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
3m CoCOMMON STOCK88579Y1012992,500SH DFND 2,5002,5000
Aaon IncorporatedCOMMON STOCK0003602062348,800SH DFND 8,8008,8000
AAR CorporationCOMMON STOCK00036110569725,500SH DFND 25,50025,5000
Aaron's IncCOMMON STOCK00253530085931,000SH DFND 31,00031,0000
Abbvie IncCOMMON STOCK00287Y10915,794353,100SH DFND 353,100353,1000
Abercrombie & Fitch Company- Cl ACOMMON STOCK00289620746013,000SH DFND 13,00013,0000
ABIOMED IncorporatedCOMMON STOCK00365410030516,000SH DFND 16,00016,0000
ABM Industries IncorporatedCOMMON STOCK00095710037514,100SH DFND 14,10014,1000
Abraxas Petroleum CorpCOMMON STOCK00383010621784,400SH DFND 84,40084,4000
Acadia Healthcare Co IncCOMMON STOCK00404A1092887,300SH DFND 7,3007,3000
Accenture Plc - CL ACOMMON STOCKG1151C1014055,500SH DFND 5,5005,5000
Accretive Health IncCOMMON STOCK00438V10334337,600SH DFND 37,60037,6000
Acorda Therapeutics IncCOMMON STOCK00484M1062637,700SH DFND 7,7007,7000
Actavis plcCOMMON STOCKG0083B1082021,400SH DFND 1,4001,4000
Activision Blizzard IncCOMMON STOCK00507V10988453,000SH DFND 53,00053,0000
ADT Corp/TheCOMMON STOCK00101J1062365,800SH DFND 5,8005,8000
Advanced Energy Industries IncorporatedCOMMON STOCK00797310090751,800SH DFND 51,80051,8000
Advent Software IncorporatedCOMMON STOCK00797410883426,266SH DFND 26,26626,2660
AeropostaleCOMMON STOCK00786510812613,400SH DFND 13,40013,4000
Aetna Inc. - NEWCOMMON STOCK00817Y10869110,800SH DFND 10,80010,8000
Affymetrix IncorporatedCOMMON STOCK00826T10829247,200SH DFND 47,20047,2000
AGCO CorporationCOMMON STOCK0010841024417,300SH DFND 7,3007,3000
Agilent Technologies Inc.COMMON STOCK00846U10112,879251,300SH DFND 251,300251,3000
Air Lease CorpCOMMON STOCK00912X3021,63759,200SH DFND 59,20059,2000
Aircastle LtdCOMMON STOCKG0129K10444025,300SH DFND 25,30025,3000
Alcoa IncorporatedCOMMON STOCK01381710132339,800SH DFND 39,80039,8000
Alere IncCOMMON STOCK01449J10564521,100SH DFND 21,10021,1000
Alexander & Baldwin IncCOMMON STOCK0144911043319,200SH DFND 9,2009,2000
Allergan IncorporatedCOMMON STOCK01849010296810,700SH DFND 10,70010,7000
Alliant Energy Corp.COMMON STOCK01880210857511,600SH DFND 11,60011,6000
Alliant Techsystem Holdings IncorporatedCOMMON STOCK0188041041,79518,400SH DFND 18,40018,4000
Allied Nevada Gold CorpCOMMON STOCK019344100463110,800SH DFND 110,800110,8000
Allied World Assurance Co Holdings AGCOMMON STOCKH015311042192,200SH DFND 2,2002,2000
Allstate CorporationCOMMON STOCK02000210169813,800SH DFND 13,80013,8000
Alon USA Energy IncCOMMON STOCK02052010257155,900SH DFND 55,90055,9000
Alpha Natural Resources Inc.COMMON STOCK02076X102775130,000SH DFND 130,000130,0000
Alpha Natural Resources Inc.COMMON STOCK02076X10244775,000SHCallDFND 75,00075,0000
Altisource Residential CorpCOMMON STOCK02153W1001,72475,000SH DFND 75,00075,0000
Altra Holdings IncCOMMON STOCK02208R1062619,700SH DFND 9,7009,7000
Ambarella IncCOMMON STOCKG037AX10161931,700SH DFND 31,70031,7000
Amc Networks Inc - ACOMMON STOCK00164V1033495,100SH DFND 5,1005,1000
Amdocs Ltd.COMMON STOCKG026021031,22033,300SH DFND 33,30033,3000
AmercoCOMMON STOCK0235861006813,700SH DFND 3,7003,7000
American Axle & Manufacturing Hold. Inc.COMMON STOCK02406110320510,400SH DFND 10,40010,4000
American Eagle OutfittersCOMMON STOCK02553E10616611,900SH DFND 11,90011,9000
American Electric PowerCOMMON STOCK0255371013688,500SH DFND 8,5008,5000
American Equity Investment Life Holding CoCOMMON STOCK02567620621610,200SH DFND 10,20010,2000
American Express CompanyCOMMON STOCK0258161093024,000SH DFND 4,0004,0000
American Public EducationCOMMON STOCK02913V1033258,600SH DFND 8,6008,6000
American Railcar IndustriesCOMMON STOCK02916P1033849,800SH DFND 9,8009,8000
American States Water CompanyCOMMON STOCK02989910130911,200SH DFND 11,20011,2000
American Tower Corp - Class ACOMMON STOCK03027X10012,602170,000SH DFND 170,000170,0000
American Woodmark CorporationCOMMON STOCK03050610941912,100SH DFND 12,10012,1000
AMETEK IncorporatedCOMMON STOCK0311001004058,800SH DFND 8,8008,8000
AMEX Consumer Discretionary Select SPDR FundCOMMON STOCK81369Y407250,4024,130,000SH DFND 4,130,0004,130,0000
Amkor Technology IncorporatedCOMMON STOCK03165210031974,400SH DFND 74,40074,4000
AMN Healthcare Services Inc.COMMON STOCK00174410156441,000SH DFND 41,00041,0000
Amphenol Corporation - CL ACOMMON STOCK0320951014726,100SH DFND 6,1006,1000
Amsurg CorpCOMMON STOCK03232P4053027,600SH DFND 7,6007,6000
Analogic CorporationCOMMON STOCK0326572074305,200SH DFND 5,2005,2000
Andersons Inc/TheCOMMON STOCK0341641036158,800SH DFND 8,8008,8000
Angie's List IncCOMMON STOCK03475410132214,300SH DFND 14,30014,3000
AOL IncCOMMON STOCK00184X10557716,700SH DFND 16,70016,7000
Apple IncCOMMON STOCK03783310061,278128,533SH DFND 128,533128,5330
AptarGroup IncorporatedCOMMON STOCK0383361033555,900SH DFND 5,9005,9000
Aqua America IncCOMMON STOCK03836W10350420,400SH DFND 20,40020,4000
Archer-Daniels-Midland CompanyCOMMON STOCK03948310243511,800SH DFND 11,80011,8000
Argo Group International HoldiCOMMON STOCKG0464B10770816,500SH DFND 16,50016,5000
Arkansas Best CorporationCOMMON STOCK04079010732912,800SH DFND 12,80012,8000
Armstrong World IndustriesCOMMON STOCK04247X1024678,500SH DFND 8,5008,5000
Arris Group IncorporatedCOMMON STOCK04270V10663637,300SH DFND 37,30037,3000
Arrow Electronics IncorporatedCOMMON STOCK0427351004379,000SH DFND 9,0009,0000
ArthroCare CorporationCOMMON STOCK0431361004,448125,000SH DFND 125,000125,0000
Ashland IncorporatedCOMMON STOCK0442091042,31225,000SH DFND 25,00025,0000
Aspen Insurance Holdings IncCOMMON STOCKG0538410577721,400SH DFND 21,40021,4000
Associated Banc-CorpCOMMON STOCK04548710547730,800SH DFND 30,80030,8000
Assurant IncCOMMON STOCK04621X10862211,500SH DFND 11,50011,5000
Assured Guaranty LtdCOMMON STOCKG0585R10657930,900SH DFND 30,90030,9000
Astec Industries IncorporatedCOMMON STOCK0462241013569,900SH DFND 9,9009,9000
Athenahealth IncCOMMON STOCK04685W10321,716200,000SHPutDFND 200,000200,0000
Atmos Energy CorporationCOMMON STOCK0495601052044,800SH DFND 4,8004,8000
Atwood Oceanics IncorporatedCOMMON STOCK05009510869912,700SH DFND 12,70012,7000
Automatic Data Processing IncorporatedCOMMON STOCK0530151038,686120,000SH DFND 120,000120,0000
Auxilium Pharmaceuticals IncCOMMON STOCK05334D10771939,500SH DFND 39,50039,5000
AVANIR Pharmaceuticals IncCOMMON STOCK05348P40117842,100SH DFND 42,10042,1000
Avery Dennison CorporationCOMMON STOCK0536111091,41932,600SH DFND 32,60032,6000
AVX CorporationCOMMON STOCK00244410728621,800SH DFND 21,80021,8000
Axiall CorpCOMMON STOCK05463D1002536,700SH DFND 6,7006,7000
Axis Capital HoldingsCOMMON STOCKG0692U10979718,400SH DFND 18,40018,4000
B/E Aerospace IncCOMMON STOCK0733021013404,600SH DFND 4,6004,6000
Babcock & Wilcox CompanyCOMMON STOCK05615F1022266,700SH DFND 6,7006,7000
Baker Hughes IncorporatedCOMMON STOCK05722410768213,900SH DFND 13,90013,9000
Bancorpsouth IncorporatedCOMMON STOCK05969210343121,600SH DFND 21,60021,6000
Bank of New York Mellon CorpCOMMON STOCK06405810062220,600SH DFND 20,60020,6000
Bankunited IncCOMMON STOCK06652K10366721,400SH DFND 21,40021,4000
Barnes & Noble IncorporatedCOMMON STOCK06777410924719,100SH DFND 19,10019,1000
