,670227,203SH DFND 227,20300
ALEXCO RESOURCE CORPCmn01535P1061610,281SH DFND110,28100
ALEXION PHARMACEUTICALS INCCmn01535110920,516171,553SH DFND1171,55300
ALEXION PHARMACEUTICALS INCCmn0153511097,10459,400SHCallDFND159,40000
ALEXION PHARMACEUTICALS INCCmn01535110921,275177,900SHPutDFND1177,90000
ALEXION PHARMACEUTICALS INCCmn015351109217,0161,814,663SH DFND 1,814,66300
ALEXION PHARMACEUTICALS INCCmn01535110914,650122,500SHPutDFND 122,50000
ALGONQUIN PWR UTILS CORPCmn01585710553047,334SH DFND247,33400
ALIBABA GROUP HLDG LTDDepository Receipt01609W10213,83380,221SH DFND180,22100
ALIBABA GROUP HLDG LTDCmn01609W1021,473,3458,544,600SHCallDFND18,544,60000
ALIBABA GROUP HLDG LTDCmn01609W102769,2274,461,100SHPutDFND14,461,10000
ALIBABA GROUP HLDG LTDDepository Receipt01609W10291,946533,238SH DFND 533,23800
ALIBABA GROUP HLDG LTDCmn01609W1023,50020,300SHCallDFND 20,30000
ALIBABA GROUP HLDG LTDCmn01609W1022761,600SHPutDFND 1,60000
ALIGN TECHNOLOGY INCCmn01625510122,802102,626SH DFND1102,62600
ALIGN TECHNOLOGY INCCmn01625510115,04267,700SHCallDFND167,70000
ALIGN TECHNOLOGY INCCmn01625510125,552115,000SHPutDFND1115,00000
ALIMERA SCIENCES INCCmn0162591037254,299SH DFND154,29900
ALKERMES PLCCmnG0176710587015,900SHCallDFND115,90000
ALKERMES PLCCmnG017671054939,000SHPutDFND19,00000
ALLEGHANY CORP DELCmn017175100247414SH DFND241400
ALLEGHANY CORP DELCmn017175100514863SH DFND186300
ALLEGHANY CORP DELCmn01717510043,86073,579SH DFND 73,57900
ALLEGHENY TECHNOLOGIES INCCmn01741R10295739,645SH DFND239,64500
ALLEGHENY TECHNOLOGIES INCCmn01741R1021,82575,621SH DFND175,62100
ALLEGHENY TECHNOLOGIES INCCmn01741R1021,65468,500SHCallDFND168,50000
ALLEGHENY TECHNOLOGIES INCCmn01741R1021,28953,400SHPutDFND153,40000
ALLEGHENY TECHNOLOGIES INCCmn01741R10221,104874,253SH DFND 874,25300
ALLEGIANT TRAVEL COCmn01748X1028985,800SHCallDFND15,80000
ALLEGIANT TRAVEL COCmn01748X1021,74911,300SHPutDFND111,30000
ALLEGIANT TRAVEL COCmn01748X10245,862296,364SH DFND 296,36400
ALLEGION PUB LTD COCmnG0176J1093,53344,401SH DFND144,40100
ALLEGION PUB LTD COCmnG0176J1093504,400SHPutDFND14,40000
ALLERGAN PLCCmnG0177J1087054,309SH DFND24,30900
ALLERGAN PLCCmnG0177J10890,209551,470SH DFND1551,47000
ALLERGAN PLCCmnG0177J10880,203490,300SHCallDFND1490,30000
ALLERGAN PLCCmnG0177J108134,414821,700SHPutDFND1821,70000
ALLERGAN PLCPref StkG0177J1164,4007,500SH DFND 000
ALLERGAN PLCCmnG0177J1085,59434,200SH DFND 34,20000
ALLERGAN PLCCmnG0177J1089,45557,800SHCallDFND 57,80000
ALLERGAN PLCCmnG0177J10815,81896,700SHPutDFND 96,70000
ALLETE INCCmn0185223002,18029,311SH DFND229,31100
ALLETE INCCmn0185223001,02213,740SH DFND113,74000
ALLIANCE DATA SYSTEMS CORPCmn0185811084,21916,644SH DFND116,64400
ALLIANCE DATA SYSTEMS CORPCmn0185811086,46425,500SHCallDFND125,50000
ALLIANCE DATA SYSTEMS CORPCmn01858110810,26640,500SHPutDFND140,50000
ALLIANCE DATA SYSTEMS CORPCmn01858110840,905161,373SH DFND 161,37300
ALLIANCE HOLDINGS GP LPCmn01861G10048818,200SHPutDFND118,20000
ALLIANCE RES PARTNER L PCmn01877R10837418,981SH DFND118,98100
ALLIANCE RES PARTNER L PCmn01877R10826213,300SHCallDFND113,30000
ALLIANCE RES PARTNER L PCmn01877R10826813,600SHPutDFND113,60000
ALLIANCEBERNSTEIN GBL HGH INCmn01879R10622417,543SH DFND117,54300
ALLIANCEBERNSTEIN HOLDING LPCmn01881G1062028,060SH DFND18,06000
ALLIANCEBERNSTEIN HOLDING LPCmn01881G10686734,600SHCallDFND134,60000
ALLIANT ENERGY CORPCmn01880210843210,139SH DFND110,13900
ALLIANZGI CONV & INCOME FDCmn01882810313619,382SH DFND119,38200
ALLIANZGI CONV & INCOME FD ICmn0188251099815,782SH DFND115,78200
ALLIED HEALTHCARE PRODS INCCmn0192222072210,228SH DFND110,22800
ALLISON TRANSMISSION HLDGS ICmn01973R10110,156235,792SH DFND1235,79200
ALLISON TRANSMISSION HLDGS ICmn01973R10143510,100SHCallDFND110,10000
ALLISON TRANSMISSION HLDGS ICmn01973R1013628,400SHPutDFND18,40000
ALLISON TRANSMISSION HLDGS ICmn01973R1013,84689,300SHCallDFND 89,30000
ALLOT COMMUNICATIONS LTDCmnM0854Q1058516,000SHPutDFND116,00000
ALLSCRIPTS HEALTHCARE SOLUTNCmn01988P10829720,400SHCallDFND120,40000
ALLSCRIPTS HEALTHCARE SOLUTNCmn01988P1089,294638,731SH DFND 638,73100
ALLSCRIPTS HEALTHCARE SOLUTNBond01988PAD03,2103,000,000PRN DFND 000
ALLSTATE CORPCmn0200021017,42570,912SH DFND170,91200
ALLSTATE CORPCmn0200021016,24159,600SHCallDFND159,60000
ALLSTATE CORPCmn02000210115,193145,100SHPutDFND1145,10000
ALLSTATE CORPCmn02000210160,065573,635SH DFND 573,63500
ALLY FINL INCCmn02005N1002,81996,684SH DFND196,68400
ALLY FINL INCCmn02005N10010,562362,200SHCallDFND1362,20000
ALLY FINL INCCmn02005N10019,193658,200SHPutDFND1658,20000
ALMADEN MINERALS LTDCmn0202833055351,071SH DFND151,07100
ALMOST FAMILY INCCmn0204091084798,649SH DFND18,64900
ALMOST FAMILY INCCmn02040910885215,400SHCallDFND115,40000
ALMOST FAMILY INCCmn02040910890216,300SHPutDFND116,30000
ALNYLAM PHARMACEUTICALS INCCmn02043Q1072,15216,936SH DFND216,93600
ALNYLAM PHARMACEUTICALS INCCmn02043Q1075,15540,571SH DFND140,57100
ALNYLAM PHARMACEUTICALS INCCmn02043Q1074,91738,700SHCallDFND138,70000
ALNYLAM PHARMACEUTICALS INCCmn02043Q1077,99162,900SHPutDFND162,90000
ALON USA ENERGY INCBond020520AB811,9669,000,000PRN DFND 000
ALON USA PARTNERS LPCmn02052T10926215,326SH DFND115,32600
ALON USA PARTNERS LPCmn02052T10932619,100SHPutDFND119,10000
ALPHA & OMEGA SEMICONDUCTORCmnG6331P10478648,015SH DFND 48,01500
ALPHABET INCCmn02079K30516,70215,855SH DFND215,85500
ALPHABET INCCmn02079K305168,375159,840SH DFND1159,84000
ALPHABET INCCmn02079K305848,303805,300SHCallDFND1805,30000
ALPHABET INCCmn02079K305968,180919,100SHPutDFND1919,10000
ALPHABET INCCmn02079K10744,52542,551SH DFND142,55100
ALPHABET INCCmn02079K107884,522845,300SHCallDFND1845,30000
ALPHABET INCCmn02079K107765,651731,700SHPutDFND1731,70000
ALPHABET INCCmn02079K30510,78010,234SH DFND 10,23400
ALPHABET INCCmn02079K30560,57157,500SHCallDFND 57,50000
ALPHABET INCCmn02079K30528,96927,500SHPutDFND 27,50000
ALPHABET INCCmn02079K10741,16639,341SH DFND 39,34100
ALPHABET INCCmn02079K107751,315718,000SHCallDFND 718,00000
ALPHABET INCCmn02079K107115,104110,000SHPutDFND 110,00000
ALPINE TOTAL DYNAMIC DIVID FCmn0210602079610,087SH DFND110,08700
ALPS ETF TRCmn00162Q86674669,129SH DFND169,12900
ALPS ETF TRCmn00162Q7181,91466,797SH DFND166,79700
ALPS ETF TRCmn00162Q1061,82040,508SH DFND140,50800
ALPS ETF TRCmn00162Q8662,405222,900SHCallDFND1222,90000
ALPS ETF TRCmn00162Q8661,882174,400SHPutDFND1174,40000
ALTABA INCCmn02134610129,136417,128SH DFND1417,12800
ALTABA INCCmn02134610153,910771,800SHCallDFND1771,80000
ALTABA INCCmn02134610160,504866,200SHPutDFND1866,20000
ALTABA INCCmn021346101211,1203,022,472SH DFND 3,022,47200
ALTAIR ENGR INCCmn02136910355023,010SH DFND223,01000
ALTAIR ENGR INCCmn0213691038,422352,079SH DFND 352,07900
ALTICE USA INCCmn02156K1032,12299,942SH DFND199,94200
ALTICE USA INCCmn02156K1031,09151,400SHCallDFND151,40000
ALTICE USA INCCmn02156K1032,140100,800SHPutDFND1100,80000
ALTICE USA INCCmn02156K10344,2222,082,997SH DFND 2,082,99700
ALTISOURCE PORTFOLIO SOLNS SCmnL0175J1042559,100SHCallDFND19,10000
ALTISOURCE RESIDENTIAL CORPCmn02153W10029524,895SH DFND124,89500
ALTISOURCE RESIDENTIAL CORPCmn02153W10049641,800SHPutDFND141,80000
ALTISOURCE RESIDENTIAL CORPCmn02153W1001,191100,393SH DFND 100,39300
ALTRA INDL MOTION CORPCmn02208R1061,04120,660SH DFND220,66000
ALTRA INDL MOTION CORPCmn02208R1061,43128,388SH DFND128,38800
ALTRIA GROUP INCCmn02209S1034,26459,717SH DFND159,71700
ALTRIA GROUP INCCmn02209S10356,135786,100SHCallDFND1786,10000
ALTRIA GROUP INCCmn02209S103101,2951,418,500SHPutDFND11,418,50000
ALTRIA GROUP INCCmn02209S103248,0103,473,046SH DFND 3,473,04600
ALTRIA GROUP INCCmn02209S1034,03556,500SHPutDFND 56,50000
AMAG PHARMACEUTICALS INCCmn00163U10614510,950SH DFND110,95000
AMAG PHARMACEUTICALS INCCmn00163U10643733,000SHCallDFND133,00000
AMAG PHARMACEUTICALS INCCmn00163U10635126,500SHPutDFND126,50000
AMAG PHARMACEUTICALS INCBond00163UAD814,84417,200,000PRN DFND 000
AMAG PHARMACEUTICALS INCCmn00163U1066,230470,179SH DFND 470,17900
AMARIN CORP PLCDepository Receipt0231112066616,413SH DFND216,41300
AMARIN CORP PLCDepository Receipt0231112061,197298,497SH DFND1298,49700
AMARIN CORP PLCCmn02311120612631,400SHCallDFND131,40000
AMAZON COM INCCmn023135106482,471412,555SH DFND1412,55500
AMAZON COM INCCmn0231351062,012,8921,721,200SHCallDFND11,721,20000
AMAZON COM INCCmn0231351062,744,9802,347,200SHPutDFND12,347,20000
AMAZON COM INCCmn023135106303,594259,600SH DFND 259,60000
AMAZON COM INCCmn02313510616,72314,300SHCallDFND 14,30000
AMAZON COM INCCmn02313510653,79646,000SHPutDFND 46,00000
AMBAC FINL GROUP INCCmn02313988425415,900SHPutDFND115,90000
AMBAC FINL GROUP INCCmn02313988429418,391SH DFND 18,39100
AMBARELLA INCCmnG037AX10117,502297,900SHCallDFND1297,90000
AMBARELLA INCCmnG037AX1019,617163,700SHPutDFND1163,70000
AMBARELLA INCCmnG037AX1015068,613SH DFND 8,61300
AMBEV SADepository Receipt02319V10329445,511SH DFND145,51100
AMBEV SADepository Receipt02319V10310,9671,697,706SH DFND 1,697,70600
AMC ENTMT HLDGS INCCmn00165C1045,539366,800SHCallDFND1366,80000
AMC ENTMT HLDGS INCCmn00165C1041,770117,200SHPutDFND1117,20000
AMC ENTMT HLDGS INCCmn00165C10482554,630SH DFND 54,63000
AMC NETWORKS INCCmn00164V1034778,820SH DFND18,82000
AMC NETWORKS INCCmn00164V1032,03937,700SHCallDFND137,70000
AMC NETWORKS INCCmn00164V1031,67631,000SHPutDFND131,00000
AMC NETWORKS INCCmn00164V1036,432118,942SH DFND 118,94200
AMCON DISTRG COCmn02341Q2052322,602SH DFND12,60200
AMDOCS LTDCmnG026021034,34466,336SH DFND266,33600
AMDOCS LTDCmnG026021031,09416,700SHCallDFND116,70000
AMDOCS LTDCmnG026021032824,300SHPutDFND14,30000
AMEDISYS INCCmn0234361081,61130,556SH DFND130,55600
AMEDISYS INCCmn02343610868012,900SHCallDFND112,90000
AMEDISYS INCCmn02343610889617,000SHPutDFND117,00000
AMEDISYS INCCmn0234361086,574124,727SH DFND 124,72700
AMERCOCmn0235861007812,067SH DFND22,06700
AMEREN CORPCmn0236081021,12219,015SH DFND219,01500
AMEREN CORPCmn0236081024898,293SH DFND18,29300
AMEREN CORPCmn0236081023135,300SHCallDFND15,30000
AMEREN CORPCmn0236081023485,900SHPutDFND15,90000
AMEREN CORPCmn02360810253,827912,482SH DFND 912,48200
AMERICA MOVIL SAB DE CVCmn02364W10555932,600SHCallDFND132,60000
AMERICA MOVIL SAB DE CVCmn02364W1051,09463,800SHPutDFND163,80000
AMERICAN AIRLS GROUP INCCmn02376R10210,823208,013SH DFND2208,01300
AMERICAN AIRLS GROUP INCCmn02376R10244,234850,168SH DFND1850,16800
AMERICAN AIRLS GROUP INCCmn02376R10266,9001,285,800SHCallDFND11,285,80000
AMERICAN AIRLS GROUP INCCmn02376R10282,0671,577,300SHPutDFND11,577,30000
AMERICAN AIRLS GROUP INCCmn02376R10281715,706SH DFND 15,70600
AMERICAN AXLE & MFG HLDGS INCmn02406110338422,542SH DFND222,54200
AMERICAN AXLE & MFG HLDGS INCmn0240611033,321195,015SH DFND1195,01500
AMERICAN AXLE & MFG HLDGS INCmn0240611031,48587,200SHCallDFND187,20000
AMERICAN AXLE & MFG HLDGS INCmn02406110396056,400SHPutDFND156,40000
AMERICAN AXLE & MFG HLDGS INCmn02406110346,3742,723,051SH DFND 2,723,05100
AMERICAN AXLE & MFG HLDGS INCmn0240611033,406200,000SHPutDFND 200,00000
AMERICAN CAMPUS CMNTYS INCCmn0248351001,30931,900SH DFND231,90000
AMERICAN CAMPUS CMNTYS INCCmn0248351003,60987,965SH DFND187,96500
AMERICAN CAMPUS CMNTYS INCCmn02483510084120,489SH DFND 20,48900
AMERICAN EAGLE OUTFITTERS NECmn02553E1066,629352,597SH DFND1352,59700
AMERICAN EAGLE OUTFITTERS NECmn02553E1062,948156,800SHCallDFND1156,80000
AMERICAN EAGLE OUTFITTERS NECmn02553E1063,326176,900SHPutDFND1176,90000
AMERICAN EAGLE OUTFITTERS NECmn02553E10621,7361,156,170SH DFND 1,156,17000
AMERICAN EAGLE OUTFITTERS NECmn02553E1063,760200,000SHPutDFND 200,00000
AMERICAN ELEC PWR INCCmn0255371013,42346,521SH DFND146,52100
AMERICAN ELEC PWR INCCmn0255371015,98981,400SHCallDFND181,40000
AMERICAN ELEC PWR INCCmn0255371015,35672,800SHPutDFND172,80000
AMERICAN ELEC PWR INCCmn025537101189,4502,575,105SH DFND 2,575,10500
AMERICAN EQTY INVT LIFE HLDCmn0256762062,66686,753SH DFND186,75300
AMERICAN EQTY INVT LIFE HLDCmn0256762066,877223,788SH DFND 223,78800
AMERICAN EXPRESS COCmn0258161093,59236,168SH DFND136,16800
AMERICAN EXPRESS COCmn02581610960,430608,500SHCallDFND1608,50000
AMERICAN EXPRESS COCmn02581610955,157555,400SHPutDFND1555,40000
AMERICAN EXPRESS COCmn0258161094,26042,900SHPutDFND 42,90000
AMERICAN FINL GROUP INC OHIOCmn0259321042752,531SH DFND12,53100
AMERICAN FINL GROUP INC OHIOCmn0259321046085,600SHCallDFND15,60000
AMERICAN FINL GROUP INC OHIOCmn0259321044123,800SHPutDFND13,80000
AMERICAN FINL GROUP INC OHIOCmn02593210410,62697,899SH DFND 97,89900
AMERICAN HOMES 4 RENTCmn02665T3061,19654,784SH DFND254,78400
AMERICAN HOMES 4 RENTCmn02665T30644920,552SH DFND120,55200
AMERICAN HOMES 4 RENTCmn02665T3069,153419,078SH DFND 419,07800
AMERICAN INTL GROUP INCCmn02687478451,131858,186SH DFND1858,18600
AMERICAN INTL GROUP INCCmn02687478416,748281,100SHCallDFND1281,10000
AMERICAN INTL GROUP INCCmn02687478468,8631,155,800SHPutDFND11,155,80000
AMERICAN MIDSTREAM PARTNERSCmn02752P10056442,227SH DFND142,22700
AMERICAN MIDSTREAM PARTNERSCmn02752P10049837,300SHCallDFND137,30000
AMERICAN MIDSTREAM PARTNERSCmn02752P10035526,600SHPutDFND126,60000
AMERICAN OUTDOOR BRANDS CORPCmn02874P1035,358417,316SH DFND1417,31600
AMERICAN OUTDOOR BRANDS CORPCmn02874P10360947,400SHCallDFND147,40000
AMERICAN OUTDOOR BRANDS CORPCmn02874P1033,672286,000SHPutDFND1286,00000
AMERICAN OUTDOOR BRANDS CORPCmn02874P1037,389575,466SH DFND 575,46600
AMERICAN OUTDOOR BRANDS CORPCmn02874P1031,617125,900SHCallDFND 125,90000
AMERICAN PUBLIC EDUCATION INCmn02913V10392136,772SH DFND 36,77200
AMERICAN RAILCAR INDS INCCmn02916P1033468,300SHCallDFND18,30000
AMERICAN RAILCAR INDS INCCmn02916P10342510,200SHPutDFND110,20000
AMERICAN RAILCAR INDS INCCmn02916P1033,77990,756SH DFND 90,75600
AMERICAN RENAL ASSOCIATES HOCmn02922710535520,385SH DFND220,38500
AMERICAN RENAL ASSOCIATES HOCmn02922710558933,869SH DFND 33,86900
AMERICAN STS WTR COCmn0298991012724,700SHCallDFND14,70000
AMERICAN STS WTR COCmn0298991012844,900SHPutDFND14,90000
AMERICAN STS WTR COCmn0298991012404,149SH DFND 4,14900
AMERICAN SUPERCONDUCTOR CORPCmn0301112079225,418SH DFND125,41800
AMERICAN SUPERCONDUCTOR CORPCmn0301112075414,900SHCallDFND114,90000
AMERICAN SUPERCONDUCTOR CORPCmn03011120711531,600SHPutDFND131,60000
AMERICAN TOWER CORP NEWCmn03027X1007,14550,081SH DFND250,08100
AMERICAN TOWER CORP NEWCmn03027X10036,312254,515SH DFND1254,51500
AMERICAN TOWER CORP NEWCmn03027X1009,93069,600SHCallDFND169,60000
AMERICAN TOWER CORP NEWCmn03027X10035,796250,900SHPutDFND1250,90000
AMERICAN VANGUARD CORPCmn03037110865233,171SH DFND 33,17100
AMERICAN WOODMARK CORPCmn0305061096815,232SH DFND15,23200
AMERICAN WOODMARK CORPCmn03050610918,918145,246SH DFND 145,24600
AMERICAN WTR WKS CO INC NEWCmn0304201032,41226,369SH DFND126,36900
AMERICAN WTR WKS CO INC NEWCmn0304201037788,500SHCallDFND18,50000
AMERICAN WTR WKS CO INC NEWCmn0304201032,19624,000SHPutDFND124,00000
AMERIGAS PARTNERS L PCmn03097510656212,152SH DFND112,15200
AMERIGAS PARTNERS L PCmn0309751062274,900SHCallDFND14,90000
AMERIGAS PARTNERS L PCmn03097510664714,000SHPutDFND114,00000
AMERIPRISE FINL INCCmn03076C1067884,647SH DFND14,64700
AMERIPRISE FINL INCCmn03076C1063,98323,500SHCallDFND123,50000
AMERIPRISE FINL INCCmn03076C1063,47420,500SHPutDFND120,50000
AMERIPRISE FINL INCCmn03076C10679,038466,385SH DFND 466,38500
AMERIS BANCORPCmn03076K1081,22225,360SH DFND225,36000
AMERISAFE INCCmn03071H1004437,198SH DFND27,19800
AMERISAFE INCCmn03071H1002714,396SH DFND14,39600
AMERISAFE INCCmn03071H1004,55874,000SH DFND 74,00000
AMERISOURCEBERGEN CORPCmn03073E1054,68851,060SH DFND151,06000
AMERISOURCEBERGEN CORPCmn03073E1056,46470,400SHCallDFND170,40000
AMERISOURCEBERGEN CORPCmn03073E10513,553147,600SHPutDFND1147,60000
AMERISOURCEBERGEN CORPCmn03073E10546,671508,285SH DFND 508,28500
AMETEK INC NEWCmn03110010087712,101SH DFND212,10100
AMETEK INC NEWCmn0311001001,25717,352SH DFND117,35200
AMETEK INC NEWCmn0311001004426,100SHCallDFND16,10000
AMETEK INC NEWCmn0311001003625,000SHPutDFND15,00000
AMETEK INC NEWCmn03110010090,9191,254,579SH DFND 1,254,57900
AMGEN INCCmn03116210036,541210,125SH DFND1210,12500
AMGEN INCCmn03116210063,873367,300SHCallDFND1367,30000
AMGEN INCCmn031162100115,852666,200SHPutDFND1666,20000
AMICUS THERAPEUTICS INCCmn03152W10927919,380SH DFND119,38000
AMICUS THERAPEUTICS INCCmn03152W10984258,500SHCallDFND158,50000
AMICUS THERAPEUTICS INCCmn03152W1091,19082,700SHPutDFND182,70000
AMICUS THERAPEUTICS INCCmn03152W10952,5423,651,288SH DFND 3,651,28800
AMICUS THERAPEUTICS INCCmn03152W1091,439100,000SHPutDFND 100,00000
AMIRA NATURE FOODS LTDCmnG0335L10224258,116SH DFND158,11600
AMIRA NATURE FOODS LTDCmnG0335L10222253,300SHPutDFND153,30000
AMKOR TECHNOLOGY INCCmn03165210018418,300SHCallDFND118,30000
AMKOR TECHNOLOGY INCCmn03165210014714,600SHPutDFND114,60000
AMKOR TECHNOLOGY INCCmn03165210052652,385SH DFND 52,38500
AMN HEALTHCARE SERVICES INCCmn0017441017,513152,542SH DFND2152,54200
AMN HEALTHCARE SERVICES INCCmn00174410172514,724SH DFND114,72400
AMN HEALTHCARE SERVICES INCCmn00174410198520,000SHCallDFND120,00000
AMPHENOL CORP NEWCmn03209510119,428221,277SH DFND2221,27700
AMPHENOL CORP NEWCmn0320951012,38327,138SH DFND127,13800
AMPHENOL CORP NEWCmn0320951017208,200SHCallDFND18,20000
AMPHENOL CORP NEWCmn0320951016417,300SHPutDFND17,30000
AMPHENOL CORP NEWCmn03209510188,2281,004,880SH DFND 1,004,88000
AMPIO PHARMACEUTICALS INCCmn03209T1094210,395SH DFND110,39500
AMPIO PHARMACEUTICALS INCCmn03209T109471115,800SHCallDFND1115,80000
AMPIO PHARMACEUTICALS INCCmn03209T1095713,900SHPutDFND113,90000
AMPLIFY ETF TRCmn0321081021,66340,678SH DFND140,67800
AMPLIFY SNACK BRANDSCmn03211L10233027,500SHCallDFND127,50000
AMPLIFY SNACK BRANDSCmn03211L10221117,600SHPutDFND117,60000
AMPLIFY SNACK BRANDSCmn03211L10253244,277SH DFND 44,27700
AMPLIPHI BIOSCIENCES CORPCmn03211P3011817,639SH DFND117,63900
AMTECH SYS INCCmn03233250448848,474SH DFND248,47400
AMTRUST FINL SVCS INCCmn03235930977276,666SH DFND176,66600
AMTRUST FINL SVCS INCCmn03235930991991,300SHPutDFND191,30000
AMTRUST FINL SVCS INCCmn03235930971470,876SH DFND 70,87600
AMTRUST FINL SVCS INCBond032359AG66,6229,086,000PRN DFND 000
AMYRIS INCBond03236MAF83,0005,000,000PRN DFND 000
ANADARKO PETE CORPCmn03251110736,722684,605SH DFND1684,60500