Baxter International IncorporatedCOMMON STOCK07181310984712,900SH DFND 12,90012,9000
BBCN Bancorp IncCOMMON STOCK07329510753138,600SH DFND 38,60038,6000
Beam IncCOMMON STOCK07373010314,546225,000SH DFND 225,000225,0000
Becton Dickinson & CompanyCOMMON STOCK0758871095105,100SH DFND 5,1005,1000
Bed Bath & Beyond IncorporatedCOMMON STOCK0758961002012,600SH DFND 2,6002,6000
Belo Corporation - ACOMMON STOCK08055510538428,000SH DFND 28,00028,0000
Bemis Company IncorporatedCOMMON STOCK08143710547612,200SH DFND 12,20012,2000
Benchmark Electronics IncorporatedCOMMON STOCK08160H10149221,500SH DFND 21,50021,5000
Berkshire Hathaway Inc.-CL BCOMMON STOCK0846707024093,600SH DFND 3,6003,6000
Big 5 Sporting Goods CorpCOMMON STOCK08915P10160437,500SH DFND 37,50037,5000
Biogen Idec IncCOMMON STOCK09062X1033611,500SH DFND 1,5001,5000
Bio-Rad Laboratories IncorporatedCOMMON STOCK0905722075414,600SH DFND 4,6004,6000
Bio-Reference Labs IncCOMMON STOCK09057G60256518,900SH DFND 18,90018,9000
BioScrip IncCOMMON STOCK09069N10827531,300SH DFND 31,30031,3000
BJ's Restaurants IncCOMMON STOCK09180C1062127,400SH DFND 7,4007,4000
Black Box CorporationCOMMON STOCK0918261072367,700SH DFND 7,7007,7000
Blackrock IncCOMMON STOCK09247X1014061,500SH DFND 1,5001,5000
Blucora IncCOMMON STOCK0952291003,798165,287SH DFND 165,287165,2870
Body Central CorpCOMMON STOCK09689U10231651,800SH DFND 51,80051,8000
Boise IncCOMMON STOCK09746Y10534627,500SH DFND 27,50027,5000
Bon-Ton Stores IncorporatedCOMMON STOCK09776J10133231,500SH DFND 31,50031,5000
Booz Allen Hamilton HoldingCOMMON STOCK09950210679040,900SH DFND 40,90040,9000
Boston Scientific CorporationCOMMON STOCK10113710715413,100SH DFND 13,10013,1000
Bristol Myers Squibb CompanyCOMMON STOCK11012210810,413225,000SH DFND 225,000225,0000
Bristow Group IncCOMMON STOCK1103941033865,300SH DFND 5,3005,3000
Broadcom Corporation - CL ACOMMON STOCK11132010758322,400SH DFND 22,40022,4000
Brocade Communications SystemsCOMMON STOCK11162130644154,800SH DFND 54,80054,8000
Brookdale Senior Living Inc.COMMON STOCK11246310433412,700SH DFND 12,70012,7000
Brooks Automation IncCOMMON STOCK11434010217919,200SH DFND 19,20019,2000
Brown Shoe Company IncorporatedCOMMON STOCK11573610048820,800SH DFND 20,80020,8000
Bruker CorpCOMMON STOCK11679410825212,200SH DFND 12,20012,2000
Builders FirstSource IncCOMMON STOCK12008R1078113,800SH DFND 13,80013,8000
Cadence Design Systems IncorporatedCOMMON STOCK1273871081,24091,800SH DFND 91,80091,8000
Cadence Pharmaceuticals IncCOMMON STOCK12738T10019330,700SH DFND 30,70030,7000
Caesars Entertainment Corp.COMMON STOCK1276861031,968100,000SH DFND 100,000100,0000
Cai International IncCOMMON STOCK12477X10628612,300SH DFND 12,30012,3000
California Water Service GroupCOMMON STOCK13078810271335,100SH DFND 35,10035,1000
Calix Networks IncCOMMON STOCK13100M50920716,300SH DFND 16,30016,3000
Cambrex CorporationCOMMON STOCK13201110760946,100SH DFND 46,10046,1000
Cameron International CorpCOMMON STOCK13342B1052804,800SH DFND 4,8004,8000
CareFusion CorpCOMMON STOCK14170T1013,690100,000SH DFND 100,000100,0000
Carmike Cinemas Inc - NEWCOMMON STOCK14343640029613,400SH DFND 13,40013,4000
Carrizo Oil & Gas IncCOMMON STOCK14457710338410,300SH DFND 10,30010,3000
Casey's General Stores IncorporatedCOMMON STOCK1475281032573,500SH DFND 3,5003,5000
CBOE Holdings IncCOMMON STOCK12503M1081,44732,000SH DFND 32,00032,0000
CEC Entertainment IncorporatedCOMMON STOCK12513710950411,000SH DFND 11,00011,0000
Celadon Group IncorporatedCOMMON STOCK15083810028415,200SH DFND 15,20015,2000
Celgene CorporationCOMMON STOCK1510201046324,100SH DFND 4,1004,1000
Channeladvisor CorpCOMMON STOCK1591791002,63772,000SH DFND 72,00072,0000
Charles River LaboratoriesCOMMON STOCK1598641074028,700SH DFND 8,7008,7000
Chatham Lodging TrustCOMMON STOCK16208T10297354,495SH DFND 54,49554,4950
Cheesecake Factory IncorporatedCOMMON STOCK1630721012726,200SH DFND 6,2006,2000
Chevron CorporationCOMMON STOCK1667641003402,800SH DFND 2,8002,8000
Chimerix IncCOMMON STOCK16934W1061,09950,000SH DFND 50,00050,0000
Church & Dwight Company IncCOMMON STOCK1713401025409,000SH DFND 9,0009,0000
Chuy's Holdings IncCOMMON STOCK17160410156015,600SH DFND 15,60015,6000
Cigna CorpCOMMON STOCK1255091094776,200SH DFND 6,2006,2000
Cintas CorporationCOMMON STOCK17290810589117,400SH DFND 17,40017,4000
Circor International Inc.COMMON STOCK17273K1092984,800SH DFND 4,8004,8000
Cisco Systems IncorporatedCOMMON STOCK17275R10297241,500SH DFND 41,50041,5000
Cloud Peak Energy IncCOMMON STOCK18911Q10224816,900SH DFND 16,90016,9000
CME Group IncCOMMON STOCK12572Q1052,74337,132SH OTR 37,1327,10030,032
CMS Energy CorporationCOMMON STOCK12589610048218,300SH DFND 18,30018,3000
CNO Financial Group Inc - NEWCOMMON STOCK12621E10328119,500SH DFND 19,50019,5000
Cognex CorporationCOMMON STOCK19242210337512,000SH DFND 12,00012,0000
Cognizant Technology Solutions CorporatiCOMMON STOCK1924461025676,900SH DFND 6,9006,9000
Colgate-Palmolive CompanyCOMMON STOCK19416210313,343225,000SH DFND 225,000225,0000
Comcast Corporation-CL ACOMMON STOCK20030N10197921,700SH DFND 21,70021,7000
Commercial Metals CompanyCOMMON STOCK20172310335420,900SH DFND 20,90020,9000
Community Health Systems IncCOMMON STOCK2036681083698,900SH DFND 8,9008,9000
COMPASS MINERALS INTL INCCOMMON STOCK20451N1013364,400SH DFND 4,4004,4000
Computer Sciences CorporationCOMMON STOCK2053631044298,300SH DFND 8,3008,3000
ConAgra IncorporatedCOMMON STOCK2058871023,553117,100SH DFND 117,100117,1000
ConAgra IncorporatedCOMMON STOCK2058871022,12470,000SHCallDFND 70,00070,0000
Conmed CorporationCOMMON STOCK20741010137711,100SH DFND 11,10011,1000
CONNS INCCOMMON STOCK2082421072404,800SH DFND 4,8004,8000
ConocoPhillipsCOMMON STOCK20825C1042784,000SH DFND 4,0004,0000
Consolidated Graphics IncorporatedCOMMON STOCK2093411062193,900SH DFND 3,9003,9000
Continental Resources IncCOMMON STOCK2120151016335,900SH DFND 5,9005,9000
Control4 CorpCOMMON STOCK21240D1071,21270,000SH DFND 70,00070,0000
Convergys CorporationCOMMON STOCK21248510670337,500SH DFND 37,50037,5000
Con-way IncCOMMON STOCK20594410163814,800SH DFND 14,80014,8000
Cooper Companies IncCOMMON STOCK2166484025454,200SH DFND 4,2004,2000
Cooper Tire & Rubber CompanyCOMMON STOCK21683110735411,500SH DFND 11,50011,5000
Copart IncorporatedCOMMON STOCK21720410640112,600SH DFND 12,60012,6000
Corinthian Colleges IncCOMMON STOCK21886810720794,300SH DFND 94,30094,3000
Corning IncorporatedCOMMON STOCK21935010539727,200SH DFND 27,20027,2000
Covance IncorporatedCOMMON STOCK2228161005105,900SH DFND 5,9005,9000
Cracker Barrel Old Country Store IncCOMMON STOCK22410J1061,0229,900SH DFND 9,9009,9000
Crane Co.COMMON STOCK2243991053455,600SH DFND 5,6005,6000
Crown Castle Intl CorpCOMMON STOCK2282271045627,700SH DFND 7,7007,7000
CSG Systems International IncorporatedCOMMON STOCK12634910978731,400SH DFND 31,40031,4000
Cullen/Frost Bankers IncCOMMON STOCK2298991092543,600SH DFND 3,6003,6000
Curtiss-Wright CorporationCOMMON STOCK2315611012114,500SH DFND 4,5004,5000
Cvent IncCOMMON STOCK23247G10979022,470SH DFND 22,47022,4700
CVR Energy IncCOMMON STOCK12662P1082666,900SH DFND 6,9006,9000
CVS Caremark CorpCOMMON STOCK12665010059610,500SH DFND 10,50010,5000
Cyan IncCOMMON STOCK23247W1041,291128,500SH DFND 128,500128,5000
Cyberonics IncorporatedCOMMON STOCK23251P1023557,000SH DFND 7,0007,0000
Cynosure IncCOMMON STOCK2325772058,143357,000SH DFND 357,000357,0000
Cyrusone IncCOMMON STOCK23283R1001,49678,750SH DFND 78,75078,7500
Cytec Industries IncCOMMON STOCK2328201004395,400SH DFND 5,4005,4000
D R Horton IncorporatedCOMMON STOCK23331A10945123,200SH DFND 23,20023,2000
Daktronics IncCOMMON STOCK23426410927224,300SH DFND 24,30024,3000
Danaher CorporationCOMMON STOCK2358511022844,100SH DFND 4,1004,1000
Dealertrack Technologies IncCOMMON STOCK24230910247111,000SH DFND 11,00011,0000
Deere & CompanyCOMMON STOCK2441991054805,900SH DFND 5,9005,9000
Delek US Holdings IncCOMMON STOCK24664710181438,600SH DFND 38,60038,6000
Delta Air Lines IncCOMMON STOCK2473617022269,600SH DFND 9,6009,6000
Demand Media IncCOMMON STOCK24802N10921734,400SH DFND 34,40034,4000
DemandwareCOMMON STOCK24802Y1054549,800SH DFND 9,8009,8000
Denbury Resources IncorporatedCOMMON STOCK24791620860032,600SH DFND 32,60032,6000
Devon Energy Corp. NEWCOMMON STOCK25179M1033816,600SH DFND 6,6006,6000
Diamond Offshore DrillingCOMMON STOCK25271C1022494,000SH DFND 4,0004,0000
Dillards Incorporated Cl ACOMMON STOCK2540671012513,200SH DFND 3,2003,2000
Diodes IncCOMMON STOCK25454310142417,300SH DFND 17,30017,3000
Dollar General CorpCOMMON STOCK2566771052,87750,961SH DFND 50,96150,9610
Drew Industries IncCOMMON STOCK26168L20566514,600SH DFND 14,60014,6000
Dril-QuipCOMMON STOCK2620371044594,000SH DFND 4,0004,0000
DST Systems IncorporatedCOMMON STOCK23332610783011,000SH DFND 11,00011,0000
DTE Energy CompanyCOMMON STOCK2333311072644,000SH DFND 4,0004,0000
Earthlink IncorporatedCOMMON STOCK270321102766154,800SH DFND 154,800154,8000
Eastman Chemical CompanyCOMMON STOCK2774321004365,600SH DFND 5,6005,6000
East-West BankCOMMON STOCK27579R10433910,600SH DFND 10,60010,6000
Eaton Corp PLCCOMMON STOCKG291831039,293135,000SH DFND 135,000135,0000
Ebay IncorporatedCOMMON STOCK27864210311,438205,000SH DFND 205,000205,0000
Ebix IncCOMMON STOCK27871520642542,800SH DFND 42,80042,8000
Echo Global Logistics IncCOMMON STOCK27875T10140019,100SH DFND 19,10019,1000
Edwards Lifesciences Corp.COMMON STOCK28176E1083695,300SH DFND 5,3005,3000
Electronics For ImagingCOMMON STOCK28608210233610,600SH DFND 10,60010,6000
Eli Lilly & CompanyCOMMON STOCK5324571083326,600SH DFND 6,6006,6000
EMC CorporationCOMMON STOCK2686481022339,100SH DFND 9,1009,1000
EMCOR Group IncorporatedCOMMON STOCK29084Q10090823,200SH DFND 23,20023,2000
Emerald Oil IncCOMMON STOCK29101U209899125,000SH DFND 125,000125,0000
Empire District Electric CompanyCOMMON STOCK29164110831214,400SH DFND 14,40014,4000
Employers Holdings IncCOMMON STOCK29221810465422,000SH DFND 22,00022,0000
Encore Wire CorporationCOMMON STOCK2925621053168,000SH DFND 8,0008,0000
Energizer Holdings, IncCOMMON STOCK29266R1087388,100SH DFND 8,1008,1000
Enernoc IncCOMMON STOCK29276410721114,100SH DFND 14,10014,1000
Entergy CorporationCOMMON STOCK29364G1031,21319,200SH DFND 19,20019,2000
Envision Healthcare HoldingsCOMMON STOCK29413U1035,206200,000SH DFND 200,000200,0000
EOG Resources Inc.COMMON STOCK26875P1015083,000SH DFND 3,0003,0000
Epam Systems IncCOMMON STOCK29414B10482123,800SH DFND 23,80023,8000
EPL Oil & Gas IncCOMMON STOCK26883D1082677,200SH DFND 7,2007,2000
Esperion Therapeutics IncCOMMON STOCK29664W10518910,000SH DFND 10,00010,0000
Estee LauderCOMMON STOCK5184391041,60823,000SH DFND 23,00023,0000
Ethan Allen Interiors IncorporatedCOMMON STOCK29760210443815,700SH DFND 15,70015,7000
Everest Re Group, LimitedCOMMON STOCKG3223R1084363,000SH DFND 3,0003,0000
Examworks Group IncCOMMON STOCK30066A10526210,100SH DFND 10,10010,1000
Exelis IncCOMMON STOCK30162A10850932,400SH DFND 32,40032,4000
Exlservice Holdings IncCOMMON STOCK3020811042057,200SH DFND 7,2007,2000
Exone Co/theCOMMON STOCK3021041042756,451SH DFND 6,4516,4510
Expeditors International of Wash. Inc.COMMON STOCK30213010910,442237,000SH DFND 237,000237,0000
Express Scripts Holding Co(CL A)COMMON STOCK30219G10899516,100SH DFND 16,10016,1000
Express, Inc.COMMON STOCK30219E10329312,400SH DFND 12,40012,4000
Exterran Holdings IncCOMMON STOCK30225X10370325,500SH DFND 25,50025,5000
Extreme NetworksCOMMON STOCK30226D10626350,400SH DFND 50,40050,4000
Exxon Mobil CorporationCOMMON STOCK30231G1025596,500SH DFND 6,5006,5000
Fibrocell Science IncCOMMON STOCK315721209438100,000SH DFND 100,000100,0000
Fidelity National Financial Inc - ACOMMON STOCK31620R10542816,100SH DFND 16,10016,1000
Finisar CorporationCOMMON STOCK31787A50731213,800SH DFND 13,80013,8000
First Bancorp Puerto RicoCOMMON STOCK31867270613123,100SH DFND 23,10023,1000
First Finl Bankshares IncCOMMON STOCK32020R1092123,600SH DFND 3,6003,6000
First Solar IncCOMMON STOCK3364331072295,700SH DFND 5,7005,7000
Firstmerit CorporationCOMMON STOCK33791510224511,300SH DFND 11,30011,3000
Fleetcor Technologies IncCOMMON STOCK3390411052202,000SH DFND 2,0002,0000
Fleetmatics Group PlcCOMMON STOCKG355691052,05954,837SH DFND 54,83754,8370
FLIR Systems IncorporatedCOMMON STOCK30244510149015,600SH DFND 15,60015,6000
Flowers Foods IncCOMMON STOCK34349810189041,500SH DFND 41,50041,5000
Foot Locker Inc.COMMON STOCK3448491042687,900SH DFND 7,9007,9000
Ford Motor CoCOMMON STOCK34537086053031,400SH DFND 31,40031,4000
FormFactor IncCOMMON STOCK34637510817425,400SH DFND 25,40025,4000
Fortune Brands Home & Security Inc.COMMON STOCK34964C1062876,900SH DFND 6,9006,9000
Forum Energy Technologies InCOMMON STOCK34984V10028910,700SH DFND 10,70010,7000
Francescas Holdings CorpCOMMON STOCK35179310440221,600SH DFND 21,60021,6000
Franklin Resources IncorporatedCOMMON STOCK3546131013346,600SH DFND 6,6006,6000
Freeport-McMoran CopperCOMMON STOCK35671D8571,65450,000SH DFND 50,00050,0000
Freightcar America IncCOMMON STOCK35702310027313,200SH DFND 13,20013,2000
Fresh Del Monte Produce IncorporatedCOMMON STOCKG3673810577226,000SH DFND 26,00026,0000
Fresh Market Inc/theCOMMON STOCK35804H1068,672183,300SH DFND 183,300183,3000
Frontier Communications CorpCOMMON STOCK35906A10814233,900SH DFND 33,90033,9000
Fuller H B CoCOMMON STOCK35969410667314,900SH DFND 14,90014,9000
Fulton Finl Corp PACOMMON STOCK36027110059050,500SH DFND 50,50050,5000
FXCM, Inc. - ACOMMON STOCK30269310622111,200SH DFND 11,20011,2000
Gallagher Arthur J & CoCOMMON STOCK3635761094069,300SH DFND 9,3009,3000
GameStop CorporationCOMMON STOCK36467W1092384,800SH DFND 4,8004,8000
Gap IncCOMMON STOCK36476010844711,100SH DFND 11,10011,1000
GARMIN LTD.COMMON STOCKH2906T1092535,600SH DFND 5,6005,6000
GATX CorporationCOMMON STOCK36144810373215,400SH DFND 15,40015,4000
Generac Holdings IncCOMMON STOCK36873610446510,900SH DFND 10,90010,9000
General Electric CompanyCOMMON STOCK36960410328912,100SH DFND 12,10012,1000
General Mills IncorporatedCOMMON STOCK37033410466113,800SH DFND 13,80013,8000
General Motors CoCOMMON STOCK37045V1006,309175,400SH DFND 175,400175,4000
Genesee & Wyoming Inc.COMMON STOCK3715591059,20499,000SH DFND 99,00099,0000
Genpact LtdCOMMON STOCKG3922B10737920,100SH DFND 20,10020,1000
Gentex CorpCOMMON STOCK37190110943517,000SH DFND 17,00017,0000
Gentherm IncCOMMON STOCK37253A10341621,800SH DFND 21,80021,8000
Geo Group Inc/TheCOMMON STOCK36159R10333910,200SH DFND 10,20010,2000