ANADARKO PETE CORPCmn03251110721,113393,600SHCallDFND1393,60000
ANADARKO PETE CORPCmn03251110766,4331,238,500SHPutDFND11,238,50000
ANADARKO PETE CORPCmn032511107223,3234,163,367SH DFND 4,163,36700
ANADARKO PETE CORPCmn03251110719,648366,300SHCallDFND 366,30000
ANADARKO PETE CORPCmn03251110719,718367,600SHPutDFND 367,60000
ANALOG DEVICES INCCmn0326541053,49739,275SH DFND239,27500
ANALOG DEVICES INCCmn03265410523,907268,523SH DFND1268,52300
ANALOG DEVICES INCCmn03265410522,053247,700SHCallDFND1247,70000
ANALOG DEVICES INCCmn03265410537,767424,200SHPutDFND1424,20000
ANALOG DEVICES INCCmn032654105277,0423,111,787SH DFND 3,111,78700
ANALOG DEVICES INCCmn0326541055,11957,500SHPutDFND 57,50000
ANALOGIC CORPCmn0326572072913,476SH DFND23,47600
ANALOGIC CORPCmn0326572077,60690,812SH DFND 90,81200
ANAPTYSBIO INCCmn0327241064114,081SH DFND14,08100
ANAPTYSBIO INCCmn0327241064634,600SHCallDFND14,60000
ANAPTYSBIO INCCmn0327241063223,200SHPutDFND13,20000
ANAPTYSBIO INCCmn03272410649,624492,688SH DFND 492,68800
ANAVEX LIFE SCIENCES CORPCmn03279730010331,900SHCallDFND131,90000
ANAVEX LIFE SCIENCES CORPCmn0327973005216,200SHPutDFND116,20000
ANDEAVORCmn03349M1059418,228SH DFND28,22800
ANDEAVORCmn03349M1058,74076,435SH DFND176,43500
ANDEAVORCmn03349M10516,362143,100SHCallDFND1143,10000
ANDEAVORCmn03349M10518,409161,000SHPutDFND1161,00000
ANDEAVORCmn03349M10524,543214,648SH DFND 214,64800
ANDEAVOR LOGISTICS LPCmn03350F1063,84983,322SH DFND183,32200
ANDEAVOR LOGISTICS LPCmn03350F1061,00721,800SHCallDFND121,80000
ANDEAVOR LOGISTICS LPCmn03350F10677616,800SHPutDFND116,80000
ANGIODYNAMICS INCCmn03475V1012,000120,271SH DFND 120,27100
ANGLOGOLD ASHANTI LTDDepository Receipt03512820648847,926SH DFND147,92600
ANGLOGOLD ASHANTI LTDCmn0351282061,140111,900SHCallDFND1111,90000
ANGLOGOLD ASHANTI LTDCmn0351282061,594156,400SHPutDFND1156,40000
ANGLOGOLD ASHANTI LTDDepository Receipt0351282061,019100,000SH DFND 100,00000
ANGLOGOLD ASHANTI LTDCmn0351282064,382430,000SHPutDFND 430,00000
ANHEUSER BUSCH INBEV SA/NVDepository Receipt03524A10819,166171,799SH DFND2171,79900
ANHEUSER BUSCH INBEV SA/NVDepository Receipt03524A10837,074332,323SH DFND1332,32300
ANHEUSER BUSCH INBEV SA/NVCmn03524A10817,961161,000SHCallDFND1161,00000
ANHEUSER BUSCH INBEV SA/NVCmn03524A10844,624400,000SHPutDFND1400,00000
ANHEUSER BUSCH INBEV SA/NVDepository Receipt03524A10824,116216,169SH DFND 216,16900
ANHEUSER BUSCH INBEV SA/NVCmn03524A10841,311370,300SHCallDFND 370,30000
ANHEUSER BUSCH INBEV SA/NVCmn03524A10810,10790,600SHPutDFND 90,60000
ANI PHARMACEUTICALS INCCmn00182C1034386,794SH DFND16,79400
ANI PHARMACEUTICALS INCCmn00182C1032,01131,200SHPutDFND131,20000
ANIKA THERAPEUTICS INCCmn0352551084648,600SHCallDFND18,60000
ANIKA THERAPEUTICS INCCmn0352551081,87934,859SH DFND 34,85900
ANIXTER INTL INCCmn0352901052,05727,070SH DFND127,07000
ANIXTER INTL INCCmn0352901054866,400SHCallDFND16,40000
ANIXTER INTL INCCmn0352901052433,200SHPutDFND13,20000
ANIXTER INTL INCCmn0352901054,56660,075SH DFND 60,07500
ANNALY CAP MGMT INCCmn03571040997381,800SHCallDFND181,80000
ANNALY CAP MGMT INCCmn03571040993278,400SHPutDFND178,40000
ANNALY CAP MGMT INCCmn03571040916,4041,379,636SH DFND 1,379,63600
ANSYS INCCmn03662Q1052,58817,533SH DFND117,53300
ANSYS INCCmn03662Q1051,52010,300SHCallDFND110,30000
ANSYS INCCmn03662Q1051,50510,200SHPutDFND110,20000
ANTARES PHARMA INCCmn0366421062713,498SH DFND113,49800
ANTARES PHARMA INCCmn0366421062814,000SHPutDFND114,00000
ANTERO MIDSTREAM GP LPCmn03675Y10319,352981,321SH DFND 981,32100
ANTERO RES CORPCmn03674X1061,05355,421SH DFND155,42100
ANTERO RES CORPCmn03674X10632717,200SHCallDFND117,20000
ANTERO RES CORPCmn03674X1061,00753,000SHPutDFND153,00000
ANTERO RES CORPCmn03674X1061,997105,107SH DFND 105,10700
ANTHEM INCCmn0367521035,73525,486SH DFND125,48600
ANTHEM INCCmn03675210310,93548,600SHCallDFND148,60000
ANTHEM INCCmn03675210316,44873,100SHPutDFND173,10000
ANTHEM INCCmn0367521034,32319,212SH DFND 19,21200
ANTHERA PHARMACEUTICALS INCCmn03674U3006338,300SHCallDFND138,30000
ANWORTH MORTGAGE ASSET CPCmn0373471011,137209,094SH DFND 209,09400
AON PLCCmnG0408V10210,95781,769SH DFND281,76900
AON PLCCmnG0408V1026,57849,088SH DFND149,08800
AON PLCCmnG0408V1025494,100SHCallDFND14,10000
AON PLCCmnG0408V1027,20953,800SHPutDFND153,80000
APACHE CORPCmn0374111054,17398,851SH DFND198,85100
APACHE CORPCmn03741110512,704300,900SHCallDFND1300,90000
APACHE CORPCmn03741110510,787255,500SHPutDFND1255,50000
APACHE CORPCmn0374111051,20228,461SH DFND 28,46100
APARTMENT INVT & MGMT COCmn03748R1012866,554SH DFND16,55400
APARTMENT INVT & MGMT COCmn03748R10155912,800SHCallDFND112,80000
APARTMENT INVT & MGMT COCmn03748R1016,880157,409SH DFND 157,40900
APOGEE ENTERPRISES INCCmn0375981092124,645SH DFND14,64500
APOGEE ENTERPRISES INCCmn0375981093988,700SHCallDFND18,70000
APOGEE ENTERPRISES INCCmn03759810962713,700SHPutDFND113,70000
APOGEE ENTERPRISES INCCmn0375981098,152178,258SH DFND 178,25800
APOLLO COML REAL EST FIN INCBond03762UAB11,0161,000,000PRN DFND 000
APOLLO GLOBAL MGMT LLCCmn0376123067,069211,200SHCallDFND1211,20000
APOLLO GLOBAL MGMT LLCCmn0376123062,22266,400SHPutDFND166,40000
APOLLO INVT CORPCmn03761U1069216,201SH DFND216,20100
APOLLO INVT CORPCmn03761U106905159,866SH DFND1159,86600
APOLLO INVT CORPCmn03761U10613624,100SHPutDFND124,10000
APPIAN CORPCmn03782L1012206,982SH DFND16,98200
APPLE HOSPITALITY REIT INCCmn03784Y2001,22962,686SH DFND262,68600
APPLE HOSPITALITY REIT INCCmn03784Y20020710,547SH DFND110,54700
APPLE HOSPITALITY REIT INCCmn03784Y20023712,100SHPutDFND112,10000
APPLE HOSPITALITY REIT INCCmn03784Y2002,744139,929SH DFND 139,92900
APPLE INCCmn03783310044,595263,518SH DFND1263,51800
APPLE INCCmn0378331001,439,2678,504,800SHCallDFND18,504,80000
APPLE INCCmn037833100692,4214,091,600SHPutDFND14,091,60000
APPLE INCCmn0378331004,93129,140SH DFND 29,14000
APPLE INCCmn03783310035,978212,600SHCallDFND 212,60000
APPLE INCCmn03783310053,494316,100SHPutDFND 316,10000
APPLIED GENETIC TECHNOL CORPCmn03820J1006016,533SH DFND116,53300
APPLIED INDL TECHNOLOGIES INCmn03820C1051,40920,686SH DFND120,68600
APPLIED INDL TECHNOLOGIES INCmn03820C1052043,000SHCallDFND13,00000
APPLIED INDL TECHNOLOGIES INCmn03820C1052323,400SHPutDFND13,40000
APPLIED INDL TECHNOLOGIES INCmn03820C1054,46165,504SH DFND 65,50400
APPLIED MATLS INCCmn038222105148,7832,910,458SH DFND12,910,45800
APPLIED MATLS INCCmn03822210524,088471,200SHCallDFND1471,20000
APPLIED MATLS INCCmn038222105161,6363,161,900SHPutDFND13,161,90000
APPLIED MATLS INCCmn038222105168,8753,303,499SH DFND 3,303,49900
APPLIED MATLS INCCmn0382221052,55650,000SHPutDFND 50,00000
APPLIED OPTOELECTRONICS INCCmn03823U1022,79373,858SH DFND173,85800
APPLIED OPTOELECTRONICS INCCmn03823U1028,665229,100SHCallDFND1229,10000
APPLIED OPTOELECTRONICS INCCmn03823U10212,991343,500SHPutDFND1343,50000
APPROACH RESOURCES INCCmn03834A10322877,012SH DFND177,01200
APPROACH RESOURCES INCCmn03834A10318763,300SHPutDFND163,30000
APPTIO INCCmn03835C1081,73373,664SH DFND273,66400
APRICUS BIOSCIENCES INCCmn03832V3072212,119SH DFND112,11900
APTARGROUP INCCmn0383361032,04423,690SH DFND223,69000
APTARGROUP INCCmn0383361032302,663SH DFND12,66300
APTEVO THERAPEUTICS INCCmn03835L1085312,574SH DFND112,57400
APTIV PLCCmnG6095L1095,44064,132SH DFND164,13200
APTIV PLCCmnG6095L1091,75620,700SHCallDFND120,70000
APTIV PLCCmnG6095L1093,34239,400SHPutDFND139,40000
APTIV PLCCmnG6095L10967,417794,731SH DFND 794,73100
AQUA AMERICA INCCmn03836W1032205,600SHCallDFND15,60000
AQUA AMERICA INCCmn03836W1033148,000SHPutDFND18,00000
AQUA AMERICA INCCmn03836W1034,156105,932SH DFND 105,93200
AQUANTIA CORPCmn03842Q10815013,249SH DFND113,24900
AQUANTIA CORPCmn03842Q10833729,700SH DFND 29,70000
AQUAVENTURE HLDGS LTDCmnG0443N10740225,872SH DFND 25,87200
AQUINOX PHARMACEUTICALS INCCmn03842B10112510,669SH DFND110,66900
ARALEZ PHARMACEUTICALS INCCmn03852X1003423,961SH DFND123,96100
ARALEZ PHARMACEUTICALS INCCmn03852X1003323,000SHPutDFND123,00000
ARAMARKCmn03852U1062094,900SHCallDFND14,90000
ARATANA THERAPEUTICS INCCmn03874P10136268,758SH DFND168,75800
ARBOR RLTY TR INCBond038923AB45,1065,000,000PRN DFND 000
ARBOR RLTY TR INCBond038923AA616,08614,895,000PRN DFND 000
ARBOR RLTY TR INCCmn03892310871382,556SH DFND 82,55600
ARBUTUS BIOPHARMA CORPCmn03879J10014628,816SH DFND128,81600
ARCBEST CORPCmn03937C1052005,600SHCallDFND15,60000
ARCELORMITTAL SA LUXEMBOURGDepository Receipt03938L20317,886553,562SH DFND1553,56200
ARCELORMITTAL SA LUXEMBOURGCmn03938L2037,082219,200SHCallDFND1219,20000
ARCELORMITTAL SA LUXEMBOURGCmn03938L20311,118344,100SHPutDFND1344,10000
ARCELORMITTAL SA LUXEMBOURGCmn03938L2034,039125,000SHCallDFND 125,00000
ARCELORMITTAL SA LUXEMBOURGCmn03938L20318,578575,000SHPutDFND 575,00000
ARCH CAP GROUP LTDCmnG0450A1052813,100SHCallDFND13,10000
ARCH CAP GROUP LTDCmnG0450A1056817,500SHPutDFND17,50000
ARCH CAP GROUP LTDCmnG0450A10563,255696,876SH DFND 696,87600
ARCH COAL INCCmn0393804077,47980,284SH DFND280,28400
ARCH COAL INCCmn0393804071,77019,000SHCallDFND119,00000
ARCH COAL INCCmn0393804076807,300SHPutDFND17,30000
ARCH COAL INCCmn03938040749,039526,397SH DFND 526,39700
ARCHER DANIELS MIDLAND COCmn0394831022,59464,733SH DFND164,73300
ARCHER DANIELS MIDLAND COCmn0394831025,667141,400SHCallDFND1141,40000
ARCHER DANIELS MIDLAND COCmn0394831029,202229,600SHPutDFND1229,60000
ARCHROCK INCCmn03957W10610610,103SH DFND210,10300
ARCHROCK INCCmn03957W10613012,376SH DFND112,37600
ARCHROCK PARTNERS L PCmn03957U10027523,101SH DFND123,10100
ARCHROCK PARTNERS L PCmn03957U10014812,400SHPutDFND112,40000
ARCONIC INCCmn03965L10014,989550,037SH DFND2550,03700
ARCONIC INCCmn03965L10094134,521SH DFND134,52100
ARCONIC INCCmn03965L1005,984219,600SHCallDFND1219,60000
ARCONIC INCCmn03965L1003,117114,400SHPutDFND1114,40000
ARCONIC INCCmn03965L10021,498788,919SH DFND 788,91900
ARCOS DORADOS HOLDINGS INCCmnG0457F10714113,600SHCallDFND113,60000
ARCOS DORADOS HOLDINGS INCCmnG0457F10771068,600SHPutDFND168,60000
ARDAGH GROUP S ACmnL0223L10112,350585,292SH DFND 585,29200
ARDELYX INCCmn03969710720531,102SH DFND231,10200
ARENA PHARMACEUTICALS INCCmn04004760744913,216SH DFND113,21600
ARENA PHARMACEUTICALS INCCmn04004760771020,900SHCallDFND120,90000
ARENA PHARMACEUTICALS INCCmn04004760784624,900SHPutDFND124,90000
ARENA PHARMACEUTICALS INCCmn04004760731,186918,053SH DFND 918,05300
ARES CAP CORPCmn04010L1033,060194,660SH DFND1194,66000
ARES CAP CORPCmn04010L10349531,500SHCallDFND131,50000
ARES CAP CORPCmn04010L10388756,400SHPutDFND156,40000
ARES COML REAL ESTATE CORPCmn04013V10842332,761SH DFND132,76100
ARES MGMT L PCmn04014Y10124012,000SHCallDFND112,00000
ARGAN INCCmn04010E1092,75961,311SH DFND161,31100
ARGO GROUP INTL HLDGS LTDCmnG0464B1072924,735SH DFND14,73500
ARGO GROUP INTL HLDGS LTDCmnG0464B1072494,042SH DFND 4,04200
ARISTA NETWORKS INCCmn04041310628,633121,543SH DFND1121,54300
ARISTA NETWORKS INCCmn04041310622,38095,000SHCallDFND195,00000
ARISTA NETWORKS INCCmn04041310647,941203,500SHPutDFND1203,50000
ARK ETF TRCmn00214Q50062825,767SH DFND125,76700
ARLINGTON ASSET INVT CORPCmn04135620530826,138SH DFND126,13800
ARLINGTON ASSET INVT CORPCmn04135620520317,200SHCallDFND117,20000
ARLINGTON ASSET INVT CORPCmn04135620519716,700SHPutDFND116,70000
ARLINGTON ASSET INVT CORPCmn0413562056,146521,706SH DFND 521,70600
ARMADA HOFFLER PPTYS INCCmn04208T1081,719110,696SH DFND 110,69600
ARMOUR RESIDENTIAL REIT INCCmn04231550760123,380SH DFND123,38000
ARMOUR RESIDENTIAL REIT INCCmn04231550757422,300SHPutDFND122,30000
ARMOUR RESIDENTIAL REIT INCCmn0423155074,930191,666SH DFND 191,66600
ARMSTRONG FLOORING INCCmn04238R1061,794106,036SH DFND 106,03600
ARMSTRONG WORLD INDS INC NEWCmn04247X1024427,300SHCallDFND17,30000
ARMSTRONG WORLD INDS INC NEWCmn04247X1025619,269SH DFND 9,26900
AROTECH CORPCmn04268220317850,115SH DFND150,11500
ARQULE INCCmn04269E1074627,985SH DFND127,98500
ARRAY BIOPHARMA INCCmn04269X10585266,592SH DFND166,59200
ARRAY BIOPHARMA INCCmn04269X1051,368106,900SHCallDFND1106,90000
ARRAY BIOPHARMA INCCmn04269X1051,366106,700SHPutDFND1106,70000
ARRAY BIOPHARMA INCBond04269XAB131,24927,570,000PRN DFND 000
ARRAY BIOPHARMA INCCmn04269X10516,4181,282,693SH DFND 1,282,69300
ARRIS INTL INCCmnG0551A1034,219164,224SH DFND2164,22400
ARRIS INTL INCCmnG0551A10340815,900SHCallDFND115,90000
ARRIS INTL INCCmnG0551A1032479,600SHPutDFND19,60000
ARRIS INTL INCCmnG0551A1037,474290,924SH DFND 290,92400
ARROW ELECTRS INCCmn0427351003113,868SH DFND13,86800
ARROW ELECTRS INCCmn0427351006037,500SHCallDFND17,50000
ARROW ELECTRS INCCmn0427351006117,600SHPutDFND17,60000
ARROW ETF TRCmn04273H10446926,051SH DFND126,05100
ARROW INVTS TRCmn04276578455620,052SH DFND120,05200
ARROWHEAD PHARMACEUTICALS INCmn04280A10015842,909SH DFND242,90900
ARROWHEAD PHARMACEUTICALS INCmn04280A10016544,800SHCallDFND144,80000
ARROWHEAD PHARMACEUTICALS INCmn04280A1007319,800SHPutDFND119,80000
ARTISAN PARTNERS ASSET MGMTCmn04316A1082887,300SHCallDFND17,30000
ARTS WAY MFG INCCmn0431681034013,322SH DFND113,32200
ASA GOLD AND PRECIOUS MTLS LCmnG3156P10321218,694SH DFND118,69400
ASANKO GOLD INCCmn04341Y105912,760SH DFND112,76000
ASANKO GOLD INCCmn04341Y1051013,700SHPutDFND113,70000
ASBURY AUTOMOTIVE GROUP INCCmn0434361044036,300SHCallDFND16,30000
ASBURY AUTOMOTIVE GROUP INCCmn0434361042564,000SHPutDFND14,00000
ASBURY AUTOMOTIVE GROUP INCCmn0434361042363,683SH DFND 3,68300
ASCENA RETAIL GROUP INCCmn04351G1014519,297SH DFND119,29700
ASCENA RETAIL GROUP INCCmn04351G10113758,300SHCallDFND158,30000
ASCENA RETAIL GROUP INCCmn04351G10116269,100SHPutDFND169,10000
ASHFORD HOSPITALITY PRIME INCmn04410210124925,546SH DFND125,54600
ASHFORD HOSPITALITY PRIME INCmn0441021011,153118,538SH DFND 118,53800
ASHFORD HOSPITALITY TR INCCmn04410310965797,580SH DFND 97,58000
ASHLAND GLOBAL HLDGS INCCmn0441861041,36119,112SH DFND119,11200
ASHLAND GLOBAL HLDGS INCCmn0441861043,14044,100SHCallDFND144,10000
ASHLAND GLOBAL HLDGS INCCmn0441861041,85126,000SHPutDFND126,00000
ASHLAND GLOBAL HLDGS INCCmn04418610428,501400,294SH DFND 400,29400
ASHLAND GLOBAL HLDGS INCCmn04418610455,536780,000SHCallDFND 780,00000
ASHLAND GLOBAL HLDGS INCCmn0441861048,459118,800SHPutDFND 118,80000
ASML HOLDING N VDepository ReceiptN070592101,2367,108SH DFND27,10800
ASML HOLDING N VDepository ReceiptN070592101,4098,105SH DFND18,10500
ASML HOLDING N VCmnN070592109,26553,300SHCallDFND153,30000
ASML HOLDING N VCmnN070592109,94357,200SHPutDFND157,20000
ASPEN INSURANCE HOLDINGS LTDCmnG053841051,54738,110SH DFND238,11000
ASPEN INSURANCE HOLDINGS LTDCmnG053841052,30156,683SH DFND 56,68300
ASPEN TECHNOLOGY INCCmn0453271036429,702SH DFND29,70200
ASPEN TECHNOLOGY INCCmn0453271033054,600SHCallDFND14,60000
ASPEN TECHNOLOGY INCCmn04532710343,326654,473SH DFND 654,47300
ASSEMBLY BIOSCIENCES INCCmn0453961082154,753SH DFND24,75300
ASSEMBLY BIOSCIENCES INCCmn0453961083547,834SH DFND17,83400
ASSEMBLY BIOSCIENCES INCCmn0453961083126,900SHCallDFND16,90000
ASSEMBLY BIOSCIENCES INCCmn0453961083397,500SHPutDFND17,50000
ASSOCIATED BANC CORPCmn0454871051,37153,994SH DFND153,99400
ASSOCIATED BANC CORPCmn04548710573528,933SH DFND 28,93300
ASSURANT INCCmn04621X1081,23512,252SH DFND112,25200
ASSURANT INCCmn04621X1085045,000SHCallDFND15,00000
ASSURANT INCCmn04621X1081,13911,300SHPutDFND111,30000
ASSURANT INCCmn04621X10814,063139,461SH DFND 139,46100
ASSURED GUARANTY LTDCmnG0585R1062,28867,549SH DFND267,54900
ASSURED GUARANTY LTDCmnG0585R1062,98288,048SH DFND188,04800
ASSURED GUARANTY LTDCmnG0585R1062,45272,400SHCallDFND172,40000
ASSURED GUARANTY LTDCmnG0585R1064,633136,800SHPutDFND1136,80000
ASTEC INDS INCCmn0462241012053,500SHPutDFND13,50000
ASTEC INDS INCCmn0462241013,02451,695SH DFND 51,69500
ASTERIAS BIOTHERAPEUTICS INCCmn04624N1077332,307SH DFND132,30700
ASTERIAS BIOTHERAPEUTICS INCCmn04624N1072410,500SHCallDFND110,50000
ASTRAZENECA PLCDepository Receipt0463531083179,137SH DFND19,13700
ASTRAZENECA PLCCmn0463531088,748252,100SHCallDFND1252,10000
ASTRAZENECA PLCCmn0463531085,899170,000SHPutDFND1170,00000
ASTRAZENECA PLCDepository Receipt04635310867319,384SH DFND 19,38400
ASTRONICS CORPCmn0464331081,70741,164SH DFND 41,16400
AT&T INCCmn00206R102123,6443,180,140SH DFND13,180,14000
AT&T INCCmn00206R102166,9204,293,200SHCallDFND14,293,20000
AT&T INCCmn00206R102243,9726,275,000SHPutDFND16,275,00000
AT&T INCCmn00206R1025,400138,900SHCallDFND 138,90000
AT&T INCCmn00206R10252,8731,359,900SHPutDFND 1,359,90000
ATENTO S ACmnL0427L10529228,752SH DFND128,75200
ATHENAHEALTH INCCmn04685W1032031,527SH DFND11,52700
ATHENAHEALTH INCCmn04685W1037,29154,800SHCallDFND154,80000
ATHENAHEALTH INCCmn04685W1037,59757,100SHPutDFND157,10000
ATHENAHEALTH INCCmn04685W1035,78643,493SH DFND 43,49300
ATHENAHEALTH INCCmn04685W1035,48141,200SHCallDFND 41,20000
ATHENAHEALTH INCCmn04685W1033,19324,000SHPutDFND 24,00000
ATHENE HLDG LTDCmnG0684D1072,49848,313SH DFND148,31300
ATHENE HLDG LTDCmnG0684D1071,23623,900SHCallDFND123,90000
ATHENE HLDG LTDCmnG0684D10791017,600SHPutDFND117,60000
ATHENE HLDG LTDCmnG0684D10755,5561,074,367SH DFND 1,074,36700
ATHERSYS INCCmn04744L1064323,499SH DFND123,49900
ATHERSYS INCCmn04744L1062011,000SHCallDFND111,00000
ATHERSYS INCCmn04744L1063519,100SHPutDFND119,10000
ATLANTIC CAP BANCSHARES INCCmn04826920358333,098SH DFND 33,09800
ATLANTIC PWR CORPCmn04878Q86321290,352SH DFND190,35200
ATLANTICA YIELD PLCCmnG0751N10383639,428SH DFND239,42800
ATLANTICA YIELD PLCCmnG0751N10371033,455SH DFND133,45500
ATLANTICA YIELD PLCCmnG0751N10366031,100SHPutDFND131,10000
ATLANTICUS HLDGS CORPCmn04914Y1021,151479,501SH DFND 479,50100
ATLAS AIR WORLDWIDE HLDGS INCmn0491642053215,476SH DFND25,47600
ATLAS AIR WORLDWIDE HLDGS INCmn0491642053556,055SH DFND16,05500
ATLAS AIR WORLDWIDE HLDGS INCmn04916420566911,400SHCallDFND111,40000
ATLAS AIR WORLDWIDE HLDGS INCmn0491642053996,800SHPutDFND16,80000
ATLAS AIR WORLDWIDE HLDGS INCmn0491642052,28338,919SH DFND 38,91900
ATLASSIAN CORP PLCCmnG062421045,602123,059SH DFND1123,05900
ATLASSIAN CORP PLCCmnG0624210466914,700SHCallDFND114,70000
ATLASSIAN CORP PLCCmnG062421041,78039,100SHPutDFND139,10000
ATMOS ENERGY CORPCmn0495601052492,900SHCallDFND12,90000
ATMOS ENERGY CORPCmn0495601052322,700SHPutDFND12,70000
ATMOS ENERGY CORPCmn0495601054,52052,622SH DFND 52,62200