Gigamon IncCOMMON STOCK37518B1021,93550,089SH DFND 50,08950,0890
Glacier Bancorp IncCOMMON STOCK37637Q10565226,400SH DFND 26,40026,4000
Glatfelter CoCOMMON STOCK37731610449518,300SH DFND 18,30018,3000
Global Cash Access IncCOMMON STOCK37896710314718,800SH DFND 18,80018,8000
Globus Medical Inc - ACOMMON STOCK37957720823213,300SH DFND 13,30013,3000
Glu Mobile IncCOMMON STOCK3798901064215,000SH DFND 15,00015,0000
Gold Resource CorpCOMMON STOCK38068T105736111,300SH DFND 111,300111,3000
Goldman Sachs IncCOMMON STOCK38141G1042061,300SH DFND 1,3001,3000
Google IncCOMMON STOCK38259P508526600SH DFND 6006000
Graphic Packaging Holding CoCOMMON STOCK38868910126631,100SH DFND 31,10031,1000
Green Mountain Coffee RoastersCOMMON STOCK3931221063314,400SH DFND 4,4004,4000
Green Plains Renewable EnergCOMMON STOCK39322210486053,600SH DFND 53,60053,6000
Greif Inc.- Class ACOMMON STOCK39762410749510,100SH DFND 10,10010,1000
Guess?, Inc.COMMON STOCK4016171052819,400SH DFND 9,4009,4000
Haemonetics CorporationCOMMON STOCK4050241003478,700SH DFND 8,7008,7000
Halliburton CompanyCOMMON STOCK40621610150110,400SH DFND 10,40010,4000
Hancock Holding CompanyCOMMON STOCK4101201092297,300SH DFND 7,3007,3000
Hanger IncCOMMON STOCK41043F20860417,900SH DFND 17,90017,9000
Hanover Insurance Group Inc/ThCOMMON STOCK41086710563111,400SH DFND 11,40011,4000
Harman International Industries Inc.COMMON STOCK4130861093845,800SH DFND 5,8005,8000
Harmonic IncorporatedCOMMON STOCK4131601028410,900SH DFND 10,90010,9000
Hasbro IncorporatedCOMMON STOCK4180561072785,900SH DFND 5,9005,9000
Haverty Furniture Companies IncorporatedCOMMON STOCK41959610143417,700SH DFND 17,70017,7000
Hawaiian Electric Industries Inc.COMMON STOCK4198701002238,900SH DFND 8,9008,9000
HCA Holdings, Inc.COMMON STOCK40412C10116,459385,000SH DFND 385,000385,0000
Health Net Inc.COMMON STOCK42222G10839912,600SH DFND 12,60012,6000
Heartland Express Inc.COMMON STOCK42234710424317,100SH DFND 17,10017,1000
Henry Schein IncorporatedCOMMON STOCK8064071027787,500SH DFND 7,5007,5000
Hershey Co/TheCOMMON STOCK42786610814,171153,200SH DFND 153,200153,2000
Hertz Global Holdings IncCOMMON STOCK42805T10533215,000SH DFND 15,00015,0000
Hhgregg IncCOMMON STOCK42833L10832117,900SH DFND 17,90017,9000
Higher One Holdings IncCOMMON STOCK42983D10410313,400SH DFND 13,40013,4000
HNI CorpCOMMON STOCK4042511003559,800SH DFND 9,8009,8000
Hologic Inc.COMMON STOCK4364401015,163250,000SH DFND 250,000250,0000
Home Depot Inc.COMMON STOCK4370761022,32130,600SH DFND 30,60030,6000
Home Properties IncCOMMON STOCK43730610360610,500SH DFND 10,50010,5000
Homeaway IncCOMMON STOCK43739Q10050618,100SH DFND 18,10018,1000
Honeywell International Inc. (NEW)COMMON STOCK4385161066,75181,300SH DFND 81,30081,3000
Horace Mann Educators Corp. NEWCOMMON STOCK44032710470424,800SH DFND 24,80024,8000
HSN Inc (NASDAQ)COMMON STOCK4043031093326,200SH DFND 6,2006,2000
Hubbell Incorporated--Class BCOMMON STOCK4435102015,51152,619SH DFND 52,61952,6190
Huntington Bancshares IncorporatedCOMMON STOCK44615010415218,400SH DFND 18,40018,4000
Huntington Ingalls IndustCOMMON STOCK44641310698414,600SH DFND 14,60014,6000
Huntsman CorpCOMMON STOCK44701110754626,500SH DFND 26,50026,5000
Huron Consulting Group IncCOMMON STOCK4474621022104,000SH DFND 4,0004,0000
IBM Corporation (Intl Business Machines)COMMON STOCK4592001012041,100SH DFND 1,1001,1000
ICU Medical IncorporatedCOMMON STOCK44930G1076119,000SH DFND 9,0009,0000
Idacorp IncorporatedCOMMON STOCK45110710664413,300SH DFND 13,30013,3000
IHS Inc. - Class ACOMMON STOCK4517341078,27872,500SH DFND 72,50072,5000
IlluminaCOMMON STOCK4523271092513,100SH DFND 3,1003,1000
Independent Bank Corporation MichiganCOMMON STOCK45383860920020,000SH DFND 20,00020,0000
Infinera CorpCOMMON STOCK45667G10338534,000SH DFND 34,00034,0000
Infoblox IncCOMMON STOCK45672H10468616,400SH DFND 16,40016,4000
Infosys Ltd - Sp ADRCOMMON STOCK45678810814,433300,000SH DFND 300,000300,0000
Ingersoll-Rand PlcCOMMON STOCKG477911019,871152,000SH DFND 152,000152,0000
Ingram MicroCOMMON STOCK45715310474232,200SH DFND 32,20032,2000
Ingredion IncCOMMON STOCK45718710292013,900SH DFND 13,90013,9000
Innerworkings IncCOMMON STOCK45773Y10522823,200SH DFND 23,20023,2000
Integra LifeSciences HoldingsCOMMON STOCK45798520840710,100SH DFND 10,10010,1000
Integrated Device Technology Inc.COMMON STOCK45811810610210,800SH DFND 10,80010,8000
Integrys Energy Group IncCOMMON STOCK45822P1051,09519,600SH DFND 19,60019,6000
Inteliquent IncCOMMON STOCK45825N10712112,500SH DFND 12,50012,5000
Inter Parfums IncorporatedCOMMON STOCK45833410980126,700SH DFND 26,70026,7000
Interactive Brokers Gro-cl ACOMMON STOCK45841N10725013,300SH DFND 13,30013,3000
Intercontinental Exchange IncCOMMON STOCK45865V10013,60775,000SH DFND 75,00075,0000
InterDigital IncCOMMON STOCK45867G1012998,000SH DFND 8,0008,0000
International Flavors and FragrancesCOMMON STOCK4595061014445,400SH DFND 5,4005,4000
International Speedway CorporationCOMMON STOCK46033520151916,100SH DFND 16,10016,1000
Intralinks Holdings IncCOMMON STOCK46118H10412013,600SH DFND 13,60013,6000
Intrepid Potash IncCOMMON STOCK46121Y10217411,100SH DFND 11,10011,1000
Intuitive Surgical IncCOMMON STOCK46120E6023761,000SH DFND 1,0001,0000
Invensense IncCOMMON STOCK46123D20541423,500SH DFND 23,50023,5000
Invesco LtdCOMMON STOCKG491BT10836711,500SH DFND 11,50011,5000
ION Geophysical CorpCOMMON STOCK46204410826851,600SH DFND 51,60051,6000
IPG Photonics CorpCOMMON STOCK44980X10959210,500SH DFND 10,50010,5000
Iridium Communications IncCOMMON STOCK46269C10259486,300SH DFND 86,30086,3000
iShares iBoxx High Yield Corporate Bond ETFCOMMON STOCK46428851334,986382,029SH DFND 382,029382,0290
iShares MSCI Emerging Markets - ETFCOMMON STOCK464287234114,5362,810,350SH DFND 2,810,3502,810,3500
iShares MSCI Emerging Markets - ETFCOMMON STOCK464287234442,19310,850,000SHCallDFND 10,850,00010,850,0000
iShares Russell 2000 ETFCOMMON STOCK46428765563,966600,000SHPutDFND 600,000600,0000
ITT CorpCOMMON STOCK45091120115,782439,000SH DFND 439,000439,0000
ITT Educational Services IncorporatedCOMMON STOCK45068B10915,691506,162SH DFND 506,162506,1620
j2 Global IncCOMMON STOCK48123V1022775,600SH DFND 5,6005,6000
Jabil Circuit IncorporatedCOMMON STOCK46631310325811,900SH DFND 11,90011,9000
Jack Henry & Associates IncCOMMON STOCK42628110152210,100SH DFND 10,10010,1000
Jack in the Box IncorporatedCOMMON STOCK4663671093087,700SH DFND 7,7007,7000
Jacobs Engineering Group IncorporatedCOMMON STOCK46981410771012,200SH DFND 12,20012,2000
Jakks Pacific IncCOMMON STOCK47012E10613129,100SH DFND 29,10029,1000
Jamba IncCOMMON STOCK47023A30920915,600SH DFND 15,60015,6000
Janus Capital Group IncCOMMON STOCK47102X10526731,400SH DFND 31,40031,4000
Jarden Corp.COMMON STOCK47110910855211,400SH DFND 11,40011,4000
Jazz Pharmaceuticals PlcCOMMON STOCKG508711055065,500SH DFND 5,5005,5000
JC Penney Company Inc (HLDG Co)COMMON STOCK70816010633538,052SH DFND 38,05238,0520
Jetblue Airways CorpCOMMON STOCK47714310144666,900SH DFND 66,90066,9000
John Bean TechnologiesCOMMON STOCK47783910436314,600SH DFND 14,60014,6000
Johnson & JohnsonCOMMON STOCK4781601046157,100SH DFND 7,1007,1000
Jones Lang LaSalle, Inc.COMMON STOCK48020Q1072182,500SH DFND 2,5002,5000