ATN INTL INCCmn00215F1072,36142,727SH DFND 42,72700
ATRICURE INCCmn04963C20931517,294SH DFND217,29400
ATRICURE INCCmn04963C20987147,772SH DFND147,77200
ATRICURE INCCmn04963C2095,720313,573SH DFND 313,57300
ATRION CORPCmn049904105269426SH DFND142600
ATYR PHARMA INCCmn0021201034512,833SH DFND112,83300
AUDENTES THERAPEUTICS INCCmn05070R10410,612339,588SH DFND 339,58800
AURINIA PHARMACEUTICALS INCCmn05156V102577127,289SH DFND1127,28900
AURINIA PHARMACEUTICALS INCCmn05156V1026013,200SHCallDFND113,20000
AURINIA PHARMACEUTICALS INCCmn05156V102524115,600SHPutDFND1115,60000
AUTODESK INCCmn05276910630,331289,339SH DFND1289,33900
AUTODESK INCCmn05276910627,476262,100SHCallDFND1262,10000
AUTODESK INCCmn05276910641,649397,300SHPutDFND1397,30000
AUTODESK INCCmn052769106403,1833,846,066SH DFND 3,846,06600
AUTODESK INCCmn0527691066,07057,900SHCallDFND 57,90000
AUTOHOME INCDepository Receipt05278C10773911,432SH DFND111,43200
AUTOHOME INCCmn05278C1071,67525,900SHCallDFND125,90000
AUTOHOME INCCmn05278C10793814,500SHPutDFND114,50000
AUTOHOME INCDepository Receipt05278C1072,37136,657SH DFND 36,65700
AUTOLIV INCCmn0528001091,42711,229SH DFND111,22900
AUTOLIV INCCmn0528001097505,900SHCallDFND15,90000
AUTOLIV INCCmn0528001092,37618,700SHPutDFND118,70000
AUTOMATIC DATA PROCESSING INCmn05301510334,309292,762SH DFND2292,76200
AUTOMATIC DATA PROCESSING INCmn05301510316,093137,327SH DFND1137,32700
AUTOMATIC DATA PROCESSING INCmn0530151038,15669,600SHCallDFND169,60000
AUTOMATIC DATA PROCESSING INCmn05301510322,958195,900SHPutDFND1195,90000
AUTOMATIC DATA PROCESSING INCmn053015103189,4351,616,481SH DFND 1,616,48100
AUTOMATIC DATA PROCESSING INCmn05301510322,852195,000SHCallDFND 195,00000
AUTOMATIC DATA PROCESSING INCmn0530151037,03160,000SHPutDFND 60,00000
AUTONATION INCCmn05329W10275314,669SH DFND114,66900
AUTONATION INCCmn05329W1023,03459,100SHCallDFND159,10000
AUTONATION INCCmn05329W1025,580108,700SHPutDFND1108,70000
AUTONATION INCCmn05329W1021,67532,624SH DFND 32,62400
AUTOZONE INCCmn05333210216,09322,623SH DFND222,62300
AUTOZONE INCCmn05333210230,84443,359SH DFND143,35900
AUTOZONE INCCmn053332102137,864193,800SHCallDFND1193,80000
AUTOZONE INCCmn053332102148,250208,400SHPutDFND1208,40000
AUTOZONE INCCmn053332102283,938399,142SH DFND 399,14200
AVADEL PHARMACEUTICALS PLCDepository Receipt05337M10466380,861SH DFND280,86100
AVADEL PHARMACEUTICALS PLCDepository Receipt05337M10455667,814SH DFND167,81400
AVADEL PHARMACEUTICALS PLCCmn05337M10413416,400SHPutDFND116,40000
AVALONBAY CMNTYS INCCmn0534841016,86738,488SH DFND138,48800
AVALONBAY CMNTYS INCCmn0534841011,3387,500SHCallDFND17,50000
AVALONBAY CMNTYS INCCmn05348410111,57964,900SHPutDFND164,90000
AVALONBAY CMNTYS INCCmn053484101138,038773,710SH DFND 773,71000
AVEO PHARMACEUTICALS INCCmn0535881099533,900SHCallDFND133,90000
AVEO PHARMACEUTICALS INCCmn0535881092,354843,820SH DFND 843,82000
AVERY DENNISON CORPCmn0536111091,79515,625SH DFND115,62500
AVERY DENNISON CORPCmn0536111093,77932,900SHCallDFND132,90000
AVERY DENNISON CORPCmn0536111095,89251,300SHPutDFND151,30000
AVERY DENNISON CORPCmn0536111098,87077,224SH DFND 77,22400
AVEXIS INCCmn05366U1001,25911,375SH DFND111,37500
AVEXIS INCCmn05366U1001,0859,800SHCallDFND19,80000
AVEXIS INCCmn05366U1001,72615,600SHPutDFND115,60000
AVEXIS INCCmn05366U100117,8181,064,589SH DFND 1,064,58900
AVID TECHNOLOGY INCCmn05367P1008415,565SH DFND215,56500
AVID TECHNOLOGY INCCmn05367P10025447,212SH DFND147,21200
AVID TECHNOLOGY INCCmn05367P1005910,900SHPutDFND110,90000
AVID TECHNOLOGY INCBond05367PAB68591,000,000PRN DFND 000
AVINO SILVER & GOLD MINES LTCmn0539061034634,671SH DFND134,67100
AVIRAGEN THERAPEUTICS INCCmn0537611023052,528SH DFND152,52800
AVIS BUDGET GROUPCmn0537741051,25128,504SH DFND128,50400
AVIS BUDGET GROUPCmn05377410511,804269,000SHCallDFND1269,00000
AVIS BUDGET GROUPCmn05377410523,441534,200SHPutDFND1534,20000
AVIS BUDGET GROUPCmn0537741056,582150,000SHCallDFND 150,00000
AVIS BUDGET GROUPCmn0537741056,582150,000SHPutDFND 150,00000
AVNET INCCmn0538071035,742144,933SH DFND2144,93300
AVNET INCCmn0538071032,60965,856SH DFND165,85600
AVNET INCCmn05380710370517,800SHCallDFND117,80000
AVNET INCCmn05380710346811,800SHPutDFND111,80000
AVNET INCCmn05380710356,1061,416,095SH DFND 1,416,09500
AVON PRODS INCCmn0543031022,2491,045,844SH DFND11,045,84400
AVON PRODS INCCmn054303102273127,100SHCallDFND1127,10000
AVON PRODS INCCmn054303102570264,900SHPutDFND1264,90000
AVON PRODS INCCmn054303102269124,978SH DFND 124,97800
AVX CORP NEWCmn0024441072,819162,935SH DFND 162,93500
AXALTA COATING SYS LTDCmnG0750C10854316,765SH DFND116,76500
AXALTA COATING SYS LTDCmnG0750C1082,71283,800SHCallDFND183,80000
AXALTA COATING SYS LTDCmnG0750C1081,70252,600SHPutDFND152,60000
AXALTA COATING SYS LTDCmnG0750C10834,2541,058,521SH DFND 1,058,52100
AXCELIS TECHNOLOGIES INCCmn05454020851718,016SH DFND218,01600
AXCELIS TECHNOLOGIES INCCmn05454020872925,400SHCallDFND125,40000
AXCELIS TECHNOLOGIES INCCmn0545402082448,500SHPutDFND18,50000
AXIS CAPITAL HOLDINGS LTDCmnG0692U1095,913117,652SH DFND2117,65200
AXIS CAPITAL HOLDINGS LTDCmnG0692U1094809,542SH DFND19,54200
AXIS CAPITAL HOLDINGS LTDCmnG0692U10973414,600SHPutDFND114,60000
AXIS CAPITAL HOLDINGS LTDCmnG0692U10982,2981,637,450SH DFND 1,637,45000
AXON ENTERPRISE INCCmn05464C1012,27185,700SHCallDFND185,70000
AXON ENTERPRISE INCCmn05464C1011,19545,100SHPutDFND145,10000
AXON ENTERPRISE INCCmn05464C10139,5741,493,347SH DFND 1,493,34700
AXOVANT SCIENCES LTDCmnG0750W104836158,665SH DFND1158,66500
AXOVANT SCIENCES LTDCmnG0750W10430658,100SHCallDFND158,10000
AXOVANT SCIENCES LTDCmnG0750W10423244,100SHPutDFND144,10000
AXOVANT SCIENCES LTDCmnG0750W1042,180413,731SH DFND 413,73100
AXT INCCmn00246W10310311,800SHCallDFND111,80000
AXT INCCmn00246W10310311,800SHPutDFND111,80000
AZUL S ADepository Receipt05501U10647,1521,978,667SH DFND 1,978,66700
AZZ INCCmn0024741043787,400SHPutDFND17,40000
AZZ INCCmn0024741046,843133,915SH DFND 133,91500
B & G FOODS INC NEWCmn05508R1062,59973,929SH DFND273,92900
B & G FOODS INC NEWCmn05508R1064,339123,456SH DFND1123,45600
B & G FOODS INC NEWCmn05508R1061,52943,500SHCallDFND143,50000
B & G FOODS INC NEWCmn05508R10677021,900SHPutDFND121,90000
B2GOLD CORPCmn11777Q20928290,833SH DFND290,83300
B2GOLD CORPCmn11777Q20910533,936SH DFND133,93600
B2GOLD CORPCmn11777Q20914446,300SHPutDFND146,30000
B2GOLD CORPBond11777QAB616,44115,500,000PRN DFND 000
BABCOCK & WILCOX ENTERPRIS ICmn05614L10019033,400SHCallDFND133,40000
BABCOCK & WILCOX ENTERPRIS ICmn05614L10014325,200SHPutDFND125,20000
BADGER METER INCCmn0565251082,81058,795SH DFND 58,79500
BAIDU INCDepository Receipt056752108190,789814,606SH DFND1814,60600
BAIDU INCCmn056752108112,749481,400SHCallDFND1481,40000
BAIDU INCCmn056752108284,0031,212,600SHPutDFND11,212,60000
BAIDU INCCmn05675210823,421100,000SHCallDFND 100,00000
BAIDU INCCmn05675210821,19690,500SHPutDFND 90,50000
BAKER HUGHES A GE COCmn05722G1001,41444,675SH DFND144,67500
BAKER HUGHES A GE COCmn05722G1001,59550,400SHCallDFND150,40000
BAKER HUGHES A GE COCmn05722G1003,493110,400SHPutDFND1110,40000
BAKER HUGHES A GE COCmn05722G1007,562239,009SH DFND 239,00900
BALCHEM CORPCmn0576652003324,124SH DFND24,12400
BALCHEM CORPCmn0576652006738,353SH DFND18,35300
BALDWIN & LYONS INCCmn0577552091,06244,325SH DFND 44,32500
BALL CORPCmn0584981066,426169,787SH DFND2169,78700
BALL CORPCmn0584981063,01479,625SH DFND179,62500
BALL CORPCmn0584981061,70745,100SHCallDFND145,10000
BALL CORPCmn0584981063,64196,200SHPutDFND196,20000
BALLARD PWR SYS INC NEWCmn05858610836783,167SH DFND183,16700
BALLARD PWR SYS INC NEWCmn05858610822851,800SHCallDFND151,80000
BANC OF CALIFORNIA INCCmn05990K1062069,999SH DFND19,99900
BANC OF CALIFORNIA INCCmn05990K10651625,000SHCallDFND125,00000
BANC OF CALIFORNIA INCCmn05990K10686942,100SHPutDFND142,10000
BANCO BILBAO VIZCAYA ARGENTADepository Receipt05946K1019210,837SH DFND110,83700
BANCO BILBAO VIZCAYA ARGENTACmn05946K10110712,600SHPutDFND112,60000
BANCO BRADESCO S ACmn0594603031,514147,900SHCallDFND1147,90000
BANCO BRADESCO S ACmn05946030371269,500SHPutDFND169,50000
BANCO BRADESCO S ACmn0594603034,096400,000SHPutDFND 400,00000
BANCO MACRO SADepository Receipt05961W1056966,003SH DFND16,00300
BANCO MACRO SACmn05961W1055454,700SHCallDFND14,70000
BANCO MACRO SACmn05961W1052,05117,700SHPutDFND117,70000
BANCO SANTANDER CHILE NEWDepository Receipt05965X10960219,251SH DFND119,25100
BANCO SANTANDER SADepository Receipt05964H1053,180486,244SH DFND1486,24400
BANCO SANTANDER SACmn05964H10547372,400SHCallDFND172,40000
BANCO SANTANDER SACmn05964H10511217,100SHPutDFND117,10000
BANCORP INC DELCmn05969A10530530,843SH DFND230,84300
BANCORP INC DELCmn05969A10530130,503SH DFND130,50300
BANCORP INC DELCmn05969A10558859,466SH DFND 59,46600
BANCORPSOUTH BK TUPELO MISSCmn05971J1021,29241,067SH DFND141,06700
BANCORPSOUTH BK TUPELO MISSCmn05971J1022528,000SHCallDFND18,00000
BANK AMER CORPCmn0605051041,12238,008SH DFND238,00800
BANK AMER CORPCmn060505104189,9186,433,550SH DFND16,433,55000
BANK AMER CORPCmn060505104153,4545,198,300SHCallDFND15,198,30000
BANK AMER CORPCmn060505104329,54111,163,300SHPutDFND111,163,30000
BANK AMER CORPCmn060505104768,45626,031,698SH DFND 26,031,69800
BANK AMER CORPCmn06050510412,576426,000SHCallDFND 426,00000
BANK AMER CORPCmn06050510414,760500,000SHPutDFND 500,00000
BANK HAWAII CORPCmn06254010989110,400SHCallDFND110,40000
BANK HAWAII CORPCmn0625401093864,500SHPutDFND14,50000
BANK MONTREAL QUECmn06367110193911,700SH DFND211,70000
BANK MONTREAL QUECmn0636711015176,465SH DFND16,46500
BANK MONTREAL QUECmn0636711017689,600SHCallDFND19,60000
BANK MONTREAL QUECmn0636711011,62420,300SHPutDFND120,30000
BANK MONTREAL QUECmn063671101106,7641,330,774SH DFND 1,330,77400
BANK MUTUAL CORP NEWCmn06375010318617,423SH DFND 17,42300
BANK N S HALIFAXCmn06414910781312,600SHCallDFND112,60000
BANK N S HALIFAXCmn06414910791614,200SHPutDFND114,20000
BANK NEW YORK MELLON CORPCmn06405810019,432360,784SH DFND1360,78400
BANK NEW YORK MELLON CORPCmn0640581004,13676,800SHCallDFND176,80000
BANK NEW YORK MELLON CORPCmn06405810014,747273,800SHPutDFND1273,80000
BANK NEW YORK MELLON CORPCmn0640581009,964185,000SHPutDFND 185,00000
BANK OF NT BUTTERFIELD&SON LCmnG0772R2081,37537,898SH DFND237,89800
BANK OF NT BUTTERFIELD&SON LCmnG0772R2081,55642,884SH DFND142,88400
BANK OF THE OZARKSCmn0639041061,00120,670SH DFND120,67000
BANK OF THE OZARKSCmn06390410657211,800SHCallDFND111,80000
BANK OF THE OZARKSCmn06390410671214,700SHPutDFND114,70000
BANKUNITED INCCmn06652K10343410,650SH DFND110,65000
BANKUNITED INCCmn06652K10390,2932,217,400SH DFND 2,217,40000
BANNER CORPCmn06652V2082123,846SH DFND23,84600
BANNER CORPCmn06652V20866011,971SH DFND111,97100
BANNER CORPCmn06652V2081,09119,797SH DFND 19,79700
BAOZUN INCDepository Receipt06684L1035,532175,288SH DFND1175,28800
BAOZUN INCCmn06684L1032,54780,700SHCallDFND180,70000
BAOZUN INCCmn06684L10310,819342,800SHPutDFND1342,80000
BARCLAYS BANK PLCCmn06739H2971,983126,364SH DFND1126,36400
BARCLAYS BANK PLCCmn06739H21484627,389SH DFND127,38900
BARCLAYS BANK PLCCmn06739H29777049,100SHCallDFND149,10000
BARCLAYS BANK PLCCmn06739H2972,466157,200SHPutDFND1157,20000
BARCLAYS BANK PLCCmn06739H30536314,900SHCallDFND114,90000
BARCLAYS BANK PLCCmn06739H21487128,200SHCallDFND128,20000
BARCLAYS BANK PLCCmn06739H2141,17338,000SHPutDFND138,00000
BARCLAYS BK PLCCmn06738C78654,3388,308,619SH DFND18,308,61900
BARCLAYS BK PLCCmn06739F10155214,700SHCallDFND114,70000
BARCLAYS BK PLCCmn06739F10140510,800SHPutDFND110,80000
BARCLAYS BK PLCCmn06740Q26037821,600SHCallDFND121,60000
BARCLAYS BK PLCCmn06746L42288,5293,170,800SHCallDFND13,170,80000
BARCLAYS BK PLCCmn06746L42294,6133,388,700SHPutDFND13,388,70000
BARCLAYS BK PLCCmn06738C7862,285349,400SHCallDFND1349,40000
BARCLAYS BK PLCCmn06738C786790120,800SHPutDFND1120,80000
BARCLAYS PLCDepository Receipt06738E2042,825259,152SH DFND1259,15200
BARCLAYS PLCCmn06738E20485378,300SHCallDFND178,30000
BARCLAYS PLCCmn06738E2043,505321,600SHPutDFND1321,60000
BARNES & NOBLE ED INCCmn06777U10142551,599SH DFND251,59900
BARNES & NOBLE ED INCCmn06777U10132539,472SH DFND139,47200
BARNES & NOBLE ED INCCmn06777U1018210,000SHPutDFND110,00000
BARNES & NOBLE ED INCCmn06777U1012,095254,274SH DFND 254,27400
BARNES & NOBLE INCCmn067774109693103,424SH DFND1103,42400
BARNES & NOBLE INCCmn06777410917926,700SHCallDFND126,70000
BARNES & NOBLE INCCmn06777410935052,200SHPutDFND152,20000
BARNES & NOBLE INCCmn06777410912919,238SH DFND 19,23800
BARNES GROUP INCCmn0678061092403,793SH DFND 3,79300
BARRACUDA NETWORKS INCCmn06832310463222,999SH DFND122,99900
BARRACUDA NETWORKS INCCmn06832310453919,600SHCallDFND119,60000
BARRACUDA NETWORKS INCCmn06832310430311,000SHPutDFND111,00000
BARRACUDA NETWORKS INCCmn0683231041,37550,000SH DFND 50,00000
BARRETT BILL CORPCmn06846N104698136,099SH DFND1136,09900
BARRETT BILL CORPCmn06846N1045110,000SHCallDFND110,00000
BARRETT BILL CORPCmn06846N1048015,500SHPutDFND115,50000
BARRETT BILL CORPCmn06846N104928180,844SH DFND 180,84400
BARRICK GOLD CORPCmn06790110848,4243,346,528SH DFND13,346,52800
BARRICK GOLD CORPCmn06790110816,2221,121,100SHCallDFND11,121,10000
BARRICK GOLD CORPCmn06790110852,9473,659,100SHPutDFND13,659,10000
BARRICK GOLD CORPCmn06790110826,9451,862,107SH DFND 1,862,10700
BARRICK GOLD CORPCmn06790110815310,600SHCallDFND 10,60000
BARRICK GOLD CORPCmn0679011083,055211,100SHPutDFND 211,10000
BARRICK GOLD CORPCmn06790110898768,151SH DFND268,15100
BASIC ENERGY SVCS INC NEWCmn06985P20911,911507,520SH DFND 507,52000
BAXTER INTL INCCmn0718131099,460146,348SH DFND1146,34800
BAXTER INTL INCCmn0718131096,755104,500SHCallDFND1104,50000
BAXTER INTL INCCmn0718131091,53823,800SHPutDFND123,80000
BAXTER INTL INCCmn071813109332,7835,148,248SH DFND 5,148,24800
BAYTEX ENERGY CORPCmn07317Q1059330,971SH DFND230,97100
BAYTEX ENERGY CORPCmn07317Q1051,735578,274SH DFND1578,27400
BAYTEX ENERGY CORPCmn07317Q1053411,400SHCallDFND111,40000
BAYTEX ENERGY CORPCmn07317Q1055718,842SH DFND 18,84200
BAZAARVOICE INCCmn073271108764140,186SH DFND1140,18600
BAZAARVOICE INCCmn0732711089016,600SHCallDFND116,60000
BAZAARVOICE INCCmn07327110823743,577SH DFND 43,57700
BB&T CORPCmn0549371073,70574,511SH DFND274,51100
BB&T CORPCmn0549371071,43028,760SH DFND128,76000
BB&T CORPCmn05493710713,484271,200SHCallDFND1271,20000
BB&T CORPCmn0549371076,434129,400SHPutDFND1129,40000
BB&T CORPCmn05493710771,6941,441,957SH DFND 1,441,95700
BBX CAP CORP NEWCmn05491N10422027,612SH DFND227,61200
BCE INCCmn05534B7601,26126,270SH DFND126,27000
BCE INCCmn05534B7602304,800SHCallDFND14,80000
BCE INCCmn05534B7602264,700SHPutDFND14,70000
BEACON ROOFING SUPPLY INCCmn0736851094,88876,667SH DFND276,66700
BEACON ROOFING SUPPLY INCCmn07368510983513,100SHCallDFND113,10000
BEACON ROOFING SUPPLY INCCmn0736851091,26219,800SHPutDFND119,80000
BEACON ROOFING SUPPLY INCCmn0736851095,16080,931SH DFND 80,93100
BEAZER HOMES USA INCCmn07556Q88187745,661SH DFND245,66100
BEAZER HOMES USA INCCmn07556Q8812,292119,306SH DFND1119,30600
BEAZER HOMES USA INCCmn07556Q8811,42574,200SHCallDFND174,20000
BEAZER HOMES USA INCCmn07556Q8811,24364,700SHPutDFND164,70000
BEAZER HOMES USA INCCmn07556Q8812,317120,629SH DFND 120,62900
BECTON DICKINSON & COCmn07588710916,95179,190SH DFND279,19000
BECTON DICKINSON & COCmn07588710925,541119,318SH DFND1119,31800
BECTON DICKINSON & COCmn0758871092,89013,500SHCallDFND113,50000
BECTON DICKINSON & COCmn07588710919,37290,500SHPutDFND190,50000
BED BATH & BEYOND INCCmn07589610022,3001,014,096SH DFND21,014,09600
BED BATH & BEYOND INCCmn0758961001,44965,904SH DFND165,90400
BED BATH & BEYOND INCCmn0758961008,701395,700SHCallDFND1395,70000
BED BATH & BEYOND INCCmn0758961007,729351,500SHPutDFND1351,50000
BED BATH & BEYOND INCCmn0758961001,41964,510SH DFND 64,51000
BELDEN INCCmn0774541062,20928,619SH DFND228,61900
BELDEN INCCmn0774541064,56959,205SH DFND159,20500
BELDEN INCCmn0774541065867,600SHCallDFND17,60000
BELDEN INCCmn0774541063244,200SHPutDFND14,20000
BELDEN INCCmn0774541064,08652,943SH DFND 52,94300
BELLATRIX EXPLORATION LTDCmn0783145074526,043SH DFND126,04300
BELLICUM PHARMACEUTICALS INCCmn07948110745954,534SH DFND154,53400
BELLICUM PHARMACEUTICALS INCCmn07948110719323,000SHCallDFND123,00000
BELLICUM PHARMACEUTICALS INCCmn07948110725530,300SHPutDFND130,30000
BELLICUM PHARMACEUTICALS INCCmn07948110735241,910SH DFND 41,91000
BELMOND LTDCmnG1154H10778764,279SH DFND164,27900
BELMOND LTDCmnG1154H10749140,058SH DFND 40,05800
BEMIS INCCmn0814371052274,751SH DFND24,75100
BEMIS INCCmn08143710558412,220SH DFND112,22000
BEMIS INCCmn08143710553511,200SHCallDFND111,20000
BEMIS INCCmn0814371053116,500SHPutDFND16,50000
BEMIS INCCmn08143710542,375886,689SH DFND 886,68900
BENCHMARK ELECTRS INCCmn08160H1012528,665SH DFND28,66500
BENCHMARK ELECTRS INCCmn08160H1011,61555,511SH DFND155,51100
BENCHMARK ELECTRS INCCmn08160H1012247,700SHPutDFND17,70000
BENCHMARK ELECTRS INCCmn08160H1012,86498,416SH DFND 98,41600
BENEFICIAL BANCORP INCCmn08171T10221012,783SH DFND112,78300
BENEFICIAL BANCORP INCCmn08171T10287353,058SH DFND 53,05800
BENEFITFOCUS INCCmn08180D10675027,784SH DFND127,78400
BENEFITFOCUS INCCmn08180D1062679,900SHCallDFND19,90000
BENEFITFOCUS INCCmn08180D10658121,500SHPutDFND121,50000
BENEFITFOCUS INCCmn08180D1061,37751,008SH DFND 51,00800
BERKLEY W R CORPCmn0844231022082,900SHCallDFND12,90000
BERKLEY W R CORPCmn08442310272,3911,010,348SH DFND 1,010,34800
BERKSHIRE HATHAWAY INC DELCmn0846701085952SH DFND1200
BERKSHIRE HATHAWAY INC DELCmn084670702121,224611,561SH DFND1611,56100
BERKSHIRE HATHAWAY INC DELCmn08467070265,432330,100SHCallDFND1330,10000
BERKSHIRE HATHAWAY INC DELCmn084670702143,511724,000SHPutDFND1724,00000
BERKSHIRE HATHAWAY INC DELCmn08467070299,346501,191SH DFND 501,19100
BERKSHIRE HATHAWAY INC DELCmn0846707021,98210,000SHCallDFND 10,00000
BERKSHIRE HILLS BANCORP INCCmn08468010737910,362SH DFND210,36200
BERKSHIRE HILLS BANCORP INCCmn08468010786323,566SH DFND123,56600
BERKSHIRE HILLS BANCORP INCCmn08468010739710,860SH DFND 10,86000
BERRY GLOBAL GROUP INCCmn08579W1036,354108,298SH DFND2108,29800
BERRY GLOBAL GROUP INCCmn08579W1031,48225,259SH DFND125,25900
BERRY GLOBAL GROUP INCCmn08579W10394516,100SHCallDFND116,10000
BERRY GLOBAL GROUP INCCmn08579W1031,15619,700SHPutDFND119,70000