Juniper Networks IncorporatedCOMMON STOCK48203R10434817,500SH DFND 17,50017,5000
K12 IncCOMMON STOCK48273U10275324,400SH DFND 24,40024,4000
Kaiser Aluminum CorpCOMMON STOCK48300770472710,200SH DFND 10,20010,2000
Kalobios Pharmaceuticals IncCOMMON STOCK48344T100565125,000SH DFND 125,000125,0000
KapStone Paper and Packaging CCOMMON STOCK48562P10383919,600SH DFND 19,60019,6000
Kar Auction Services IncCOMMON STOCK48238T10944015,600SH DFND 15,60015,6000
Kellogg CompanyCOMMON STOCK4878361082824,800SH DFND 4,8004,8000
Kemper CorpCOMMON STOCK48840110040312,000SH DFND 12,00012,0000
KeyCorp - NEWCOMMON STOCK49326710832028,100SH DFND 28,10028,1000
Kinder Morgan IncCOMMON STOCK49456B1012637,400SH DFND 7,4007,4000
KINDRED HEALTHCARE INCCOMMON STOCK49458010334625,800SH DFND 25,80025,8000
Knight Transportation IncCOMMON STOCK49906410377847,100SH DFND 47,10047,1000
Knoll IncCOMMON STOCK49890420022213,100SH DFND 13,10013,1000
Kodiak Oil & Gas CorpCOMMON STOCK50015Q10022418,600SH DFND 18,60018,6000
Kohl's CorporationCOMMON STOCK5002551043627,000SH DFND 7,0007,0000
Korn/Ferry InternationalCOMMON STOCK50064320062329,100SH DFND 29,10029,1000
Kroger CompanyCOMMON STOCK50104410162115,400SH DFND 15,40015,4000
L-3 Communications Holdings IncorporatedCOMMON STOCK5024241042933,100SH DFND 3,1003,1000
Landec CorpCOMMON STOCK51476610464152,500SH DFND 52,50052,5000
Lattice Semiconductor CorporationCOMMON STOCK5184151048418,900SH DFND 18,90018,9000
Leapfrog Enterprises IncCOMMON STOCK52186N10644347,000SH DFND 47,00047,0000
Lear CorpCOMMON STOCK5218652046,06984,800SH DFND 84,80084,8000
Leidos Holdings IncCOMMON STOCK5253271022736,000SH DFND 6,0006,0000
Lennar CorporationCOMMON STOCK5260571042767,800SH DFND 7,8007,8000
Lennox International IncCOMMON STOCK52610710711,440152,000SH DFND 152,000152,0000
Leucadia National CorporationCOMMON STOCK52728810431311,500SH DFND 11,50011,5000
Lexmark International Inc.COMMON STOCK52977110779224,000SH DFND 24,00024,0000
Life Time Fitness IncCOMMON STOCK53217R2073717,200SH DFND 7,2007,2000
Lifepoint Hospitals IncCOMMON STOCK53219L10958312,500SH DFND 12,50012,5000
Ligand Pharmaceuticals IncorporatedCOMMON STOCK53220K50450611,700SH DFND 11,70011,7000
Lincoln National CorporationCOMMON STOCK53418710955013,100SH DFND 13,10013,1000
LinkedIn Corp - ACOMMON STOCK53578A10839,517160,600SH DFND 160,600160,6000
Littlefuse IncorporatedCOMMON STOCK5370081045877,500SH DFND 7,5007,5000
Live Nation Entertainment IncCOMMON STOCK53803410951427,700SH DFND 27,70027,7000
Lockheed Martin CorpCOMMON STOCK5398301095364,200SH DFND 4,2004,2000
Lorillard IncCOMMON STOCK5441471013367,500SH DFND 7,5007,5000
Lowe's Companies IncorporatedCOMMON STOCK5486611074198,800SH DFND 8,8008,8000
LPL Financial Holdings IncCOMMON STOCK50212V1001,00826,300SH DFND 26,30026,3000
LSB Industries IncorporatedCOMMON STOCK5021601042056,100SH DFND 6,1006,1000
Luminex CorporationCOMMON STOCK55027E10254227,100SH DFND 27,10027,1000
Luxoft Holding IncCOMMON STOCKG572791041,32350,000SH DFND 50,00050,0000
Lyondellbasell Indu-cl ACOMMON STOCKN5374510086,1181,176,000SH DFND 1,176,0001,176,0000
M&T Bank CorporationCOMMON STOCK55261F1042131,900SH DFND 1,9001,9000
M.D.C Holdings IncorporatedCOMMON STOCK55267610846215,400SH DFND 15,40015,4000
M/I Homes IncCOMMON STOCK55305B1012049,900SH DFND 9,9009,9000
Macy's IncCOMMON STOCK55616P1042866,600SH DFND 6,6006,6000
Magellan Health Services Inc. - NEWCOMMON STOCK5590792073906,500SH DFND 6,5006,5000
Maiden Holdings LtdCOMMON STOCKG5753U11246539,400SH DFND 39,40039,4000
MantechCOMMON STOCK56456310448316,800SH DFND 16,80016,8000
Marathon Petroleum CorpCOMMON STOCK56585A1023225,000SH DFND 5,0005,0000
Marin Software IncCOMMON STOCK56804T10631425,000SH DFND 25,00025,0000
Marketo IncCOMMON STOCK57063L10795630,000SH DFND 30,00030,0000
Marriott Vacations Worldwide CorporationCOMMON STOCK57164Y10758513,300SH DFND 13,30013,3000
Marvell Technology GroupCOMMON STOCKG5876H10568959,900SH DFND 59,90059,9000
Masco CorporationCOMMON STOCK5745991068,565402,500SH DFND 402,500402,5000
MasTec IncorporatedCOMMON STOCK57632310949416,300SH DFND 16,30016,3000
Matador Resources CoCOMMON STOCK57648520546928,700SH DFND 28,70028,7000
Matson IncCOMMON STOCK57686G10593935,800SH DFND 35,80035,8000
Mattel IncCOMMON STOCK5770811023989,500SH DFND 9,5009,5000
McKesson CorporationCOMMON STOCK58155Q10325,660200,000SH DFND 200,000200,0000
MDU Resources Group IncorporatedCOMMON STOCK55269010964122,900SH DFND 22,90022,9000
MeadWestvaco CorporationCOMMON STOCK58333410719,190500,000SH DFND 500,000500,0000
Medicines CoCOMMON STOCK5846881052457,300SH DFND 7,3007,3000
Medtronic IncCOMMON STOCK58505510674614,000SH DFND 14,00014,0000
Mens Wearhouse IncCOMMON STOCK58711810038111,200SH DFND 11,20011,2000
Mentor Graphics CorpCOMMON STOCK58720010662926,900SH DFND 26,90026,9000
Meridian Bioscience IncCOMMON STOCK58958410129812,600SH DFND 12,60012,6000
Meritage Homes CorpCOMMON STOCK59001A10252812,300SH DFND 12,30012,3000
MGE Energy Inc.COMMON STOCK55277P1044758,700SH DFND 8,7008,7000
Michael Kors Holdings LtdCOMMON STOCKG607541017209,664SH DFND 9,6649,6640
Micrel, Inc.COMMON STOCK59479310130833,800SH DFND 33,80033,8000
Microchip Technology Inc.COMMON STOCK5950171043639,000SH DFND 9,0009,0000
Micron Technology IncorporatedCOMMON STOCK59511210353830,800SH DFND 30,80030,8000
Microsoft CorporationCOMMON STOCK59491810456216,900SH DFND 16,90016,9000
Mohawk IndustriesCOMMON STOCK6081901046254,800SH DFND 4,8004,8000
Molina Healthcare IncCOMMON STOCK60855R10056215,800SH DFND 15,80015,8000
Momenta Pharmaceuticals IncCOMMON STOCK60877T10015310,600SH DFND 10,60010,6000
MONSANTO CO NEWCOMMON STOCK61166W1013032,900SH DFND 2,9002,9000
Montpelier Re Holdings LtdCOMMON STOCKG6218510633913,000SH DFND 13,00013,0000
MTS Systems CorporationCOMMON STOCK5537771032323,600SH DFND 3,6003,6000
Multimedia Games Holding Company IncCOMMON STOCK6254531052457,100SH DFND 7,1007,1000
Murphy Oil CorporationCOMMON STOCK6267171024527,500SH DFND 7,5007,5000
Myers Industries Inc.COMMON STOCK62846410936418,100SH DFND 18,10018,1000
Mylan Inc.COMMON STOCK62853010716,478431,700SH DFND 431,700431,7000
Myriad Genetics, Inc.COMMON STOCK62855J10497141,300SH DFND 41,30041,3000
Nanosphere IncCOMMON STOCK63009F1053818,800SH DFND 18,80018,8000
National Penn Bancshares IncorporatedCOMMON STOCK63713810824624,500SH DFND 24,50024,5000
Nationstar Mortgage HoldingsCOMMON STOCK63861C1092083,700SH DFND 3,7003,7000
Natus Medical IncCOMMON STOCK63905010336926,000SH DFND 26,00026,0000
Nelnet Inc - CL ACOMMON STOCK64031N10891923,900SH DFND 23,90023,9000
NetApp IncCOMMON STOCK64110D1043548,300SH DFND 8,3008,3000
Netgear IncCOMMON STOCK64111Q10441713,500SH DFND 13,50013,5000
Netscout Systems IncCOMMON STOCK64115T1042439,500SH DFND 9,5009,5000
Neurocrine Biosciences IncorporatedCOMMON STOCK64125C10935030,900SH DFND 30,90030,9000
NeuStar Inc - Class ACOMMON STOCK64126X2011,44029,100SH DFND 29,10029,1000
New Jersey Res CorpCOMMON STOCK64602510664814,700SH DFND 14,70014,7000
New York Times Company - CL ACOMMON STOCK65011110731925,400SH DFND 25,40025,4000
Newmont Mining Corp Hldg CoCOMMON STOCK65163910644415,800SH DFND 15,80015,8000
Newpark Resources Inc.COMMON STOCK65171850422217,500SH DFND 17,50017,5000