BERRY GLOBAL GROUP INCCmn08579W10381,7471,393,330SH DFND 1,393,33000
BEST BUY INCCmn0865161015548,086SH DFND18,08600
BEST BUY INCCmn08651610134,235500,000SHCallDFND1500,00000
BEST BUY INCCmn08651610125,936378,800SHPutDFND1378,80000
BEST BUY INCCmn0865161012,57437,600SHPutDFND 37,60000
BEST INCDepository Receipt08653C10617719,720SH DFND119,72000
BEST INCCmn08653C10629532,900SHCallDFND132,90000
BEST INCCmn08653C10638843,200SHPutDFND143,20000
BEST INCDepository Receipt08653C10616818,678SH DFND 18,67800
BGC PARTNERS INCCmn05541T1012,976196,941SH DFND2196,94100
BGC PARTNERS INCCmn05541T1012,751182,070SH DFND1182,07000
BGC PARTNERS INCCmn05541T10135423,400SHCallDFND123,40000
BGC PARTNERS INCCmn05541T10134522,800SHPutDFND122,80000
BHP BILLITON LTDDepository Receipt08860610865014,129SH DFND114,12900
BHP BILLITON LTDCmn08860610812,160264,400SHCallDFND1264,40000
BHP BILLITON LTDCmn08860610815,356333,900SHPutDFND1333,90000
BHP BILLITON PLCDepository Receipt05545E2091,01125,092SH DFND125,09200
BHP BILLITON PLCCmn05545E20957214,200SHCallDFND114,20000
BIG 5 SPORTING GOODS CORPCmn08915P10117322,734SH DFND222,73400
BIG 5 SPORTING GOODS CORPCmn08915P10115620,500SHCallDFND120,50000
BIG 5 SPORTING GOODS CORPCmn08915P10110914,300SHPutDFND114,30000
BIG 5 SPORTING GOODS CORPCmn08915P10154271,255SH DFND 71,25500
BIG LOTS INCCmn0893021031,70630,376SH DFND130,37600
BIG LOTS INCCmn0893021032,70648,200SHCallDFND148,20000
BIG LOTS INCCmn0893021032,76349,200SHPutDFND149,20000
BIG ROCK PARTNERS ACQUISI COCmn08948220271569,366SH DFND169,36600
BIGLARI HLDGS INCCmn08986R101346836SH DFND183600
BIO RAD LABS INCCmn0905722072,64711,091SH DFND211,09100
BIO RAD LABS INCCmn09057220741,530174,005SH DFND 174,00500
BIO TECHNE CORPCmn09073M1041,79513,858SH DFND213,85800
BIO TECHNE CORPCmn09073M1041,0758,297SH DFND18,29700
BIO TECHNE CORPCmn09073M10451,118394,581SH DFND 394,58100
BIOAMBER INCCmn09072Q10660149,504SH DFND1149,50400
BIOANALYTICAL SYS INCCmn09058M1035220,886SH DFND120,88600
BIOCRYST PHARMACEUTICALSCmn09058V10311022,500SHCallDFND122,50000
BIOCRYST PHARMACEUTICALSCmn09058V1035912,100SHPutDFND112,10000
BIODELIVERY SCIENCES INTL INCmn09060J1065017,031SH DFND217,03100
BIODELIVERY SCIENCES INTL INCmn09060J10620569,541SH DFND169,54100
BIODELIVERY SCIENCES INTL INCmn09060J1063812,900SHCallDFND112,90000
BIOGEN INCCmn09062X10351,278160,964SH DFND1160,96400
BIOGEN INCCmn09062X10351,895162,900SHCallDFND1162,90000
BIOGEN INCCmn09062X103120,165377,200SHPutDFND1377,20000
BIOHAVEN PHARMACTL HLDG CO LCmnG111961052238,266SH DFND28,26600
BIOHAVEN PHARMACTL HLDG CO LCmnG1119610546417,200SHCallDFND117,20000
BIOHAVEN PHARMACTL HLDG CO LCmnG111961056,819252,743SH DFND 252,74300
BIOLINERX LTDDepository Receipt09071M1062421,820SH DFND121,82000
BIOMARIN PHARMACEUTICAL INCCmn09061G1013243,638SH DFND23,63800
BIOMARIN PHARMACEUTICAL INCCmn09061G1013,97944,625SH DFND144,62500
BIOMARIN PHARMACEUTICAL INCCmn09061G1013,06734,400SHCallDFND134,40000
BIOMARIN PHARMACEUTICAL INCCmn09061G1015,14557,700SHPutDFND157,70000
BIOMARIN PHARMACEUTICAL INCCmn09061G101202,1322,266,812SH DFND 2,266,81200
BIOSCRIP INCCmn09069N1084916,951SH DFND116,95100
BIOTELEMETRY INCCmn0906721061,03834,700SHCallDFND134,70000
BIOTELEMETRY INCCmn09067210649016,400SHPutDFND116,40000
BIOTIME INCCmn09066L1054018,509SH DFND118,50900
BIOTIME INCCmn09066L105280130,305SH DFND 130,30500
BIOVERATIV INCCmn09075E1001,78133,032SH DFND233,03200
BIOVERATIV INCCmn09075E1002093,875SH DFND13,87500
BIOVERATIV INCCmn09075E1001,36425,300SHCallDFND125,30000
BIOVERATIV INCCmn09075E10089516,600SHPutDFND116,60000
BITAUTO HLDGS LTDDepository Receipt0917271075,871184,626SH DFND1184,62600
BITAUTO HLDGS LTDCmn0917271071,30441,000SHCallDFND141,00000
BITAUTO HLDGS LTDCmn0917271073,819120,100SHPutDFND1120,10000
BJS RESTAURANTS INCCmn09180C1061,30735,900SHCallDFND135,90000
BJS RESTAURANTS INCCmn09180C1061,04428,678SH DFND 28,67800
BLACK BOX CORP DELCmn0918261077220,257SH DFND220,25700
BLACK BOX CORP DELCmn0918261074512,726SH DFND112,72600
BLACK BOX CORP DELCmn0918261074813,600SHPutDFND113,60000
BLACK HILLS CORPCmn0921131093015,000SHCallDFND15,00000
BLACK HILLS CORPCmn09211310993215,500SHPutDFND115,50000
BLACK HILLS CORPCmn09211310943,405722,091SH DFND 722,09100
BLACK KNIGHT INCCmn09215C1051,38631,387SH DFND231,38700
BLACK KNIGHT INCCmn09215C1054,04491,594SH DFND 91,59400
BLACK STONE MINERALS L PCmn09225M10124213,500SHCallDFND113,50000
BLACKBAUD INCCmn09227Q1006787,179SH DFND17,17900
BLACKBAUD INCCmn09227Q1004164,400SHCallDFND14,40000
BLACKBAUD INCCmn09227Q1002652,800SHPutDFND12,80000
BLACKBAUD INCCmn09227Q1002,57927,289SH DFND 27,28900
BLACKBERRY LTDCmn09228F1034,387392,571SH DFND2392,57100
BLACKBERRY LTDCmn09228F10314,9481,338,191SH DFND11,338,19100
BLACKBERRY LTDCmn09228F1035,565498,200SHCallDFND1498,20000
BLACKBERRY LTDCmn09228F10313,3661,196,600SHPutDFND11,196,60000
BLACKHAWK NETWORK HLDGS INCCmn09238E1041,79650,390SH DFND250,39000
BLACKHAWK NETWORK HLDGS INCCmn09238E1042336,526SH DFND16,52600
BLACKHAWK NETWORK HLDGS INCCmn09238E10441411,600SHPutDFND111,60000
BLACKLINE INCCmn09239B10999830,440SH DFND130,44000
BLACKROCK CALIF MUN INCOME TCmn09248E10215411,181SH DFND111,18100
BLACKROCK CAPITAL INVESTMENTCmn0925331089815,730SH DFND215,73000
BLACKROCK CAPITAL INVESTMENTCmn09253310855488,933SH DFND188,93300
BLACKROCK CORPOR HI YLD FD ICmn09255P10770064,024SH DFND164,02400
BLACKROCK CR ALLCTN INC TRCmn09250810032924,721SH DFND124,72100
BLACKROCK INCCmn09247X1012,6465,150SH DFND25,15000
BLACKROCK INCCmn09247X10116,31331,755SH DFND131,75500
BLACKROCK INCCmn09247X10112,02123,400SHCallDFND123,40000
BLACKROCK INCCmn09247X10138,06674,100SHPutDFND174,10000
BLACKROCK MUNIVEST FD II INCCmn09253T10119212,419SH DFND112,41900
BLACKROCK RES & COMM STRAT TCmn09257A10810911,188SH DFND111,18800
BLACKSTONE GROUP L PCmn09253U10825,896808,734SH DFND1808,73400
BLACKSTONE GROUP L PCmn09253U10810,262320,500SHCallDFND1320,50000
BLACKSTONE GROUP L PCmn09253U10832,4301,012,800SHPutDFND11,012,80000
BLACKSTONE MTG TR INCCmn09257W1001,29440,211SH DFND140,21100
BLACKSTONE MTG TR INCBond09257WAA844,82438,014,000PRN DFND 000
BLACKSTONE MTG TR INCCmn09257W10044,9161,395,766SH DFND 1,395,76600
BLDRS INDEX FDS TRCmn09348R20153222,603SH DFND122,60300
BLOCK H & R INCCmn0936711052,726103,977SH DFND2103,97700
BLOCK H & R INCCmn09367110512,766486,888SH DFND1486,88800
BLOCK H & R INCCmn0936711052,905110,800SHCallDFND1110,80000
BLOCK H & R INCCmn0936711055,234199,600SHPutDFND1199,60000
BLONDER TONGUE LABS INCCmn0936981082439,818SH DFND139,81800
BLUCORA INCCmn09522910028612,953SH DFND112,95300
BLUCORA INCCmn09522910068731,100SHPutDFND131,10000
BLUE APRON HLDGS INCCmn09523Q101512127,014SH DFND1127,01400
BLUE APRON HLDGS INCCmn09523Q101801198,700SHCallDFND1198,70000
BLUE APRON HLDGS INCCmn09523Q10135387,500SHPutDFND187,50000
BLUE BUFFALO PET PRODS INCCmn09531U1021,07232,700SHCallDFND132,70000
BLUE BUFFALO PET PRODS INCCmn09531U10265920,100SHPutDFND120,10000
BLUE BUFFALO PET PRODS INCCmn09531U1023,724113,570SH DFND 113,57000
BLUE HILLS BANCORP INCCmn09557310156928,307SH DFND 28,30700
BLUEBIRD BIO INCCmn09609G1005,16829,015SH DFND129,01500
BLUEBIRD BIO INCCmn09609G10016,02990,000SHCallDFND190,00000
BLUEBIRD BIO INCCmn09609G10015,88789,200SHPutDFND189,20000
BLUEBIRD BIO INCCmn09609G1009,65654,219SH DFND 54,21900
BLUEPRINT MEDICINES CORPCmn09627Y1091,37718,258SH DFND118,25800
BLUEPRINT MEDICINES CORPCmn09627Y1091,35017,900SHCallDFND117,90000
BLUEPRINT MEDICINES CORPCmn09627Y1093,92952,100SHPutDFND152,10000
BMC STK HLDGS INCCmn05591B10970027,681SH DFND 27,68100
BOARDWALK PIPELINE PARTNERSCmn09662710416212,520SH DFND112,52000
BOARDWALK PIPELINE PARTNERSCmn09662710434126,400SHCallDFND126,40000
BOB EVANS FARMS INCCmn0967611013103,934SH DFND13,93400
BOB EVANS FARMS INCCmn0967611015286,700SHPutDFND16,70000
BOEING COCmn0970231051,5225,161SH DFND25,16100
BOEING COCmn097023105131,964447,473SH DFND1447,47300
BOEING COCmn097023105169,603575,100SHCallDFND1575,10000
BOEING COCmn097023105477,0461,617,600SHPutDFND11,617,60000
BOEING COCmn09702310539,086132,536SH DFND 132,53600
BOEING COCmn0970231057962,700SHPutDFND 2,70000
BOFI HLDG INCCmn05566U1081,83961,500SHCallDFND161,50000
BOFI HLDG INCCmn05566U1082,22874,500SHPutDFND174,50000
BOINGO WIRELESS INCCmn09739C1021,19853,235SH DFND253,23500
BOINGO WIRELESS INCCmn09739C1022,513111,710SH DFND1111,71000
BOINGO WIRELESS INCCmn09739C1022189,700SHCallDFND19,70000
BOINGO WIRELESS INCCmn09739C10238016,900SHPutDFND116,90000
BOISE CASCADE CO DELCmn09739D10045911,513SH DFND111,51300
BOISE CASCADE CO DELCmn09739D10075418,900SHCallDFND118,90000
BOISE CASCADE CO DELCmn09739D10074618,700SHPutDFND118,70000
BOJANGLES INCCmn09748810018115,308SH DFND115,30800
BOJANGLES INCCmn09748810017114,500SHCallDFND114,50000
BOJANGLES INCCmn0974881002,152182,357SH DFND 182,35700
BOK FINL CORPCmn05561Q2014374,729SH DFND14,72900
BOK FINL CORPCmn05561Q2013233,500SHPutDFND13,50000
BONANZA CREEK ENERGY INCCmn09779340073726,703SH DFND126,70300
BONANZA CREEK ENERGY INCCmn09779340067024,300SHPutDFND124,30000
BOOT BARN HLDGS INCCmn09940610045027,082SH DFND127,08200
BOOT BARN HLDGS INCCmn09940610017110,300SHPutDFND110,30000
BOOZ ALLEN HAMILTON HLDG CORCmn0995021064,009105,150SH DFND1105,15000
BOOZ ALLEN HAMILTON HLDG CORCmn09950210679,8392,093,856SH DFND 2,093,85600
BORGWARNER INCCmn0997241061,32325,905SH DFND225,90500
BORGWARNER INCCmn09972410611,070216,684SH DFND1216,68400
BORGWARNER INCCmn0997241061,15022,500SHCallDFND122,50000
BORGWARNER INCCmn0997241063,80174,400SHPutDFND174,40000
BOSTON BEER INCCmn1005571072,00110,472SH DFND110,47200
BOSTON BEER INCCmn1005571073,01915,800SHCallDFND115,80000
BOSTON BEER INCCmn1005571074,75824,900SHPutDFND124,90000
BOSTON PRIVATE FINL HLDGS INCmn1011191051,36188,067SH DFND188,06700
BOSTON PRIVATE FINL HLDGS INCmn10111910543628,210SH DFND 28,21000
BOSTON PROPERTIES INCCmn1011211016494,993SH DFND14,99300
BOSTON PROPERTIES INCCmn1011211012,08016,000SHCallDFND116,00000
BOSTON PROPERTIES INCCmn1011211017936,100SHPutDFND16,10000
BOSTON PROPERTIES INCCmn1011211015,34341,091SH DFND 41,09100
BOSTON SCIENTIFIC CORPCmn10113710715,116609,765SH DFND1609,76500
BOSTON SCIENTIFIC CORPCmn1011371072,40797,100SHCallDFND197,10000
BOSTON SCIENTIFIC CORPCmn1011371076,708270,600SHPutDFND1270,60000
BOTTOMLINE TECH DEL INCCmn1013881062737,885SH DFND27,88500
BOTTOMLINE TECH DEL INCCmn10138810669720,100SH DFND120,10000
BOTTOMLINE TECH DEL INCCmn1013881063,920113,040SH DFND 113,04000
BOX INCCmn10316T1041,49070,549SH DFND170,54900
BOX INCCmn10316T1041,40266,400SHCallDFND166,40000
BOX INCCmn10316T1042,773131,300SHPutDFND1131,30000
BOYD GAMING CORPCmn1033041011,57945,059SH DFND145,05900
BOYD GAMING CORPCmn1033041012,96584,600SHCallDFND184,60000
BOYD GAMING CORPCmn1033041013,26393,100SHPutDFND193,10000
BOYD GAMING CORPCmn10330410156316,069SH DFND 16,06900
BP PLCDepository Receipt0556221042064,911SH DFND24,91100
BP PLCDepository Receipt05562210423,124550,186SH DFND1550,18600
BP PLCCmn05562210415,623371,700SHCallDFND1371,70000
BP PLCCmn05562210439,117930,700SHPutDFND1930,70000
BP PLCDepository Receipt05562210436,372865,389SH DFND 865,38900
BP PRUDHOE BAY RTY TRCmn05563010725912,873SH DFND112,87300
BP PRUDHOE BAY RTY TRCmn05563010756728,200SHPutDFND128,20000
BRADY CORPCmn10467410639710,483SH DFND210,48300
BRADY CORPCmn10467410674919,769SH DFND119,76900
BRAINSTORM CELL THERAPEUTICSCmn10501E2015915,034SH DFND115,03400
BRANDYWINE RLTY TRCmn10536820392050,563SH DFND250,56300
BRANDYWINE RLTY TRCmn10536820320,5951,132,242SH DFND 1,132,24200
BRASKEM S ADepository Receipt10553210533512,752SH DFND112,75200
BRAVO BRIO RESTAURANT GROUPCmn10567B1093714,663SH DFND114,66300
BRF SADepository Receipt10552T10777168,488SH DFND168,48800
BRF SACmn10552T10746140,900SHPutDFND140,90000
BRIDGE BANCORP INCCmn10803510637610,756SH DFND 10,75600
BRIDGEPOINT ED INCCmn10807M10511313,647SH DFND113,64700
BRIDGEPOINT ED INCCmn10807M10512314,800SHPutDFND114,80000
BRIDGEPOINT ED INCCmn10807M1052,643318,423SH DFND 318,42300
BRIGGS & STRATTON CORPCmn10904310934913,746SH DFND213,74600
BRIGGS & STRATTON CORPCmn10904310935413,963SH DFND113,96300
BRIGGS & STRATTON CORPCmn10904310926610,500SHPutDFND110,50000
BRIGGS & STRATTON CORPCmn1090431091,15545,521SH DFND 45,52100
BRIGHT HORIZONS FAM SOL IN DCmn1091941002062,188SH DFND 2,18800
BRIGHTCOVE INCCmn10921T10112417,533SH DFND117,53300
BRIGHTHOUSE FINL INCCmn10922N1035449,273SH DFND19,27300
BRIGHTHOUSE FINL INCCmn10922N1034527,700SHCallDFND17,70000
BRIGHTHOUSE FINL INCCmn10922N1035639,600SHPutDFND19,60000
BRIGHTHOUSE FINL INCCmn10922N10391215,558SH DFND 15,55800
BRINKER INTL INCCmn1096411001,26532,560SH DFND232,56000
BRINKER INTL INCCmn1096411006,228160,346SH DFND1160,34600
BRINKER INTL INCCmn1096411001,92349,500SHCallDFND149,50000
BRINKER INTL INCCmn1096411001,58940,900SHPutDFND140,90000
BRINKER INTL INCCmn10964110014,566375,022SH DFND 375,02200
BRINKS COCmn1096961047099,014SH DFND19,01400
BRINKS COCmn10969610490511,500SHCallDFND111,50000
BRINKS COCmn1096961041,25115,900SHPutDFND115,90000
BRISTOL MYERS SQUIBB COCmn11012210822,213362,476SH DFND2362,47600
BRISTOL MYERS SQUIBB COCmn11012210861,9661,011,190SH DFND11,011,19000
BRISTOL MYERS SQUIBB COCmn11012210841,297673,900SHCallDFND1673,90000
BRISTOL MYERS SQUIBB COCmn11012210899,2861,620,200SHPutDFND11,620,20000
BRISTOL MYERS SQUIBB COCmn110122108275,3484,493,280SH DFND 4,493,28000
BRISTOL MYERS SQUIBB COCmn1101221083,80562,100SHCallDFND 62,10000
BRISTOL MYERS SQUIBB COCmn110122108104,7831,709,900SHPutDFND 1,709,90000
BRISTOW GROUP INCCmn11039410375756,215SH DFND156,21500
BRISTOW GROUP INCCmn11039410356341,800SHCallDFND141,80000
BRISTOW GROUP INCBond110394AF033,19630,000,000PRN DFND 000
BRITISH AMERN TOB PLCDepository Receipt1104481071,90528,434SH DFND228,43400
BRITISH AMERN TOB PLCDepository Receipt11044810770210,486SH DFND110,48600
BRITISH AMERN TOB PLCCmn1104481073,30349,300SHCallDFND149,30000
BRITISH AMERN TOB PLCCmn1104481076,39895,500SHPutDFND195,50000
BRITISH AMERN TOB PLCDepository Receipt11044810728,670427,977SH DFND 427,97700
BRIXMOR PPTY GROUP INCCmn11120U1051,61886,696SH DFND286,69600
BRIXMOR PPTY GROUP INCCmn11120U1052,130114,142SH DFND1114,14200
BRIXMOR PPTY GROUP INCCmn11120U1056,483347,407SH DFND 347,40700
BROADCOM LTDCmnY0982710923,79792,632SH DFND192,63200
BROADCOM LTDCmnY0982710987,140339,200SHCallDFND1339,20000
BROADCOM LTDCmnY09827109157,094611,500SHPutDFND1611,50000
BROADCOM LTDCmnY09827109277,0981,078,621SH DFND 1,078,62100
BROADCOM LTDCmnY09827109123,312480,000SHCallDFND 480,00000
BROADCOM LTDCmnY0982710918,29171,200SHPutDFND 71,20000
BROADRIDGE FINL SOLUTIONS INCmn11133T1031,36515,065SH DFND115,06500
BROADRIDGE FINL SOLUTIONS INCmn11133T1032993,300SHCallDFND13,30000
BROADRIDGE FINL SOLUTIONS INCmn11133T1031,11412,300SHPutDFND112,30000
BROADRIDGE FINL SOLUTIONS INCmn11133T1032,30825,481SH DFND 25,48100
BROADSOFT INCCmn11133B4095269,583SH DFND19,58300
BROADSOFT INCCmn11133B4095279,600SHCallDFND19,60000
BROADSOFT INCCmn11133B40984515,400SHPutDFND115,40000
BROADSOFT INCBond11133BAD434,94523,545,000PRN DFND 000
BROADSOFT INCCmn11133B4091,64730,000SHCallDFND 30,00000
BROADSOFT INCCmn11133B4093,65166,500SHPutDFND 66,50000
BROADSOFT INCBond11133BAB841,91932,000,000PRN DFND 000
BROOKDALE SR LIVING INCCmn1124631042,434250,951SH DFND1250,95100
BROOKDALE SR LIVING INCCmn11246310490092,800SHCallDFND192,80000
BROOKDALE SR LIVING INCCmn11246310458360,100SHPutDFND160,10000
BROOKDALE SR LIVING INCCmn1124631043,573368,353SH DFND 368,35300
BROOKDALE SR LIVING INCCmn1124631041,673172,500SHCallDFND 172,50000
BROOKFIELD ASSET MGMT INCCmn1125851042,97168,240SH DFND268,24000
BROOKFIELD ASSET MGMT INCCmn11258510464614,835SH DFND114,83500
BROOKFIELD ASSET MGMT INCCmn1125851042355,400SHPutDFND15,40000
BROOKFIELD INFRAST PARTNERSCmnG1625210157412,800SHCallDFND112,80000
BROOKFIELD INFRAST PARTNERSCmnG162521013277,300SHPutDFND17,30000
BROOKLINE BANCORP INC DELCmn11373M10721613,772SH DFND113,77200
BROOKLINE BANCORP INC DELCmn11373M1071,08068,786SH DFND 68,78600
BROOKS AUTOMATION INCCmn1143401022259,417SH DFND29,41700
BROOKS AUTOMATION INCCmn11434010242317,734SH DFND117,73400
BROOKS AUTOMATION INCCmn11434010224110,100SHCallDFND110,10000
BROOKS AUTOMATION INCCmn11434010234114,300SHPutDFND114,30000
BROOKS AUTOMATION INCCmn1143401022,08187,252SH DFND 87,25200
BROWN & BROWN INCCmn11523610174,0481,438,943SH DFND 1,438,94300
BROWN FORMAN CORPCmn1156372093955,754SH DFND15,75400
BRUKER CORPCmn11679410847413,802SH DFND213,80200
BRUKER CORPCmn1167941081,83853,549SH DFND 53,54900
BRUNSWICK CORPCmn1170431096,507117,829SH DFND2117,82900
BRUNSWICK CORPCmn1170431092,06137,324SH DFND137,32400
BRUNSWICK CORPCmn1170431095259,500SHCallDFND19,50000
BRUNSWICK CORPCmn1170431092,84951,600SHPutDFND151,60000
BRUNSWICK CORPCmn11704310990,8071,644,451SH DFND 1,644,45100
BRYN MAWR BK CORPCmn11766510967315,217SH DFND 15,21700
BUCKEYE PARTNERS L PCmn1182301014,69794,800SH DFND194,80000
BUCKEYE PARTNERS L PCmn1182301014819,700SHCallDFND19,70000
BUCKEYE PARTNERS L PCmn1182301014,59892,800SHPutDFND192,80000
BUCKLE INCCmn1184401062,741115,400SHCallDFND1115,40000
BUCKLE INCCmn1184401062048,600SHPutDFND18,60000
BUFFALO WILD WINGS INCCmn11984810926,251167,900SHCallDFND1167,90000
BUFFALO WILD WINGS INCCmn11984810910,22565,400SHPutDFND165,40000
BUILD A BEAR WORKSHOPCmn12007610410211,100SHCallDFND111,10000
BUILDERS FIRSTSOURCE INCCmn12008R10791842,152SH DFND142,15200
BUILDERS FIRSTSOURCE INCCmn12008R1071,18354,300SHCallDFND154,30000
BUILDERS FIRSTSOURCE INCCmn12008R10740518,600SHPutDFND118,60000
BUNGE LIMITEDCmnG169621055,50982,120SH DFND182,12000
BUNGE LIMITEDCmnG169621055,93088,400SHCallDFND188,40000
BUNGE LIMITEDCmnG169621059,042134,800SHPutDFND1134,80000
BUNGE LIMITEDCmnG16962105203,8253,038,540SH DFND 3,038,54000
BUNGE LIMITEDCmnG1696210516,770250,000SHPutDFND 250,00000
BURLINGTON STORES INCCmn1220171063,04724,767SH DFND124,76700
BURLINGTON STORES INCCmn1220171068,88372,200SHCallDFND172,20000
BURLINGTON STORES INCCmn1220171068,07165,600SHPutDFND165,60000
BURLINGTON STORES INCCmn122017106206,5061,678,504SH DFND 1,678,50400
BWX TECHNOLOGIES INCCmn05605H1005939,800SHCallDFND19,80000
BWX TECHNOLOGIES INCCmn05605H1005268,700SHCallDFND 8,70000
BYLINE BANCORP INCCmn12441110925511,101SH DFND211,10100
C H ROBINSON WORLDWIDE INCCmn12541W2092,99233,584SH DFND233,58400
C H ROBINSON WORLDWIDE INCCmn12541W2094084,584SH DFND14,58400
C H ROBINSON WORLDWIDE INCCmn12541W20928,304317,700SHCallDFND1317,70000
C H ROBINSON WORLDWIDE INCCmn12541W2099,595107,700SHPutDFND1107,70000
C&J ENERGY SVCS INC NEWCmn12674R1002,62278,352SH DFND278,35200
C&J ENERGY SVCS INC NEWCmn12674R1002316,903SH DFND16,90300
C&J ENERGY SVCS INC NEWCmn12674R10037,0831,107,950SH DFND 1,107,95000
CA INCCmn12673P10535210,572SH DFND110,57200
CA INCCmn12673P1052,39972,100SHCallDFND172,10000
CA INCCmn12673P10579223,800SHPutDFND123,80000
CABOT CORPCmn1270551014,43972,068SH DFND272,06800
CABOT CORPCmn1270551013145,100SHCallDFND15,10000
CABOT CORPCmn1270551015609,100SHPutDFND19,10000
CABOT CORPCmn1270551016,672108,330SH DFND 108,33000
CABOT MICROELECTRONICS CORPCmn12709P10394110,000SHCallDFND110,00000
CABOT MICROELECTRONICS CORPCmn12709P1031,32714,100SHPutDFND114,10000
CABOT MICROELECTRONICS CORPCmn12709P1035,44857,906SH DFND 57,90600
CABOT OIL & GAS CORPCmn1270971034,336151,600SHCallDFND1151,60000
CABOT OIL & GAS CORPCmn1270971033,069107,300SHPutDFND1107,30000
CACI INTL INCCmn1271903041,41910,725SH DFND210,72500
CACI INTL INCCmn1271903049537,200SHCallDFND17,20000
CACI INTL INCCmn1271903047415,600SHPutDFND15,60000
CACI INTL INCCmn12719030418,324138,449SH DFND 138,44900
CADENCE DESIGN SYSTEM INCCmn12738710860014,353SH DFND114,35300
CADENCE DESIGN SYSTEM INCCmn1273871081,46034,900SHCallDFND134,90000
CADENCE DESIGN SYSTEM INCCmn1273871083307,900SHPutDFND17,90000
CADENCE DESIGN SYSTEM INCCmn12738710812,930309,180SH DFND 309,18000
CAE INCCmn12476510820210,907SH DFND210,90700
CAESARS ENTMT CORPCmn12768610319515,405SH DFND215,40500
CAESARS ENTMT CORPCmn1276861033,953312,463SH DFND1312,46300
CAESARS ENTMT CORPCmn12768610378762,200SHCallDFND162,20000
CAESARS ENTMT CORPCmn1276861032,479196,000SHPutDFND1196,00000
CAESARS ENTMT CORPCmn1276861034,589362,800SH DFND 362,80000
CAESARSTONE LTDCmnM2059810492942,243SH DFND142,24300
CAESARSTONE LTDCmnM2059810422010,000SHCallDFND110,00000
CAESARSTONE LTDCmnM2059810422910,400SHPutDFND110,40000
CAI INTERNATIONAL INCCmn12477X1062,22578,583SH DFND278,58300
CAI INTERNATIONAL INCCmn12477X10667423,788SH DFND123,78800
CAI INTERNATIONAL INCCmn12477X10651518,200SHCallDFND118,20000
CAI INTERNATIONAL INCCmn12477X1062278,000SHPutDFND18,00000
CAL MAINE FOODS INCCmn1280302025,872132,101SH DFND2132,10100
CAL MAINE FOODS INCCmn12803020298922,248SH DFND122,24800
CAL MAINE FOODS INCCmn1280302021,44932,600SHCallDFND132,60000
CAL MAINE FOODS INCCmn1280302022,11647,600SHPutDFND147,60000
CALAMOS CONV OPP AND INC FDCmn12811710818016,107SH DFND116,10700
CALAMP CORPCmn12812610978036,400SHCallDFND136,40000
CALAMP CORPCmn12812610945221,100SHPutDFND121,10000
CALAMP CORPBond128126AB513,31012,630,000PRN DFND 000
CALAMP CORPCmn1281261095,460254,764SH DFND 254,76400
CALATLANTIC GROUP INCCmn1281951042,76949,100SHCallDFND149,10000
CALATLANTIC GROUP INCCmn12819510497017,200SHPutDFND117,20000
CALATLANTIC GROUP INCCmn1281951044,22975,000SH DFND 75,00000
CALAVO GROWERS INCCmn1282461053273,873SH DFND23,87300
CALAVO GROWERS INCCmn1282461057438,800SHCallDFND18,80000
CALAVO GROWERS INCCmn1282461053974,700SHPutDFND14,70000
CALERES INCCmn1295001041,17235,004SH DFND 35,00400
CALGON CARBON CORPCmn12960310627713,011SH DFND113,01100
CALGON CARBON CORPCmn12960310630014,100SHCallDFND114,10000
CALGON CARBON CORPCmn12960310657527,000SHPutDFND127,00000
CALIFORNIA RES CORPCmn13057Q2065,140264,400SHCallDFND1264,40000
CALIFORNIA RES CORPCmn13057Q2061,84394,800SHPutDFND194,80000
CALIFORNIA RES CORPCmn13057Q20666234,038SH DFND 34,03800
CALITHERA BIOSCIENCES INCCmn13089P10117220,635SH DFND220,63500
CALITHERA BIOSCIENCES INCCmn13089P10114016,800SHCallDFND116,80000
CALITHERA BIOSCIENCES INCCmn13089P1017,175859,292SH DFND 859,29200
CALIX INCCmn13100M50915826,496SH DFND 26,49600
CALLAWAY GOLF COCmn1311931041,14582,214SH DFND282,21400
CALLAWAY GOLF COCmn13119310420414,632SH DFND114,63200
CALLAWAY GOLF COCmn13119310430822,100SHCallDFND122,10000
CALLAWAY GOLF COCmn13119310428320,300SHPutDFND120,30000
CALLIDUS SOFTWARE INCCmn13123E5002137,431SH DFND27,43100
CALLIDUS SOFTWARE INCCmn13123E5002388,300SHCallDFND18,30000
CALLON PETE CO DELCmn13123X10225120,634SH DFND120,63400
CALLON PETE CO DELCmn13123X10262151,100SHCallDFND151,10000
CALLON PETE CO DELCmn13123X10254244,600SHPutDFND144,60000
CALLON PETE CO DELCmn13123X10242,0583,461,546SH DFND 3,461,54600
CALPINE CORPCmn13134730466043,635SH DFND143,63500
CALPINE CORPCmn1313473044,317285,300SHCallDFND1285,30000
CALPINE CORPCmn13134730490559,800SHPutDFND159,80000
CALPINE CORPCmn13134730461,7694,082,552SH DFND 4,082,55200
CALUMET SPECIALTY PRODS PTNRCmn1314761031,210157,135SH DFND1157,13500
CALUMET SPECIALTY PRODS PTNRCmn13147610318423,900SHCallDFND123,90000
CALUMET SPECIALTY PRODS PTNRCmn1314761031,161150,800SHPutDFND1150,80000
CAMBER ENERGY INCCmn13200M10214118,271SH DFND1118,27100
CAMBREX CORPCmn1320111071,02921,435SH DFND221,43500
CAMBREX CORPCmn1320111072886,000SHCallDFND16,00000
CAMBREX CORPCmn1320111072545,300SHPutDFND15,30000
CAMBRIA ETF TRCmn13206170647713,749SH DFND113,74900
CAMDEN NATL CORPCmn13303410849811,826SH DFND 11,82600
CAMDEN PPTY TRCmn1331311021,13012,277SH DFND112,27700
CAMDEN PPTY TRCmn1331311027738,400SHPutDFND18,40000
CAMDEN PPTY TRCmn13313110251,502559,435SH DFND 559,43500
CAMECO CORPCmn13321L10841544,800SH DFND244,80000
CAMECO CORPCmn13321L1083,761407,525SH DFND1407,52500
CAMECO CORPCmn13321L1081,157125,400SHCallDFND1125,40000
CAMECO CORPCmn13321L1083,985431,700SHPutDFND1431,70000
CAMECO CORPCmn13321L1089,7531,056,689SH DFND 1,056,68900
CAMPBELL SOUP COCmn13442910913,544281,521SH DFND1281,52100
CAMPBELL SOUP COCmn1344291097,967165,600SHCallDFND1165,60000
CAMPBELL SOUP COCmn1344291097,866163,500SHPutDFND1163,50000
CAMPING WORLD HLDGS INCCmn13462K10960,1071,343,779SH DFND 1,343,77900
CAMTEK LTDCmnM207911059817,107SH DFND117,10700
CANADA GOOSE HOLDINGS INCCmn1350861061,84058,300SHCallDFND158,30000
CANADA GOOSE HOLDINGS INCCmn1350861061,51848,100SHPutDFND148,10000
CANADA GOOSE HOLDINGS INCCmn13508610666721,124SH DFND 21,12400
CANADIAN NAT RES LTDCmn1363851011,27935,801SH DFND135,80100
CANADIAN NAT RES LTDCmn1363851013,601100,800SHCallDFND1100,80000
CANADIAN NAT RES LTDCmn1363851019,705271,700SHPutDFND1271,70000
CANADIAN NAT RES LTDCmn13638510148,9621,366,743SH DFND 1,366,74300
CANADIAN NATL RY COCmn1363751022,40929,200SHCallDFND129,20000
CANADIAN NATL RY COCmn1363751022,44229,600SHPutDFND129,60000
CANADIAN NATL RY COCmn13637510212,375150,000SHPutDFND 150,00000
CANADIAN PAC RY LTDCmn13645T1005,86832,109SH DFND132,10900
CANADIAN PAC RY LTDCmn13645T1002,17511,900SHCallDFND111,90000
CANADIAN PAC RY LTDCmn13645T1004,88026,700SHPutDFND126,70000
CANADIAN PAC RY LTDCmn13645T1001,7159,384SH DFND29,38400
CANADIAN PAC RY LTDCmn13645T100132,845726,418SH DFND 726,41800
CANADIAN SOLAR INCCmn1366351093,296195,468SH DFND1195,46800
CANADIAN SOLAR INCCmn1366351093,512208,300SHCallDFND1208,30000
CANADIAN SOLAR INCCmn1366351094,771283,000SHPutDFND1283,00000
CANADIAN SOLAR INCCmn13663510933720,000SH DFND 20,00000
CANNAE HLDGS INCCmn13765N1071,12365,949SH DFND265,94900
CANNAE HLDGS INCCmn13765N10781948,089SH DFND148,08900
CANTEL MEDICAL CORPCmn1380981083253,161SH DFND13,16100
CANTEL MEDICAL CORPCmn1380981086176,000SHCallDFND16,00000
CANTEL MEDICAL CORPCmn1380981083913,800SHPutDFND13,80000
CAPELLA EDUCATION COMPANYCmn1395941053093,987SH DFND13,98700
CAPELLA EDUCATION COMPANYCmn1395941055036,500SHPutDFND16,50000
CAPELLA EDUCATION COMPANYCmn1395941052,65234,263SH DFND 34,26300
CAPITAL ONE FINL CORPCmn14040H1052,18921,987SH DFND221,98700
CAPITAL ONE FINL CORPCmn14040H1056,00460,294SH DFND160,29400
CAPITAL ONE FINL CORPCmn14040H10522,694227,900SHCallDFND1227,90000
CAPITAL ONE FINL CORPCmn14040H10536,118362,700SHPutDFND1362,70000
CAPITAL ONE FINL CORPCmn14040H105245,1262,461,595SH DFND 2,461,59500
CAPITAL PRODUCT PARTNERS L PCmnY11082107498148,146SH DFND1148,14600
CAPITAL PRODUCT PARTNERS L PCmnY1108210722165,800SHPutDFND165,80000
CAPITAL SR LIVING CORPCmn14047510426119,322SH DFND219,32200
CAPITAL SR LIVING CORPCmn14047510489466,265SH DFND166,26500
CAPITAL SR LIVING CORPCmn14047510424017,778SH DFND 17,77800
CAPITOL FED FINL INCCmn14057J10135526,481SH DFND126,48100
CAPITOL FED FINL INCCmn14057J1012,329173,704SH DFND 173,70400
CAPRICOR THERAPEUTICS INCCmn14070B1011610,009SH DFND110,00900
CAPSTEAD MTG CORPCmn14067E50663473,295SH DFND173,29500
CAPSTEAD MTG CORPCmn14067E5065,473632,711SH DFND 632,71100
CARA THERAPEUTICS INCCmn14075510951442,000SHCallDFND142,00000
CARA THERAPEUTICS INCCmn14075510994977,571SH DFND 77,57100
CARBO CERAMICS INCCmn14078110535935,275SH DFND135,27500
CARBO CERAMICS INCCmn14078110556155,100SHCallDFND155,10000
CARBO CERAMICS INCCmn14078110519619,300SHPutDFND119,30000
CARDINAL HEALTH INCCmn14149Y10861710,065SH DFND110,06500
CARDINAL HEALTH INCCmn14149Y1085,65592,300SHCallDFND192,30000
CARDINAL HEALTH INCCmn14149Y1086,899112,600SHPutDFND1112,60000
CARDIOVASCULAR SYS INC DELCmn14161910683535,255SH DFND135,25500
CARDIOVASCULAR SYS INC DELCmn14161910637715,900SHPutDFND115,90000
CARDTRONICS PLCCmnG1991C10535619,215SH DFND219,21500
CARDTRONICS PLCCmnG1991C10528015,100SHCallDFND115,10000
CARDTRONICS PLCCmnG1991C1052,700145,788SH DFND 145,78800
CARE COM INCCmn14163310753529,661SH DFND129,66100
CARE COM INCCmn14163310766036,600SHPutDFND136,60000
CAREER EDUCATION CORPCmn14166510925421,047SH DFND221,04700
CAREER EDUCATION CORPCmn14166510913310,969SH DFND110,96900
CAREER EDUCATION CORPCmn14166510914912,300SHCallDFND112,30000
CAREER EDUCATION CORPCmn14166510967956,240SH DFND 56,24000
CARGURUS INCCmn1417881091,09136,405SH DFND236,40500
CARGURUS INCCmn1417881092036,762SH DFND16,76200
CARLISLE COS INCCmn1423391004,12336,274SH DFND236,27400
CARLISLE COS INCCmn1423391005,25846,264SH DFND146,26400
CARLISLE COS INCCmn1423391009658,490SH DFND 8,49000
CARLYLE GROUP L PCmn14309L10270130,621SH DFND130,62100
CARLYLE GROUP L PCmn14309L1021,47764,500SHCallDFND164,50000
CARLYLE GROUP L PCmn14309L10263427,700SHPutDFND127,70000
CARMAX INCCmn1431301024,32167,386SH DFND267,38600
CARMAX INCCmn14313010230,637477,737SH DFND1477,73700
CARMAX INCCmn1431301027,375115,000SHCallDFND1115,00000
CARMAX INCCmn14313010227,800433,500SHPutDFND1433,50000
CARMAX INCCmn1431301021,40221,863SH DFND 21,86300
CARNIVAL CORPCmn1436583007,968120,047SH DFND2120,04700
CARNIVAL CORPCmn14365830018,672281,327SH DFND1281,32700
CARNIVAL CORPCmn1436583006,756101,800SHCallDFND1101,80000
CARNIVAL CORPCmn14365830018,119273,000SHPutDFND1273,00000
CARNIVAL CORPCmn143658300162,7552,452,241SH DFND 2,452,24100
CARNIVAL CORPCmn14365830020,575310,000SHCallDFND 310,00000
CARNIVAL CORPCmn1436583006,637100,000SHPutDFND 100,00000
CARPENTER TECHNOLOGY CORPCmn1442851031,27024,913SH DFND124,91300
CARPENTER TECHNOLOGY CORPCmn1442851033015,900SHCallDFND15,90000
CARPENTER TECHNOLOGY CORPCmn1442851038,248161,760SH DFND 161,76000
CARRIAGE SVCS INCCmn1439051072319,000SH DFND19,00000
CARRIAGE SVCS INCCmn1439051072268,800SHPutDFND18,80000
CARRIAGE SVCS INCBond143905AM935,12828,136,000PRN DFND 000
CARRIAGE SVCS INCCmn1439051072,38292,654SH DFND 92,65400
CARRIZO OIL & GAS INCCmn14457710342319,899SH DFND119,89900
CARRIZO OIL & GAS INCCmn1445771032,775130,400SHCallDFND1130,40000
CARRIZO OIL & GAS INCCmn1445771031,19456,100SHPutDFND156,10000
CARRIZO OIL & GAS INCCmn1445771031,37764,687SH DFND 64,68700
CARROLS RESTAURANT GROUP INCCmn14574X10421017,319SH DFND217,31900
CARROLS RESTAURANT GROUP INCCmn14574X1041,13893,638SH DFND 93,63800
CARS COM INCCmn14575E1052,01669,900SHCallDFND169,90000
CARS COM INCCmn14575E10561121,200SHPutDFND121,20000
CARTER INCCmn1462291092201,876SH DFND11,87600
CARTER INCCmn1462291091,0348,800SHCallDFND18,80000
CARTER INCCmn1462291091,29211,000SHPutDFND111,00000
CARTER INCCmn14622910966,557566,494SH DFND 566,49400
CARVANA COCmn1468691021,10557,800SHCallDFND157,80000
CARVANA COCmn14686910268135,600SHPutDFND135,60000
CARVANA COCmn1468691021,52779,885SH DFND 79,88500
CAS MED SYS INCCmn1247692092532,680SH DFND132,68000
CASCADIAN THERAPEUTICS INCCmn14740B6064010,792SH DFND110,79200
CASELLA WASTE SYS INCCmn14744810455023,875SH DFND223,87500
CASELLA WASTE SYS INCCmn14744810479634,572SH DFND134,57200
CASEYS GEN STORES INCCmn14752810311,16599,742SH DFND199,74200
CASEYS GEN STORES INCCmn1475281034,34338,800SHCallDFND138,80000
CASEYS GEN STORES INCCmn1475281031,53413,700SHPutDFND113,70000
CASI PHARMACEUTICALS INCCmn14757U1096018,398SH DFND118,39800
CASS INFORMATION SYS INCCmn14808P1092213,796SH DFND23,79600
CASS INFORMATION SYS INCCmn14808P1093455,929SH DFND 5,92900
CASTLE BRANDS INCCmn1484351006251,201SH DFND151,20100
CASTLIGHT HEALTH INCCmn14862Q1006016,100SHCallDFND116,10000
CASTLIGHT HEALTH INCCmn14862Q10036096,004SH DFND 96,00400
CATALENT INCCmn1488061023,66189,130SH DFND289,13000
CATALENT INCCmn1488061023318,059SH DFND18,05900
CATALENT INCCmn1488061022636,400SHCallDFND16,40000
CATALENT INCCmn1488061022716,600SHPutDFND16,60000
CATALENT INCCmn14880610253,7981,309,595SH DFND 1,309,59500
CATALYST PHARMACEUTICALS INCCmn14888U101484123,735SH DFND2123,73500
CATALYST PHARMACEUTICALS INCCmn14888U10111830,099SH DFND130,09900
CATCHMARK TIMBER TR INCCmn14912Y20241131,332SH DFND 31,33200
CATERPILLAR INC DELCmn149123101110,850703,452SH DFND1703,45200
CATERPILLAR INC DELCmn14912310197,526618,900SHCallDFND1618,90000
CATERPILLAR INC DELCmn149123101291,1291,847,500SHPutDFND11,847,50000
CATERPILLAR INC DELCmn149123101258,7031,641,725SH DFND 1,641,72500
CATERPILLAR INC DELCmn14912310114,18290,000SHPutDFND 90,00000
CATHAY GEN BANCORPCmn1491501042876,795SH DFND26,79500
CATHAY GEN BANCORPCmn1491501041,50335,643SH DFND135,64300
CATHAY GEN BANCORPCmn14915010412,076286,361SH DFND 286,36100
CATO CORP NEWCmn1492051065,489344,782SH DFND 344,78200
CAVCO INDS INC DELCmn1495681072161,415SH DFND 1,41500
CAVIUM INCCmn14964U1083,99947,700SHCallDFND147,70000
CAVIUM INCCmn14964U1083,44541,100SHPutDFND141,10000
CAVIUM INCCmn14964U10819,302230,246SH DFND 230,24600
CBAK ENERGY TECHNOLOGY INCCmn14986C1023825,034SH DFND125,03400
CBIZ INCCmn12480510223415,176SH DFND215,17600
CBL & ASSOC PPTYS INCCmn12483010033158,448SH DFND258,44800
CBL & ASSOC PPTYS INCCmn12483010039770,226SH DFND170,22600
CBL & ASSOC PPTYS INCCmn12483010042274,600SHPutDFND174,60000
CBL & ASSOC PPTYS INCCmn12483010016629,377SH DFND 29,37700
CBOE GLOBAL MARKETS INCCmn12503M1083983,193SH DFND13,19300
CBOE GLOBAL MARKETS INCCmn12503M10817,393139,600SHCallDFND1139,60000
CBOE GLOBAL MARKETS INCCmn12503M10823,685190,100SHPutDFND1190,10000
CBOE GLOBAL MARKETS INCCmn12503M108173,5931,393,316SH DFND 1,393,31600
CBRE CLARION GLOBAL REAL ESTCmn12504G1009111,527SH DFND111,52700
CBRE GROUP INCCmn12504L1091,80641,689SH DFND141,68900
CBRE GROUP INCCmn12504L1091,36431,500SHCallDFND131,50000
CBRE GROUP INCCmn12504L1091,88443,500SHPutDFND143,50000
CBS CORP NEWCmn12485720213,237224,349SH DFND1224,34900
CBS CORP NEWCmn1248572028,508144,200SHCallDFND1144,20000
CBS CORP NEWCmn12485720219,836336,200SHPutDFND1336,20000
CDK GLOBAL INCCmn12508E1013,26745,838SH DFND145,83800
CDK GLOBAL INCCmn12508E1011,33318,700SHCallDFND118,70000
CDK GLOBAL INCCmn12508E1014,02756,500SHPutDFND156,50000
CDK GLOBAL INCCmn12508E10159,383833,091SH DFND 833,09100
CDK GLOBAL INCCmn12508E1014,56964,100SHCallDFND 64,10000
CDK GLOBAL INCCmn12508E1012924,100SHPutDFND 4,10000
CDN IMPERIAL BK COMM TORONTOCmn1360691012852,928SH DFND12,92800
CDN IMPERIAL BK COMM TORONTOCmn1360691011,56816,100SHCallDFND116,10000
CDN IMPERIAL BK COMM TORONTOCmn1360691013,43935,300SHPutDFND135,30000
CDW CORPCmn12514G1081,30218,735SH DFND218,73500
CDW CORPCmn12514G1083204,600SHCallDFND14,60000
CDW CORPCmn12514G1085427,800SHPutDFND17,80000
CECO ENVIRONMENTAL CORPCmn1251411018416,320SH DFND116,32000
CECO ENVIRONMENTAL CORPCmn1251411019819,200SHPutDFND119,20000
CEDAR FAIR L PCmn1501851062403,694SH DFND13,69400
CEDAR FAIR L PCmn1501851063054,700SHCallDFND14,70000
CEDAR FAIR L PCmn1501851063515,400SHPutDFND15,40000
CEDAR REALTY TRUST INCCmn15060220941668,366SH DFND168,36600
CEDAR REALTY TRUST INCCmn1506022091,191195,903SH DFND 195,90300
CEL SCI CORPCmn1508376073719,568SH DFND119,56800
CELADON GROUP INCCmn15083810018929,600SHCallDFND129,60000
CELANESE CORP DELCmn1508701036095,691SH DFND25,69100
CELANESE CORP DELCmn1508701032,67424,970SH DFND124,97000
CELANESE CORP DELCmn1508701039969,300SHCallDFND19,30000
CELANESE CORP DELCmn1508701032,09919,600SHPutDFND119,60000
CELANESE CORP DELCmn15087010331,853297,465SH DFND 297,46500
CELANESE CORP DELCmn1508701035144,800SHPutDFND 4,80000
CELESTICA INCCmn15101Q10813612,969SH DFND112,96900
CELESTICA INCCmn15101Q10895190,750SH DFND290,75000
CELGENE CORPCmn15102010418,048172,941SH DFND2172,94100
CELGENE CORPCmn151020104244,3812,341,716SH DFND12,341,71600
CELGENE CORPCmn15102010457,398550,000SHCallDFND1550,00000
CELGENE CORPCmn151020104260,4832,496,000SHPutDFND12,496,00000
CELGENE CORPCmn151020104124,6331,194,259SH DFND 1,194,25900
CELLCOM ISRAEL LTDCmnM2196U10915014,684SH DFND114,68400
CELLDEX THERAPEUTICS INC NEWCmn15117B10315554,664SH DFND154,66400
CELLDEX THERAPEUTICS INC NEWCmn15117B10321074,100SHCallDFND174,10000
CELLDEX THERAPEUTICS INC NEWCmn15117B103287101,100SHPutDFND1101,10000
CELLDEX THERAPEUTICS INC NEWCmn15117B1031,945684,860SH DFND 684,86000
CELLECTAR BIOSCIENCES INCCmn15117F3021914,215SH DFND114,21500
CELLECTIS S ADepository Receipt15117K1031,14239,174SH DFND139,17400
CELLECTIS S ACmn15117K10329710,200SHCallDFND110,20000
CELLECTIS S ADepository Receipt15117K10338013,026SH DFND 13,02600
CELSIUS HOLDINGS INCCmn15118V2075810,987SH DFND110,98700
CEMEX SAB DE CVDepository Receipt1512908894,828643,711SH DFND1643,71100
CEMEX SAB DE CVCmn1512908891,148153,100SHCallDFND1153,10000
CEMEX SAB DE CVCmn1512908893,213428,340SHPutDFND1428,34000
CEMEX SAB DE CVBond151290BR33,6313,500,000PRN DFND 000
CEMEX SAB DE CVDepository Receipt1512908896,690892,032SH DFND 892,03200