Nielsen Holdings NVCOMMON STOCKN6321810646312,700SH DFND 12,70012,7000
NIKE IncCOMMON STOCK6541061034005,500SH DFND 5,5005,5000
Noranda Aluminium HoldingCOMMON STOCK65542W1076325,600SH DFND 25,60025,6000
Nordstrom IncCOMMON STOCK6556641002925,200SH DFND 5,2005,2000
Northern Oil And Gas IncCOMMON STOCK66553110915410,700SH DFND 10,70010,7000
Northern Trust CorporationCOMMON STOCK6658591043436,300SH DFND 6,3006,3000
Northrop Grumman CorpCOMMON STOCK6668071024484,700SH DFND 4,7004,7000
Northwest Bancshares IncCOMMON STOCK66734010319815,000SH DFND 15,00015,0000
NRG EnergyCOMMON STOCK62937750828710,500SH DFND 10,50010,5000
Ntelos Holdings CorpCOMMON STOCK67020Q30540421,500SH DFND 21,50021,5000
Nucor CorporationCOMMON STOCK6703461052354,800SH DFND 4,8004,8000
NuVasive IncCOMMON STOCK67070410545618,600SH DFND 18,60018,6000
Nuverra Environmental SolutionCOMMON STOCK67091K1045624,400SH DFND 24,40024,4000
Nxp Semiconductors NvCOMMON STOCKN6596X10937210,000SH DFND 10,00010,0000
Oasis Petroleum IncCOMMON STOCK67421510897819,900SH DFND 19,90019,9000
OfficeMax IncCOMMON STOCK67622P10131624,700SH DFND 24,70024,7000
OFG BancorpCOMMON STOCK67103X10270643,600SH DFND 43,60043,6000
Old Natl BancorpCOMMON STOCK68003310766546,800SH DFND 46,80046,8000
Olin CorpCOMMON STOCK6806652051,29055,900SH DFND 55,90055,9000
Omnivision TechnologiesCOMMON STOCK68212810336123,600SH DFND 23,60023,6000
Oplink CommunicationsCOMMON STOCK68375Q40339921,200SH DFND 21,20021,2000
Optimer Pharmaceuticals IncCOMMON STOCK68401H10413811,000SH DFND 11,00011,0000
Oracle CorporationCOMMON STOCK68389X10575322,700SH DFND 22,70022,7000
Orbital Sciences CorporationCOMMON STOCK68556410627713,100SH DFND 13,10013,1000
Oshkosh Corp(CLASS B)COMMON STOCK6882392012064,200SH DFND 4,2004,2000
Otter Tail Pwr CoCOMMON STOCK68964810350218,200SH DFND 18,20018,2000
Outerwall IncCOMMON STOCK69007010776515,300SH DFND 15,30015,3000
Owens & Minor IncCOMMON STOCK69073210234910,100SH DFND 10,10010,1000
PACCAR Inc.COMMON STOCK6937181084407,900SH DFND 7,9007,9000
Pacific Gas & Elec CoCOMMON STOCK69331C1081,12527,500SH DFND 27,50027,5000
Packaging Corp Of AmericaCOMMON STOCK69515610990815,900SH DFND 15,90015,9000
PacWest BancorpCOMMON STOCK69526310340111,700SH DFND 11,70011,7000
Palo Alto Networks IncCOMMON STOCK6974351051,07623,492SH DFND 23,49223,4920
Pandora Media IncCOMMON STOCK69835410711,990477,137SH DFND 477,137477,1370
Panera Bread Co.-Cl. ACOMMON STOCK69840W1083172,000SH DFND 2,0002,0000
Parexel International Corp.COMMON STOCK6994621074629,200SH DFND 9,2009,2000
Parker Drilling CompanyCOMMON STOCK70108110139569,300SH DFND 69,30069,3000
PartnerRe Ltd.COMMON STOCKG6852T1056777,400SH DFND 7,4007,4000
Patterson Cos IncCOMMON STOCK70339510378019,400SH DFND 19,40019,4000
PDL BioPharma IncCOMMON STOCK69329Y10423028,900SH DFND 28,90028,9000
People's United Financial Inc(Bridgeport, CT)COMMON STOCK71270410544631,000SH DFND 31,00031,0000
Pepco Holdings Inc.COMMON STOCK71329110251728,000SH DFND 28,00028,0000
Perrigo CompanyCOMMON STOCK7142901034573,700SH DFND 3,7003,7000
Perry Ellis International IncCOMMON STOCK28885310428315,000SH DFND 15,00015,0000
PetMed Express IncCOMMON STOCK71638210632219,800SH DFND 19,80019,8000
PetroQuest Energy, Inc.COMMON STOCK71674810816942,100SH DFND 42,10042,1000
Pfizer IncorporatedCOMMON STOCK71708110327,289950,000SH DFND 950,000950,0000
Pharmerica CorpCOMMON STOCK71714F10453340,200SH DFND 40,20040,2000
Photomedex Inc.COMMON STOCK71935830116110,100SH DFND 10,10010,1000
Pike CorpCOMMON STOCK72128310956850,200SH DFND 50,20050,2000
Pilgrim's Pride CorpCOMMON STOCK72147K10836621,800SH DFND 21,80021,8000
Pinnacle Foods IncCOMMON STOCK72348P1049,265350,000SH DFND 350,000350,0000
Platinum Underwriters HoldingsCOMMON STOCKG7127P1003345,600SH DFND 5,6005,6000
Plexus Corp.COMMON STOCK7291321003058,200SH DFND 8,2008,2000
Popular IncorporatedCOMMON STOCK73317470059622,700SH DFND 22,70022,7000
Portland General Electric CoCOMMON STOCK73650884764923,000SH DFND 23,00023,0000
Post Holdings IncCOMMON STOCK7374461042756,800SH DFND 6,8006,8000
PPG Industries IncorporatedCOMMON STOCK6935061075,01230,000SH DFND 30,00030,0000
PPL CorporationCOMMON STOCK69351T10651016,800SH DFND 16,80016,8000
Praxair IncCOMMON STOCK74005P1047456,200SH DFND 6,2006,2000
Premiere Global Services IncCOMMON STOCK74058510426326,400SH DFND 26,40026,4000
Prestige Brand Holdings IncCOMMON STOCK74112D10159919,900SH DFND 19,90019,9000
Price (T. Rowe) Associates, Inc.COMMON STOCK74144T1084536,300SH DFND 6,3006,3000
PrivateBancorp IncCOMMON STOCK74296210357126,700SH DFND 26,70026,7000
ProAssurance CorporationCOMMON STOCK74267C10693320,700SH DFND 20,70020,7000
Progenics Pharmaceuticals Inc.COMMON STOCK74318710611,7592,342,388SH OTR 2,342,3882,054,575287,813
Progress Software CorporationCOMMON STOCK74331210037714,600SH DFND 14,60014,6000
Provident Financial ServicesCOMMON STOCK74386T10540224,800SH DFND 24,80024,8000
Prudential Financial, Inc.COMMON STOCK7443201022343,000SH OTR 3,0003,0000
PTFO RECOVRY ASSOCS INCCOMMON STOCK73640Q1055098,500SH DFND 8,5008,5000
Public Service Enterprise GPCOMMON STOCK74457310653016,100SH DFND 16,10016,1000
Qep Resources IncCOMMON STOCK74733V10045116,300SH DFND 16,30016,3000
Quad Graphics IncCOMMON STOCK74730110936412,000SH DFND 12,00012,0000
Qualcomm IncorporatedCOMMON STOCK7475251032563,800SH DFND 3,8003,8000
Quality Distribution IncCOMMON STOCK74756M10216417,800SH DFND 17,80017,8000
Quanta Services IncorporatedCOMMON STOCK74762E1025,186188,500SH DFND 188,500188,5000
Quanta Services IncorporatedCOMMON STOCK74762E1022,751100,000SHCallDFND 100,000100,0000
Quest Diagnostics IncorporatedCOMMON STOCK74834L1002223,600SH DFND 3,6003,6000
Questcor Pharmaceuticals Inc.COMMON STOCK74835Y1013546,100SH DFND 6,1006,1000
Rally Software Development CCOMMON STOCK7511981024,879162,859SH DFND 162,859162,8590
Ralph Lauren CorpCOMMON STOCK7512121014282,600SH DFND 2,6002,6000
Raytheon CompanyCOMMON STOCK7551115076097,900SH DFND 7,9007,9000
Reald IncCOMMON STOCK75604L10521630,800SH DFND 30,80030,8000
Realogy Holdings CorpCOMMON STOCK75605Y1066,034140,255SH DFND 140,255140,2550
Receptos IncCOMMON STOCK7562071062,20785,000SH DFND 85,00085,0000
Red Hat Inc.COMMON STOCK7565771023657,900SH DFND 7,9007,9000
Regal Beloit CorporationCOMMON STOCK7587501033465,100SH DFND 5,1005,1000
Regions Financial CorporationCOMMON STOCK7591EP10054458,800SH DFND 58,80058,8000
Regis CorporationCOMMON STOCK75893210745430,900SH DFND 30,90030,9000
Reinsurance Group Of AmericaCOMMON STOCK7593516045438,100SH DFND 8,1008,1000
Reliance Steel & Aluminum CompanyCOMMON STOCK7595091022643,600SH DFND 3,6003,6000
Renewable Energy Group IncCOMMON STOCK75972A30178551,800SH DFND 51,80051,8000
Republic Airways Holdings IncCOMMON STOCK76027610547339,800SH DFND 39,80039,8000
Resolute Energy CorpCOMMON STOCK76116A10863576,000SH DFND 76,00076,0000
Resolute Forest ProductsCOMMON STOCK76117W10976958,200SH DFND 58,20058,2000
Restoration Hardware HoldingCOMMON STOCK7612831002,58840,850SH DFND 40,85040,8500
Rex Energy CorpCOMMON STOCK76156510025911,600SH DFND 11,60011,6000
Rite Aid IncorporatedCOMMON STOCK7677541047,7141,620,500SH DFND 1,620,5001,620,5000
Roadrunner Transportation SyCOMMON STOCK76973Q10584229,800SH DFND 29,80029,8000
Rock-Tenn Company - CL ACOMMON STOCK7727392071,07310,600SH DFND 10,60010,6000
Rovi CorpCOMMON STOCK77937610229315,300SH DFND 15,30015,3000
RPX CorporationCOMMON STOCK74972G10384047,900SH DFND 47,90047,9000
Rue21 IncCOMMON STOCK7812951003799,400SH DFND 9,4009,4000
Ryder Systems IncorporatedCOMMON STOCK78354910869811,700SH DFND 11,70011,7000
Ryland Group IncorporatedCOMMON STOCK7837641033207,900SH DFND 7,9007,9000
Safeway IncCOMMON STOCK7865142084,799150,000SH DFND 150,000150,0000
Salix Pharmaceuticals LtdCOMMON STOCK7954351065628,400SH DFND 8,4008,4000
Sanchez Energy CorpCOMMON STOCK79970Y10529811,300SH DFND 11,30011,3000
Sanderson Farms IncorporatedCOMMON STOCK8000131041,22718,800SH DFND 18,80018,8000
Sandisk CorporationCOMMON STOCK80004C10159510,000SH DFND 10,00010,0000
Sandridge Energy IncCOMMON STOCK80007P30725042,700SH DFND 42,70042,7000
SANGAMO BIOSCIENCES INCCOMMON STOCK80067710614313,600SH DFND 13,60013,6000
Sanmina CorpCOMMON STOCK80105610250028,600SH DFND 28,60028,6000
Santarus IncCOMMON STOCK80281730452023,000SH DFND 23,00023,0000
Sapient CorpCOMMON STOCK80306210818411,800SH DFND 11,80011,8000
Scana CorporationCOMMON STOCK80589M10254311,800SH DFND 11,80011,8000
ScanSource IncCOMMON STOCK8060371072356,800SH DFND 6,8006,8000
Schlumberger LimitedCOMMON STOCK8068571083273,700SH DFND 3,7003,7000
Schulman (A.) IncorporatedCOMMON STOCK8081941042508,500SH DFND 8,5008,5000
Schwab (Charles) CorporationCOMMON STOCK80851310567632,000SH DFND 32,00032,0000
SciClone Pharmaceuticals IncorporatedCOMMON STOCK80862K10414228,100SH DFND 28,10028,1000
Scripps Networks InteractiveCOMMON STOCK8110651017199,200SH DFND 9,2009,2000
Seadrill LtdCOMMON STOCKG7945E1053437,600SH DFND 7,6007,6000
SEI Investments CompanyCOMMON STOCK78411710333710,900SH DFND 10,90010,9000
Select Comfort CorporationCOMMON STOCK81616X10385235,000SH DFND 35,00035,0000
Select Medical Holdings CorpCOMMON STOCK81619Q10564579,900SH DFND 79,90079,9000
Sensata Technologies HoldingCOMMON STOCKN7902X1066,544171,000SH DFND 171,000171,0000
Sensient Technologies CorporationCOMMON STOCK81725T1002064,300SH DFND 4,3004,3000
Servicenow IncCOMMON STOCK81762P1022134,100SH DFND 4,1004,1000
Ship Finance International LtdCOMMON STOCKG8107510637024,200SH DFND 24,20024,2000
Shutterstock IncCOMMON STOCK82569010072710,000SH DFND 10,00010,0000
Silgan Holdings IncorporatedCOMMON STOCK8270481093066,500SH DFND 6,5006,5000
Silicon Graphics InternationalCOMMON STOCK82706L10850931,300SH DFND 31,30031,3000
Sinclair Broadcast Group - ACOMMON STOCK82922610940612,100SH DFND 12,10012,1000
Sirius XM Radio IncCOMMON STOCK82967N10811128,700SH DFND 28,70028,7000
Sirona Dental Systems IncCOMMON STOCK82966C1034757,100SH DFND 7,1007,1000
Skechers Usa Inc -Cl ACOMMON STOCK8305661052156,900SH DFND 6,9006,9000
SkyWest IncorporatedCOMMON STOCK83087910238326,400SH DFND 26,40026,4000
SLM Corp.COMMON STOCK78442P10630912,400SH DFND 12,40012,4000
Smith & Wesson Holding CorpCOMMON STOCK83175610155850,800SH DFND 50,80050,8000
Smucker (J.M.) Company - NEWCOMMON STOCK8326964055154,900SH DFND 4,9004,9000
Snap-on IncorporatedCOMMON STOCK8330341012392,400SH DFND 2,4002,4000
Solarwinds IncCOMMON STOCK83416B1093239,200SH DFND 9,2009,2000
Sonic Automotive IncorporatedCOMMON STOCK83545G10227811,700SH DFND 11,70011,7000
Sonoco Products CompanyCOMMON STOCK83549510263116,200SH DFND 16,20016,2000
Sonus NetworksCOMMON STOCK83591610710330,500SH DFND 30,50030,5000
Southwest Airlines CompanyCOMMON STOCK84474110865244,800SH DFND 44,80044,8000
Spansion Inc-class ACOMMON STOCK84649R20053352,800SH DFND 52,80052,8000
SPDR S&P 500 ETF TrustCOMMON STOCK78462F10392,624551,300SHPutDFND 551,300551,3000
SPDR S&P 500 ETF TrustCOMMON STOCK78462F103155,494925,500SHCallDFND 925,500925,5000
Spectranetics CorporationCOMMON STOCK84760C10732919,600SH DFND 19,60019,6000
Spirit Airlines IncCOMMON STOCK84857710264118,700SH DFND 18,70018,7000
SS&C Technologies HoldingsCOMMON STOCK78467J10063616,700SH DFND 16,70016,7000
St Jude Med Inc (Stj)COMMON STOCK7908491032254,200SH DFND 4,2004,2000
Stage Stores IncCOMMON STOCK85254C30531716,500SH DFND 16,50016,5000
Stancorp Financial GroupCOMMON STOCK8528911005459,900SH DFND 9,9009,9000
Standard Pacific CorporationCOMMON STOCK85375C10155069,500SH DFND 69,50069,5000
Stanley Black & Decker IncCOMMON STOCK85450210110,416115,000SH DFND 115,000115,0000
Star Scientific IncCOMMON STOCK85517P1013618,800SH DFND 18,80018,8000
State Street CorporationCOMMON STOCK85747710365810,000SH DFND 10,00010,0000
Steel Dynamics IncorporatedCOMMON STOCK85811910034920,900SH DFND 20,90020,9000
STERIS CorporationCOMMON STOCK85915210047311,000SH DFND 11,00011,0000
Stewart Information Services CorporationCOMMON STOCK86037210140312,600SH DFND 12,60012,6000
Stratasys LtdCOMMON STOCKM855481012,68326,500SH DFND 26,50026,5000
Strayer Education IncCOMMON STOCK86323610544010,600SH DFND 10,60010,6000
Stryker CorporationCOMMON STOCK8636671016028,900SH DFND 8,9008,9000
Suncoke Energy IncCOMMON STOCK86722A10344426,100SH DFND 26,10026,1000
Suntrust Banks, Inc.COMMON STOCK8679141032016,200SH DFND 6,2006,2000
Superior Industries International Inc.COMMON STOCK86816810521412,000SH DFND 12,00012,0000
Swift Energy CompanyCOMMON STOCK87073810140135,100SH DFND 35,10035,1000
Swift Transportation CoCOMMON STOCK87074U10139819,700SH DFND 19,70019,7000
Sykes Enterprises, Inc.COMMON STOCK87123710339922,300SH DFND 22,30022,3000
Symetra Financial CorpCOMMON STOCK87151Q1061,04258,500SH DFND 58,50058,5000
Symmetry Medical IncCOMMON STOCK87154620628835,300SH DFND 35,30035,3000
Synaptics IncCOMMON STOCK87157D10974816,900SH DFND 16,90016,9000
Synchronoss Technologies IncCOMMON STOCK87157B1032366,200SH DFND 6,2006,2000
Synopsys IncCOMMON STOCK87160710761116,200SH DFND 16,20016,2000
Synovus Finl CorpCOMMON STOCK87161C105516156,500SH DFND 156,500156,5000
Syntel IncorporatedCOMMON STOCK87162H1034495,600SH DFND 5,6005,6000
SYSCO CorporationCOMMON STOCK87182910748115,100SH DFND 15,10015,1000
Take - Two Interactive SoftwareCOMMON STOCK87405410979643,800SH DFND 43,80043,8000
TCF Financial CorporationCOMMON STOCK87227510237826,500SH DFND 26,50026,5000
Tcp Capital CorpCOMMON STOCK87238Q10377547,733SH DFND 47,73347,7330
TD Ameritrade Holding CorpCOMMON STOCK87236Y10847118,000SH DFND 18,00018,0000
Team Health Holdings IncCOMMON STOCK87817A1073388,900SH DFND 8,9008,9000
Tech Data Corp.COMMON STOCK87823710652910,600SH DFND 10,60010,6000
Techne CorporationCOMMON STOCK8783771002082,600SH DFND 2,6002,6000
TECO Energy, Inc.COMMON STOCK87237510020512,400SH DFND 12,40012,4000
Telephone and Data Systems IncorporatedCOMMON STOCK8794338292257,600SH DFND 7,6007,6000
TeleTech Holdings, Inc.COMMON STOCK87993910641416,500SH DFND 16,50016,5000
Terex Corp.COMMON STOCK8807791035,376160,000SH DFND 160,000160,0000
Tesoro CorpCOMMON STOCK8816091013307,500SH DFND 7,5007,5000
Tessera Technologies IncCOMMON STOCK88164L10047624,600SH DFND 24,60024,6000
Textron IncorporatedCOMMON STOCK88320310130411,000SH DFND 11,00011,0000
The Jones Group IncCOMMON STOCK48020T10133822,500SH DFND 22,50022,5000
The Mosaic CompanyCOMMON STOCK61945C10346910,900SH DFND 10,90010,9000