CENOVUS ENERGY INCCmn15135U10953057,900SH DFND257,90000
CENOVUS ENERGY INCCmn15135U1096,258685,459SH DFND1685,45900
CENOVUS ENERGY INCCmn15135U10929832,600SHCallDFND132,60000
CENOVUS ENERGY INCCmn15135U1091,453159,200SHPutDFND1159,20000
CENOVUS ENERGY INCCmn15135U10928731,343SH DFND 31,34300
CENTENE CORP DELCmn15135B1012,86228,367SH DFND128,36700
CENTENE CORP DELCmn15135B1013,97539,400SHCallDFND139,40000
CENTENE CORP DELCmn15135B1018,90888,300SHPutDFND188,30000
CENTENNIAL RESOURCE DEV INCCmn15136A1021,40470,924SH DFND170,92400
CENTENNIAL RESOURCE DEV INCCmn15136A1021,22962,068SH DFND 62,06800
CENTERPOINT ENERGY INCCmn15189T10744915,839SH DFND115,83900
CENTERPOINT ENERGY INCCmn15189T10780328,300SHCallDFND128,30000
CENTERPOINT ENERGY INCCmn15189T10766423,400SHPutDFND123,40000
CENTERSTATE BK CORPCmn15201P10931512,244SH DFND112,24400
CENTRAL EUROPEAN MEDIA ENTRPCmnG2004520215533,334SH DFND133,33400
CENTRAL FD CDA LTDCmn15350110129622,078SH DFND122,07800
CENTRAL GARDEN & PET COCmn15352710650012,838SH DFND212,83800
CENTRAL GARDEN & PET COCmn15352720594725,102SH DFND225,10200
CENTRAL GARDEN & PET COCmn1535271062135,463SH DFND15,46300
CENTRAL GARDEN & PET COCmn1535272053027,996SH DFND17,99600
CENTRAL PAC FINL CORPCmn15476040936012,074SH DFND212,07400
CENTRAL PAC FINL CORPCmn15476040940513,572SH DFND113,57200
CENTRAL PAC FINL CORPCmn1547604091,15238,616SH DFND 38,61600
CENTURY ALUM COCmn15643110823311,839SH DFND211,83900
CENTURY ALUM COCmn1564311081,03152,513SH DFND152,51300
CENTURY ALUM COCmn1564311081,65684,300SHCallDFND184,30000
CENTURY ALUM COCmn1564311081,31667,000SHPutDFND167,00000
CENTURY ALUM COCmn15643110816,813856,039SH DFND 856,03900
CENTURY CASINOS INCCmn15649210010010,959SH DFND110,95900
CENTURY CMNTYS INCCmn15650430045114,509SH DFND214,50900
CENTURY CMNTYS INCCmn15650430040212,915SH DFND112,91500
CENTURY CMNTYS INCCmn15650430043213,900SHCallDFND113,90000
CENTURY CMNTYS INCCmn15650430088028,304SH DFND 28,30400
CENTURYLINK INCCmn15670010649729,773SH DFND129,77300
CENTURYLINK INCCmn15670010615,072903,600SHCallDFND1903,60000
CENTURYLINK INCCmn15670010612,398743,300SHPutDFND1743,30000
CENTURYLINK INCCmn15670010640,2972,415,863SH DFND 2,415,86300
CENTURYLINK INCCmn1567001061,11466,800SHPutDFND 66,80000
CERECOR INCCmn15671L1098426,152SH DFND126,15200
CERNER CORPCmn1567821041,22718,206SH DFND118,20600
CERNER CORPCmn1567821049,825145,800SHCallDFND1145,80000
CERNER CORPCmn1567821041,86727,700SHPutDFND127,70000
CERUS CORPCmn157085101408120,610SH DFND1120,61000
CERUS CORPCmn1570851018725,800SHCallDFND125,80000
CERUS CORPCmn15708510110631,300SHPutDFND131,30000
CERUS CORPCmn1570851011,417419,338SH DFND 419,33800
CESCA THERAPEUTICS INCCmn1571312023812,703SH DFND112,70300
CEVA INCCmn15721010553911,688SH DFND211,68800
CEVA INCCmn1572101052776,000SHCallDFND16,00000
CF INDS HLDGS INCCmn1252691002,29553,939SH DFND153,93900
CF INDS HLDGS INCCmn12526910011,724275,600SHCallDFND1275,60000
CF INDS HLDGS INCCmn12526910011,384267,600SHPutDFND1267,60000
CHANGYOU COM LTDDepository Receipt15911M1073,855105,823SH DFND1105,82300
CHANGYOU COM LTDCmn15911M1076,594181,000SHCallDFND1181,00000
CHANGYOU COM LTDCmn15911M1075,078139,400SHPutDFND1139,40000
CHANNELADVISOR CORPCmn15917910021023,300SHPutDFND123,30000
CHANNELADVISOR CORPCmn15917910020022,219SH DFND 22,21900
CHARLES RIV LABS INTL INCCmn1598641076025,500SHCallDFND15,50000
CHARLES RIV LABS INTL INCCmn1598641072632,400SHPutDFND12,40000
CHARLES RIV LABS INTL INCCmn1598641078,64678,995SH DFND 78,99500
CHART INDS INCCmn16115Q30847810,200SHCallDFND110,20000
CHARTER COMMUNICATIONS INC NCmn16119P1081,3053,883SH DFND23,88300
CHARTER COMMUNICATIONS INC NCmn16119P1087,32421,801SH DFND121,80100
CHARTER COMMUNICATIONS INC NCmn16119P10815,79047,000SHCallDFND147,00000
CHARTER COMMUNICATIONS INC NCmn16119P10831,14392,700SHPutDFND192,70000
CHARTER COMMUNICATIONS INC NCmn16119P108146,794436,940SH DFND 436,94000
CHARTER COMMUNICATIONS INC NCmn16119P1085,03915,000SHPutDFND 15,00000
CHATHAM LODGING TRCmn16208T10247020,667SH DFND220,66700
CHATHAM LODGING TRCmn16208T10260526,583SH DFND 26,58300
CHECK POINT SOFTWARE TECH LTCmnM224651041,76116,996SH DFND216,99600
CHECK POINT SOFTWARE TECH LTCmnM2246510411,519111,163SH DFND1111,16300
CHECK POINT SOFTWARE TECH LTCmnM224651043,76136,300SHCallDFND136,30000
CHECK POINT SOFTWARE TECH LTCmnM224651048,78784,800SHPutDFND184,80000
CHEESECAKE FACTORY INCCmn1630721017,556156,823SH DFND2156,82300
CHEESECAKE FACTORY INCCmn1630721012,41150,041SH DFND150,04100
CHEESECAKE FACTORY INCCmn1630721016,066125,900SHCallDFND1125,90000
CHEESECAKE FACTORY INCCmn1630721013858,000SHPutDFND18,00000
CHEESECAKE FACTORY INCCmn16307210156,8331,179,605SH DFND 1,179,60500
CHEETAH MOBILE INCCmn1630751041,305108,000SHCallDFND1108,00000
CHEETAH MOBILE INCCmn16307510439732,900SHPutDFND132,90000
CHEGG INCCmn16309210930418,607SH DFND118,60700
CHEGG INCCmn16309210939824,400SHCallDFND124,40000
CHEGG INCCmn16309210940424,732SH DFND 24,73200
CHEMICAL FINL CORPCmn1637311022825,269SH DFND15,26900
CHEMOCENTRYX INCCmn16383L10615425,801SH DFND225,80100
CHEMOCENTRYX INCCmn16383L10618631,322SH DFND131,32200
CHEMOCENTRYX INCCmn16383L10616527,800SHCallDFND127,80000
CHEMOCENTRYX INCCmn16383L1067713,000SHPutDFND113,00000
CHEMOURS COCmn1638511084,09381,765SH DFND281,76500
CHEMOURS COCmn16385110882316,440SH DFND116,44000
CHEMOURS COCmn1638511085,792115,700SHCallDFND1115,70000
CHEMOURS COCmn1638511086,182123,500SHPutDFND1123,50000
CHEMOURS COCmn16385110825,200503,397SH DFND 503,39700
CHENIERE ENERGY INCCmn16411R20810,877202,033SH DFND1202,03300
CHENIERE ENERGY INCCmn16411R20815,420286,400SHCallDFND1286,40000
CHENIERE ENERGY INCCmn16411R20820,389378,700SHPutDFND1378,70000
CHENIERE ENERGY PARTNERS LPCmn16411Q10199333,500SHCallDFND133,50000
CHENIERE ENERGY PARTNERS LPCmn16411Q10161120,600SHPutDFND120,60000
CHEROKEE INC DEL NEWCmn16444H1025830,296SH DFND130,29600
CHESAPEAKE ENERGY CORPCmn1651671076,1151,544,086SH DFND11,544,08600
CHESAPEAKE ENERGY CORPCmn1651671075,1211,293,200SHCallDFND11,293,20000
CHESAPEAKE ENERGY CORPCmn1651671076,5301,649,100SHPutDFND11,649,10000
CHESAPEAKE ENERGY CORPCmn16516710734386,646SH DFND 86,64600
CHESAPEAKE ENERGY CORPCmn1651671078,8112,225,000SHPutDFND 2,225,00000
CHESAPEAKE GRANITE WASH TRCmn1651851098646,329SH DFND146,32900
CHESAPEAKE LODGING TRCmn1652401022,49992,232SH DFND292,23200
CHESAPEAKE LODGING TRCmn1652401022,06476,190SH DFND 76,19000
CHESAPEAKE UTILS CORPCmn1653031082853,627SH DFND 3,62700
CHEVRON CORP NEWCmn16676410074,421594,467SH DFND1594,46700
CHEVRON CORP NEWCmn16676410071,822573,700SHCallDFND1573,70000
CHEVRON CORP NEWCmn166764100133,1651,063,700SHPutDFND11,063,70000
CHEVRON CORP NEWCmn16676410023,939191,219SH DFND 191,21900
CHEVRON CORP NEWCmn16676410012,519100,000SHCallDFND 100,00000
CHF SOLUTIONS INCCmn12542Q5083610,498SH DFND110,49800
CHICAGO BRIDGE & IRON CO N VCmn1672501091,00061,941SH DFND161,94100
CHICAGO BRIDGE & IRON CO N VCmn1672501099,690600,400SHCallDFND1600,40000
CHICAGO BRIDGE & IRON CO N VCmn1672501098,081500,700SHPutDFND1500,70000
CHICAGO BRIDGE & IRON CO N VCmn16725010948430,000SHCallDFND 30,00000
CHICOS FAS INCCmn1686151026,667755,871SH DFND2755,87100
CHICOS FAS INCCmn16861510218220,677SH DFND120,67700
CHICOS FAS INCCmn16861510228432,200SHCallDFND132,20000
CHICOS FAS INCCmn16861510235540,200SHPutDFND140,20000
CHICOS FAS INCCmn16861510216,0821,823,317SH DFND 1,823,31700
CHILDRENS PL INCCmn1689051076,77346,600SHCallDFND146,60000
CHILDRENS PL INCCmn1689051072,42716,700SHPutDFND116,70000
CHIMERA INVT CORPCmn16934Q20835719,335SH DFND119,33500
CHIMERA INVT CORPCmn16934Q20866736,100SHPutDFND136,10000
CHIMERIX INCCmn16934W10645898,936SH DFND 98,93600
CHINA COML CR INCCmn16891K1032316,811SH DFND116,81100
CHINA CORD BLOOD CORPCmnG2110710070670,983SH DFND170,98300
CHINA FIN ONLINE CO LTDCmn1693791044717,600SHCallDFND117,60000
CHINA GREEN AGRICULTURE INCCmn16943W1056048,060SH DFND148,06000
CHINA GREEN AGRICULTURE INCCmn16943W1052016,300SHPutDFND116,30000
CHINA HGS REAL ESTATE INCCmn16948W1001310,889SH DFND110,88900
CHINA INFORMATION TECHNOLOGYCmnG211741003322,107SH DFND122,10700
CHINA INTERNET NATIONWIDE FICmnG2120A1012115,018SH DFND15,01800
CHINA JO-JO DRUGSTORES INCCmn16949A2063628,679SH DFND128,67900
CHINA LIFE INS CO LTDDepository Receipt16939P10676649,063SH DFND149,06300
CHINA LIFE INS CO LTDCmn16939P10656035,900SHCallDFND135,90000
CHINA LIFE INS CO LTDCmn16939P1061,21677,900SHPutDFND177,90000
CHINA LODGING GROUP LTDDepository Receipt16949N1094,14328,685SH DFND128,68500
CHINA LODGING GROUP LTDCmn16949N1093,48124,100SHCallDFND124,10000
CHINA LODGING GROUP LTDCmn16949N1097,78553,900SHPutDFND153,90000
CHINA MOBILE LIMITEDDepository Receipt16941M1093,79775,131SH DFND175,13100
CHINA MOBILE LIMITEDCmn16941M1091,00119,800SHCallDFND119,80000
CHINA MOBILE LIMITEDCmn16941M1093,37666,800SHPutDFND166,80000
CHINA NATURAL RESOURCES INCCmnG2110U1093914,551SH DFND114,55100
CHINA PETE & CHEM CORPDepository Receipt16941R1082383,250SH DFND13,25000
CHINA PETE & CHEM CORPCmn16941R1081,47520,100SHCallDFND120,10000
CHINA PETE & CHEM CORPCmn16941R1081,47520,100SHPutDFND120,10000
CHINA PHARMA HLDGS INCCmn16941T104737,633SH DFND137,63300
CHINA SOUTHN AIRLS LTDCmn1694091094979,600SHCallDFND19,60000
CHINA UNICOM (HONG KONG) LTDCmn16945R10420615,200SHPutDFND115,20000
CHINA YUCHAI INTL LTDCmnG2108210539616,500SHCallDFND116,50000
CHINACACHE INTL HLDG LTDCmn16950M1071810,400SHCallDFND110,40000
CHIPMOS TECHNOLOGIES INCDepository Receipt16965P10324113,638SH DFND113,63800
CHIPOTLE MEXICAN GRILL INCCmn16965610518,09562,607SH DFND262,60700
CHIPOTLE MEXICAN GRILL INCCmn16965610531,554109,171SH DFND1109,17100
CHIPOTLE MEXICAN GRILL INCCmn169656105213,767739,600SHCallDFND1739,60000
CHIPOTLE MEXICAN GRILL INCCmn169656105141,220488,600SHPutDFND1488,60000
CHIPOTLE MEXICAN GRILL INCCmn1696561052,89010,000SHCallDFND 10,00000
CHOICE HOTELS INTL INCCmn1699051061,44318,590SH DFND218,59000
CHOICE HOTELS INTL INCCmn1699051062873,700SHCallDFND13,70000
CHOICE HOTELS INTL INCCmn16990510623,071297,303SH DFND 297,30300
CHUBB LIMITEDCmnH1467J1042,08414,263SH DFND114,26300
CHUBB LIMITEDCmnH1467J1045,75839,400SHCallDFND139,40000
CHUBB LIMITEDCmnH1467J1045,87440,200SHPutDFND140,20000
CHURCH & DWIGHT INCCmn1713401023,56671,077SH DFND271,07700
CHURCH & DWIGHT INCCmn1713401024068,092SH DFND18,09200
CHURCH & DWIGHT INCCmn17134010266713,300SHCallDFND113,30000
CHURCH & DWIGHT INCCmn17134010254210,800SHPutDFND110,80000
CHURCH & DWIGHT INCCmn171340102149,1042,971,968SH DFND 2,971,96800
CHURCHILL DOWNS INCCmn1714841081,4716,320SH DFND26,32000
CHURCHILL DOWNS INCCmn17148410835,666153,272SH DFND 153,27200
CHUYS HLDGS INCCmn17160410186130,699SH DFND130,69900
CHUYS HLDGS INCCmn1716041011,08638,700SHPutDFND138,70000
CHUYS HLDGS INCCmn1716041014,253151,629SH DFND 151,62900
CIENA CORPCmn17177930953325,471SH DFND125,47100
CIENA CORPCmn17177930912,864614,600SHCallDFND1614,60000
CIENA CORPCmn1717793098,671414,300SHPutDFND1414,30000
CIENA CORPBond171779AJ05,8325,000,000PRN DFND 000
CIENA CORPBond171779AK78,0236,135,000PRN DFND 000
CIENA CORPCmn17177930920,905998,799SH DFND 998,79900
CIGNA CORPORATIONCmn1255091099,53546,952SH DFND146,95200
CIGNA CORPORATIONCmn1255091099,72847,900SHCallDFND147,90000
CIGNA CORPORATIONCmn1255091096,27530,900SHPutDFND130,90000
CIGNA CORPORATIONCmn1255091099,39546,260SH DFND 46,26000
CIMAREX ENERGY COCmn1717981016,52353,466SH DFND253,46600
CIMAREX ENERGY COCmn17179810112,02498,550SH DFND198,55000
CIMAREX ENERGY COCmn1717981012,28218,700SHCallDFND118,70000
CIMAREX ENERGY COCmn1717981012,66021,800SHPutDFND121,80000
CIMAREX ENERGY COCmn1717981014,77939,172SH DFND 39,17200
CIMPRESS N VCmnN201461014623,850SH DFND23,85000
CIMPRESS N VCmnN201461011,29510,800SHCallDFND110,80000
CIMPRESS N VCmnN201461012,07417,300SHPutDFND117,30000
CINCINNATI FINL CORPCmn1720621012012,683SH DFND22,68300
CINCINNATI FINL CORPCmn1720621013755,007SH DFND15,00700
CINCINNATI FINL CORPCmn17206210183211,100SHCallDFND111,10000
CINCINNATI FINL CORPCmn1720621012172,900SHPutDFND12,90000
CINCINNATI FINL CORPCmn17206210110,066134,262SH DFND 134,26200
CINEMARK HOLDINGS INCCmn17243V1022447,000SH DFND17,00000
CINEMARK HOLDINGS INCCmn17243V1023139,000SHPutDFND19,00000
CINEMARK HOLDINGS INCCmn17243V10222,250639,008SH DFND 639,00800
CINTAS CORPCmn1729081056,06838,940SH DFND238,94000
CINTAS CORPCmn1729081054,50528,907SH DFND128,90700
CINTAS CORPCmn1729081053,28821,100SHCallDFND121,10000
CINTAS CORPCmn1729081057,77649,900SHPutDFND149,90000
CINTAS CORPCmn172908105145,145931,433SH DFND 931,43300
CIRCOR INTL INCCmn17273K1093,03562,348SH DFND 62,34800
CIRRUS LOGIC INCCmn1727551002855,488SH DFND25,48800
CIRRUS LOGIC INCCmn1727551002,80754,128SH DFND154,12800
CIRRUS LOGIC INCCmn1727551002,77553,500SHCallDFND153,50000
CIRRUS LOGIC INCCmn1727551005,279101,800SHPutDFND1101,80000
CISCO SYS INCCmn17275R1028,474221,252SH DFND2221,25200
CISCO SYS INCCmn17275R1025,560145,157SH DFND1145,15700
CISCO SYS INCCmn17275R10297,3822,542,600SHCallDFND12,542,60000
CISCO SYS INCCmn17275R10262,1001,621,400SHPutDFND11,621,40000
CISCO SYS INCCmn17275R102252,8966,603,029SH DFND 6,603,02900
CISCO SYS INCCmn17275R10232,555850,000SHCallDFND 850,00000
CIT GROUP INCCmn1255818013,93179,842SH DFND179,84200
CIT GROUP INCCmn1255818013,02861,500SHCallDFND161,50000
CIT GROUP INCCmn1255818013,95380,300SHPutDFND180,30000
CIT GROUP INCCmn12558180172614,747SH DFND 14,74700
CITI TRENDS INCCmn17306X1021,31949,848SH DFND 49,84800
CITIGROUP GLOBAL MKTS HLDGSCmn17325E29179432,387SH DFND132,38700
CITIGROUP INCCmn1729674241,51320,332SH DFND220,33200
CITIGROUP INCCmn17296742468,430919,638SH DFND1919,63800
CITIGROUP INCCmn172967424219,7622,953,400SHCallDFND12,953,40000
CITIGROUP INCCmn172967424270,4283,634,300SHPutDFND13,634,30000
CITIGROUP INCCmn17296742410,405139,840SH DFND 139,84000
CITIGROUP INCCmn17296742473,510987,900SHCallDFND 987,90000
CITIGROUP INCCmn17296742461,016820,000SHPutDFND 820,00000
CITIZENS FINL GROUP INCCmn1746101052,98871,181SH DFND271,18100
CITIZENS FINL GROUP INCCmn1746101051,47635,150SH DFND135,15000
CITIZENS FINL GROUP INCCmn1746101051,32231,500SHCallDFND131,50000
CITIZENS FINL GROUP INCCmn1746101052355,600SHPutDFND15,60000
CITIZENS FINL GROUP INCCmn174610105282,5596,730,808SH DFND 6,730,80800
CITIZENS INCCmn1747401007610,398SH DFND110,39800
CITIZENS INCCmn17474010014019,000SHCallDFND119,00000
CITRIX SYS INCCmn1773761003,11335,379SH DFND135,37900
CITRIX SYS INCCmn1773761002,68430,500SHCallDFND130,50000
CITRIX SYS INCCmn1773761004,65552,900SHPutDFND152,90000
CITY HLDG COCmn1778351055387,969SH DFND27,96900
CITY HLDG COCmn17783510568710,177SH DFND110,17700
CITY OFFICE REIT INCCmn17858710118614,328SH DFND214,32800
CITY OFFICE REIT INCCmn17858710131624,275SH DFND124,27500
CIVEO CORP CDACmn17878Y1089635,046SH DFND235,04600
CIVEO CORP CDACmn17878Y10826095,371SH DFND195,37100
CIVEO CORP CDACmn17878Y1082910,500SHCallDFND110,50000
CLAYMORE EXCHANGE TRD FD TRCmn18383M10084522,633SH DFND122,63300
CLAYMORE EXCHANGE TRD FD TRCmn18383M2661,17455,570SH DFND155,57000
CLAYMORE EXCHANGE TRD FD TRCmn18383M53034516,365SH DFND116,36500
CLAYMORE EXCHANGE TRD FD TRCmn18383Q60651561,379SH DFND161,37900
CLAYMORE EXCHANGE TRD FD TRCmn18385P10173621,076SH DFND121,07600
CLAYMORE EXCHANGE TRD FD TRCmn18383Q8611,64657,394SH DFND157,39400
CLAYMORE EXCHANGE TRD FD TRCmn18383Q8532,33879,052SH DFND179,05200
CLAYMORE EXCHANGE TRD FD TRCmn18383Q1351,40423,165SH DFND123,16500
CLAYMORE EXCHANGE TRD FD TRCmn18383Q80475943,556SH DFND143,55600
CLAYMORE EXCHANGE TRD FD TRCmn18383M6132144,928SH DFND14,92800
CLAYMORE EXCHANGE TRD FD TRCmn18383M86081772,073SH DFND172,07300
CLAYMORE EXCHANGE TRD FD TRCmn18383Q5071,65646,602SH DFND146,60200
CLAYMORE EXCHANGE TRD FD TRCmn18383M6051,55729,890SH DFND129,89000
CLAYMORE EXCHANGE TRD FD TRCmn18383Q79619817,072SH DFND117,07200
CLAYMORE EXCHANGE TRD FD TRCmn18383M6542865,697SH DFND15,69700
CLAYMORE EXCHANGE TRD FD TRCmn18385P1012457,000SHCallDFND17,00000
CLAYMORE EXCHANGE TRD FD TRCmn18383Q73940015,900SHCallDFND115,90000
CLAYMORE EXCHANGE TRD FD TRCmn18383Q73953321,200SHPutDFND121,20000
CLEAN DIESEL TECHNOLOGIES INCmn18449C5004327,380SH DFND127,38000
CLEAN ENERGY FUELS CORPCmn184499101242118,986SH DFND1118,98600
CLEAN ENERGY FUELS CORPCmn1844991013215,800SHCallDFND115,80000
CLEAN ENERGY FUELS CORPCmn18449910117686,900SHPutDFND186,90000
CLEAN ENERGY FUELS CORPCmn184499101565278,103SH DFND 278,10300
CLEAN HARBORS INCCmn1844961072,31442,687SH DFND242,68700
CLEAN HARBORS INCCmn1844961071,09120,138SH DFND120,13800
CLEAN HARBORS INCCmn1844961072664,900SHCallDFND14,90000
CLEAN HARBORS INCCmn1844961071,75532,385SH DFND 32,38500
CLEAR CHANNEL OUTDOOR HLDGSCmn18451C1095511,860SH DFND211,86000
CLEAR CHANNEL OUTDOOR HLDGSCmn18451C10916836,532SH DFND 36,53200
CLEARFIELD INCCmn18482P10316813,683SH DFND113,68300
CLEARSIGN COMBUSTION CORPCmn1850641029526,396SH DFND126,39600
CLEARSIGN COMBUSTION CORPCmn1850641024913,700SHPutDFND113,70000
CLEARWATER PAPER CORPCmn18538R1033547,805SH DFND17,80500
CLEARWATER PAPER CORPCmn18538R10398321,650SH DFND 21,65000
CLEMENTIA PHARMACEUTICALS INCmn1855751072,316122,040SH DFND 122,04000
CLEVELAND CLIFFS INCCmn1858991011,370189,974SH DFND2189,97400
CLEVELAND CLIFFS INCCmn1858991013,116432,109SH DFND1432,10900
CLEVELAND CLIFFS INCCmn1858991015,870814,200SHCallDFND1814,20000
CLEVELAND CLIFFS INCCmn1858991018,7721,216,700SHPutDFND11,216,70000
CLEVELAND CLIFFS INCBond185899AA98,2177,500,000PRN DFND 000
CLIPPER RLTY INCCmn18885T30611511,506SH DFND111,50600
CLOROX CO DELCmn1890541096214,175SH DFND14,17500
CLOROX CO DELCmn1890541096,29242,300SHCallDFND142,30000
CLOROX CO DELCmn1890541096,38142,900SHPutDFND142,90000
CLOUD PEAK ENERGY INCCmn18911Q10239087,609SH DFND187,60900
CLOUD PEAK ENERGY INCCmn18911Q1025712,700SHPutDFND112,70000
CLOUDERA INCCmn18914U1002,951178,659SH DFND2178,65900
CLOUDERA INCCmn18914U1002,080125,928SH DFND1125,92800
CLOUDERA INCCmn18914U1002,167131,200SHPutDFND1131,20000
CLOVIS ONCOLOGY INCCmn1894641004,51466,389SH DFND166,38900
CLOVIS ONCOLOGY INCCmn1894641004,63868,200SHCallDFND168,20000
CLOVIS ONCOLOGY INCCmn1894641005,19576,400SHPutDFND176,40000
CLOVIS ONCOLOGY INCCmn1894641004,10860,414SH DFND 60,41400