Third Point Reinsurance LtdCOMMON STOCKG8827U10016811,604SH DFND 11,60411,6040
Thor Industries Inc.COMMON STOCK8851601014297,400SH DFND 7,4007,4000
Tibco Software IncCOMMON STOCK88632Q10325610,000SH DFND 10,00010,0000
Time Warner CableCOMMON STOCK88732J2074804,300SH DFND 4,3004,3000
Timken CompanyCOMMON STOCK88738910411,838196,000SH DFND 196,000196,0000
Titan Machinery IncCOMMON STOCK88830R10124115,000SH DFND 15,00015,0000
Tivo IncoporatedCOMMON STOCK88870610835728,700SH DFND 28,70028,7000
Tower Group International LtdCOMMON STOCKG8988C105935133,500SH DFND 133,500133,5000
TreeHouse FoodCOMMON STOCK89469A1045157,700SH DFND 7,7007,7000
Triangle Petroleum CorpCOMMON STOCK89600B20160761,800SH DFND 61,80061,8000
Trimas CorpCOMMON STOCK8962152092396,400SH DFND 6,4006,4000
Trinity Industries Inc.COMMON STOCK89652210980717,800SH DFND 17,80017,8000
Triumph Group, Inc.COMMON STOCK8968181014997,100SH DFND 7,1007,1000
TrueBlue IncCOMMON STOCK89785X10172830,300SH DFND 30,30030,3000
Trulia IncCOMMON STOCK8978881039,415200,200SH DFND 200,200200,2000
Trustmark CorporationCOMMON STOCK8984021022489,700SH DFND 9,7009,7000
TRW Automotive Holdings CorpCOMMON STOCK87264S10611,246157,700SH DFND 157,700157,7000
Tyson Foods Inc-- Class ACOMMON STOCK90249410312,675448,200SH DFND 448,200448,2000
Tyson Foods Inc-- Class ACOMMON STOCK9024941032,26280,000SHPutDFND 80,00080,0000
Ubiquiti Networks IncCOMMON STOCK90347A10042312,600SH DFND 12,60012,6000
UIL Holdings CorporationCOMMON STOCK9027481024,648125,000SH DFND 125,000125,0000
UMB Financial Corp.COMMON STOCK9027881084678,600SH DFND 8,6008,6000
Umpqua Holdings CorpCOMMON STOCK90421410396759,600SH DFND 59,60059,6000
Union Pacific CorporationCOMMON STOCK9078181089,56961,600SH DFND 61,60061,6000
Unit CorporationCOMMON STOCK9092181094329,300SH DFND 9,3009,3000
United Community Banks Inc/GACOMMON STOCK90984P30315610,400SH DFND 10,40010,4000
United Online Inc.COMMON STOCK91126820934843,600SH DFND 43,60043,6000
United States Cellular CorporationCOMMON STOCK9116841083738,200SH DFND 8,2008,2000
United Therapeutics Corp.COMMON STOCK91307C1026077,700SH DFND 7,7007,7000
Universal Forest ProductsCOMMON STOCK91354310454613,000SH DFND 13,00013,0000
UNS Energy CorpCOMMON STOCK90311910548510,400SH DFND 10,40010,4000
Urban Outfitters Inc.COMMON STOCK91704710281622,200SH DFND 22,20022,2000
URS CorporationCOMMON STOCK9032361072424,500SH DFND 4,5004,5000
US Airways Group Ince/NewCOMMON STOCK90341W10848925,800SH DFND 25,80025,8000
US Ecology IncCOMMON STOCK91732J1022327,700SH DFND 7,7007,7000
Us Silica Holdings IncCOMMON STOCK90346E10369527,900SH DFND 27,90027,9000
VAALCO Energy, Inc.COMMON STOCK91851C20142876,700SH DFND 76,70076,7000
Valero Energy CorporationCOMMON STOCK91913Y1002015,900SH DFND 5,9005,9000
Valley National BancorpCOMMON STOCK91979410725425,500SH DFND 25,50025,5000
VALMONT INDS INCCOMMON STOCK9202531019727,000SH DFND 7,0007,0000
Valspar CorporationCOMMON STOCK9203551048,880140,000SH DFND 140,000140,0000
Valueclick Inc.COMMON STOCK92046N10233015,800SH DFND 15,80015,8000
Vantage Drilling CoCOMMON STOCKG93205113393227,300SH DFND 227,300227,3000
Vantiv Inc - Cl ACOMMON STOCK92210H1051,16041,500SH DFND 41,50041,5000
Varian Medical Systems Inc.COMMON STOCK92220P1055,62075,200SH DFND 75,20075,2000
Vectren Corp.COMMON STOCK92240G1011,12433,700SH DFND 33,70033,7000
VERINT SYS INCCOMMON STOCK92343X10061516,600SH DFND 16,60016,6000
Verisk Analytics Inc-class ACOMMON STOCK92345Y10611,368175,000SH DFND 175,000175,0000
Verizon CommunicationsCOMMON STOCK92343V10461113,100SH DFND 13,10013,1000
Viad Corp.COMMON STOCK92552R40640716,300SH DFND 16,30016,3000
VICAL INCCOMMON STOCK925602104444355,000SH DFND 355,000355,0000
Virtus Investment PartnersCOMMON STOCK92828Q1093252,000SH DFND 2,0002,0000
Visa Inc - Class A SharesCOMMON STOCK92826C83912,00162,800SH DFND 62,80062,8000
Vishay Intertechnology Inc.COMMON STOCK92829810876859,600SH DFND 59,60059,6000
Visteon CorpCOMMON STOCK92839U2064085,400SH DFND 5,4005,4000
Vonage HoldingsCOMMON STOCK92886T20112740,600SH DFND 40,60040,6000
Wabco Holdings IncCOMMON STOCK92927K1029,690115,000SH DFND 115,000115,0000
Wabtec CorporationCOMMON STOCK9297401083,96163,000SH DFND 63,00063,0000
Waddell & Reed Financial Inc.-CL ACOMMON STOCK9300591003296,400SH DFND 6,4006,4000
Walgreen CompanyCOMMON STOCK9314221095,380100,000SH DFND 100,000100,0000
Washington Federal IncorporatedCOMMON STOCK93882410993545,200SH DFND 45,20045,2000
WASHINGTON POST CO (CL B)COMMON STOCK9396401081,1001,800SH DFND 1,8001,8000
Watsco IncorporatedCOMMON STOCK9426222003493,700SH DFND 3,7003,7000
Wausau Paper CorpCOMMON STOCK94331510197475,000SH DFND 75,00075,0000
WebMD Health CorpCOMMON STOCK94770V10268824,100SH DFND 24,10024,1000
Webster Financial Corp WaterburyCOMMON STOCK94789010961524,100SH DFND 24,10024,1000
WellPoint IncCOMMON STOCK94973V1077789,300SH DFND 9,3009,3000
Wesco Aircraft Holdings IncCOMMON STOCK95081410350924,300SH DFND 24,30024,3000
West Pharmaceutical Services IncorporateCOMMON STOCK9553061053007,300SH DFND 7,3007,3000
Westar Energy Inc.COMMON STOCK95709T1004,083133,200SH DFND 133,200133,2000
Western Alliance BancorpCOMMON STOCK95763810930916,300SH DFND 16,30016,3000
Western Digital CorporationCOMMON STOCK9581021053685,800SH DFND 5,8005,8000
Westlake Chemical CorpCOMMON STOCK9604131027437,100SH DFND 7,1007,1000
Wet Seal IncorporatedCOMMON STOCK9618401054611,600SH DFND 11,60011,6000
Weyerhaeuser CompanyCOMMON STOCK96216610416,319570,000SH DFND 570,000570,0000
WGL Holdings Inc.COMMON STOCK92924F10694022,000SH DFND 22,00022,0000
WHITING PETE CORP NEWCOMMON STOCK9663871023596,000SH DFND 6,0006,0000
Williams-Sonoma IncCOMMON STOCK9699041014387,800SH DFND 7,8007,8000
Wilshire Bancorp IncCOMMON STOCK97186T10832339,500SH DFND 39,50039,5000
WILSON GREATBATCH TECH INCCOMMON STOCK39153L10669420,400SH DFND 20,40020,4000
Winnebago Industries Inc.COMMON STOCK97463710026510,200SH DFND 10,20010,2000
Winthrop Realty TrustCOMMON STOCK97639130027925,000SH DFND 25,00025,0000
Wintrust Financial CorpCOMMON STOCK97650W10841110,000SH DFND 10,00010,0000
Wisconsin Energy CorpCOMMON STOCK9766571063197,900SH DFND 7,9007,9000
Workday Inc-class ACOMMON STOCK98138H10117,258213,243SH DFND 213,243213,2430
World Fuel Services CorporationCOMMON STOCK98147510688823,800SH DFND 23,80023,8000
Worthington Industries IncorporatedCOMMON STOCK9818111022587,500SH DFND 7,5007,5000
Wright Medical GroupCOMMON STOCK98235T10710,432400,000SH DFND 400,000400,0000
XCEL Energy, IncorporatedCOMMON STOCK98389B10070125,400SH DFND 25,40025,4000
Xerox CorpCOMMON STOCK98412110359657,900SH DFND 57,90057,9000
Yahoo! IncorporatedCOMMON STOCK98433210647114,200SH DFND 14,20014,2000
Youku Tudou Inc - ADRCOMMON STOCK98742U10013,243483,330SH DFND 483,330483,3300
Yume IncCOMMON STOCK98872B10426524,987SH DFND 24,98724,9870
Zale CorporationCOMMON STOCK98885810633121,800SH DFND 21,80021,8000
Zebra Technologies CorporationCOMMON STOCK98920710595220,900SH DFND 20,90020,9000
Zillow IncCOMMON STOCK98954A1073714,400SH DFND 4,4004,4000
Zimmer Holdings Inc.COMMON STOCK98956P10225,414309,400SH DFND 309,400309,4000
Zions BancorporationCOMMON STOCK98970110753219,400SH DFND 19,40019,4000
Ziopharm Oncology IncCOMMON STOCK98973P1017218,200SH DFND 18,20018,2000