CME GROUP INCCmn12572Q10523,660162,000SHCallDFND1162,00000
CME GROUP INCCmn12572Q10536,293248,500SHPutDFND1248,50000
CME GROUP INCCmn12572Q10515,260104,484SH DFND1104,48400
CME GROUP INCCmn12572Q10580,568551,644SH DFND 551,64400
CMS ENERGY CORPCmn1258961006,230131,712SH DFND2131,71200
CMS ENERGY CORPCmn1258961001,24926,411SH DFND126,41100
CMS ENERGY CORPCmn1258961003266,900SHCallDFND16,90000
CMS ENERGY CORPCmn12589610045,820968,720SH DFND 968,72000
CNA FINL CORPCmn1261171004227,964SH DFND27,96400
CNH INDL N VCmnN2094410994070,126SH DFND270,12600
CNH INDL N VCmnN209441092,802209,136SH DFND1209,13600
CNH INDL N VCmnN2094410914310,700SHCallDFND110,70000
CNH INDL N VCmnN2094410948,4063,612,396SH DFND 3,612,39600
CNO FINL GROUP INCCmn12621E10392737,551SH DFND137,55100
CNOOC LTDCmn1261321091,98113,800SHCallDFND113,80000
CNOOC LTDCmn1261321092,57017,900SHPutDFND117,90000
CNX RESOURCES CORPORATIONCmn12653C10855437,856SH DFND137,85600
CNX RESOURCES CORPORATIONCmn12653C10847732,600SHCallDFND132,60000
CNX RESOURCES CORPORATIONCmn12653C10845230,900SHPutDFND130,90000
CNX RESOURCES CORPORATIONCmn12653C10835,5602,430,630SH DFND 2,430,63000
CNX RESOURCES CORPORATIONCmn12653C10852235,700SHPutDFND 35,70000
COBIZ FINANCIAL INCCmn19089710856128,061SH DFND128,06100
COBIZ FINANCIAL INCCmn19089710847323,655SH DFND 23,65500
COCA COLA COCmn19121610014,625318,757SH DFND2318,75700
COCA COLA COCmn1912161006,638144,681SH DFND1144,68100
COCA COLA COCmn19121610048,3581,054,000SHCallDFND11,054,00000
COCA COLA COCmn19121610067,8111,478,000SHPutDFND11,478,00000
COCA COLA COCmn19121610026,381575,000SHCallDFND 575,00000
COCA COLA COCmn19121610012,846280,000SHPutDFND 280,00000
COCA COLA EUROPEAN PARTNERSCmnG258391042,46161,755SH DFND261,75500
COCA COLA EUROPEAN PARTNERSCmnG258391043,59890,287SH DFND190,28700
COCA COLA EUROPEAN PARTNERSCmnG258391041,42335,700SHCallDFND135,70000
COCA COLA EUROPEAN PARTNERSCmnG258391043238,100SHPutDFND18,10000
COEUR MNG INCCmn1921085042,005267,348SH DFND1267,34800
COEUR MNG INCCmn19210850437349,700SHCallDFND149,70000
COEUR MNG INCCmn1921085041,709227,800SHPutDFND1227,80000
COGENT COMMUNICATIONS HLDGSCmn19239V3022996,600SHCallDFND16,60000
COGENT COMMUNICATIONS HLDGSCmn19239V30253011,700SHPutDFND111,70000
COGINT INCCmn19241Q10121348,439SH DFND148,43900
COGINT INCCmn19241Q1019020,500SHPutDFND120,50000
COGNEX CORPCmn1924221034,25769,605SH DFND269,60500
COGNEX CORPCmn19242210312,449203,554SH DFND1203,55400
COGNEX CORPCmn1924221033,52357,600SHCallDFND157,60000
COGNEX CORPCmn1924221037,945129,900SHPutDFND1129,90000
COGNEX CORPCmn1924221035238,557SH DFND 8,55700
COGNIZANT TECHNOLOGY SOLUTIOCmn19244610226,463372,615SH DFND2372,61500
COGNIZANT TECHNOLOGY SOLUTIOCmn19244610212,029169,381SH DFND1169,38100
COGNIZANT TECHNOLOGY SOLUTIOCmn19244610210,894153,400SHCallDFND1153,40000
COGNIZANT TECHNOLOGY SOLUTIOCmn19244610210,099142,200SHPutDFND1142,20000
COGNIZANT TECHNOLOGY SOLUTIOCmn1924461025,58578,636SH DFND 78,63600
COGNIZANT TECHNOLOGY SOLUTIOCmn19244610234,381484,100SHCallDFND 484,10000
COGNIZANT TECHNOLOGY SOLUTIOCmn19244610231,966450,100SHPutDFND 450,10000
COHEN & STEERS INCCmn19247A1003517,418SH DFND27,41800
COHEN & STEERS QUALITY RLTYCmn19247L10636228,608SH DFND128,60800
COHEN & STEERS REIT & PFD INCmn19247X10022810,729SH DFND110,72900
COHERENT INCCmn1924791033,86113,682SH DFND213,68200
COHERENT INCCmn1924791036,05421,453SH DFND121,45300
COHERENT INCCmn19247910313,26447,000SHCallDFND147,00000
COHERENT INCCmn19247910317,80863,100SHPutDFND163,10000
COHERENT INCCmn1924791031,4795,241SH DFND 5,24100
COHERUS BIOSCIENCES INCCmn19249H10337442,555SH DFND242,55500
COHERUS BIOSCIENCES INCCmn19249H10315,2211,729,686SH DFND 1,729,68600
COHU INCCmn19257610626612,107SH DFND212,10700
COHU INCCmn19257610691641,747SH DFND141,74700
COHU INCCmn1925761061,00145,619SH DFND 45,61900
COLFAX CORPCmn1940141063959,980SH DFND19,98000
COLFAX CORPCmn19401410646411,700SHCallDFND111,70000
COLFAX CORPCmn19401410643210,900SHPutDFND110,90000
COLFAX CORPCmn19401410678,0391,969,683SH DFND 1,969,68300
COLGATE PALMOLIVE COCmn19416210310,697141,781SH DFND2141,78100
COLGATE PALMOLIVE COCmn1941621032,56934,053SH DFND134,05300
COLGATE PALMOLIVE COCmn19416210312,080160,100SHCallDFND1160,10000
COLGATE PALMOLIVE COCmn19416210316,893223,900SHPutDFND1223,90000
COLGATE PALMOLIVE COCmn194162103316,0874,189,359SH DFND 4,189,35900
COLLEGIUM PHARMACEUTICAL INCCmn19459J10415,889860,727SH DFND 860,72700
COLONY NORTHSTAR INCCmn19625W10450544,235SH DFND244,23500
COLONY NORTHSTAR INCCmn19625W1045,794507,758SH DFND1507,75800
COLONY NORTHSTAR INCCmn19625W10416814,700SHCallDFND114,70000
COLONY NORTHSTAR INCCmn19625W10422419,600SHPutDFND119,60000
COLONY NORTHSTAR INCCmn19625W10451745,308SH DFND 45,30800
COLUMBIA BKG SYS INCCmn19723610246310,660SH DFND210,66000
COLUMBIA BKG SYS INCCmn1972361022024,650SH DFND 4,65000
COLUMBIA ETF TR IICmn19762B10327114,712SH DFND114,71200
COLUMBIA ETF TR IICmn19762B30131619,900SH DFND119,90000
COLUMBIA ETF TR IICmn19762B5091,77663,143SH DFND163,14300
COLUMBIA ETF TR IICmn19762B70756711,430SH DFND111,43000
COLUMBIA PPTY TR INCCmn1982872033,809165,951SH DFND 165,95100
COLUMBIA SELIGM PREM TECH GRCmn19842X10922910,301SH DFND110,30100
COLUMBIA SPORTSWEAR COCmn1985161065828,100SHCallDFND18,10000
COLUMBIA SPORTSWEAR COCmn1985161062012,800SHPutDFND12,80000
COLUMBUS MCKINNON CORP N YCmn1993331052756,881SH DFND26,88100
COLUMBUS MCKINNON CORP N YCmn1993331051,09727,446SH DFND127,44600
COMCAST CORP NEWCmn20030N10112,001299,656SH DFND2299,65600
COMCAST CORP NEWCmn20030N10172,3031,805,328SH DFND11,805,32800
COMCAST CORP NEWCmn20030N10150,4791,260,400SHCallDFND11,260,40000
COMCAST CORP NEWCmn20030N101108,0952,699,000SHPutDFND12,699,00000
COMCAST CORP NEWCmn20030N101764,94319,099,689SH DFND 19,099,68900
COMCAST CORP NEWCmn20030N10121,026525,000SHCallDFND 525,00000
COMCAST CORP NEWCmn20030N10124,030600,000SHPutDFND 600,00000
COMCAST HOLDINGS CORPBond20030050760,60877,404,809PRN DFND 000
COMERICA INCCmn2003401074825,555SH DFND15,55500
COMERICA INCCmn2003401078,09993,300SHCallDFND193,30000
COMERICA INCCmn20034010713,308153,300SHPutDFND1153,30000
COMERICA INCCmn200340107174,3502,008,409SH DFND 2,008,40900
COMFORT SYS USA INCCmn1999081042,39354,820SH DFND 54,82000
COMMERCE BANCSHARES INCCmn2005251034447,944SH DFND17,94400
COMMERCE BANCSHARES INCCmn2005251031,00618,021SH DFND 18,02100
COMMERCEHUB INCCmn20084V10834115,502SH DFND215,50200
COMMERCEHUB INCCmn20084V10840918,577SH DFND118,57700
COMMERCEHUB INCCmn20084V30653726,064SH DFND126,06400
COMMERCIAL METALS COCmn2017231031,77783,333SH DFND283,33300
COMMERCIAL METALS COCmn2017231032,490116,774SH DFND1116,77400
COMMERCIAL METALS COCmn20172310374234,800SHCallDFND134,80000
COMMERCIAL METALS COCmn20172310337,5271,760,155SH DFND 1,760,15500
COMMSCOPE HLDG CO INCCmn20337X1097,554199,673SH DFND1199,67300
COMMSCOPE HLDG CO INCCmn20337X10958615,500SHCallDFND115,50000
COMMSCOPE HLDG CO INCCmn20337X10951813,700SHPutDFND113,70000
COMMSCOPE HLDG CO INCCmn20337X10956,0161,480,719SH DFND 1,480,71900
COMMUNICATIONS SYS INCCmn2039001053810,340SH DFND110,34000
COMMUNITY BK SYS INCCmn2036071062,79451,973SH DFND 51,97300
COMMUNITY HEALTH SYS INC NEWCmn20366810819445,614SH DFND145,61400
COMMUNITY HEALTH SYS INC NEWCmn203668108455106,700SHCallDFND1106,70000
COMMUNITY HEALTH SYS INC NEWCmn203668108609143,000SHPutDFND1143,00000
COMMUNITY HEALTH SYS INC NEWCmn2036681084310,028SH DFND 10,02800
COMMUNITY TR BANCORP INCCmn2041491081,24426,404SH DFND 26,40400
COMMVAULT SYSTEMS INCCmn2041661022875,475SH DFND25,47500
COMMVAULT SYSTEMS INCCmn20416610275214,321SH DFND114,32100
COMMVAULT SYSTEMS INCCmn2041661023366,400SHCallDFND16,40000
COMMVAULT SYSTEMS INCCmn20416610289817,100SHPutDFND117,10000
COMMVAULT SYSTEMS INCCmn20416610250,544962,740SH DFND 962,74000
COMPANHIA ENERGETICA DE MINADepository Receipt204409601376182,473SH DFND1182,47300
COMPANHIA ENERGETICA DE MINACmn2044096019948,300SHPutDFND148,30000
COMPANHIA SIDERURGICA NACIONDepository Receipt20440W1051,452592,544SH DFND1592,54400
COMPANHIA SIDERURGICA NACIONCmn20440W1058133,200SHPutDFND133,20000
COMPANIA CERVECERIAS UNIDASDepository Receipt20442910443914,857SH DFND114,85700
COMPANIA DE MINAS BUENAVENTUDepository Receipt20444810470249,865SH DFND149,86500
COMPANIA DE MINAS BUENAVENTUCmn20444810421715,400SHCallDFND115,40000
COMPANIA DE MINAS BUENAVENTUCmn20444810441329,300SHPutDFND129,30000
COMPASS DIVERSIFIED HOLDINGSCmn20451Q10481748,174SH DFND148,17400
COMPASS MINERALS INTL INCCmn20451N1014446,151SH DFND16,15100
COMPASS MINERALS INTL INCCmn20451N1011,01914,100SHCallDFND114,10000
COMPASS MINERALS INTL INCCmn20451N1011,54621,400SHPutDFND121,40000
COMPUGEN LTDCmnM257221055120,363SH DFND120,36300
COMPUTER PROGRAMS & SYS INCCmn2053061032347,800SHCallDFND17,80000
COMPUTER PROGRAMS & SYS INCCmn20530610363821,243SH DFND 21,24300
COMSTOCK RES INCCmn20576830237744,516SH DFND144,51600
COMTECH TELECOMMUNICATIONS CCmn20582620938717,476SH DFND217,47600
COMTECH TELECOMMUNICATIONS CCmn2058262092089,389SH DFND19,38900
CONAGRA BRANDS INCCmn20588710224,521650,945SH DFND2650,94500
CONAGRA BRANDS INCCmn20588710213,897368,907SH DFND1368,90700
CONAGRA BRANDS INCCmn2058871025,161137,000SHCallDFND1137,00000
CONAGRA BRANDS INCCmn2058871024,927130,800SHPutDFND1130,80000
CONAGRA BRANDS INCCmn205887102262,4386,966,759SH DFND 6,966,75900
CONATUS PHARMACEUTICALS INCCmn20600T1086213,425SH DFND113,42500
CONATUS PHARMACEUTICALS INCCmn20600T1084610,000SHPutDFND110,00000
CONCERT PHARMACEUTICALS INCCmn2060221051,11443,070SH DFND243,07000
CONCERT PHARMACEUTICALS INCCmn20602210569626,891SH DFND 26,89100
CONCHO RES INCCmn20605P1011,3528,999SH DFND18,99900
CONCHO RES INCCmn20605P1019,01360,000SHCallDFND160,00000
CONCHO RES INCCmn20605P10123,194154,400SHPutDFND1154,40000
CONCORDIA INTERNATIONAL CORPCmn20653P1021624,100SHCallDFND124,10000
CONDUENT INCCmn20678710320412,604SH DFND112,60400
CONDUENT INCCmn20678710337723,300SHCallDFND123,30000
CONDUENT INCCmn20678710321513,300SHPutDFND113,30000
CONDUENT INCCmn2067871032,424150,000SHCallDFND 150,00000
CONE MIDSTREAM PARTNERS LPCmn20681210924114,400SHCallDFND114,40000
CONFORMIS INCCmn20717E1014016,609SH DFND116,60900
CONMED CORPCmn2074101011,32025,898SH DFND225,89800
CONMED CORPCmn2074101014609,023SH DFND 9,02300
CONNECTICUT WTR SVC INCCmn2077971013175,520SH DFND 5,52000
CONNECTONE BANCORP INC NEWCmn20786W10750619,660SH DFND119,66000
CONNECTONE BANCORP INC NEWCmn20786W1071,00739,089SH DFND 39,08900
CONNS INCCmn2082421074,590129,100SHCallDFND1129,10000
CONNS INCCmn2082421071,64646,300SHPutDFND146,30000
CONNS INCCmn2082421077,209202,789SH DFND 202,78900
CONOCOPHILLIPSCmn20825C1044748,627SH DFND28,62700
CONOCOPHILLIPSCmn20825C1044,05673,893SH DFND173,89300
CONOCOPHILLIPSCmn20825C10425,326461,400SHCallDFND1461,40000
CONOCOPHILLIPSCmn20825C10445,712832,800SHPutDFND1832,80000
CONOCOPHILLIPSCmn20825C1041,28023,313SH DFND 23,31300
CONSOL ENERGY INC NEWCmn20854L1082,02951,365SH DFND151,36500
CONSOL ENERGY INC NEWCmn20854L1081,19330,200SHPutDFND130,20000
CONSOLIDATED COMM HLDGS INCCmn2090341074,343356,286SH DFND2356,28600
CONSOLIDATED COMM HLDGS INCCmn2090341071,223100,314SH DFND1100,31400
CONSOLIDATED COMM HLDGS INCCmn20903410716513,500SHCallDFND113,50000
CONSOLIDATED COMM HLDGS INCCmn20903410735128,800SHPutDFND128,80000
CONSOLIDATED COMM HLDGS INCCmn2090341074,621379,060SH DFND 379,06000
CONSOLIDATED EDISON INCCmn20911510410,279121,006SH DFND2121,00600
CONSOLIDATED EDISON INCCmn2091151044,01947,311SH DFND147,31100
CONSOLIDATED EDISON INCCmn2091151045,28462,200SHCallDFND162,20000
CONSOLIDATED EDISON INCCmn2091151049,336109,900SHPutDFND1109,90000
CONSOLIDATED TOMOKA LD COCmn2102261062113,329SH DFND13,32900
CONSOLIDATED TOMOKA LD COBond210226AB217,07315,521,000PRN DFND 000
CONSTELLATION BRANDS INCCmn21036P1084,68120,481SH DFND220,48100
CONSTELLATION BRANDS INCCmn21036P10850,713221,871SH DFND1221,87100
CONSTELLATION BRANDS INCCmn21036P10885,302373,200SHCallDFND1373,20000
CONSTELLATION BRANDS INCCmn21036P10895,062415,900SHPutDFND1415,90000
CONSTELLATION BRANDS INCCmn21036P108206,852904,984SH DFND 904,98400
CONSTELLATION BRANDS INCCmn21036P10843,291189,400SHCallDFND 189,40000
CONSTELLATION BRANDS INCCmn21036P10841,165180,100SHPutDFND 180,10000
CONSTELLIUM NVCmnN220351041,607144,153SH DFND2144,15300
CONSTELLIUM NVCmnN220351041,00389,984SH DFND189,98400
CONSTELLIUM NVCmnN2203510417115,300SHCallDFND115,30000
CONSTELLIUM NVCmnN2203510411810,600SHPutDFND110,60000
CONSTELLIUM NVCmnN220351045,335478,448SH DFND 478,44800
CONSUMER PORTFOLIO SVCS INCCmn21050210014535,021SH DFND135,02100
CONSUMER PORTFOLIO SVCS INCCmn21050210011928,700SHPutDFND128,70000
CONTAINER STORE GROUP INCCmn2107511039920,867SH DFND220,86700
CONTAINER STORE GROUP INCCmn2107511037415,538SH DFND115,53800
CONTAINER STORE GROUP INCCmn210751103517109,081SH DFND 109,08100
CONTANGO OIL & GAS COMPANYCmn21075N2045611,990SH DFND111,99000
CONTANGO OIL & GAS COMPANYCmn21075N20411524,500SHCallDFND124,50000
CONTANGO OIL & GAS COMPANYCmn21075N2045311,300SHPutDFND111,30000
CONTINENTAL BLDG PRODS INCCmn21117110377127,383SH DFND127,38300
CONTINENTAL RESOURCES INCCmn2120151014,18779,046SH DFND279,04600
CONTINENTAL RESOURCES INCCmn21201510112,649238,800SHCallDFND1238,80000
CONTINENTAL RESOURCES INCCmn2120151019,614181,500SHPutDFND1181,50000
CONTINENTAL RESOURCES INCCmn212015101178,9303,377,953SH DFND 3,377,95300
CONTRAVIR PHARMACEUTICALS INCmn21234W10352143,898SH DFND1143,89800
CONTROL4 CORPCmn21240D10784928,532SH DFND128,53200
CONTROL4 CORPCmn21240D10756519,000SHCallDFND119,00000
CONTROL4 CORPCmn21240D1071,47349,500SHPutDFND149,50000
CONVERGYS CORPCmn21248510676432,528SH DFND 32,52800
COOPER COS INCCmn2166484022,95913,579SH DFND113,57900
COOPER COS INCCmn2166484022,59311,900SHCallDFND111,90000
COOPER COS INCCmn2166484025,18623,800SHPutDFND123,80000
COOPER COS INCCmn2166484025,18623,801SH DFND 23,80100
COOPER STD HLDGS INCCmn21676P1032351,915SH DFND11,91500
COOPER STD HLDGS INCCmn21676P1032702,200SHCallDFND12,20000
COOPER STD HLDGS INCCmn21676P1036375,200SHPutDFND15,20000
COOPER STD HLDGS INCCmn21676P1032552,079SH DFND 2,07900
COOPER TIRE & RUBR COCmn21683110741111,633SH DFND111,63300
COOPER TIRE & RUBR COCmn21683110765418,500SHCallDFND118,50000
COOPER TIRE & RUBR COCmn21683110778522,200SHPutDFND122,20000
COOPER TIRE & RUBR COCmn21683110714,519410,709SH DFND 410,70900
COPA HOLDINGS SACmnP310761051,0607,904SH DFND17,90400
COPA HOLDINGS SACmnP310761051,97114,700SHCallDFND114,70000
COPA HOLDINGS SACmnP310761053,17723,700SHPutDFND123,70000
COPART INCCmn2172041063107,183SH DFND27,18300
COPART INCCmn21720410658213,475SH DFND113,47500
COPART INCCmn21720410698522,800SHCallDFND122,80000
COPART INCCmn2172041062686,200SHPutDFND16,20000
COPART INCCmn21720410616,539382,940SH DFND 382,94000
CORBUS PHARMACEUTICALS HLDGSCmn21833P10313018,362SH DFND118,36200
CORBUS PHARMACEUTICALS HLDGSCmn21833P10312918,200SHPutDFND118,20000
CORCEPT THERAPEUTICS INCCmn21835210264335,576SH DFND135,57600
CORCEPT THERAPEUTICS INCCmn21835210296853,600SHCallDFND153,60000
CORCEPT THERAPEUTICS INCCmn21835210288949,200SHPutDFND149,20000
CORE LABORATORIES N VCmnN227171072081,897SH DFND11,89700
CORE LABORATORIES N VCmnN227171074,96345,300SHCallDFND145,30000
CORE LABORATORIES N VCmnN227171071,0419,500SHPutDFND19,50000
CORE LABORATORIES N VCmnN2271710719,193175,199SH DFND 175,19900
CORE MARK HOLDING CO INCCmn21868110457418,161SH DFND218,16100
CORE MARK HOLDING CO INCCmn2186811041,70754,042SH DFND 54,04200
CORECIVIC INCCmn21871N1014,546202,047SH DFND2202,04700
CORECIVIC INCCmn21871N1011,60871,450SH DFND171,45000
CORECIVIC INCCmn21871N1011,42463,300SHCallDFND163,30000
CORECIVIC INCCmn21871N1011,10048,900SHPutDFND148,90000
CORECIVIC INCCmn21871N1012,272100,963SH DFND 100,96300
CORELOGIC INCCmn21871D1032,61056,476SH DFND156,47600
CORELOGIC INCCmn21871D1032635,700SHPutDFND15,70000
CORENERGY INFRASTRUCTURE TRBond21870UAA417,77114,850,000PRN DFND 000
CORESITE RLTY CORPCmn21870Q1053,14227,583SH DFND127,58300
CORESITE RLTY CORPCmn21870Q1051,90216,700SHCallDFND116,70000
CORESITE RLTY CORPCmn21870Q1051,61714,200SHPutDFND114,20000
CORESITE RLTY CORPCmn21870Q1052,09018,353SH DFND 18,35300
CORINDUS VASCULAR ROBOTICS ICmn2187301092322,980SH DFND222,98000
CORNERSTONE ONDEMAND INCCmn21925Y10365718,598SH DFND218,59800
CORNERSTONE ONDEMAND INCCmn21925Y1031,22334,618SH DFND134,61800
CORNERSTONE ONDEMAND INCCmn21925Y10357616,300SHCallDFND116,30000
CORNERSTONE ONDEMAND INCCmn21925Y10360417,100SHPutDFND117,10000
CORNERSTONE ONDEMAND INCCmn21925Y10321,649612,754SH DFND 612,75400
CORNING INCCmn2193501052,17267,905SH DFND167,90500
CORNING INCCmn21935010514,165442,800SHCallDFND1442,80000
CORNING INCCmn21935010511,337354,400SHPutDFND1354,40000
CORPORATE CAP TR INCCmn21988010149831,166SH DFND131,16600
CORPORATE CAP TR INCCmn2198801013,780236,559SH DFND 236,55900
CORPORATE OFFICE PPTYS TRCmn22002T1084,225144,700SH DFND2144,70000
CORPORATE OFFICE PPTYS TRCmn22002T1082,85997,924SH DFND197,92400
CORVEL CORPCmn2210061093476,560SH DFND 6,56000
COSAN LTDCmnG253431072,964305,541SH DFND1305,54100
COSTAMARE INCCmnY1771G10229851,700SHCallDFND151,70000
COSTAMARE INCCmnY1771G1028715,000SHPutDFND115,00000
COSTAR GROUP INCCmn22160N1093,34711,272SH DFND211,27200
COSTAR GROUP INCCmn22160N10937,432126,056SH DFND 126,05600
COSTCO WHSL CORP NEWCmn22160K1057,16638,500SH DFND238,50000
COSTCO WHSL CORP NEWCmn22160K10524,711132,770SH DFND1132,77000
COSTCO WHSL CORP NEWCmn22160K105146,030784,600SHCallDFND1784,60000
COSTCO WHSL CORP NEWCmn22160K105160,622863,000SHPutDFND1863,00000
COSTCO WHSL CORP NEWCmn22160K10565,142350,000SHPutDFND 350,00000
COTIVITI HLDGS INCCmn22164K1011,30940,635SH DFND240,63500
COTT CORP QUECmn22163N1061,771106,328SH DFND1106,32800
COTT CORP QUECmn22163N10668541,100SHCallDFND141,10000
COTT CORP QUECmn22163N10654532,700SHPutDFND132,70000
COTT CORP QUECmn22163N1065,280316,853SH DFND2316,85300
COTY INCCmn22207020330015,090SH DFND115,09000
COTY INCCmn2220702032,733137,400SHCallDFND1137,40000
COTY INCCmn2220702031,43472,100SHPutDFND172,10000
COTY INCCmn22207020392746,615SH DFND 46,61500
COTY INCCmn22207020399550,000SHCallDFND 50,00000
COUNTERPATH CORPCmn22228P3023310,393SH DFND110,39300
COUSINS PPTYS INCCmn22279510631233,774SH DFND133,77400
COUSINS PPTYS INCCmn2227951064,542491,000SH DFND 491,00000
COVANTA HLDG CORPCmn22282E10237722,300SHCallDFND122,30000
COVANTA HLDG CORPCmn22282E10225715,200SHPutDFND115,20000
COVENANT TRANSN GROUP INCCmn22284P10599834,748SH DFND234,74800
COWEN INCCmn22362260634825,504SH DFND225,50400
COWEN INCCmn22362260688364,703SH DFND164,70300
CRA INTL INCCmn12618T1053908,676SH DFND18,67600
CRA INTL INCCmn12618T10550811,300SHPutDFND111,30000
CRACKER BARREL OLD CTRY STORCmn22410J1068235,178SH DFND25,17800
CRACKER BARREL OLD CTRY STORCmn22410J1067424,667SH DFND14,66700
CRACKER BARREL OLD CTRY STORCmn22410J1064,91030,900SHCallDFND130,90000
CRACKER BARREL OLD CTRY STORCmn22410J1064,78330,100SHPutDFND130,10000
CRAFT BREW ALLIANCE INCCmn22412210127814,500SHCallDFND114,50000
CRANE COCmn2243991057348,225SH DFND18,22500
CRANE COCmn2243991051,05311,800SHCallDFND111,80000
CRANE COCmn2243991053123,500SHPutDFND13,50000
CRANE COCmn2243991052,46027,571SH DFND 27,57100
CRAY INCCmn22522330432613,457SH DFND113,45700
CRAY INCCmn2252233042,14388,549SH DFND 88,54900
CREDICORP LTDCmnG2519Y1085012,414SH DFND12,41400
CREDICORP LTDCmnG2519Y1081,3286,400SHCallDFND16,40000
CREDICORP LTDCmnG2519Y1085602,700SHPutDFND12,70000
CREDIT ACCEP CORP MICHCmn2253101014,69014,500SHCallDFND114,50000
CREDIT ACCEP CORP MICHCmn2253101019,15428,300SHPutDFND128,30000
CREDIT SUISSE AG NASSAU BRHCmn22539T21798413,532SH DFND113,53200
CREDIT SUISSE GROUPDepository Receipt2254011082,893162,088SH DFND1162,08800
CREDIT SUISSE GROUPCmn2254011083,159177,000SHCallDFND1177,00000
CREDIT SUISSE GROUPCmn2254011083,327186,400SHPutDFND1186,40000
CREDIT SUISSE GROUPDepository Receipt2254011086,818381,952SH DFND 381,95200
CREDIT SUISSE GROUPCmn2254011084,998280,000SHCallDFND 280,00000
CREDIT SUISSE GROUPCmn22540110813,120735,000SHPutDFND 735,00000
CREDIT SUISSE NASSAU BRHCmn22542D35725,7524,648,461SH DFND14,648,46100
CREDIT SUISSE NASSAU BRHCmn22542D37336613,319SH DFND113,31900
CREDIT SUISSE NASSAU BRHCmn22542D68843539,033SH DFND139,03300
CREDIT SUISSE NASSAU BRHCmn22542D7951,1778,752SH DFND18,75200
CREDIT SUISSE NASSAU BRHCmn22542D36514912,648SH DFND112,64800
CREE INCCmn2254471011,66244,754SH DFND144,75400
CREE INCCmn2254471016,162165,900SHCallDFND1165,90000
CREE INCCmn2254471018,590231,300SHPutDFND1231,30000
CRESCENT PT ENERGY CORPCmn22576C1011,330174,483SH DFND1174,48300
CRESCENT PT ENERGY CORPCmn22576C10128036,800SHPutDFND136,80000
CRESCENT PT ENERGY CORPCmn22576C101895117,480SH DFND2117,48000
CRESTWOOD EQUITY PARTNERS LPCmn2263442081,10242,700SHCallDFND142,70000
CRH MEDICAL CORPCmn12626F1053513,071SH DFND113,07100
CRISPR THERAPEUTICS AGCmnH1718210893539,811SH DFND139,81100
CRITEO S ADepository Receipt2267181041,71966,032SH DFND166,03200
CRITEO S ACmn2267181041,15144,200SHCallDFND144,20000
CRITEO S ACmn2267181042,32489,300SHPutDFND189,30000
CRITEO S ADepository Receipt22671810428,8351,107,745SH DFND 1,107,74500
CROCS INCCmn22704610939731,417SH DFND231,41700
CROCS INCCmn22704610942733,774SH DFND133,77400
CROCS INCCmn22704610947337,400SHCallDFND137,40000
CROCS INCCmn22704610915812,500SHPutDFND112,50000
CROSS CTRY HEALTHCARE INCCmn22748310418014,120SH DFND214,12000
CROSS CTRY HEALTHCARE INCCmn22748310499277,767SH DFND 77,76700
CROWN CASTLE INTL CORP NEWCmn22822V10114,357129,334SH DFND2129,33400
CROWN CASTLE INTL CORP NEWCmn22822V10115,947143,650SH DFND1143,65000
CROWN CASTLE INTL CORP NEWCmn22822V1015,87252,900SHCallDFND152,90000
CROWN CASTLE INTL CORP NEWCmn22822V10117,340156,200SHPutDFND1156,20000
CROWN CASTLE INTL CORP NEWCmn22822V10152,818475,796SH DFND 475,79600
CROWN CASTLE INTL CORP NEWCmn22822V1012,22020,000SHCallDFND 20,00000
CROWN HOLDINGS INCCmn2283681061,09119,403SH DFND219,40300
CROWN HOLDINGS INCCmn22836810612,130215,646SH DFND1215,64600
CROWN HOLDINGS INCCmn2283681062314,100SHCallDFND14,10000
CRYOLIFE INCCmn22890310070436,747SH DFND 36,74700
CRYSTAL ROCK HLDGS INCCmn22940F1031720,621SH DFND120,62100
CSG SYS INTL INCCmn1263491097,193164,147SH DFND 164,14700
CSG SYS INTL INCBond126349AF618,02216,500,000PRN DFND 000
CSI COMPRESSCO LPCmn12637A1039817,893SH DFND117,89300
CSRA INCCmn12650T1041,34845,067SH DFND145,06700
CSRA INCCmn12650T10432911,000SHPutDFND111,00000
CSS INDS INCCmn1259061072549,111SH DFND 9,11100
CSW INDUSTRIALS INCCmn12640210671015,461SH DFND 15,46100
CSX CORPCmn12640810327,599501,715SH DFND1501,71500
CSX CORPCmn12640810331,592574,300SHCallDFND1574,30000
CSX CORPCmn12640810351,390934,200SHPutDFND1934,20000
CSX CORPCmn126408103152,0782,764,548SH DFND 2,764,54800
CSX CORPCmn12640810316,833306,000SHCallDFND 306,00000
CSX CORPCmn1264081034,67685,000SHPutDFND 85,00000
CTI BIOPHARMA CORPCmn12648L6013111,418SH DFND111,41800
CTI BIOPHARMA CORPCmn12648L6013111,600SHCallDFND111,60000
CTRIP COM INTL LTDDepository Receipt22943F10015,955361,796SH DFND1361,79600
CTRIP COM INTL LTDCmn22943F1009,737220,800SHCallDFND1220,80000
CTRIP COM INTL LTDCmn22943F10025,975589,000SHPutDFND1589,00000
CTRIP COM INTL LTDBond22943FAF78,9558,500,000PRN DFND 000
CTRIP COM INTL LTDBond22943FAH38,3947,500,000PRN DFND 000
CTRIP COM INTL LTDCmn22943F10014,112320,000SHPutDFND 320,00000
CTRIP COM INTL LTDBond22943FAD261,52052,159,000PRN DFND 000
CTS CORPCmn1265011051,01839,553SH DFND 39,55300
CUBESMARTCmn2296631091,01535,082SH DFND135,08200
CUBESMARTCmn2296631092789,600SHPutDFND19,60000
CUBESMARTCmn22966310929,4971,019,955SH DFND 1,019,95500
CUBIC CORPCmn2296691063836,500SHCallDFND16,50000
CUBIC CORPCmn2296691063736,322SH DFND 6,32200
CULLEN FROST BANKERS INCCmn2298991094,14543,790SH DFND243,79000
CULLEN FROST BANKERS INCCmn2298991092,41325,497SH DFND125,49700
CULLEN FROST BANKERS INCCmn2298991091,30613,800SHCallDFND113,80000
CULLEN FROST BANKERS INCCmn22989910999410,500SHPutDFND110,50000
CUMMINS INCCmn23102110621,071119,285SH DFND1119,28500
CUMMINS INCCmn23102110618,953107,300SHCallDFND1107,30000
CUMMINS INCCmn23102110635,840202,900SHPutDFND1202,90000
CUMMINS INCCmn23102110692,039521,054SH DFND 521,05400
CURIS INCCmn231269101225321,400SH DFND1321,40000
CURO GROUP HLDGS CORPCmn23131L1075,446386,810SH DFND 386,81000
CURRENCYSHARES AUSTRALIAN DLCmn23129U1013,07439,383SH DFND139,38300
CURRENCYSHARES AUSTRALIAN DLCmn23129U10199912,800SHCallDFND112,80000
CURRENCYSHARES AUSTRALIAN DLCmn23129U1014926,300SHPutDFND16,30000
CURRENCYSHARES CDN DLR TRCmn23129X10590611,543SH DFND111,54300
CURRENCYSHARES CDN DLR TRCmn23129X1053,20340,800SHCallDFND140,80000
CURRENCYSHARES CDN DLR TRCmn23129X1053,58045,600SHPutDFND145,60000
CURRENCYSHARES EURO TRCmn23130C1081,24510,771SH DFND110,77100
CURRENCYSHARES EURO TRCmn23130C10819,330167,200SHCallDFND1167,20000
CURRENCYSHARES EURO TRCmn23130C10844,995389,200SHPutDFND1389,20000
CURRENCYSHARES SWISS FRANC TCmn23129V1099479,776SH DFND19,77600
CURRENCYSHARES SWISS FRANC TCmn23129V1097177,400SHCallDFND17,40000
CURRENCYSHARES SWISS FRANC TCmn23129V1093103,200SHPutDFND13,20000
CURRENCYSHS BRIT POUND STERCmn23129S1063452,632SH DFND12,63200
CURRENCYSHS BRIT POUND STERCmn23129S1066,23247,500SHCallDFND147,50000
CURRENCYSHS BRIT POUND STERCmn23129S1064,10731,300SHPutDFND131,30000
CURRENCYSHS JAPANESE YEN TRCmn23130A1024,93657,980SH DFND157,98000
CURRENCYSHS JAPANESE YEN TRCmn23130A1025,57765,500SHCallDFND165,50000
CURRENCYSHS JAPANESE YEN TRCmn23130A1026,21573,000SHPutDFND173,00000
CURTISS WRIGHT CORPCmn2315611013,16525,975SH DFND125,97500
CURTISS WRIGHT CORPCmn2315611013412,800SHCallDFND12,80000
CURTISS WRIGHT CORPCmn2315611012191,800SHPutDFND11,80000
CURTISS WRIGHT CORPCmn2315611019,90181,253SH DFND 81,25300
CUSTOMERS BANCORP INCCmn23204G10086133,134SH DFND233,13400
CUSTOMERS BANCORP INCCmn23204G1001,26548,687SH DFND148,68700
CUTERA INCCmn23210910846710,300SHCallDFND110,30000
CUTERA INCCmn2321091084319,500SHPutDFND19,50000
CVB FINL CORPCmn12660010535715,162SH DFND115,16200
CVR ENERGY INCCmn12662P1083,26587,676SH DFND287,67600
CVR ENERGY INCCmn12662P1082,60770,000SHCallDFND170,00000
CVR ENERGY INCCmn12662P10837210,000SHPutDFND110,00000
CVR PARTNERS LPCmn12663310632398,527SH DFND198,52700
CVR PARTNERS LPCmn12663310612137,000SHPutDFND137,00000
CVR REFNG LPCmn12663P1072,114127,756SH DFND1127,75600
CVR REFNG LPCmn12663P10798559,500SHCallDFND159,50000
CVR REFNG LPCmn12663P1071,28477,600SHPutDFND177,60000
CVS HEALTH CORPCmn12665010027,240375,721SH DFND2375,72100
CVS HEALTH CORPCmn12665010026,886370,845SH DFND1370,84500
CVS HEALTH CORPCmn12665010063,684878,400SHCallDFND1878,40000
CVS HEALTH CORPCmn12665010058,051800,700SHPutDFND1800,70000
CVS HEALTH CORPCmn126650100172,8032,383,496SH DFND 2,383,49600
CYBERARK SOFTWARE LTDCmnM2682V10845210,920SH DFND210,92000
CYBERARK SOFTWARE LTDCmnM2682V1085,587134,988SH DFND1134,98800
CYBERARK SOFTWARE LTDCmnM2682V1082,09050,500SHCallDFND150,50000
CYBERARK SOFTWARE LTDCmnM2682V1082,45459,300SHPutDFND159,30000
CYBERARK SOFTWARE LTDCmnM2682V10832,246779,070SH DFND 779,07000
CYCLACEL PHARMACEUTICALS INCCmn23254L40510861,900SH DFND161,90000
CYMABAY THERAPEUTICS INCCmn23257D1036,387694,252SH DFND 694,25200
CYPRESS SEMICONDUCTOR CORPCmn23280610913,323874,213SH DFND1874,21300
CYPRESS SEMICONDUCTOR CORPCmn2328061092,169142,300SHCallDFND1142,30000
CYPRESS SEMICONDUCTOR CORPCmn2328061094,823316,500SHPutDFND1316,50000
CYPRESS SEMICONDUCTOR CORPCmn2328061092,124139,350SH DFND 139,35000
CYRUSONE INCCmn23283R10069411,660SH DFND111,66000
CYRUSONE INCCmn23283R10076812,900SHCallDFND112,90000
CYRUSONE INCCmn23283R1005248,800SHPutDFND18,80000
CYRUSONE INCCmn23283R10066,2261,112,478SH DFND 1,112,47800
CYS INVTS INCCmn12673A10877095,902SH DFND195,90200
CYS INVTS INCCmn12673A1089,2521,152,197SH DFND 1,152,19700
CYTOKINETICS INCCmn23282W605939115,209SH DFND1115,20900
CYTOKINETICS INCCmn23282W60525531,300SHCallDFND131,30000
CYTOKINETICS INCCmn23282W60566581,600SHPutDFND181,60000
CYTOKINETICS INCCmn23282W6052,502306,968SH DFND 306,96800
CYTORI THERAPEUTICS INCCmn23283K204621,540SH DFND121,54000
CYTOSORBENTS CORPCmn23283X2067611,700SHCallDFND111,70000
CYTOSORBENTS CORPCmn23283X2068513,000SHPutDFND113,00000
CYTRX CORPCmn2328286083420,118SH DFND120,11800
CYTRX CORPCmn2328286081710,300SHCallDFND110,30000
D R HORTON INCCmn23331A10958411,429SH DFND111,42900
D R HORTON INCCmn23331A10934,620677,900SHCallDFND1677,90000
D R HORTON INCCmn23331A1098,023157,100SHPutDFND1157,10000
D R HORTON INCCmn23331A10942,684835,798SH DFND 835,79800
DAKTRONICS INCCmn23426410919221,013SH DFND121,01300
DAKTRONICS INCCmn2342641091,749191,516SH DFND 191,51600
DANA INCORPORATEDCmn23582520565920,596SH DFND120,59600
DANA INCORPORATEDCmn2358252051,54948,400SHCallDFND148,40000
DANA INCORPORATEDCmn23582520520,144629,293SH DFND 629,29300
DANAHER CORP DELCmn23585110215,066162,319SH DFND2162,31900
DANAHER CORP DELCmn23585110210,131109,151SH DFND1109,15100
DANAHER CORP DELCmn2358511029,793105,500SHCallDFND1105,50000
DANAHER CORP DELCmn23585110221,311229,600SHPutDFND1229,60000
DANAHER CORP DELCmn2358511027,22077,782SH DFND 77,78200
DANAHER CORP DELCmn2358511024,64150,000SHCallDFND 50,00000
DANAHER CORP DELCmn2358511024,64150,000SHPutDFND 50,00000
DANAOS CORPORATIONCmnY1968P1052114,395SH DFND114,39500
DAQO NEW ENERGY CORPDepository Receipt23703Q2031,18419,924SH DFND119,92400
DAQO NEW ENERGY CORPCmn23703Q20382613,900SHCallDFND113,90000
DAQO NEW ENERGY CORPCmn23703Q2031,22420,600SHPutDFND120,60000
DARDEN RESTAURANTS INCCmn2371941054,46246,466SH DFND146,46600
DARDEN RESTAURANTS INCCmn2371941056,36666,300SHCallDFND166,30000
DARDEN RESTAURANTS INCCmn23719410514,835154,500SHPutDFND1154,50000
DARDEN RESTAURANTS INCCmn23719410537,621391,808SH DFND 391,80800
DARE BIOSCIENCE INCCmn23666P1012411,280SH DFND111,28000
DARLING INGREDIENTS INCCmn2372661011,28070,580SH DFND170,58000
DARLING INGREDIENTS INCCmn23726610142223,300SHCallDFND123,30000
DARLING INGREDIENTS INCCmn2372661011,22967,800SHPutDFND167,80000
DARLING INGREDIENTS INCCmn2372661011,26970,000SHCallDFND 70,00000
DASEKE INCCmn23753F10730021,028SH DFND221,02800
DAVE & BUSTERS ENTMT INCCmn2383371094357,884SH DFND27,88400
DAVE & BUSTERS ENTMT INCCmn2383371093,50363,499SH DFND163,49900
DAVE & BUSTERS ENTMT INCCmn2383371093,15057,100SHCallDFND157,10000
DAVE & BUSTERS ENTMT INCCmn2383371093,07855,800SHPutDFND155,80000
DAVE & BUSTERS ENTMT INCCmn23833710974,9671,358,845SH DFND 1,358,84500
DAVIS FUNDAMENTAL ETF TRCmn23908L1081,56165,192SH DFND165,19200
DAVITA INCCmn23918K1082,01627,903SH DFND227,90300
DAVITA INCCmn23918K1083755,189SH DFND15,18900
DAVITA INCCmn23918K1087,673106,200SHCallDFND1106,20000
DAVITA INCCmn23918K10810,715148,300SHPutDFND1148,30000
DAVITA INCCmn23918K10897,4771,349,168SH DFND 1,349,16800
DBV TECHNOLOGIES S ADepository Receipt23306J1017,106288,879SH DFND 288,87900
DBX ETF TRCmn2330518791,59251,312SH DFND151,31200
DBX ETF TRCmn2330517622516,722SH DFND16,72200
DBX ETF TRCmn23305130918915,712SH DFND115,71200
DBX ETF TRCmn2330518531,00635,402SH DFND135,40200
DBX ETF TRCmn23305140849017,298SH DFND117,29800
DBX ETF TRCmn2330515076,745152,982SH DFND1152,98200
DBX ETF TRCmn23305179623511,895SH DFND111,89500
DBX ETF TRCmn23305181233910,794SH DFND110,79400
DBX ETF TRCmn2330518793,212103,500SHCallDFND1103,50000
DBX ETF TRCmn2330518798,766282,500SHPutDFND1282,50000
DBX ETF TRCmn23305175452615,100SHCallDFND115,10000
DCP MIDSTREAM LPCmn23311P10072319,900SHCallDFND119,90000
DCP MIDSTREAM LPCmn23311P1001,06129,200SHPutDFND129,20000
DCT INDUSTRIAL TRUST INCCmn2331532043716,318SH DFND16,31800
DCT INDUSTRIAL TRUST INCCmn2331532042233,800SHCallDFND13,80000
DCT INDUSTRIAL TRUST INCCmn23315320413,938237,126SH DFND 237,12600
DDR CORPCmn23317H1024,143462,415SH DFND2462,41500
DDR CORPCmn23317H10274783,320SH DFND183,32000
DDR CORPCmn23317H10260667,600SHPutDFND167,60000
DEAN FOODS CO NEWCmn2423702032,697233,272SH DFND1233,27200
DEAN FOODS CO NEWCmn24237020347240,800SHCallDFND140,80000
DEAN FOODS CO NEWCmn24237020364956,100SHPutDFND156,10000
DEAN FOODS CO NEWCmn24237020312,3391,067,422SH DFND 1,067,42200
DECKERS OUTDOOR CORPCmn2435371072,55231,800SHCallDFND131,80000
DECKERS OUTDOOR CORPCmn2435371073,10638,700SHPutDFND138,70000
DEERE & COCmn2441991057,52548,079SH DFND248,07900
DEERE & COCmn24419910511,60074,116SH DFND174,11600
DEERE & COCmn24419910531,584201,800SHCallDFND1201,80000
DEERE & COCmn24419910590,964581,200SHPutDFND1581,20000
DEERE & COCmn244199105178,4551,140,215SH DFND 1,140,21500
DEL FRISCOS RESTAURANT GROUPCmn24507710217311,371SH DFND111,37100
DEL FRISCOS RESTAURANT GROUPCmn24507710223215,200SHPutDFND115,20000
DEL FRISCOS RESTAURANT GROUPCmn2450771021,33087,236SH DFND 87,23600
DEL TACO RESTAURANTS INCCmn24549610415312,600SHCallDFND112,60000
DELEK US HLDGS INC NEWCmn24665A10310,592303,147SH DFND2303,14700
DELEK US HLDGS INC NEWCmn24665A1032,11460,502SH DFND160,50200
DELEK US HLDGS INC NEWCmn24665A10380022,900SHCallDFND122,90000
DELEK US HLDGS INC NEWCmn24665A1032838,100SHPutDFND18,10000
DELL TECHNOLOGIES INCCmn24703L1039,720119,589SH DFND2119,58900
DELL TECHNOLOGIES INCCmn24703L1036,17776,002SH DFND176,00200
DELL TECHNOLOGIES INCCmn24703L10387010,700SHCallDFND110,70000
DELL TECHNOLOGIES INCCmn24703L1031,69120,800SHPutDFND120,80000
DELL TECHNOLOGIES INCCmn24703L103106,1881,306,446SH DFND 1,306,44600
DELPHI TECHNOLOGIES PLCCmnG2709G1071,48928,376SH DFND128,37600
DELPHI TECHNOLOGIES PLCCmnG2709G10791817,500SHPutDFND117,50000
DELPHI TECHNOLOGIES PLCCmnG2709G10711,649222,007SH DFND 222,00700
DELTA AIR LINES INC DELCmn2473617025,919105,702SH DFND2105,70200
DELTA AIR LINES INC DELCmn2473617021,23922,123SH DFND122,12300
DELTA AIR LINES INC DELCmn24736170294,6961,691,000SHCallDFND11,691,00000
DELTA AIR LINES INC DELCmn24736170247,135841,700SHPutDFND1841,70000
DELTA AIR LINES INC DELCmn247361702283,8495,068,736SH DFND 5,068,73600
DELTA AIR LINES INC DELCmn24736170249,442882,900SHCallDFND 882,90000
DELTA AIR LINES INC DELCmn2473617025,600100,000SHPutDFND 100,00000
DELTA TECHNOLOGY HLDGS LTDCmnG8477B1054037,430SH DFND137,43000
DELUXE CORPCmn2480191013434,468SH DFND24,46800
DELUXE CORPCmn2480191012072,700SHCallDFND12,70000
DELUXE CORPCmn2480191012072,700SHPutDFND12,70000
DELUXE CORPCmn24801910110,399135,330SH DFND 135,33000
DENBURY RES INCCmn2479162088839,925SH DFND239,92500
DENBURY RES INCCmn2479162082,2171,003,385SH DFND11,003,38500
DENBURY RES INCCmn2479162088940,100SHCallDFND140,10000
DENBURY RES INCCmn247916208527238,400SHPutDFND1238,40000
DENBURY RES INCCmn2479162081,396631,803SH DFND 631,80300
DENISON MINES CORPCmn2483561073461,435SH DFND161,43500
DENNYS CORPCmn24869P1041,387104,759SH DFND2104,75900
DENNYS CORPCmn24869P1041,337100,985SH DFND 100,98500
DENTSPLY SIRONA INCCmn24906P1093,39751,596SH DFND151,59600
DENTSPLY SIRONA INCCmn24906P1091,65925,200SHCallDFND125,20000
DENTSPLY SIRONA INCCmn24906P1095278,000SHPutDFND18,00000
DENTSPLY SIRONA INCCmn24906P1094,10462,348SH DFND 62,34800
DEPOMED INCCmn24990810415018,661SH DFND118,66100
DEPOMED INCCmn24990810475193,300SHCallDFND193,30000
DEPOMED INCCmn24990810425331,400SHPutDFND131,40000
DEPOMED INCBond249908AA28,36410,000,000PRN DFND 000
DERMIRA INCCmn24983L10455620,000SHCallDFND120,00000
DERMIRA INCCmn24983L10477327,800SHPutDFND127,80000
DERMIRA INCCmn24983L1049,692348,491SH DFND 348,49100
DESCARTES SYS GROUP INCCmn24990610828810,145SH DFND210,14500
DESPEGAR COM CORPCmnG2735810330010,934SH DFND110,93400
DEUTSCHE BANK AGCmnD1819089812,981682,132SH DFND1682,13200
DEUTSCHE BANK AGCmnD181908988,383440,500SHCallDFND1440,50000
DEUTSCHE BANK AGCmnD1819089817,462917,600SHPutDFND1917,60000
DEUTSCHE BK AG LONDON BRHCmn25154K8665610,948SH DFND110,94800
DEUTSCHE MUN INCOMECmn25160C10622919,257SH DFND119,25700
DEUTSCHE STRATEGIC MUN INCOMCmn25159F10212410,486SH DFND110,48600
DEVON ENERGY CORP NEWCmn25179M10372117,423SH DFND117,42300
DEVON ENERGY CORP NEWCmn25179M10317,318418,300SHCallDFND1418,30000
DEVON ENERGY CORP NEWCmn25179M10314,262344,500SHPutDFND1344,50000
DEVON ENERGY CORP NEWCmn25179M103120,3192,906,246SH DFND 2,906,24600
DEVON ENERGY CORP NEWCmn25179M10312,420300,000SHPutDFND 300,00000
DEXCOM INCCmn2521311071,77630,939SH DFND230,93900
DEXCOM INCCmn2521311071,21521,171SH DFND121,17100
DEXCOM INCCmn2521311071,57827,500SH